FIDELITY PURITAN FUND CLASS K(FPUKX) USD 21.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.096USD0.0962023-04-05
20228.96%USD 1.94USD0.0772022-12-16
USD1.6862022-10-14
USD0.1052022-07-01
USD0.0722022-04-01
202116.57%USD 3.586USD0.442021-12-17
USD3.0222021-10-08
USD0.0582021-07-02
USD0.0662021-04-05
20206.22%USD 1.345USD0.5512020-12-11
USD0.6322020-10-09
USD0.0822020-07-10
USD0.082020-04-03
20194.60%USD 0.995USD0.2652019-12-13
USD0.5452019-10-11
USD0.0942019-07-05
USD0.0912019-04-05
201813.92%USD 3.012USD1.2552018-12-07
USD1.5772018-10-12
USD0.0892018-07-06
USD0.0912018-04-06
20174.61%USD 0.998USD0.2752017-12-08
USD0.5482017-10-13
USD0.0942017-07-07
USD0.0812017-04-07
20163.63%USD 0.785USD0.042016-12-27
USD0.2822016-12-09
USD0.2772016-10-14
USD0.0822016-07-08
USD0.1042016-04-08
20157.58%USD 1.641USD0.0752015-12-11
USD1.1672015-10-12
USD0.1032015-10-09
USD0.2122015-07-02
USD0.0842015-04-02
20149.82%USD 2.126USD0.3082014-12-15
USD0.0822014-12-12
USD1.4422014-10-13
USD0.1022014-10-10
USD0.0912014-07-07
USD0.1012014-04-07
201310.22%USD 2.212USD0.4582013-12-16
USD0.0812013-12-13
USD1.3982013-10-14
USD0.12013-10-11
USD0.0932013-07-08
USD0.0822013-04-08
20124.28%USD 0.926USD0.2242012-12-17
USD0.1062012-12-14
USD0.3242012-10-15
USD0.0882012-10-12
USD0.1042012-07-09
USD0.082012-04-05
20111.70%USD 0.368USD0.1082011-12-19
USD0.0822011-10-17
USD0.1092011-07-11
USD0.0692011-04-07
20101.85%USD 0.4USD0.0882010-12-20
USD0.1232010-10-18
USD0.0992010-07-12
USD0.092010-04-12
20092.59%USD 0.56USD0.1212009-12-21
USD0.1112009-12-18
USD0.1072009-10-05
USD0.1172009-07-13
USD0.1042009-04-06
20082.40%USD 0.52USD0.1222008-12-22
USD0.142008-10-06
USD0.132008-10-03
USD0.1282008-07-14