FIDELITY ADVISOR UTILITIES FUND CLASS C(FUGCX) USD 36.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.06%USD 0.023USD0.0232023-04-05
20224.01%USD 1.455USD1.2832022-12-16
USD0.1062022-10-07
USD0.0662022-07-01
20211.97%USD 0.715USD0.7152021-12-17
20201.14%USD 0.413USD0.4132020-12-18
20191.12%USD 0.405USD0.4052019-12-20
20188.45%USD 3.067USD3.0672018-12-07
20172.34%USD 0.85USD0.852017-12-08
20160.80%USD 0.292USD0.012016-12-29
USD0.2822016-12-09
20152.67%USD 0.969USD0.1762015-12-18
USD0.7032015-09-14
USD0.092015-09-11
20145.05%USD 1.834USD0.4252014-12-22
USD1.3142014-09-08
USD0.0952014-09-05
20130.88%USD 0.32USD0.012013-12-31
USD0.1362013-12-23
USD0.1742013-09-09
20120.77%USD 0.281USD0.1592012-12-26
USD0.1222012-09-10
20110.73%USD 0.265USD0.1582011-12-12
USD0.1072011-09-12
20100.81%USD 0.295USD0.1582010-12-13
USD0.1092010-09-09
USD0.0282010-04-30
20090.80%USD 0.291USD0.1692009-12-14
USD0.1222009-09-14
20080.35%USD 0.127USD0.1272008-12-15
20070.39%USD 0.142USD0.0942007-12-17
USD0.0482007-09-17
20060.29%USD 0.104USD0.0172006-12-04
USD0.0872006-09-18
20050.28%USD 0.101USD0.032005-12-05
USD0.0712005-09-19
20040.33%USD 0.12USD0.12004-12-13
USD0.022004-09-13
20030.11%USD 0.04USD0.012003-12-15
USD0.032003-09-08
20020.17%USD 0.06USD0.042002-12-14
USD0.022002-09-07
20001.87%USD 0.68USD0.472000-09-11
USD0.212000-09-08