FIDELITY MID CAP VALUE FUND FIDELITY ADVISOR MID CAP VALUE FUND: CLASS M(FMPTX) USD 23.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%USD 0.111USD0.1112023-03-10
202212.61%USD 3.024USD1.592022-12-09
USD1.4342022-03-04
20211.07%USD 0.257USD0.2572021-12-10
20201.45%USD 0.349USD0.3492020-12-11
20191.30%USD 0.312USD0.3122019-12-13
201811.17%USD 2.68USD1.5262018-12-07
USD1.1542018-03-09
20179.27%USD 2.225USD2.2252017-12-08
20160.91%USD 0.218USD0.2182016-12-09
20151.60%USD 0.383USD0.2072015-12-11
USD0.1762015-03-16
20146.66%USD 1.598USD0.9882014-12-15
USD0.12014-12-12
USD0.0372014-10-13
USD0.4732014-03-17
20138.85%USD 2.123USD1.9582013-12-16
USD0.1652013-12-13
20120.68%USD 0.164USD0.1642012-12-17
20110.17%USD 0.041USD0.0412011-12-12
20090.28%USD 0.066USD0.0662009-12-14
20080.46%USD 0.11USD0.112008-12-15
20073.50%USD 0.84USD0.4752007-12-17
USD0.0252007-12-14
USD0.332007-03-05
USD0.012007-03-02