FIDELITY NEW MARKETSINCOME(FNMIX) As of: 10/23/2014
NAV 16.21   Dividend Pay Date 10/01/2014
Net Change -0.02   Dividend Rate 0.0000
Net Change % -0.12%   Ex. Dividend Date 09/30/2014
Previous NAV 16.23   30-Day Yield % 0.00%
Previous NAV Date 10/22/2014   Fund Number 331
Offer Price (POP) 16.21   Trade | Chart | Research
Load % 0.00%
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