Fidelity Flex Core Bond Fund
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Note: This stock seems to be inactive
ExDate |
Payable Date |
Type |
Amount (%)
|
31 May 2022
|
1 Jun 2022
|
CASH |
USD 0.0228 (0.24%) |
30 Apr 2022
|
2 May 2022
|
CASH |
USD 0.0199 (0.21%) |
31 Mar 2022
|
1 Apr 2022
|
CASH |
USD 0.0201 (0.20%) |
28 Feb 2022
|
1 Mar 2022
|
CASH |
USD 0.01748 (0.17%) |
31 Jan 2022
|
1 Feb 2022
|
CASH |
USD 0.0203 (0.20%) |
31 Dec 2021
|
3 Jan 2022
|
CASH |
USD 0.02005 (0.19%) |
22 Dec 2021
|
23 Dec 2021
|
CASH |
USD 0.008 (0.08%) |
3 Dec 2021
|
6 Dec 2021
|
CASH |
USD 0.052 (0.49%) |
30 Nov 2021
|
1 Dec 2021
|
CASH |
USD 0.01871 (0.18%) |
29 Oct 2021
|
1 Nov 2021
|
CASH |
USD 0.02008 (0.19%) |
30 Sep 2021
|
1 Oct 2021
|
CASH |
USD 0.01983 (0.19%) |
31 Aug 2021
|
1 Sep 2021
|
CASH |
USD 0.02028 (0.19%) |
30 Jul 2021
|
2 Aug 2021
|
CASH |
USD 0.02046 (0.19%) |
30 Jun 2021
|
1 Jul 2021
|
CASH |
USD 0.01996 (0.19%) |
28 May 2021
|
1 Jun 2021
|
CASH |
USD 0.02103 (0.20%) |
30 Apr 2021
|
3 May 2021
|
CASH |
USD 0.02189 (0.21%) |
31 Mar 2021
|
1 Apr 2021
|
CASH |
USD 0.02247 (0.21%) |
26 Feb 2021
|
1 Mar 2021
|
CASH |
USD 0.01984 (0.19%) |
29 Jan 2021
|
1 Feb 2021
|
CASH |
USD 0.02361 (0.22%) |
31 Dec 2020
|
4 Jan 2021
|
CASH |
USD 0.02244 (0.21%) |
23 Dec 2020
|
24 Dec 2020
|
CASH |
USD 0.015 (0.14%) |
4 Dec 2020
|
7 Dec 2020
|
CASH |
USD 0.025 (0.23%) |
30 Nov 2020
|
1 Dec 2020
|
CASH |
USD 0.02071 (0.19%) |
30 Oct 2020
|
2 Nov 2020
|
CASH |
USD 0.0222 (0.21%) |
9 Oct 2020
|
12 Oct 2020
|
CASH |
USD 0.303 (2.75%) |
30 Sep 2020
|
1 Oct 2020
|
CASH |
USD 0.02206 (0.20%) |
31 Aug 2020
|
1 Sep 2020
|
CASH |
USD 0.02482 (0.22%) |
31 Jul 2020
|
3 Aug 2020
|
CASH |
USD 0.02581 (0.23%) |
30 Jun 2020
|
1 Jul 2020
|
CASH |
USD 0.02534 (0.23%) |
29 May 2020
|
1 Jun 2020
|
CASH |
USD 0.0266 (0.25%) |
30 Apr 2020
|
1 May 2020
|
CASH |
USD 0.02531 (0.24%) |
31 Mar 2020
|
1 Apr 2020
|
CASH |
USD 0.02371 (0.23%) |
28 Feb 2020
|
2 Mar 2020
|
CASH |
USD 0.02356 (0.22%) |
31 Jan 2020
|
3 Feb 2020
|
CASH |
USD 0.02663 (0.25%) |
31 Dec 2019
|
2 Jan 2020
|
CASH |
USD 0.02758 (0.27%) |
26 Dec 2019
|
15 Jan 2020*
|
CASH |
USD 0.013 (0.13%) |
29 Nov 2019
|
2 Dec 2019
|
CASH |
USD 0.02568 (0.25%) |
31 Oct 2019
|
1 Nov 2019
|
CASH |
USD 0.02609 (0.25%) |
30 Sep 2019
|
1 Oct 2019
|
CASH |
USD 0.02691 (0.26%) |
30 Aug 2019
|
3 Sep 2019
|
CASH |
USD 0.02782 (0.27%) |
31 Jul 2019
|
1 Aug 2019
|
CASH |
USD 0.02878 (0.28%) |
28 Jun 2019
|
1 Jul 2019
|
CASH |
USD 0.02899 (0.28%) |
31 May 2019
|
20 Jun 2019*
|
CASH |
USD 0.03 (0.30%) |
30 Apr 2019
|
20 May 2019*
|
CASH |
USD 0.029 (0.29%) |
29 Mar 2019
|
18 Apr 2019*
|
CASH |
USD 0.03 (0.30%) |
28 Feb 2019
|
20 Mar 2019*
|
CASH |
USD 0.028 (0.28%) |
31 Jan 2019
|
20 Feb 2019*
|
CASH |
USD 0.03 (0.31%) |
31 Dec 2018
|
20 Jan 2019*
|
CASH |
USD 0.032 (0.33%) |
27 Dec 2018
|
28 Dec 2018
|
CASH |
USD 0.01 (0.10%) |
30 Nov 2018
|
20 Dec 2018*
|
CASH |
USD 0.031 (0.32%) |
31 Oct 2018
|
20 Nov 2018*
|
CASH |
USD 0.027 (0.28%) |
28 Sep 2018
|
18 Oct 2018*
|
CASH |
USD 0.026 (0.27%) |
31 Aug 2018
|
20 Sep 2018*
|
CASH |
USD 0.026 (0.26%) |
31 Jul 2018
|
20 Aug 2018*
|
CASH |
USD 0.026 (0.27%) |
29 Jun 2018
|
19 Jul 2018*
|
CASH |
USD 0.025 (0.26%) |
31 May 2018
|
20 Jun 2018*
|
CASH |
USD 0.026 (0.26%) |
30 Apr 2018
|
20 May 2018*
|
CASH |
USD 0.025 (0.26%) |
29 Mar 2018
|
18 Apr 2018*
|
CASH |
USD 0.026 (0.26%) |
28 Feb 2018
|
20 Mar 2018*
|
CASH |
USD 0.023 (0.23%) |
31 Jan 2018
|
20 Feb 2018*
|
CASH |
USD 0.026 (0.26%) |
29 Dec 2017
|
18 Jan 2018*
|
CASH |
USD 0.025 (0.25%) |
27 Dec 2017
|
16 Jan 2018*
|
CASH |
USD 0.017 (0.17%) |
8 Dec 2017
|
11 Dec 2017
|
CASH |
USD 0.006 (0.06%) |
30 Nov 2017
|
20 Dec 2017*
|
CASH |
USD 0.024 (0.24%) |
31 Oct 2017
|
20 Nov 2017*
|
CASH |
USD 0.023 (0.23%) |
13 Oct 2017
|
16 Oct 2017
|
CASH |
USD 0.0046 (0.05%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate