FIDELITY EMERGING MARKETS INDEX FUND INSTITUTIONAL PREMIUM CLASS(FPADX) USD 9.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.34%USD 0.233USD0.2332022-12-16
20212.61%USD 0.259USD0.2592021-12-03
20201.92%USD 0.191USD0.1912020-12-04
20192.86%USD 0.284USD0.2842019-12-06
20182.11%USD 0.21USD0.212018-12-07
20172.16%USD 0.215USD0.215192017-12-08
20161.44%USD 0.143USD0.143252016-12-09
20151.92%USD 0.191USD0.0042015-12-30
USD0.1872015-12-11
20141.92%USD 0.191USD0.190912014-12-15
20132.07%USD 0.206USD0.0022013-12-27
USD0.2042013-12-16
20123.64%USD 0.362USD0.21312012-12-17
USD0.1492012-12-14
20110.33%USD 0.033USD0.0332011-12-12