FIDELITY ADVISOR FREEDOM 2015 FUND CLASS M(FFVTX) USD 9.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.48%USD 0.741USD0.2592022-12-29
USD0.4822022-05-13
202112.16%USD 1.205USD0.672021-12-30
USD0.5352021-05-14
20208.44%USD 0.836USD0.4242020-12-30
USD0.4122020-05-08
20197.95%USD 0.788USD0.4672019-12-30
USD0.3212019-05-10
201811.29%USD 1.119USD0.6582018-12-28
USD0.4612018-05-11
20178.52%USD 0.844USD0.5982017-12-28
USD0.2462017-05-12
20165.25%USD 0.52USD0.2542016-12-28
USD0.2662016-05-13
20156.31%USD 0.625USD0.362015-12-29
USD0.2452015-05-11
USD0.022015-05-08
20148.52%USD 0.844USD0.2742014-12-30
USD0.2782014-12-29
USD0.2722014-05-05
USD0.022014-05-02
20137.33%USD 0.726USD0.3982013-12-30
USD0.1042013-12-27
USD0.2142013-05-13
USD0.012013-05-10
20123.40%USD 0.337USD0.2042012-12-31
USD0.1172012-12-28
USD0.0162012-05-14
20114.34%USD 0.43USD0.2622011-12-30
USD0.1242011-12-29
USD0.032011-05-12
USD0.0142011-05-11
20103.98%USD 0.394USD0.1852010-12-31
USD0.112010-12-30
USD0.0462010-05-10
USD0.022010-05-07
USD0.0332010-04-23
20094.02%USD 0.398USD0.2262009-12-29
USD0.1442009-12-28
USD0.0282009-05-18
20088.00%USD 0.793USD0.2462008-12-29
USD0.2012008-12-26
USD0.3132008-05-12
USD0.0332008-05-09
20077.15%USD 0.709USD0.2632007-12-31
USD0.2032007-12-28
USD0.2132007-05-07
USD0.032007-05-04
20066.13%USD 0.607USD0.2232006-12-29
USD0.1732006-12-28
USD0.1832006-05-08
USD0.0282006-05-05
20053.41%USD 0.338USD0.1482005-12-30
USD0.1282005-12-29
USD0.0512005-05-09
USD0.0112005-05-06
20041.39%USD 0.138USD0.122004-12-30
USD0.012004-05-10
USD0.0082004-05-07
20030.55%USD 0.055USD0.0552003-12-29