FIDELITY ADVISOR DIVERSIFIED INTERNATIONAL FUND CLASS I(FDVIX) USD 24.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.95%USD 0.488USD0.4882022-12-09
202112.97%USD 3.238USD3.2382021-12-03
20200.02%USD 0.006USD0.0062020-12-04
20191.47%USD 0.366USD0.3662019-12-06
20183.91%USD 0.977USD0.9772018-12-07
20171.23%USD 0.307USD0.3072017-12-08
20161.18%USD 0.295USD0.2952016-12-09
20150.74%USD 0.185USD0.1852015-12-07
20141.14%USD 0.285USD0.0222014-12-29
USD0.2632014-12-08
20132.50%USD 0.625USD0.3982013-12-09
USD0.2272013-12-06
20121.29%USD 0.322USD0.3222012-12-07
20111.01%USD 0.252USD0.2522011-12-02
20101.12%USD 0.279USD0.0582010-12-30
USD0.22122010-12-03
20090.96%USD 0.24USD0.24022009-12-04
20082.06%USD 0.514USD0.51422008-12-05
200713.26%USD 3.311USD3.31122007-12-07
20067.43%USD 1.855USD1.85452006-12-08
20054.50%USD 1.124USD1.1242005-12-09
20040.68%USD 0.17USD0.16952004-12-10
20030.52%USD 0.13USD0.12952003-12-12
20020.36%USD 0.09USD0.08972002-12-06
20001.28%USD 0.319USD0.31892000-12-08