Fidelity SAI International Credit Fund (FSNDX) October 2025 Dividend

$10.69
+$0.02+0.19% Friday 00:00
Dividend Yield
4.28%
Dividend amount
$0.46
$0.09
Per Share

Announced

Confirmed

Ex Date

Reached • October 03, 25

Pay Date

Paid • October 06, 25

Description

Fidelity SAI International Credit Fund (FSNDX) has announced a dividend of $0.09 with an ex date of October 03, 2025 and a payment date of October 06, 2025. The record date is October 03, 2025.

Community

0 Comments

Share your thoughts