MATERIALS PORTFOLIO FIDELITY ADVISOR MATERIALS FUND: CLASS M(FMFTX) USD 94.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.91%USD 2.759USD2.7592022-12-16
20210.43%USD 0.408USD0.4082021-12-17
20200.27%USD 0.256USD0.022020-12-29
USD0.2362020-12-18
20190.55%USD 0.517USD0.5172019-12-20
20187.97%USD 7.544USD3.3482018-12-14
USD4.1962018-04-11
20174.48%USD 4.247USD3.3692017-12-15
USD0.8782017-04-12
20160.48%USD 0.451USD0.4512016-12-16
20151.37%USD 1.301USD1.2652015-12-18
USD0.0362015-04-13
20147.95%USD 7.533USD4.9742014-12-22
USD0.1442014-12-19
USD2.3762014-04-14
USD0.0392014-04-11
20131.82%USD 1.719USD1.6432013-12-23
USD0.0592013-12-20
USD0.0172013-04-15
20122.62%USD 2.478USD1.6532012-12-26
USD0.4632012-12-21
USD0.3622012-04-16
20110.93%USD 0.882USD0.6312011-12-12
USD0.2512011-12-09
20100.97%USD 0.916USD0.052010-12-31
USD0.86642010-12-13
20090.20%USD 0.188USD0.14892009-12-14
USD0.0392009-04-20
20080.03%USD 0.029USD0.012008-12-31
USD0.0192008-12-15
20072.77%USD 2.622USD1.76682007-12-17
USD0.1682007-12-14
USD0.64852007-04-16
USD0.0392007-04-13