FIDELITY INTERNATIONAL INDEX FUND INSTITUTIONAL PREMIUM CLASS(FSPSX) USD 45.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.38%USD 1.096USD0.022022-12-28
USD1.0762022-12-09
20213.29%USD 1.511USD1.4062021-12-10
USD0.1052021-04-09
20201.82%USD 0.838USD0.8382020-12-11
20192.97%USD 1.366USD1.2662019-12-13
USD0.12019-04-12
20182.20%USD 1.013USD0.9682018-12-14
USD0.04472018-04-11
20172.35%USD 1.08USD1.050182017-12-15
USD0.029762017-04-12
20162.37%USD 1.088USD1.023162016-12-16
USD0.064482016-04-15
20152.18%USD 1.002USD0.988512015-12-18
USD0.01392015-04-13
20142.86%USD 1.313USD1.029992014-12-22
USD0.282822014-04-14
20132.29%USD 1.053USD1.05292013-12-16
20122.30%USD 1.058USD1.057952012-12-17
20112.23%USD 1.025USD1.024792011-12-19