FIDELITY SAI INTERNATIONAL VALUE INDEX FUND(FIWCX) USD 9.26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.19%USD 0.388USD0.3882022-12-09
20218.74%USD 0.809USD0.8092021-12-10
20201.51%USD 0.14USD0.0052020-12-29
USD0.1352020-12-11
20193.44%USD 0.319USD0.3192019-12-06
20181.94%USD 0.18USD0.182018-12-07
20170.08%USD 0.007USD0.0072017-12-28