FIDELITY ADVISOR UTILITIES FUND CLASS A(FUGAX) USD 37.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.091USD0.0912023-04-05
20224.59%USD 1.71USD1.3542022-12-16
USD0.1752022-10-07
USD0.1362022-07-01
USD0.0452022-04-01
20212.68%USD 0.999USD0.9992021-12-17
20201.83%USD 0.683USD0.6832020-12-18
20191.68%USD 0.626USD0.6262019-12-20
20188.82%USD 3.286USD3.2862018-12-07
20172.88%USD 1.073USD1.0732017-12-08
20161.31%USD 0.487USD0.012016-12-29
USD0.4772016-12-09
20153.47%USD 1.291USD0.2462015-12-18
USD0.8292015-09-14
USD0.2162015-09-11
20145.63%USD 2.097USD0.52014-12-22
USD1.4082014-09-08
USD0.1892014-09-05
20131.27%USD 0.473USD0.012013-12-31
USD0.2032013-12-23
USD0.262013-09-09
20121.15%USD 0.43USD0.2222012-12-26
USD0.2082012-09-10
20111.04%USD 0.387USD0.2092011-12-12
USD0.1782011-09-12
20101.10%USD 0.41USD0.212010-12-13
USD0.1822010-09-09
USD0.0182010-04-30
20091.08%USD 0.403USD0.2162009-12-14
USD0.1872009-09-14
20080.69%USD 0.258USD0.182008-12-15
USD0.0782008-09-15
20070.85%USD 0.318USD0.1652007-12-17
USD0.1532007-09-17
20060.62%USD 0.232USD0.0692006-12-04
USD0.1632006-09-18
20050.72%USD 0.267USD0.0722005-12-05
USD0.1952005-09-19
20040.56%USD 0.21USD0.142004-12-13
USD0.072004-09-13
20030.27%USD 0.1USD0.042003-12-15
USD0.062003-09-08
20020.51%USD 0.19USD0.072002-12-14
USD0.122002-09-07
20002.20%USD 0.82USD0.542000-09-11
USD0.282000-09-08