FIDELITY ADVISOR EQUITY INCOME FUND CLASS T(FEIRX) USD 31.32
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.043USD0.0432023-04-05
20225.34%USD 1.671USD1.3562022-12-27
USD0.1022022-10-07
USD0.1662022-07-01
USD0.0472022-04-01
202110.95%USD 3.428USD3.0892021-12-28
USD0.1272021-10-01
USD0.1422021-07-02
USD0.072021-04-05
20201.84%USD 0.576USD0.2332020-12-29
USD0.1132020-10-02
USD0.1472020-07-10
USD0.0832020-04-03
20197.30%USD 2.286USD1.9112019-12-27
USD0.1422019-10-04
USD0.1292019-07-05
USD0.1042019-04-05
201813.01%USD 4.074USD3.612018-12-26
USD0.1212018-10-05
USD0.1992018-07-06
USD0.1442018-04-06
201711.05%USD 3.462USD3.1852017-12-26
USD0.1542017-10-06
USD0.0792017-07-07
USD0.0442017-04-07
20163.90%USD 1.221USD0.6742016-12-27
USD0.1232016-10-07
USD0.0492016-07-08
USD0.0922016-04-08
USD0.2832016-01-15
20153.61%USD 1.131USD0.3272015-12-11
USD0.1352015-10-05
USD0.2962015-07-02
USD0.1172015-04-02
USD0.2562015-01-20
20146.36%USD 1.991USD1.2262014-12-15
USD0.3462014-12-12
USD0.072014-10-06
USD0.0322014-10-03
USD0.0782014-07-07
USD0.2392014-04-07
20131.65%USD 0.518USD0.212013-12-16
USD0.1072013-10-07
USD0.1242013-07-08
USD0.0772013-04-08
20122.52%USD 0.791USD0.0242012-12-28
USD0.21382012-12-17
USD0.1842012-12-14
USD0.12592012-10-08
USD0.15792012-07-09
USD0.08492012-04-05
20111.35%USD 0.423USD0.13492011-12-19
USD0.12492011-10-10
USD0.13092011-07-11
USD0.0322011-04-07
20100.78%USD 0.246USD0.08692010-12-20
USD0.0532010-10-04
USD0.0512010-07-12
USD0.05492010-04-12
20090.86%USD 0.269USD0.0522009-12-21
USD0.0512009-10-05
USD0.09292009-07-13
USD0.07292009-04-06
20082.02%USD 0.633USD0.06692008-12-22
USD0.07492008-10-06
USD0.07092008-07-14
USD0.08092008-04-07
USD0.33972008-01-14
200710.48%USD 3.283USD1.41772007-12-24
USD0.0792007-12-21
USD0.06092007-10-08
USD0.06792007-07-09
USD0.05892007-04-05
USD1.59852007-01-08
20065.18%USD 1.623USD1.1062006-12-18
USD0.1372006-12-15
USD0.06492006-10-09
USD0.05992006-07-10
USD0.05492006-04-10
USD0.19982006-01-09
20055.76%USD 1.804USD1.51262005-12-19
USD0.0642005-12-16
USD0.0522005-10-10
USD0.052005-07-05
USD0.0452005-04-11
USD0.07992005-01-10
20042.17%USD 0.68USD0.47952004-12-20
USD0.12004-12-17
USD0.042004-10-11
USD0.042004-06-21
USD0.022004-03-08
20030.64%USD 0.2USD0.05992003-12-22
USD0.05992003-09-15
USD0.042003-06-09
USD0.042003-03-07
20020.80%USD 0.25USD0.052002-12-21
USD0.042002-09-14
USD0.032002-06-08
USD0.072002-06-07
USD0.022002-03-09
USD0.042002-01-05
20013.29%USD 1.029USD0.22982001-12-22
USD0.042001-12-21
USD0.032001-09-24
USD0.052001-06-11
USD0.032001-03-12
USD0.64942001-01-08
20008.42%USD 2.638USD2.28792000-12-26
USD0.12000-12-22
USD0.08992000-09-18
USD0.09992000-06-12
USD0.052000-03-13
USD0.012000-01-10