FIDELITY SERIES INTERNATIONAL VALUE FUND FIDELITY SERIES INTERNATIONAL VALUE FUND(FINVX) USD 10.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.06%USD 0.334USD0.3342022-12-09
20215.12%USD 0.56USD0.562021-12-10
20202.62%USD 0.286USD0.2862020-12-11
20193.67%USD 0.401USD0.4012019-12-13
20183.18%USD 0.348USD0.3482018-12-14
20173.07%USD 0.336USD0.3362017-12-15
20162.20%USD 0.24USD0.242016-12-16
20151.87%USD 0.204USD0.2042015-12-07
201410.92%USD 1.194USD0.7572014-12-08
USD0.4372014-12-05
20134.73%USD 0.517USD0.282013-12-09
USD0.2372013-12-06
20125.21%USD 0.569USD0.3132012-12-10
USD0.2562012-12-07
20112.05%USD 0.224USD0.2242011-12-12
20102.32%USD 0.253USD0.0452010-12-31
USD0.12242010-12-13
USD0.0862010-12-10