FIDELITY ADVISOR HIGH INCOME ADVANTAGE FUND CLASS Z(FIQTX) USD 10.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.81%USD 0.081USD0.038882023-02-28
USD0.042482023-01-31
20229.04%USD 0.911USD0.042882022-12-31
USD0.0372022-12-22
USD0.3672022-12-09
USD0.041342022-11-30
USD0.041642022-10-31
USD0.037542022-09-30
USD0.038442022-08-31
USD0.038052022-07-31
USD0.038052022-07-29
USD0.035622022-06-30
USD0.035522022-05-31
USD0.031942022-04-30
USD0.031942022-04-29
USD0.032892022-03-31
USD0.028692022-02-28
USD0.032212022-01-31
20216.48%USD 0.653USD0.03252021-12-31
USD0.0292021-12-22
USD0.2592021-12-03
USD0.030422021-11-30
USD0.030022021-10-29
USD0.029352021-09-30
USD0.031262021-08-31
USD0.03162021-07-30
USD0.029972021-06-30
USD0.030932021-05-28
USD0.029142021-04-30
USD0.030892021-03-31
USD0.026552021-02-26
USD0.032062021-01-29
20204.23%USD 0.426USD0.031722020-12-31
USD0.0352020-12-23
USD0.03092020-11-30
USD0.032082020-10-30
USD0.031632020-09-30
USD0.027992020-08-31
USD0.034592020-07-31
USD0.033142020-06-30
USD0.035032020-05-29
USD0.032752020-04-30
USD0.035182020-03-31
USD0.031322020-02-28
USD0.034582020-01-31
20194.89%USD 0.493USD0.034622019-12-31
USD0.0322019-12-26
USD0.0062019-12-06
USD0.03322019-11-29
USD0.03332019-10-31
USD0.03822019-09-30
USD0.042019-08-30
USD0.04012019-07-31
USD0.03832019-06-28
USD0.042019-05-31
USD0.0392019-04-30
USD0.0412019-03-29
USD0.0362019-02-28
USD0.0412019-01-31
20182.41%USD 0.243USD0.042018-12-31
USD0.12762018-12-27
USD0.0382018-11-30
USD0.0372018-10-31