FIDELITY SHORT-TERM BOND INDEX FUND INSTITUTIONAL PREMIUM CLASS(FNSOX) USD 9.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.023USD0.011162023-02-28
USD0.011862023-01-31
20221.24%USD 0.119USD0.011612022-12-31
USD0.010552022-11-30
USD0.01092022-10-31
USD0.010112022-09-30
USD0.010392022-08-31
USD0.009282022-07-31
USD0.009282022-07-29
USD0.008222022-06-30
USD0.007082022-05-31
USD0.006632022-04-30
USD0.0072022-04-29
USD0.006542022-03-31
USD0.005772022-02-28
USD0.005892022-01-31
20210.98%USD 0.094USD0.005662021-12-31
USD0.0022021-12-22
USD0.0032021-12-03
USD0.005672021-11-30
USD0.005922021-10-29
USD0.0152021-10-08
USD0.005832021-09-30
USD0.006142021-08-31
USD0.006242021-07-30
USD0.006092021-06-30
USD0.006322021-05-28
USD0.006282021-04-30
USD0.006552021-03-31
USD0.006152021-02-26
USD0.00752021-01-29
20202.08%USD 0.199USD0.008282020-12-31
USD0.0042020-12-23
USD0.0152020-12-04
USD0.008532020-11-30
USD0.009112020-10-30
USD0.0342020-10-09
USD0.009112020-09-30
USD0.01032020-08-31
USD0.011222020-07-31
USD0.012372020-06-30
USD0.014142020-05-29
USD0.015022020-04-30
USD0.016052020-03-31
USD0.015472020-02-28
USD0.016842020-01-31
20192.74%USD 0.263USD0.017272019-12-31
USD0.0042019-12-26
USD0.0122019-12-06
USD0.017152019-11-29
USD0.017862019-10-31
USD0.0142019-10-11
USD0.018242019-09-30
USD0.019462019-08-30
USD0.019842019-07-31
USD0.019892019-06-28
USD0.0212019-05-31
USD0.0212019-04-30
USD0.0212019-03-29
USD0.0192019-02-28
USD0.0212019-01-31
20182.08%USD 0.2USD0.022018-12-31
USD0.0022018-12-27
USD0.0192018-11-30
USD0.0192018-10-31
USD0.0172018-09-28
USD0.0172018-08-31
USD0.0172018-07-31
USD0.0162018-06-29
USD0.0162018-05-31
USD0.0152018-04-30
USD0.0152018-03-29
USD0.0132018-02-28
USD0.0142018-01-31
20170.35%USD 0.034USD0.0142017-12-29
USD0.0012017-12-27
USD0.0132017-11-30
USD0.0062017-10-31