FIDELITY INTERNATIONAL VALUE FUND FIDELITY ADVISOR INTERNATIONAL VALUE FUND: CLASS C(FIVOX) USD 9.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.72%USD 0.066USD0.0662022-12-09
20212.96%USD 0.271USD0.2712021-12-03
20200.85%USD 0.078USD0.0042020-12-29
USD0.0742020-12-04
20192.14%USD 0.196USD0.1962019-12-06
20181.44%USD 0.132USD0.1322018-12-07
20170.61%USD 0.056USD0.0562017-12-08
20161.29%USD 0.118USD0.1182016-12-09
20150.21%USD 0.019USD0.0192015-12-07
20142.49%USD 0.228USD0.2282014-12-08
20132.57%USD 0.236USD0.1252013-12-09
USD0.1112013-12-06
20123.77%USD 0.346USD0.1942012-12-10
USD0.1522012-12-07
20111.84%USD 0.169USD0.1692011-12-05
20103.02%USD 0.277USD0.0272010-12-31
USD0.14152010-12-06
USD0.1082010-12-03
20091.21%USD 0.111USD0.05782009-12-07
USD0.0532009-12-04
20075.13%USD 0.471USD0.39172007-12-10
USD0.0792007-12-07
20060.21%USD 0.019USD0.01892006-12-11