FIDELITY MID-CAP STOCK FUND FIDELITY MID-CAP STOCK FUND(FMCSX) USD 38.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.33%USD 2.038USD0.3052022-12-16
USD1.7332022-06-10
202114.12%USD 5.398USD2.1332021-12-17
USD3.2652021-06-04
20206.54%USD 2.499USD1.5842020-12-18
USD0.9152020-06-05
20196.21%USD 2.373USD1.7872019-12-20
USD0.5862019-06-07
201814.81%USD 5.665USD4.0482018-12-07
USD1.6172018-06-08
20177.22%USD 2.762USD1.8732017-12-08
USD0.8892017-06-09
20167.47%USD 2.855USD1.0042016-12-09
USD1.8512016-06-10
20158.44%USD 3.228USD0.1572015-12-11
USD3.0082015-06-08
USD0.0632015-06-05
201410.32%USD 3.945USD1.0152014-12-15
USD0.0942014-12-12
USD2.8362014-06-09
20133.40%USD 1.302USD0.9072013-12-16
USD0.0832013-12-13
USD0.3122013-06-10
20123.83%USD 1.465USD0.0572012-12-28
USD0.56982012-12-17
USD0.2322012-12-14
USD0.56792012-06-11
USD0.0382012-06-08
20114.17%USD 1.595USD0.11482011-12-19
USD0.0482011-12-16
USD1.43222011-06-13
20100.32%USD 0.123USD0.0162010-12-20
USD0.06282010-06-14
USD0.0282010-06-11
USD0.0162010-04-30
20090.14%USD 0.055USD0.05492009-12-21
20080.81%USD 0.31USD0.05092008-12-22
USD0.25952008-06-09
20076.29%USD 2.405USD0.83842007-12-24
USD1.56692007-06-04
20063.50%USD 1.337USD0.70862006-12-04
USD0.62882006-06-05
20051.67%USD 0.639USD0.59882005-12-05
USD0.03992005-06-06
20040.18%USD 0.07USD0.04992004-12-06
USD0.022004-06-07
20030.23%USD 0.09USD0.04992003-12-08
USD0.03992003-06-09
20020.23%USD 0.09USD0.05992002-12-07
USD0.02992002-06-08
20010.42%USD 0.16USD0.07982001-12-08
USD0.07982001-06-11
20007.05%USD 2.695USD0.84832000-12-11
USD0.12000-12-08
USD1.74652000-06-05