FIDELITY MID CAP VALUE FUND FIDELITY ADVISOR MID CAP VALUE FUND: CLASS C(FMPEX) USD 23.13
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.48%USD 0.111USD0.1112023-03-10
202212.49%USD 2.89USD1.4562022-12-09
USD1.4342022-03-04
20210.49%USD 0.114USD0.1142021-12-10
20201.08%USD 0.249USD0.2492020-12-11
20190.89%USD 0.207USD0.2072019-12-13
201811.02%USD 2.55USD1.4072018-12-07
USD1.1432018-03-09
20179.18%USD 2.124USD2.1242017-12-08
20160.49%USD 0.113USD0.1132016-12-09
20151.39%USD 0.322USD0.1532015-12-11
USD0.1692015-03-16
20146.52%USD 1.508USD0.9472014-12-15
USD0.0592014-12-12
USD0.0372014-10-13
USD0.4652014-03-17
20138.69%USD 2.009USD1.9012013-12-16
USD0.1082013-12-13
20120.47%USD 0.109USD0.1092012-12-17
20090.08%USD 0.018USD0.0182009-12-14
20080.31%USD 0.072USD0.0722008-12-15
20073.42%USD 0.79USD0.452007-12-17
USD0.332007-03-05
USD0.012007-03-02