FIDELITY SUSTAINABILITY BOND INDEX FUND INSTITUTIONAL CLASS(FNDSX) USD 9.29
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.04USD0.019172023-02-28
USD0.020352023-01-31
20222.35%USD 0.218USD0.019612022-12-31
USD0.018372022-11-30
USD0.01822022-10-31
USD0.017172022-09-30
USD0.016692022-08-31
USD0.015992022-07-31
USD0.015992022-07-29
USD0.01452022-06-30
USD0.013462022-05-31
USD0.01362022-04-30
USD0.01362022-04-29
USD0.013452022-03-31
USD0.011882022-02-28
USD0.015442022-01-31
20211.63%USD 0.151USD0.015422021-12-31
USD0.012012021-11-30
USD0.011692021-10-29
USD0.0082021-10-08
USD0.011092021-09-30
USD0.011632021-08-31
USD0.011662021-07-30
USD0.011012021-06-30
USD0.010352021-05-28
USD0.010832021-04-30
USD0.011352021-03-31
USD0.010212021-02-26
USD0.016032021-01-29
20202.74%USD 0.254USD0.013942020-12-31
USD0.0132020-12-04
USD0.012092020-11-30
USD0.014642020-10-30
USD0.0362020-10-09
USD0.014592020-09-30
USD0.015432020-08-31
USD0.016482020-07-31
USD0.016952020-06-30
USD0.01852020-05-29
USD0.019412020-04-30
USD0.020512020-03-31
USD0.019762020-02-28
USD0.023072020-01-31
20193.59%USD 0.333USD0.022732019-12-31
USD0.0182019-12-06
USD0.021292019-11-29
USD0.022412019-10-31
USD0.032019-10-11
USD0.02252019-09-30
USD0.023932019-08-30
USD0.024172019-07-31
USD0.024172019-06-28
USD0.0252019-05-31
USD0.0252019-04-30
USD0.0252019-03-29
USD0.0242019-02-28
USD0.0252019-01-31
20181.69%USD 0.157USD0.0252018-12-31
USD0.0012018-12-27
USD0.0242018-11-30
USD0.0252018-10-31
USD0.0022018-10-12
USD0.0242018-09-28
USD0.0252018-08-31
USD0.0232018-07-31
USD0.0082018-06-29