FIDELITY NASDAQ COMPOSITE INDEX FUND FIDELITY NASDAQ COMPOSITE INDEX FUND(FNCMX) USD 153.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.75%USD 1.159USD1.1592022-12-27
20210.60%USD 0.924USD0.9242021-12-28
20200.71%USD 1.086USD1.0862020-12-29
20193.23%USD 4.967USD4.9672019-12-27
20181.08%USD 1.66USD1.662018-12-26
20170.43%USD 0.659USD0.6592017-12-26
20160.47%USD 0.716USD0.6722016-12-27
USD0.0442016-01-15
20150.38%USD 0.581USD0.0222015-12-28
USD0.5322015-12-11
USD0.02692015-01-02
20140.50%USD 0.775USD0.74872014-12-12
USD0.0262014-01-10
20130.58%USD 0.889USD0.88872013-12-13
20120.31%USD 0.475USD0.0092012-12-27
USD0.46572012-12-14
20110.17%USD 0.268USD0.26792011-12-16
20100.15%USD 0.225USD0.22492010-12-17
20090.10%USD 0.15USD0.14992009-12-18
20080.13%USD 0.2USD0.19992008-12-19
20070.49%USD 0.75USD0.67962007-12-21
USD0.072007-01-05
20060.21%USD 0.32USD0.27982006-12-15
USD0.042006-01-06
20050.15%USD 0.23USD0.172005-12-16
USD0.062005-01-07
20040.27%USD 0.417USD0.37982004-12-17
USD0.0372004-01-09
20030.02%USD 0.026USD0.0262003-12-26