FIDELITY ADVISOR VALUE FUND CLASS T(FTVFX) USD 30.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.12%USD 0.035USD0.0352022-12-09
20214.61%USD 1.384USD0.0762021-12-28
USD1.3082021-12-03
20200.20%USD 0.06USD0.062020-12-04
20192.20%USD 0.659USD0.6592019-12-06
20188.84%USD 2.653USD2.6532018-12-07
20172.48%USD 0.745USD0.7452017-12-08
20160.32%USD 0.097USD0.0972016-12-09
20151.57%USD 0.47USD0.422015-12-07
USD0.052015-12-04
20140.03%USD 0.008USD0.0082014-12-29
20130.14%USD 0.043USD0.0432013-12-09
20120.26%USD 0.079USD0.0232012-12-28
USD0.05592012-12-10
20110.08%USD 0.025USD0.0012011-12-29
USD0.0242011-12-05
20100.26%USD 0.079USD0.04392010-12-06
USD0.0352010-12-03
20090.07%USD 0.021USD0.0132009-12-07
USD0.0082009-12-04
20080.12%USD 0.036USD0.03592008-12-08
20073.09%USD 0.929USD0.92852007-12-10
20061.30%USD 0.389USD0.38942006-12-04
20050.68%USD 0.203USD0.20272005-12-05
20040.07%USD 0.02USD0.022004-12-06