Fidelity Institutional Money Market Funds: Treasury Pt Cl II (FCEXX) 2026 股息:歷史、除息日 & 殖利率

$1.0000
+$0.00+0% Monday 00:00
股息殖利率
3.26%
股息金額
$0.00
最新除息日
9月 30, 2026
最後派息日
10月 01, 2026

摘要

Fidelity Institutional Money Market Funds: Treasury Pt Cl II (FCEXX) 的股息會每月支付。最新每股股息為 $0.00,除息日為 九月 30, 2026,派息日為 十月 01, 2026。下一次每股股息將為 $0.00,除息日為 九月 30, 2026,派息日為 十月 01, 2026。Fidelity Institutional Money Market Funds: Treasury Pt Cl II (FCEXX) 目前的股息殖利率為 3.26%。

即將到來

過去

日期金額變動
$0.03
-24.82%
01 10月 2026
$0.00
-
01 9月 2026
$0.00
+0.68%
03 8月 2026
$0.00
+4.08%
01 7月 2026
$0.00
-2.44%
01 6月 2026
$0.00
+2.4%
01 5月 2026
$0.00
-3.41%
01 4月 2026
$0.00
-1.16%
02 2月 2026
$0.00
-3.23%
02 1月 2026
$0.00
-0.6%
$0.04
-34.15%
01 12月 2025
$0.00
-6.22%
03 11月 2025
$0.00
+0.26%
01 10月 2025
$0.00
-5.41%
02 9月 2025
$0.00
-0.37%
01 8月 2025
$0.00
+4.32%
01 7月 2025
$0.00
-4.14%
02 6月 2025
$0.00
+0.99%
02 6月 2025
$0.00
+3.49%
01 5月 2025
$0.00
-3.65%
01 4月 2025
$0.00
+9.54%
03 3月 2025
$0.00
-10.78%
10年成長
82.42%
5年成長
不適用
3年成長
-5.79%
1年成長
-33.49%

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FAQ

Fidelity Institutional Money Market Funds: Treasury Pt Cl II 發放多少股息?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 每股每年派發股息 $0.03,股息殖利率為 3.26%。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 的股息殖利率是多少?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 目前的股息殖利率為 3.26%。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 何時派發股息?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 每每月發放股息。下一次派息預計在 October 01, 2026。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 下一次股息是什麼時候?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 的下一次股息派發預計在 October 01, 2026。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 的股息有多安全?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 已連續 3 年派發股息,股利支付率為 0%。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 的股息是多少?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 目前每股派發 $0.00 股息。
我必須在什麼時候買入 Fidelity Institutional Money Market Funds: Treasury Pt Cl II 的股票才能領取上次股息?
To receive the previous dividend from Fidelity Institutional Money Market Funds: Treasury Pt Cl II, you needed to own the shares before the ex-dividend date of August 31, 2026.
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 上次派發股息是什麼時候?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 上次的股息派發日為 September 01, 2026。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 在 2025 年的股息是多少?
在 2025 年,Fidelity Institutional Money Market Funds: Treasury Pt Cl II 每股共派發股息 $0.04。
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 以哪種貨幣派發股息?
Fidelity Institutional Money Market Funds: Treasury Pt Cl II 以 USD 派發股息。