FIDELITY ADVISOR FREEDOM 2025 FUND CLASS C(FCTWX) USD 11.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.90%USD 0.891USD0.2172022-12-29
USD0.6742022-05-13
202110.89%USD 1.228USD0.6272021-12-30
USD0.6012021-05-14
20207.03%USD 0.793USD0.3622020-12-30
USD0.4312020-05-08
20196.88%USD 0.776USD0.3312019-12-30
USD0.4452019-05-10
20189.16%USD 1.033USD0.5692018-12-28
USD0.4642018-05-11
20175.47%USD 0.617USD0.4342017-12-28
USD0.1832017-05-12
20164.16%USD 0.469USD0.1552016-12-28
USD0.3142016-05-13
20154.61%USD 0.52USD0.2782015-12-29
USD0.2422015-05-11
20148.16%USD 0.92USD0.5752014-12-30
USD0.1242014-12-29
USD0.2212014-05-05
20137.03%USD 0.793USD0.3542013-12-30
USD0.0712013-12-27
USD0.3682013-05-03
20121.44%USD 0.162USD0.1622012-12-28
20112.32%USD 0.262USD0.2452011-12-29
USD0.0172011-05-06
20101.62%USD 0.183USD0.1482010-12-30
USD0.0352010-05-07
20091.68%USD 0.19USD0.1792009-12-28
USD0.0112009-05-15
20084.81%USD 0.543USD0.1662008-12-26
USD0.3772008-05-09
20073.69%USD 0.416USD0.1942007-12-28
USD0.2222007-05-04
20063.23%USD 0.364USD0.1642006-12-28
USD0.22006-05-12
20050.99%USD 0.112USD0.0922005-12-29
USD0.022005-05-13
20040.72%USD 0.081USD0.082004-12-29
USD0.0012004-05-14
20030.44%USD 0.05USD0.052003-12-26