FIDELITY ADVISOR EQUITY VALUE FUND CLASS A(FAVAX) USD 22.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.63%USD 0.362USD0.3622022-12-27
20213.18%USD 0.709USD0.7092021-12-28
20200.89%USD 0.199USD0.1992020-12-29
20194.41%USD 0.982USD0.9822019-12-27
20186.59%USD 1.468USD1.4682018-12-26
20170.77%USD 0.171USD0.1712017-12-26
20160.59%USD 0.132USD0.1322016-12-27
20151.11%USD 0.247USD0.2312015-12-11
USD0.0162015-01-02
20140.79%USD 0.176USD0.1762014-12-15
20130.49%USD 0.11USD0.112013-12-16
20120.60%USD 0.134USD0.1342012-12-17
20110.22%USD 0.05USD0.052011-12-19
20100.48%USD 0.106USD0.0922010-12-20
USD0.0142010-04-01
20090.26%USD 0.057USD0.0572009-12-21
20080.65%USD 0.145USD0.112008-12-22
USD0.0352008-01-14
20077.53%USD 1.676USD0.5262007-12-24
USD1.152007-01-08
20063.90%USD 0.868USD0.7042006-12-18
USD0.0692006-12-15
USD0.0952006-01-09
20054.14%USD 0.922USD0.7872005-12-19
USD0.0852005-12-16
USD0.052005-01-10
20041.79%USD 0.399USD0.252004-12-20
USD0.082004-12-17
USD0.0692004-01-12
20030.85%USD 0.19USD0.142003-12-22
USD0.052003-12-19
20020.13%USD 0.03USD0.032002-06-07