FIDELITY MID CAP INDEX FUND INSTITUTIONAL PREMIUM CLASS(FSMDX) USD 27.05
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.99%USD 0.537USD0.3342022-12-16
USD0.2032022-06-24
20213.96%USD 1.072USD0.962021-12-17
USD0.1122021-06-04
20202.34%USD 0.633USD0.5042020-12-18
USD0.1292020-06-05
20192.50%USD 0.675USD0.5982019-12-20
USD0.0772019-06-07
20181.79%USD 0.485USD0.3272018-12-14
USD0.157842018-06-08
20171.96%USD 0.53USD0.401872017-12-15
USD0.127952017-06-09
20161.50%USD 0.406USD0.0082016-12-30
USD0.285632016-12-16
USD0.111932016-06-10
20152.82%USD 0.763USD0.56342015-12-18
USD0.137012015-06-08
USD0.0632015-06-05
20142.47%USD 0.667USD0.363232014-12-22
USD0.1542014-12-19
USD0.088022014-06-09
USD0.0622014-06-06
20131.61%USD 0.434USD0.21672013-12-16
USD0.1262013-12-13
USD0.055762013-06-10
USD0.0362013-06-07
20121.40%USD 0.378USD0.15852012-12-17
USD0.1322012-12-14
USD0.0522012-06-11
USD0.0352012-06-08
20110.20%USD 0.053USD0.052982011-12-12