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FITF

Fidelity® Flex International Index Fund

FITFX NMFQS
$19.78+$0.10  (0.51%)
Summary
Div. yield, TTM
2.44%
Annual payout, TTM
$0.48
Growth
1 year
34.54%
3 years
18.26%
5 years
19.89%
Dividend growth streak
3 y
Dividend streak
3 y
Payout history
StateDeclaration dateEx.dividend datePayment dateAmountPeriod
Estimated12/15/202612/15/2026
$0.483
Annual
Paid12/12/202512/15/2025
$0.483
Annual
Paid12/13/202412/16/2024
$0.359
Annual
Paid12/15/202312/18/2023
$0.337
Annual
Paid12/16/202212/16/202212/19/2022
$0.292
Annual
Paid12/28/202112/28/202112/29/2021
$0.009
Annual
Paid12/03/202112/03/202112/06/2021
$0.299
Annual
Paid12/04/202012/04/202012/07/2020
$0.195
Annual
Paid12/06/201912/06/201912/09/2019
$0.302
Annual
Paid04/30/201904/30/2019
$0.024
Other
See 1-10 from 15