FIDELITY GLOBAL BOND FUND FIDELITY ADVISOR GLOBAL BOND FUND: CLASS C(FGBYX) USD 7.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.84%USD 0.062USD0.0622023-04-05
20225.37%USD 0.395USD0.2462022-12-21
USD0.0412022-10-07
USD0.0332022-07-01
USD0.0242022-04-01
USD0.0512022-02-11
20212.03%USD 0.149USD0.0542021-12-28
USD0.0252021-10-01
USD0.0112021-07-02
USD0.0392021-04-05
USD0.022021-02-12
20203.77%USD 0.277USD0.1792020-12-29
USD0.0312020-10-02
USD0.0312020-07-10
USD0.0362020-04-03
20193.45%USD 0.253USD0.169172019-12-27
USD0.041812019-10-04
USD0.019452019-07-05
USD0.0232019-04-05
20181.74%USD 0.128USD0.0272018-12-26
USD0.0352018-10-05
USD0.0352018-07-06
USD0.0312018-04-06
20171.25%USD 0.092USD0.0232017-12-26
USD0.0362017-10-06
USD0.0232017-07-07
USD0.0032017-05-05
USD0.0042017-04-07
USD0.0032017-02-03
20162.91%USD 0.214USD0.1312016-12-23
USD0.0032016-11-04
USD0.0082016-10-07
USD0.0092016-09-09
USD0.0092016-07-08
USD0.0082016-06-03
USD0.012016-05-06
USD0.012016-04-08
USD0.0132016-03-04
USD0.0132016-02-05
20152.45%USD 0.18USD0.0242015-12-23
USD0.0152015-11-09
USD0.0122015-10-05
USD0.0132015-09-03
USD0.0142015-08-10
USD0.012015-07-02
USD0.0132015-07-01
USD0.0182015-06-08
USD0.0112015-05-04
USD0.0112015-04-02
USD0.0072015-03-09
USD0.0092015-02-09
USD0.0232015-01-29
20141.65%USD 0.121USD0.0152014-12-29
USD0.0142014-11-10
USD0.0072014-10-06
USD0.0112014-09-08
USD0.012014-08-11
USD0.0062014-07-07
USD0.0112014-06-09
USD0.0112014-05-05
USD0.0122014-04-07
USD0.012014-03-10
USD0.0142014-02-10
20131.78%USD 0.131USD0.0232013-12-23
USD0.0072013-11-04
USD0.0142013-10-07
USD0.0152013-09-09
USD0.0112013-08-05
USD0.0122013-07-08
USD0.0252013-06-10
USD0.0092013-05-06
USD0.012013-04-08
USD0.0022013-03-04
USD0.0022013-02-19
USD0.0012013-02-11
20121.70%USD 0.125USD0.0922012-12-26
USD0.0152012-12-21
USD0.0012012-11-05
USD0.0052012-10-08
USD0.0072012-09-10
USD0.0052012-08-06