FIDELITY ADVISOR REAL ESTATE FUND CLASS I(FHEIX) USD 16.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202217.88%USD 2.886USD2.8862022-12-22
20219.27%USD 1.496USD1.4582021-12-17
USD0.0342021-09-03
USD0.0012021-06-04
USD0.0032021-03-05
20207.76%USD 1.253USD1.1352020-12-18
USD0.0812020-09-04
USD0.0192020-06-05
USD0.0182020-03-06
201911.65%USD 1.88USD1.6822019-12-20
USD0.1292019-09-06
USD0.0522019-06-07
USD0.0172019-03-08
20187.63%USD 1.232USD1.0012018-12-14
USD0.1442018-09-07
USD0.072018-06-01
USD0.0172018-03-02
20179.32%USD 1.505USD1.3292017-12-15
USD0.1172017-09-06
USD0.0422017-06-02
USD0.0172017-03-03
20169.97%USD 1.609USD0.7082016-12-16
USD0.7722016-09-09
USD0.1042016-06-03
USD0.0252016-03-04
20156.50%USD 1.049USD0.182015-12-18
USD0.6982015-09-14
USD0.1042015-09-11
USD0.0672015-06-08
201412.14%USD 1.959USD0.5812014-12-22
USD1.1952014-09-08
USD0.12014-09-05
USD0.0832014-06-09
20136.68%USD 1.079USD0.0072013-12-27
USD0.30082013-12-16
USD0.1612013-12-13
USD0.44792013-09-09
USD0.072013-09-06
USD0.0652013-06-10
USD0.0272013-03-04
20123.38%USD 0.546USD0.29192012-12-17
USD0.1222012-12-14
USD0.0652012-09-10
USD0.0422012-06-04
USD0.0252012-03-02
20113.61%USD 0.583USD0.1012011-12-19
USD0.47582011-09-06
USD0.0062011-09-02
20101.59%USD 0.256USD0.0962010-12-20
USD0.0572010-09-07
USD0.0452010-06-07
USD0.0292010-04-30
USD0.0292010-03-08
20091.67%USD 0.269USD0.012009-12-31
USD0.0742009-12-21
USD0.0462009-09-08
USD0.0812009-06-08
USD0.0582009-03-09
20082.82%USD 0.455USD0.032008-12-31
USD0.1332008-12-19
USD0.1112008-09-08
USD0.0812008-09-05
USD0.0652008-06-09
USD0.0352008-03-10
20079.53%USD 1.539USD0.052007-12-28
USD0.1592007-12-24
USD0.1042007-12-21
USD1.12762007-09-17
USD0.0982007-09-14
200612.20%USD 1.969USD0.012006-12-29
USD0.50862006-12-18
USD0.1092006-12-15
USD1.222006-09-18
USD0.1212006-09-15
20058.91%USD 1.438USD0.46472005-12-19
USD0.1652005-12-16
USD0.59652005-09-19
USD0.0972005-09-16
USD0.07992005-06-06
USD0.0352005-03-07
20046.63%USD 1.069USD0.44972004-12-13
USD0.162004-12-10
USD0.29982004-09-07
USD0.062004-09-03
USD0.032004-05-10
USD0.06992004-02-09
20032.32%USD 0.375USD0.23492003-12-12
USD0.042003-09-08
USD0.052003-08-11
USD0.052003-05-12
20020.68%USD 0.11USD0.10992002-12-28