FIDELITY JAPAN FUND FIDELITY ADVISOR JAPAN FUND: CLASS A(FPJAX) USD 15.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202113.63%USD 2.103USD2.0972021-12-03
USD0.0062021-09-03
20202.07%USD 0.319USD0.3192020-12-04
20191.04%USD 0.16USD0.162019-12-06
20170.73%USD 0.113USD0.1132017-12-08
20160.61%USD 0.094USD0.0942016-12-09
20150.67%USD 0.104USD0.0552015-12-07
USD0.0492015-12-04
20140.30%USD 0.047USD0.0472014-12-08
20131.11%USD 0.171USD0.092013-12-09
USD0.0812013-12-06
20121.89%USD 0.291USD0.1852012-12-10
USD0.1062012-12-07
20111.98%USD 0.306USD0.1792011-12-12
USD0.1272011-12-09