FIDELITY REAL ESTATE INDEX FUND INSTITUTIONAL CLASS(FSRNX) USD 14.73
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.62%USD 0.386USD0.2052022-12-16
USD0.1742022-09-09
USD0.0072022-06-03
20211.70%USD 0.251USD0.222021-12-17
USD0.0292021-09-03
USD0.0012021-06-04
USD0.0012021-03-05
20203.29%USD 0.484USD0.292020-12-11
USD0.1142020-09-04
USD0.072020-06-05
USD0.012020-03-06
20194.51%USD 0.665USD0.2512019-12-20
USD0.2642019-09-06
USD0.1292019-06-07
USD0.0212019-03-08
20184.30%USD 0.634USD0.2632018-12-14
USD0.188222018-09-07
USD0.106062018-06-01
USD0.07672018-03-02
20173.02%USD 0.445USD0.161822017-12-15
USD0.18282017-09-08
USD0.090232017-06-02
USD0.010192017-03-03
20164.15%USD 0.611USD0.25212016-12-16
USD0.244352016-09-09
USD0.094392016-06-03
USD0.020082016-03-04
20152.63%USD 0.387USD0.012015-12-31
USD0.15932015-12-18
USD0.09682015-09-14
USD0.08782015-06-08
USD0.03322015-03-09
20144.20%USD 0.619USD0.16362014-12-22
USD0.1422014-12-19
USD0.14652014-09-08
USD0.082014-09-05
USD0.06252014-06-09
USD0.02462014-03-10
20132.79%USD 0.411USD0.12972013-12-16
USD0.11052013-09-09
USD0.072013-09-06
USD0.06042013-06-10
USD0.042013-03-04
20122.66%USD 0.392USD0.09962012-12-17
USD0.0912012-12-14
USD0.07992012-09-10
USD0.0532012-09-07
USD0.04642012-06-04
USD0.02222012-03-05
20110.46%USD 0.068USD0.06822011-12-12