Fidelity SAI Real Estate Index Fund(FESIX) USD 6.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202254.66%USD 3.733USD1.7422022-12-16
USD1.9912022-09-09
202110.16%USD 0.694USD0.3512021-12-17
USD0.3422021-09-03
USD0.0012021-06-04
20204.11%USD 0.281USD0.2092020-12-11
USD0.052020-09-04
USD0.0122020-06-05
USD0.012020-03-06
20196.63%USD 0.453USD0.1752019-12-13
USD0.1722019-09-06
USD0.0992019-06-07
USD0.0072019-03-08
20185.97%USD 0.408USD0.1752018-12-21
USD0.1052018-09-07
USD0.0752018-06-01
USD0.0532018-03-02
20174.57%USD 0.312USD0.1472017-12-26
USD0.1052017-09-08
USD0.052017-06-02
USD0.012017-03-03
20164.63%USD 0.316USD0.1942016-12-23
USD0.0312016-09-09
USD0.072016-06-03
USD0.0212016-03-04