FIDELITY FREEDOM INDEX INCOME FUND INSTITUTIONAL PREMIUM CLASS(FFGZX) USD 11.29
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.04USD0.0182023-04-05
USD0.0112023-03-03
USD0.0112023-02-03
20223.01%USD 0.34USD0.1882022-12-29
USD0.0122022-11-04
USD0.0152022-10-07
USD0.0092022-09-02
USD0.0132022-08-05
USD0.0412022-07-01
USD0.0082022-06-03
USD0.0352022-05-06
USD0.0082022-04-01
USD0.0062022-03-04
USD0.0052022-02-04
20212.36%USD 0.266USD0.1442021-12-30
USD0.0072021-11-05
USD0.0082021-10-01
USD0.0062021-09-03
USD0.0072021-08-06
USD0.0072021-07-02
USD0.0052021-06-04
USD0.0632021-05-07
USD0.0072021-04-05
USD0.0072021-03-05
USD0.0052021-02-05
20202.47%USD 0.279USD0.1392020-12-30
USD0.0082020-11-06
USD0.0092020-10-02
USD0.0072020-09-04
USD0.012020-08-07
USD0.0072020-07-10
USD0.0072020-06-05
USD0.032020-05-08
USD0.0252020-05-01
USD0.0132020-04-03
USD0.0132020-03-06
USD0.0112020-02-07
20197.71%USD 0.871USD0.682019-12-30
USD0.0182019-11-08
USD0.0142019-10-04
USD0.0222019-09-06
USD0.0142019-08-02
USD0.0172019-07-05
USD0.0232019-06-07
USD0.032019-05-03
USD0.0172019-04-05
USD0.022019-03-08
USD0.0162019-02-08
20183.06%USD 0.345USD0.1922018-12-28
USD0.0142018-11-02
USD0.0172018-10-05
USD0.0222018-09-07
USD0.0132018-08-03
USD0.0182018-07-06
USD0.0152018-06-01
USD0.0152018-05-04
USD0.0172018-04-06
USD0.0132018-03-02
USD0.0092018-02-02
20172.06%USD 0.233USD0.0932017-12-28
USD0.0132017-11-03
USD0.012017-10-06
USD0.0142017-09-06
USD0.0112017-08-04
USD0.0132017-07-07
USD0.012017-06-02
USD0.0422017-05-05
USD0.0122017-04-07
USD0.012017-03-03
USD0.0052017-02-03
20161.71%USD 0.193USD0.0862016-12-28
USD0.0092016-11-04
USD0.0092016-10-07
USD0.012016-09-09
USD0.0112016-08-05
USD0.012016-07-08
USD0.012016-06-03
USD0.0192016-05-13
USD0.0112016-04-08
USD0.0082016-03-04
USD0.012016-02-05
20151.16%USD 0.131USD0.072015-12-29
USD0.0152015-11-09
USD0.0152015-10-05
USD0.0112015-09-03
USD0.0122015-08-07
USD0.0082015-07-02