FIDELITY SHORT-TERM TREASURY BOND INDEX FUND INSTITUTIONAL PREMIUM CLASS(FUMBX) USD 9.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.22%USD 0.022USD0.01072023-02-28
USD0.011022023-01-31
20221.25%USD 0.125USD0.010922022-12-31
USD0.0092022-12-22
USD0.01052022-11-30
USD0.010572022-10-31
USD0.009242022-09-30
USD0.008962022-08-31
USD0.008822022-07-31
USD0.008822022-07-29
USD0.007732022-06-30
USD0.007322022-05-31
USD0.006712022-04-30
USD0.006712022-04-29
USD0.006782022-03-31
USD0.005962022-02-28
USD0.006582022-01-31
20211.36%USD 0.136USD0.006542021-12-31
USD0.0062021-12-22
USD0.0222021-12-03
USD0.006182021-11-30
USD0.006312021-10-29
USD0.006292021-09-30
USD0.00662021-08-31
USD0.006732021-07-30
USD0.006722021-06-30
USD0.007172021-05-28
USD0.007042021-04-30
USD0.0262021-04-09
USD0.007412021-03-31
USD0.006812021-02-26
USD0.007982021-01-29
20201.72%USD 0.172USD0.008252020-12-31
USD0.0052020-12-23
USD0.032020-12-04
USD0.008272020-11-30
USD0.008712020-10-30
USD0.00882020-09-30
USD0.010352020-08-31
USD0.010842020-07-31
USD0.010922020-06-30
USD0.011822020-05-29
USD0.012832020-04-30
USD0.014732020-03-31
USD0.015022020-02-28
USD0.016242020-01-31
20191.98%USD 0.198USD0.016432019-12-31
USD0.015992019-11-29
USD0.016642019-10-31
USD0.016252019-09-30
USD0.017022019-08-30
USD0.017182019-07-31
USD0.016742019-06-28
USD0.0172019-05-31
USD0.0172019-04-30
USD0.0172019-03-29
USD0.0152019-02-28
USD0.0162019-01-31
20181.69%USD 0.169USD0.0162018-12-31
USD0.0032018-12-27
USD0.0152018-11-30
USD0.0152018-10-31
USD0.0142018-09-28
USD0.0142018-08-31
USD0.0142018-07-31
USD0.0132018-06-29
USD0.0142018-05-31
USD0.0132018-04-30
USD0.0132018-03-29
USD0.0122018-02-28
USD0.0132018-01-31
20170.36%USD 0.036USD0.0122017-12-29
USD0.0122017-11-30
USD0.0122017-10-31