FIDELITY INTERNATIONAL VALUE FUND FIDELITY ADVISOR INTERNATIONAL VALUE FUND: CLASS I(FIVQX) USD 9.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.73%USD 0.158USD0.1582022-12-09
20214.38%USD 0.4USD0.42021-12-03
20201.63%USD 0.149USD0.0042020-12-29
USD0.1452020-12-04
20193.16%USD 0.289USD0.2892019-12-06
20182.59%USD 0.237USD0.2372018-12-07
20171.53%USD 0.14USD0.142017-12-08
20162.20%USD 0.201USD0.2012016-12-09
20151.05%USD 0.096USD0.0962015-12-07
20143.47%USD 0.317USD0.3172014-12-08
20134.33%USD 0.396USD0.2052013-12-09
USD0.1912013-12-06
20125.47%USD 0.5USD0.2712012-12-10
USD0.2292012-12-07
20112.71%USD 0.248USD0.2482011-12-05
20104.90%USD 0.448USD0.0272010-12-31
USD0.22732010-12-06
USD0.1942010-12-03
20091.55%USD 0.142USD0.14152009-12-07
20081.25%USD 0.115USD0.11462008-12-08
200711.02%USD 1.007USD0.81242007-12-10
USD0.1952007-12-07
20061.16%USD 0.106USD0.06382006-12-11
USD0.0422006-12-08