FIDELITY ASSET MANAGER 50% FIDELITY ADVISOR ASSET MANAGER 50%: CLASS T(FFTMX) USD 18.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.91%USD 1.099USD0.9082022-12-29
USD0.142022-10-07
USD0.0512022-07-01
20212.87%USD 0.533USD0.4132021-12-30
USD0.0832021-10-01
USD0.032021-07-02
USD0.0072021-04-05
20202.14%USD 0.398USD0.2752020-12-30
USD0.0522020-10-02
USD0.0492020-07-10
USD0.0222020-04-03
20193.69%USD 0.686USD0.5322019-12-30
USD0.0522019-10-04
USD0.082019-07-05
USD0.0222019-04-05
20184.12%USD 0.766USD0.642018-12-28
USD0.0572018-10-05
USD0.0542018-07-06
USD0.0152018-04-06
20173.70%USD 0.688USD0.5832017-12-26
USD0.0412017-10-06
USD0.052017-07-07
USD0.0142017-04-07
20161.36%USD 0.253USD0.1272016-12-23
USD0.0372016-10-07
USD0.0532016-07-08
USD0.0362016-04-08
20151.13%USD 0.21USD0.0662015-12-11
USD0.0472015-10-12
USD0.0592015-07-02
USD0.0382015-04-02
20147.49%USD 1.392USD1.2112014-12-15
USD0.0422014-12-12
USD0.0292014-10-06
USD0.0532014-07-03
USD0.0572014-04-07
20135.91%USD 1.099USD0.952013-12-16
USD0.0372013-12-13
USD0.0382013-10-07
USD0.0522013-07-08
USD0.0222013-04-08
20121.19%USD 0.221USD0.0542012-12-17
USD0.0392012-12-14
USD0.0352012-10-08
USD0.0682012-07-09
USD0.0252012-04-05
20111.40%USD 0.26USD0.0672011-12-19
USD0.0432011-12-16
USD0.062011-10-10
USD0.0652011-07-11
USD0.0252011-04-07
20101.38%USD 0.256USD0.0052010-12-31
USD0.0652010-12-20
USD0.0412010-12-17
USD0.0492010-10-04
USD0.0612010-07-12
USD0.0352010-04-12
20091.33%USD 0.247USD0.0462009-12-21
USD0.0622009-10-05
USD0.0872009-07-13
USD0.0522009-04-06
20082.30%USD 0.428USD0.092008-12-22
USD0.082008-12-19
USD0.1112008-10-06
USD0.0742008-07-14
USD0.0732008-04-07
20078.92%USD 1.658USD1.21272007-12-24
USD0.1132007-12-21
USD0.1272007-10-08
USD0.1122007-07-09
USD0.0932007-04-05
20066.79%USD 1.262USD1.01072006-12-18
USD0.1112006-12-15
USD0.142006-10-06