FIDELITY FLEX CONSERVATIVE INCOME BOND FUND(FJTDX) USD 9.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.76%USD 0.075USD0.036672023-02-28
USD0.038762023-01-31
20222.05%USD 0.204USD0.036522022-12-31
USD0.032092022-11-30
USD0.027212022-10-31
USD0.021762022-09-30
USD0.02012022-08-31
USD0.014262022-07-31
USD0.014262022-07-29
USD0.010032022-06-30
USD0.007592022-05-31
USD0.004882022-04-30
USD0.004882022-04-29
USD0.004112022-03-31
USD0.003242022-02-28
USD0.003432022-01-31
20210.45%USD 0.045USD0.00332021-12-31
USD0.003172021-11-30
USD0.003242021-10-29
USD0.0012021-10-08
USD0.003122021-09-30
USD0.003422021-08-31
USD0.003482021-07-30
USD0.003462021-06-30
USD0.003742021-05-28
USD0.003922021-04-30
USD0.004332021-03-31
USD0.004212021-02-26
USD0.004992021-01-29
20201.24%USD 0.124USD0.005482020-12-31
USD0.005612020-11-30
USD0.00592020-10-30
USD0.0022020-10-09
USD0.006172020-09-30
USD0.006792020-08-31
USD0.008342020-07-31
USD0.009012020-06-30
USD0.011232020-05-29
USD0.012542020-04-30
USD0.015782020-03-31
USD0.016842020-02-28
USD0.018462020-01-31
20192.66%USD 0.265USD0.018952019-12-31
USD0.018922019-11-29
USD0.020452019-10-31
USD0.020672019-09-30
USD0.022042019-08-30
USD0.023122019-07-31
USD0.022912019-06-28
USD0.0242019-05-31
USD0.0232019-04-30
USD0.0242019-03-29
USD0.0222019-02-28
USD0.0252019-01-31
20181.16%USD 0.116USD0.0232018-12-31
USD0.0132018-12-27
USD0.0222018-11-30
USD0.0222018-10-31
USD0.022018-09-28
USD0.0162018-08-31