FIDELITY ADVISOR DIVERSIFIED INTERNATIONAL FUND CLASS A(FDVAX) USD 24.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.72%USD 0.42USD0.422022-12-09
202112.92%USD 3.158USD3.1582021-12-03
20191.34%USD 0.328USD0.3282019-12-06
20183.72%USD 0.908USD0.9082018-12-07
20170.95%USD 0.231USD0.2312017-12-08
20160.95%USD 0.233USD0.2332016-12-09
20150.52%USD 0.127USD0.1272015-12-07
20141.72%USD 0.42USD0.222014-12-29
USD0.22014-12-08
20132.16%USD 0.527USD0.3492013-12-09
USD0.1782013-12-06
20121.96%USD 0.479USD0.272012-12-10
USD0.2092012-12-07
20110.79%USD 0.194USD0.1942011-12-05
20101.53%USD 0.373USD0.0582010-12-31
USD0.17442010-12-06
USD0.1412010-12-03
20090.83%USD 0.202USD0.20232009-12-07
20081.83%USD 0.447USD0.44742008-12-08
200714.26%USD 3.486USD3.24722007-12-10
USD0.2392007-12-07
20068.29%USD 2.026USD1.79452006-12-11
USD0.2312006-12-08
20055.05%USD 1.234USD1.092005-12-12
USD0.1442005-12-09
20040.73%USD 0.18USD0.12962004-12-13
USD0.052004-12-10
20030.49%USD 0.12USD0.11962003-12-15
20020.24%USD 0.06USD0.05982002-12-07
20001.18%USD 0.289USD0.28892000-12-11