Fidelity SAI Total Bond Fund(FSMTX) USD 9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.67%USD 0.06USD0.028892023-02-28
USD0.030972023-01-31
20223.35%USD 0.302USD0.030222022-12-31
USD0.0172022-12-22
USD0.028792022-11-30
USD0.027742022-10-31
USD0.026072022-09-30
USD0.026172022-08-31
USD0.024282022-07-29
USD0.021742022-06-30
USD0.021132022-05-31
USD0.020042022-04-29
USD0.020422022-03-31
USD0.018042022-02-28
USD0.020072022-01-31
20213.65%USD 0.329USD0.019942021-12-31
USD0.0142021-12-22
USD0.032021-12-03
USD0.019362021-11-30
USD0.022021-10-29
USD0.042021-10-08
USD0.019082021-09-30
USD0.020212021-08-31
USD0.020532021-07-30
USD0.020092021-06-30
USD0.020772021-05-28
USD0.020752021-04-30
USD0.02122021-03-31
USD0.01912021-02-26
USD0.023652021-01-29
20207.44%USD 0.67USD0.02312020-12-31
USD0.0072020-12-23
USD0.0062020-12-04
USD0.021782020-11-30
USD0.022992020-10-30
USD0.3652020-10-09
USD0.022332020-09-30
USD0.023662020-08-31
USD0.025152020-07-31
USD0.024972020-06-30
USD0.025492020-05-29
USD0.025122020-04-30
USD0.025452020-03-31
USD0.024642020-02-28
USD0.027362020-01-31
20195.76%USD 0.518USD0.027062019-12-31
USD0.0062019-12-26
USD0.0282019-12-06
USD0.02682019-11-29
USD0.02782019-10-31
USD0.14692019-10-11
USD0.02762019-09-30
USD0.02842019-08-30
USD0.02882019-07-31
USD0.02862019-06-28
USD0.0292019-05-31
USD0.0292019-04-30
USD0.0292019-03-29
USD0.0272019-02-28
USD0.0282019-01-31
20180.69%USD 0.062USD0.0272018-12-31
USD0.0052018-12-27
USD0.0022018-12-07
USD0.0262018-11-30
USD0.0022018-10-31