FIDELITY PURITAN FUND FIDELITY PURITAN FUND(FPURX) USD 21.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.42%USD 0.092USD0.0922023-04-05
20228.88%USD 1.923USD0.0732022-12-16
USD1.6822022-10-14
USD0.12022-07-01
USD0.0682022-04-01
202116.45%USD 3.563USD0.4342021-12-17
USD3.0162021-10-08
USD0.0522021-07-02
USD0.0612021-04-05
20206.12%USD 1.326USD0.5462020-12-11
USD0.6282020-10-09
USD0.0772020-07-10
USD0.0752020-04-03
20194.50%USD 0.975USD0.262019-12-13
USD0.542019-10-11
USD0.0892019-07-05
USD0.0862019-04-05
201813.82%USD 2.993USD1.252018-12-07
USD1.5722018-10-12
USD0.0842018-07-06
USD0.0872018-04-06
20174.52%USD 0.978USD0.272017-12-08
USD0.5432017-10-13
USD0.0892017-07-07
USD0.0762017-04-07
20163.52%USD 0.763USD0.042016-12-27
USD0.2772016-12-09
USD0.2712016-10-14
USD0.0772016-07-08
USD0.0982016-04-08
20157.45%USD 1.614USD0.072015-12-11
USD1.1612015-10-12
USD0.0972015-10-09
USD0.2072015-07-02
USD0.0792015-04-02
20149.66%USD 2.093USD0.3032014-12-15
USD0.0772014-12-12
USD1.4362014-10-13
USD0.0962014-10-10
USD0.0852014-07-07
USD0.0962014-04-07
201310.05%USD 2.177USD0.4532013-12-16
USD0.0762013-12-13
USD1.3912013-10-14
USD0.0932013-10-11
USD0.0872013-07-08
USD0.0772013-04-08
20124.10%USD 0.888USD0.2172012-12-17
USD0.0992012-12-14
USD0.3182012-10-15
USD0.0822012-10-12
USD0.0982012-07-06
USD0.0742012-04-05
20111.60%USD 0.346USD0.1022011-12-19
USD0.0772011-10-17
USD0.1032011-07-11
USD0.0642011-04-07
20101.75%USD 0.379USD0.0832010-12-20
USD0.1172010-10-18
USD0.0942010-07-12
USD0.0852010-04-12
20092.46%USD 0.532USD0.1152009-12-21
USD0.1052009-12-18
USD0.1022009-10-05
USD0.1122009-07-13
USD0.0982009-04-06
200822.57%USD 4.889USD0.1152008-12-22
USD0.1322008-10-06
USD0.1222008-10-03
USD4.2752008-09-15
USD0.1252008-07-14
USD0.122008-04-07
200711.54%USD 2.5USD0.742007-12-24
USD0.152007-12-21
USD1.182007-10-08
USD0.152007-10-05
USD0.142007-07-09
USD0.142007-04-05
20067.39%USD 1.6USD0.432006-12-11
USD0.162006-12-08
USD0.152006-10-09
USD0.582006-09-11
USD0.152006-07-10
USD0.132006-04-10
20055.63%USD 1.22USD0.252005-12-12
USD0.142005-12-09
USD0.132005-10-10
USD0.482005-09-12
USD0.122005-07-05
USD0.12005-04-04
20045.96%USD 1.29USD0.262004-12-13
USD0.122004-12-10
USD0.112004-10-11
USD0.582004-09-07
USD0.112004-06-21
USD0.112004-03-08
20034.02%USD 0.87USD0.242003-12-12
USD0.32003-09-08
USD0.122003-09-05
USD0.12003-06-09
USD0.112003-03-07
20022.32%USD 0.503USD0.142002-12-14
USD0.0012002-10-31
USD0.122002-09-07
USD0.0012002-07-31
USD0.0012002-06-28
USD0.122002-06-08
USD0.122002-03-09
20015.86%USD 1.27USD0.192001-12-15
USD0.182001-12-14
USD0.482001-09-10
USD0.142001-09-07
USD0.142001-06-11
USD0.142001-03-12
20009.00%USD 1.95USD0.542000-12-18
USD0.192000-12-15
USD0.82000-09-11
USD0.142000-09-08
USD0.142000-06-12
USD0.142000-03-13