Fidelity® Value Factor ETF(FVAL) USD 46.5732
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.242USD0.2422023-03-17
20221.69%USD 0.785USD0.1752022-12-16
USD0.2182022-09-16
USD0.1932022-06-17
USD0.1992022-03-18
20211.57%USD 0.733USD0.2162021-12-17
USD0.22021-09-17
USD0.1582021-06-18
USD0.1592021-03-19
20201.40%USD 0.653USD0.1362020-12-18
USD0.1622020-09-18
USD0.1742020-06-19
USD0.1812020-03-20
20191.45%USD 0.673USD0.1662019-12-20
USD0.1722019-09-20
USD0.1722019-06-21
USD0.1632019-03-15
20181.32%USD 0.613USD0.1792018-12-21
USD0.1482018-09-21
USD0.1492018-06-15
USD0.1372018-03-16
20171.14%USD 0.531USD0.1432017-12-15
USD0.1472017-09-15
USD0.1332017-06-16
USD0.1082017-03-17
20160.27%USD 0.124USD0.0042016-12-28
USD0.122016-12-16