FIDELITY EXTENDED MARKET INDEX FUND INSTITUTIONAL PREMIUM CLASS(FSMAX) USD 66.26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.81%USD 1.2USD0.8442022-12-16
USD0.3562022-04-08
20219.86%USD 6.53USD1.1662021-12-10
USD5.3642021-04-09
20202.70%USD 1.787USD0.8172020-12-11
USD0.972020-04-08
20194.22%USD 2.797USD1.8012019-12-13
USD0.9962019-04-12
20184.88%USD 3.232USD3.1712018-12-14
USD0.06142018-04-11
20175.26%USD 3.482USD2.792252017-12-15
USD0.689852017-04-12
20164.07%USD 2.695USD2.229812016-12-16
USD0.464842016-04-15
20154.98%USD 3.303USD2.416282015-12-18
USD0.764412015-04-13
USD0.1222015-04-10
20144.52%USD 2.997USD1.433192014-12-22
USD0.6052014-12-19
USD0.841892014-04-14
USD0.1172014-04-11
20133.29%USD 2.183USD1.311062013-12-16
USD0.4922013-12-13
USD0.310742013-04-15
USD0.0692013-04-12
20123.95%USD 2.618USD1.442992012-12-17
USD0.6532012-12-14
USD0.452442012-04-16
USD0.072012-04-13
20111.79%USD 1.186USD0.784442011-12-19
USD0.4022011-12-16