FIDELITY EMERGING ASIA FUND FIDELITY EMERGING ASIA FUND(FSEAX) USD 37.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202119.21%USD 7.242USD7.2422021-12-03
202025.55%USD 9.634USD9.6342020-12-04
20197.41%USD 2.795USD2.7952019-12-06
20183.37%USD 1.271USD1.2712018-12-07
20171.04%USD 0.391USD0.3912017-12-08
20161.04%USD 0.391USD0.3912016-12-09
20150.35%USD 0.132USD0.1322015-12-07
20140.78%USD 0.294USD0.2942014-12-08
20131.03%USD 0.387USD0.3872013-12-09
20122.63%USD 0.993USD0.5372012-12-10
USD0.4562012-12-07
20111.36%USD 0.513USD0.5132011-12-05
20102.85%USD 1.075USD0.592010-12-06
USD0.4852010-12-03
20093.33%USD 1.254USD0.8272009-12-07
USD0.4272009-12-04
20080.52%USD 0.195USD0.0152008-12-31
USD0.182008-12-08
20079.15%USD 3.45USD3.172007-12-10
USD0.282007-12-07
20064.64%USD 1.75USD1.522006-12-11
USD0.232006-12-08
20052.49%USD 0.94USD0.012005-12-30
USD0.67972005-12-12
USD0.252005-12-09
20040.37%USD 0.14USD0.13992004-12-06
20030.34%USD 0.13USD0.042003-12-31
USD0.092003-12-08
20021.03%USD 0.39USD0.082002-12-07
USD0.312002-06-07
20010.08%USD 0.03USD0.032001-12-08