FIDELITY INTERNATIONAL VALUE FUND FIDELITY ADVISOR INTERNATIONAL VALUE FUND: CLASS A(FIVMX) USD 9.13
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.50%USD 0.137USD0.1372022-12-09
20214.18%USD 0.382USD0.3822021-12-03
20201.37%USD 0.125USD0.0042020-12-29
USD0.1212020-12-04
20192.91%USD 0.266USD0.2662019-12-06
20182.33%USD 0.213USD0.2132018-12-07
20171.27%USD 0.116USD0.1162017-12-08
20161.94%USD 0.177USD0.1772016-12-09
20150.96%USD 0.088USD0.0882015-12-07
20143.10%USD 0.283USD0.2832014-12-08
20133.88%USD 0.354USD0.1842013-12-09
USD0.172013-12-06
20124.86%USD 0.444USD0.2432012-12-10
USD0.2012012-12-07
20112.43%USD 0.222USD0.2222011-12-05
20104.60%USD 0.42USD0.0272010-12-31
USD0.19742010-12-06
USD0.1642010-12-03
USD0.0322010-04-30
20091.28%USD 0.117USD0.11662009-12-07
20080.88%USD 0.081USD0.08072008-12-08
200710.03%USD 0.916USD0.76652007-12-10
USD0.1492007-12-07
20063.08%USD 0.281USD0.25022006-12-11
USD0.0312006-12-08