FIDELITY ADVISOR VALUE STRATEGIES FIDELITY VALUE STRATEGIES FUND(FSLSX) USD 47.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.09%USD 1.002USD1.0022022-12-27
20217.88%USD 3.779USD3.7792021-12-28
20200.73%USD 0.35USD0.352020-12-29
20193.92%USD 1.881USD1.8812019-12-27
20189.21%USD 4.418USD4.4182018-12-26
20177.03%USD 3.373USD3.3732017-12-26
201617.05%USD 8.18USD8.182016-12-27
20151.09%USD 0.523USD0.5232015-12-18
20140.88%USD 0.42USD0.422014-12-22
20130.69%USD 0.329USD0.3292013-12-16
20120.37%USD 0.177USD0.0082012-12-28
USD0.1692012-12-17
20110.39%USD 0.186USD0.1862011-12-19
20100.49%USD 0.235USD0.1052010-12-13
USD0.0752010-12-10
USD0.0062010-08-13
USD0.0492010-04-12
20080.33%USD 0.157USD0.1572008-12-15
200710.77%USD 5.167USD4.58692007-12-17
USD0.57992007-01-08
20068.57%USD 4.113USD3.7732006-12-18
USD0.042006-12-15
USD0.29992006-01-09
200515.38%USD 7.379USD7.16122005-12-19
USD0.1132005-12-16
USD0.1052005-01-10
20040.31%USD 0.15USD0.152004-12-20
20020.15%USD 0.07USD0.072002-01-05
20010.40%USD 0.19USD0.192001-12-22
20000.04%USD 0.02USD0.022000-12-22