Fidelity SAI US Treasury Bond Index Fund(FUTBX) USD 8.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.027USD0.013412023-02-28
USD0.013962023-01-31
20221.51%USD 0.133USD0.013472022-12-31
USD0.012692022-11-30
USD0.0132022-10-31
USD0.012432022-09-30
USD0.01262022-08-31
USD0.012292022-07-29
USD0.011292022-06-30
USD0.010482022-05-31
USD0.009362022-04-29
USD0.00922022-03-31
USD0.007912022-02-28
USD0.008412022-01-31
20211.14%USD 0.101USD0.008142021-12-31
USD0.0042021-12-22
USD0.007752021-11-30
USD0.007972021-10-29
USD0.007572021-09-30
USD0.007842021-08-31
USD0.007862021-07-30
USD0.007572021-06-30
USD0.007762021-05-28
USD0.007672021-04-30
USD0.0022021-04-09
USD0.008062021-03-31
USD0.007722021-02-26
USD0.008772021-01-29
20205.58%USD 0.493USD0.009232020-12-31
USD0.0112020-12-23
USD0.3022020-12-04
USD0.011982020-11-30
USD0.014592020-10-30
USD0.014512020-09-30
USD0.015412020-08-31
USD0.016142020-07-31
USD0.015532020-06-30
USD0.016122020-05-29
USD0.016432020-04-30
USD0.017152020-03-31
USD0.015822020-02-28
USD0.017142020-01-31
20192.46%USD 0.217USD0.017342019-12-31
USD0.0022019-12-26
USD0.0172019-11-29
USD0.01772019-10-31
USD0.01732019-09-30
USD0.01822019-08-30
USD0.018582019-07-31
USD0.01822019-06-28
USD0.0192019-05-31
USD0.0182019-04-30
USD0.0192019-03-29
USD0.0172019-02-28
USD0.0182019-01-31
20182.24%USD 0.198USD0.0182018-12-31
USD0.0022018-12-27
USD0.0172018-11-30
USD0.0182018-10-31
USD0.0172018-09-28
USD0.0172018-08-31
USD0.0172018-07-31
USD0.0162018-06-29
USD0.0162018-05-31
USD0.0152018-04-30
USD0.0162018-03-29
USD0.0142018-02-28
USD0.0152018-01-31
20171.81%USD 0.16USD0.0152017-12-29
USD0.0012017-12-27
USD0.0142017-11-30
USD0.0142017-10-31
USD0.0142017-09-29
USD0.0142017-08-31
USD0.0132017-07-31
USD0.0132017-06-30
USD0.0132017-05-31
USD0.0122017-04-28
USD0.0132017-03-31
USD0.0122017-02-28
USD0.0122017-01-31
20161.11%USD 0.098USD0.0122016-12-30
USD0.0092016-12-02
USD0.0112016-11-30
USD0.0112016-10-31
USD0.0112016-09-30
USD0.0112016-08-31
USD0.0112016-07-29
USD0.0112016-06-30
USD0.0112016-05-31