FIDELITY REAL ESTATE INCOME FUND FIDELITY ADVISOR REAL ESTATE INCOME FUND: CLASS A(FRINX) USD 11.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.08%USD 0.121USD0.1212023-04-05
20225.72%USD 0.642USD0.1872022-12-16
USD0.3322022-09-09
USD0.1232022-06-03
20211.60%USD 0.18USD0.1532021-12-17
USD0.0272021-09-03
20204.73%USD 0.531USD0.3392020-12-18
USD0.1082020-09-04
USD0.082020-06-05
USD0.0042020-03-06
20196.04%USD 0.678USD0.2732019-12-20
USD0.2482019-09-06
USD0.1282019-06-07
USD0.0292019-03-08
20186.04%USD 0.678USD0.242018-12-14
USD0.3232018-09-07
USD0.1142018-06-01
USD0.0012018-03-02
20175.54%USD 0.622USD0.2822017-12-15
USD0.1862017-09-08
USD0.1222017-06-02
USD0.0322017-03-03
20164.99%USD 0.56USD0.012016-12-30
USD0.1922016-12-16
USD0.2012016-09-09
USD0.122016-06-03
USD0.0372016-03-04
20156.43%USD 0.721USD0.2462015-12-18
USD0.2222015-09-14
USD0.122015-09-11
USD0.1252015-06-08
USD0.0082015-03-09
201410.22%USD 1.147USD0.2952014-12-22
USD0.2652014-12-19
USD0.3072014-09-08
USD0.1252014-09-05
USD0.1182014-06-09
USD0.0372014-03-10
20139.83%USD 1.103USD0.2912013-12-16
USD0.1942013-12-13
USD0.2912013-09-09
USD0.1522013-09-06
USD0.1312013-06-10
USD0.0442013-03-04
20129.56%USD 1.073USD0.0082012-12-28
USD0.25992012-12-17
USD0.22012-12-14
USD0.28782012-09-10
USD0.1452012-09-07
USD0.11892012-06-04
USD0.0512012-03-02
USD0.0022012-01-03
20118.41%USD 0.944USD0.23482011-12-19
USD0.192011-12-16
USD0.19492011-09-06
USD0.1432011-09-02
USD0.12892011-06-06
USD0.0522011-03-07
20104.18%USD 0.469USD0.0052010-12-31
USD0.18772010-12-20
USD0.12682010-09-07
USD0.14982010-06-07