FIDELITY TOTAL MARKET INDEX FUND INSTITUTIONAL PREMIUM CLASS(FSKAX) USD 114.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.50%USD 1.722USD1.5442022-12-16
USD0.1782022-04-08
20211.34%USD 1.534USD1.3992021-12-10
USD0.1352021-04-09
20201.36%USD 1.558USD1.3272020-12-11
USD0.2312020-04-08
20191.53%USD 1.754USD1.3832019-12-13
USD0.3712019-04-12
20181.57%USD 1.794USD0.0642018-12-28
USD1.4572018-12-14
USD0.272682018-04-11
20171.55%USD 1.776USD1.476712017-12-15
USD0.299182017-04-12
20161.37%USD 1.566USD1.272552016-12-16
USD0.293282016-04-15
20151.28%USD 1.462USD1.29242015-12-18
USD0.169972015-04-13
20140.85%USD 0.979USD0.827452014-12-22
USD0.151242014-04-14
20130.73%USD 0.832USD0.698872013-12-16
USD0.13312013-04-15
20120.69%USD 0.794USD0.66752012-12-17
USD0.126532012-04-16
20110.49%USD 0.56USD0.562011-12-16