Fidelity Advisor Small Cap Value Fund Class I 

$21.22
3
-$0.12-0.56%上週

統計

當日最高
-
當日最低
-
52週高點
25.99
52週低點
19.51
成交量
-
平均成交量
0
市值
0
本益比
-
股息殖利率
9.51%
股息
2.02

即將到來

股息

9.51%股息殖利率
Sep 26
$1.41
Dec 25
$0.61
Sep 25
$1.41
Dec 24
$0.20
Dec 24
$0.08
10年成長
29.5%
5年成長
36.65%
3年成長
236.57%
1年成長
1,686.73%

競爭對手

此清單為基於近期市場事件的分析。並非投資建議。

關於

This investment vehicle's primary objective is to achieve long-term capital appreciation for its shareholders. It predominantly allocates capital to common stocks, with a mandate to invest at least 80% of its assets in companies exhibiting small market capitalizations. The fund employs a value investing approach, targeting businesses that Fidelity Management & Research Company (FMR) determines to be undervalued. This assessment considers various financial metrics such as assets, sales, earnings, projected growth, or cash flow, both in isolation and relative to their industry peers. Such selections are commonly referred to as "value" stocks. The portfolio may comprise holdings from both domestic and international markets.
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執行長
國家
美國
ISIN
US3163897743

上市

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FAQ

Fidelity Advisor Small Cap Value Fund Class I 今天的股價是多少?
FCVIX 目前價格為 $21.22 USD,過去 24 小時下跌了 -0.56%。在圖表上更密切關注 Fidelity Advisor Small Cap Value Fund Class I 股票的表現。
Fidelity Advisor Small Cap Value Fund Class I 的股票代號是什麼?
根據交易所不同,股票代號可能會有所差異。例如,在 NASDAQ 交易所,Fidelity Advisor Small Cap Value Fund Class I 的股票以代號 FCVIX 進行交易。
Fidelity Advisor Small Cap Value Fund Class I 的股價在上漲嗎?
FCVIX 股票較上週下跌 -14.37%,本月下跌 -18.35%,但在過去一年中,Fidelity Advisor Small Cap Value Fund Class I 上漲了 +4.74%。
Fidelity Advisor Small Cap Value Fund Class I 會發放股息嗎?
是的,FCVIX 的股息每 半年一次 發放一次。每股最新股息為 1.41 。截至今日,股息殖利率(FWD)% 為 9.51%。
Fidelity Advisor Small Cap Value Fund Class I 位於哪個產業?
Fidelity Advisor Small Cap Value Fund Class I從事於Finance & Payments產業。
Fidelity Advisor Small Cap Value Fund Class I 何時完成拆股?
Fidelity Advisor Small Cap Value Fund Class I 最近沒有進行任何拆股。
Fidelity Advisor Small Cap Value Fund Class I 的總部在哪裡?
Fidelity Advisor Small Cap Value Fund Class I 的總部位於 美國 的 Boston。