FIDELITY ADVISOR REAL ESTATE FUND CLASS T(FHETX) USD 15.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202218.20%USD 2.869USD2.8692022-12-22
20219.08%USD 1.431USD1.4222021-12-17
USD0.0092021-09-03
20204.39%USD 0.692USD0.6312020-12-18
USD0.0612020-09-04
201911.24%USD 1.772USD1.6452019-12-20
USD0.1022019-09-06
USD0.0242019-06-07
USD0.0012019-03-08
20187.26%USD 1.144USD0.9832018-12-14
USD0.1162018-09-07
USD0.0442018-06-01
USD0.0012018-03-02
20178.78%USD 1.384USD1.2882017-12-15
USD0.0862017-09-06
USD0.0092017-06-02
USD0.0012017-03-03
20169.47%USD 1.493USD0.672016-12-16
USD0.742016-09-09
USD0.0752016-06-03
USD0.0082016-03-04
20155.79%USD 0.912USD0.1432015-12-18
USD0.6712015-09-14
USD0.0772015-09-11
USD0.0212015-06-08
201411.62%USD 1.832USD0.5462014-12-22
USD1.1682014-09-08
USD0.0732014-09-05
USD0.0452014-06-09
20135.87%USD 0.926USD0.0072013-12-27
USD0.26792013-12-16
USD0.1282013-12-13
USD0.42492013-09-09
USD0.0472013-09-06
USD0.042013-06-10
USD0.0112013-03-04
20122.72%USD 0.428USD0.26292012-12-17
USD0.0932012-12-14
USD0.0422012-09-10
USD0.0192012-06-04
USD0.0112012-03-02
20113.39%USD 0.535USD0.0652011-12-19
USD0.46982011-09-06
20101.15%USD 0.181USD0.0732010-12-20
USD0.0382010-09-07
USD0.0242010-06-07
USD0.0282010-04-23
USD0.0182010-03-08
20091.41%USD 0.222USD0.012009-12-31
USD0.0572009-12-21
USD0.0342009-09-08
USD0.0712009-06-08
USD0.052009-03-09
20082.28%USD 0.36USD0.032008-12-31
USD0.1172008-12-19
USD0.0912008-09-08
USD0.0612008-09-05
USD0.0442008-06-09
USD0.0172008-03-10
20077.99%USD 1.259USD0.052007-12-28
USD0.1142007-12-24
USD0.0592007-12-21
USD1.03262007-09-17
USD0.0032007-09-14
200611.12%USD 1.753USD0.012006-12-29
USD0.47462006-12-18
USD0.0752006-12-15
USD1.14612006-09-18
USD0.0472006-09-15
20058.17%USD 1.287USD0.43072005-12-19
USD0.1312005-12-16
USD0.57252005-09-19
USD0.0732005-09-16
USD0.062005-06-06
USD0.022005-03-07
20045.71%USD 0.9USD0.40972004-12-13
USD0.122004-12-10
USD0.27482004-09-07
USD0.0352004-09-03
USD0.022004-05-10
USD0.042004-02-09
20032.19%USD 0.345USD0.14992003-12-15
USD0.0652003-12-12
USD0.042003-09-08
USD0.042003-08-11
USD0.052003-05-12
20020.63%USD 0.1USD0.09992002-12-28