FIDELITY SAI U.S. VALUE INDEX FUND(FSWCX) USD 10.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.52%USD 1.365USD0.1582022-12-09
USD1.2072022-09-09
20216.50%USD 0.708USD0.4532021-12-10
USD0.2552021-09-10
20202.36%USD 0.257USD0.1282020-12-11
USD0.1292020-09-11
20192.36%USD 0.257USD0.1212019-12-13
USD0.1362019-09-13
20183.03%USD 0.33USD0.1682018-12-21
USD0.1622018-09-14
20170.06%USD 0.007USD0.0072017-12-28