FIDELITY INTERNATIONAL REAL ESTATE FUND FIDELITY ADVISOR INTERNATIONAL REAL ESTATE FUND: CLASS T(FIRTX) USD 10.06
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.02%USD 0.404USD0.4042022-09-09
20217.14%USD 0.718USD0.062021-12-10
USD0.6582021-09-10
20201.62%USD 0.163USD0.0082020-12-30
USD0.0082020-12-11
USD0.1472020-09-11
20195.57%USD 0.56USD0.1482019-12-13
USD0.4122019-09-13
20181.71%USD 0.172USD0.1722018-09-14
20172.78%USD 0.28USD0.0812017-12-15
USD0.1992017-09-15
20163.59%USD 0.361USD0.3612016-09-16
20153.30%USD 0.332USD0.0172015-12-18
USD0.2182015-09-14
USD0.0972015-09-11
20145.10%USD 0.513USD0.2462014-12-22
USD0.0052014-12-19
USD0.1672014-09-15
USD0.0952014-09-12
20136.16%USD 0.62USD0.1732013-12-16
USD0.0462013-12-13
USD0.3112013-09-16
USD0.092013-09-13
20125.73%USD 0.576USD0.2032012-12-17
USD0.0442012-12-14
USD0.2212012-09-10
USD0.1082012-09-07
20114.26%USD 0.429USD0.0372011-12-19
USD0.2852011-09-12
USD0.1072011-09-09
20108.11%USD 0.816USD0.122010-12-31
USD0.2252010-12-20
USD0.0922010-12-17
USD0.25172010-09-09
USD0.0972010-09-08
USD0.032010-04-09
20092.44%USD 0.246USD0.18162009-12-21
USD0.0642009-12-18
200720.25%USD 2.037USD0.78372007-12-24
USD0.0742007-12-21
USD0.97322007-09-10
USD0.2062007-09-07