FIDELITY SAI INTERNATIONAL INDEX FUND FIDELITY SAI INTERNATIONAL INDEX FUND(FIONX) USD 13.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.00%USD 0.393USD0.3932022-12-16
20212.86%USD 0.375USD0.0162021-12-28
USD0.3592021-12-03
20201.91%USD 0.25USD0.252020-12-04
20192.96%USD 0.389USD0.3892019-12-06
20182.39%USD 0.313USD0.3132018-12-14
20172.01%USD 0.264USD0.2642017-12-15
20161.09%USD 0.143USD0.1432016-12-16