FIDELITY ASSET MANAGER 60% FIDELITY ASSET MANAGER 60%(FSANX) USD 13.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.16%USD 0.576USD0.5762022-12-29
20212.95%USD 0.408USD0.4082021-12-30
20202.02%USD 0.28USD0.282020-12-30
20193.90%USD 0.539USD0.5392019-12-30
20183.60%USD 0.498USD0.4982018-12-28
20172.68%USD 0.371USD0.3712017-12-26
20161.27%USD 0.175USD0.1752016-12-23
20151.36%USD 0.188USD0.1882015-12-11
20146.25%USD 0.865USD0.712014-12-15
USD0.1552014-12-12
20135.43%USD 0.751USD0.6262013-12-16
USD0.1252013-12-13
20122.56%USD 0.354USD0.2332012-12-17
USD0.1212012-12-14
20111.75%USD 0.242USD0.1322011-12-19
USD0.112011-12-16
20103.46%USD 0.478USD0.372010-12-20
USD0.1082010-12-17
20091.56%USD 0.216USD0.1182009-12-21
USD0.0982009-12-18
20080.85%USD 0.117USD0.1172008-12-22
20070.33%USD 0.045USD0.0452007-12-24