FIDELITY MAGELLAN FUND FIDELITY MAGELLAN FUND(FMAGX) USD 11.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.59%USD 0.537USD0.0812022-12-09
USD0.4562022-05-06
20219.22%USD 1.078USD0.4442021-12-10
USD0.6342021-05-07
20200.33%USD 0.039USD0.0392020-12-11
201913.03%USD 1.523USD1.412019-12-13
USD0.1132019-05-10
20188.31%USD 0.972USD0.4652018-12-14
USD0.50652018-05-11
20178.62%USD 1.008USD0.45352017-12-01
USD0.55472017-05-12
20162.28%USD 0.267USD0.18582016-12-02
USD0.08072016-05-13
20156.43%USD 0.751USD0.39172015-12-07
USD0.03572015-12-04
USD0.30582015-05-18
USD0.0182015-05-15
201410.99%USD 1.285USD0.63762014-12-08
USD0.05292014-12-05
USD0.57632014-05-05
USD0.01772014-05-02
20136.15%USD 0.719USD0.61392013-12-09
USD0.06172013-12-06
USD0.0382013-05-06
USD0.00572013-05-03
20120.88%USD 0.102USD0.00342012-12-28
USD0.08462012-12-10
USD0.01432012-05-07
20110.44%USD 0.051USD0.0032011-12-29
USD0.02922011-12-05
USD0.01062011-05-09
USD0.00842011-05-06
20100.55%USD 0.064USD0.05272010-12-06
USD0.0082010-05-10
USD0.00352010-05-07
20090.54%USD 0.063USD0.00152009-12-31
USD0.02722009-12-07
USD0.02522009-12-04
USD0.0092009-05-11
20082.55%USD 0.298USD0.01042008-12-08
USD0.28692008-05-05
USD0.0012008-05-02
200710.74%USD 1.256USD0.68372007-12-10
USD0.0342007-12-07
USD0.52782007-05-07
USD0.012007-05-04
200621.94%USD 2.565USD0.27992006-12-04
USD0.0252006-12-01
USD2.2352006-05-08
USD0.0252006-05-05
20054.00%USD 0.468USD0.36992005-12-05
USD0.072005-12-02
USD0.0282005-05-09
20041.06%USD 0.124USD0.1032004-12-06
USD0.0212004-05-10
20030.65%USD 0.076USD0.0582003-12-08
USD0.0182003-05-05
20020.55%USD 0.064USD0.0522002-12-07
USD0.0122002-05-04
20011.20%USD 0.14USD0.0322001-12-08
USD0.0942001-05-07
USD0.0142001-05-04
20004.47%USD 0.523USD0.20592000-12-11
USD0.022000-12-08
USD0.28992000-05-08
USD0.0072000-05-05