FIDELITY ADVISOR FREEDOM 2025 FUND CLASS I(FITWX) USD 11.73
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.50%USD 0.997USD0.3062022-12-29
USD0.6912022-05-13
202111.48%USD 1.347USD0.7462021-12-30
USD0.6012021-05-14
20207.74%USD 0.908USD0.4632020-12-30
USD0.4452020-05-08
20197.63%USD 0.895USD0.4312019-12-30
USD0.4642019-05-10
201810.04%USD 1.178USD0.6842018-12-28
USD0.4942018-05-11
20176.45%USD 0.757USD0.5412017-12-28
USD0.2162017-05-12
20164.99%USD 0.585USD0.2482016-12-28
USD0.3372016-05-13
20155.75%USD 0.674USD0.3732015-12-29
USD0.2752015-05-11
USD0.0262015-05-08
201410.02%USD 1.175USD0.6722014-12-30
USD0.2212014-12-29
USD0.2522014-05-05
USD0.032014-05-02
20138.82%USD 1.035USD0.4472013-12-30
USD0.1642013-12-27
USD0.3992013-05-06
USD0.0252013-05-03
20123.90%USD 0.457USD0.2482012-12-31
USD0.1822012-12-28
USD0.0272012-05-07
20114.85%USD 0.569USD0.3292011-12-30
USD0.1722011-12-29
USD0.0452011-05-09
USD0.0232011-05-06
20103.98%USD 0.467USD0.2282010-12-31
USD0.1562010-12-30
USD0.0592010-05-10
USD0.0242010-04-30
20093.71%USD 0.435USD0.2462009-12-29
USD0.1612009-12-28
USD0.0282009-05-18
20087.67%USD 0.9USD0.2412008-12-29
USD0.2112008-12-26
USD0.4092008-05-12
USD0.0392008-05-09
20076.67%USD 0.782USD0.2852007-12-31
USD0.2152007-12-28
USD0.2512007-05-07
USD0.0312007-05-04
20065.82%USD 0.683USD0.2462006-12-29
USD0.1862006-12-28
USD0.2272006-05-15
USD0.0242006-05-12
20053.00%USD 0.352USD0.1642005-12-30
USD0.1442005-12-29
USD0.0372005-05-16
USD0.0072005-05-13
20041.33%USD 0.156USD0.1352004-12-30
USD0.0112004-05-17
USD0.012004-05-14
20030.51%USD 0.06USD0.062003-12-29