FIDELITY MAGELLAN FUND CLASS K(FMGKX) USD 11.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.65%USD 0.543USD0.0872022-12-09
USD0.4562022-05-06
20219.29%USD 1.085USD0.4512021-12-10
USD0.6342021-05-07
20200.33%USD 0.039USD0.0392020-12-11
201913.11%USD 1.531USD1.4162019-12-13
USD0.1152019-05-10
20188.39%USD 0.98USD0.4712018-12-14
USD0.50882018-05-11
20178.71%USD 1.017USD0.462017-12-01
USD0.5572017-05-12
20162.35%USD 0.275USD0.19212016-12-02
USD0.08252016-05-13
20156.59%USD 0.77USD0.39852015-12-07
USD0.04252015-12-04
USD0.30822015-05-18
USD0.02042015-05-15
201411.16%USD 1.303USD0.64442014-12-08
USD0.05972014-12-05
USD0.57882014-05-05
USD0.02022014-05-02
20136.32%USD 0.739USD0.6212013-12-09
USD0.06912013-12-06
USD0.04042013-05-06
USD0.00812013-05-03
20120.96%USD 0.112USD0.00342012-12-28
USD0.09162012-12-10
USD0.01662012-05-07
20110.54%USD 0.063USD0.0032011-12-29
USD0.03662011-12-05
USD0.0132011-05-09
USD0.01082011-05-06
20100.66%USD 0.077USD0.06042010-12-06
USD0.01052010-05-10
USD0.0062010-05-07
20090.69%USD 0.081USD0.00152009-12-31
USD0.03472009-12-07
USD0.03272009-12-04
USD0.01192009-05-11
20080.16%USD 0.019USD0.01892008-12-08