FIDELITY LOW-PRICED STOCK FUND FIDELITY LOW-PRICED STOCK FUND(FLPSX) USD 47.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.17%USD 4.366USD0.9662022-12-09
USD3.42022-09-09
202113.67%USD 6.513USD1.9632021-12-10
USD4.552021-09-10
202011.38%USD 5.419USD2.2572020-12-11
USD3.1622020-09-11
20198.55%USD 4.071USD0.4142019-12-13
USD3.6572019-09-13
201812.26%USD 5.838USD2.12018-12-07
USD3.7382018-09-14
201710.20%USD 4.857USD0.7662017-12-08
USD4.0912017-09-15
20165.04%USD 2.399USD0.9222016-12-09
USD1.4772016-09-16
20155.16%USD 2.459USD0.3172015-12-11
USD1.8412015-09-14
USD0.3012015-09-11
20147.29%USD 3.473USD0.5532014-12-15
USD0.1962014-12-12
USD2.4022014-09-08
USD0.3222014-09-05
20137.75%USD 3.689USD1.0382013-12-16
USD0.192013-12-13
USD2.2632013-09-09
USD0.1982013-09-06
20126.84%USD 3.256USD0.9352012-12-17
USD0.2692012-12-14
USD1.8342012-09-10
USD0.2182012-09-07
20115.50%USD 2.621USD0.1422011-12-12
USD2.3432011-09-12
USD0.1362011-09-09
20100.53%USD 0.251USD0.092010-12-13
USD0.0682010-09-09
USD0.062010-09-08
USD0.0332010-04-30
20090.68%USD 0.326USD0.2032009-09-14
USD0.1232009-09-11
20089.31%USD 4.434USD0.0242008-12-15
USD4.262008-09-15
USD0.152008-09-12
20079.07%USD 4.32USD1.62007-12-17
USD0.12007-12-14
USD2.152007-09-10
USD0.472007-09-07
20069.32%USD 4.44USD0.482006-12-18
USD0.142006-12-15
USD3.632006-09-11
USD0.192006-09-08
20056.59%USD 3.14USD1.212005-12-19
USD0.112005-12-16
USD1.672005-09-12
USD0.152005-09-09
20044.77%USD 2.27USD0.52004-12-20
USD0.062004-12-17
USD1.712004-09-07
20030.97%USD 0.46USD0.452003-12-19
USD0.012003-09-08
20021.26%USD 0.6USD0.572002-09-07
USD0.032002-09-06
20013.91%USD 1.86USD0.192001-12-15
USD0.042001-12-14
USD1.512001-09-10
USD0.122001-09-07
20007.87%USD 3.75USD0.762000-12-18
USD0.082000-12-15
USD2.832000-09-11
USD0.082000-09-08