FIDELITY FUND FIDELITY FUND(FFIDX) USD 64.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.60%USD 0.388USD0.2252022-12-09
USD0.1632022-08-05
20215.66%USD 3.644USD0.5432021-12-10
USD3.1012021-08-06
20202.86%USD 1.845USD1.5372020-12-11
USD0.1542020-08-07
USD0.1542020-07-07
20194.26%USD 2.742USD1.0532019-12-13
USD1.6892019-08-09
20184.62%USD 2.977USD0.6672018-12-07
USD2.312018-08-10
20178.15%USD 5.249USD1.1032017-12-08
USD4.1462017-08-11
20164.48%USD 2.885USD1.2822016-12-09
USD1.6032016-08-12
20153.81%USD 2.452USD0.4532015-12-11
USD1.8492015-08-10
USD0.152015-08-07
20148.19%USD 5.273USD1.8842014-12-15
USD0.1392014-12-12
USD3.0922014-08-11
USD0.1582014-08-08
20135.64%USD 3.632USD1.1632013-12-16
USD0.1762013-12-13
USD2.1452013-08-05
USD0.1482013-08-02
20120.76%USD 0.491USD0.282012-12-17
USD0.2112012-08-06
20110.37%USD 0.238USD0.162011-12-19
USD0.0662011-08-08
USD0.0122011-04-07
20100.45%USD 0.292USD0.1442010-12-20
USD0.0522010-10-04
USD0.062010-07-12
USD0.0362010-04-12
20090.67%USD 0.433USD0.0752009-12-21
USD0.1362009-10-05
USD0.1072009-07-13
USD0.1152009-04-06
20082.18%USD 1.406USD0.1142008-12-22
USD0.0922008-10-06
USD0.992008-08-11
USD0.12008-07-14
USD0.112008-04-07
20073.23%USD 2.08USD1.542007-12-24
USD0.12007-12-21
USD0.072007-10-08
USD0.192007-08-06
USD0.12007-07-09
USD0.082007-04-05
20060.48%USD 0.31USD0.082006-12-18
USD0.062006-10-09
USD0.12006-07-10
USD0.072006-04-10
20050.45%USD 0.29USD0.072005-12-19
USD0.052005-10-10
USD0.082005-07-05
USD0.092005-04-04
20040.61%USD 0.39USD0.212004-12-20
USD0.082004-10-11
USD0.052004-06-21
USD0.052004-03-08
20030.34%USD 0.22USD0.082003-12-22
USD0.062003-09-15
USD0.032003-06-09
USD0.052003-03-07
20020.40%USD 0.26USD0.072002-12-21
USD0.032002-10-04
USD0.062002-09-14
USD0.022002-07-05
USD0.032002-06-08
USD0.052002-03-09
20010.33%USD 0.21USD0.092001-12-22
USD0.042001-09-24
USD0.042001-06-11
USD0.042001-03-12
20008.59%USD 5.53USD2.212000-12-26
USD0.12000-12-22
USD0.062000-09-18
USD3.092000-08-07
USD0.042000-06-12
USD0.032000-03-13