FIDELITY NEW MARKETSINCOME(FNMIX) As of: 02/27/2015
NAV 15.22   Dividend Pay Date 03/02/2015
Net Change 0.02   Dividend Rate 0.0000
Net Change % 0.13%   Ex. Dividend Date 02/27/2015
Previous NAV 15.20   30-Day Yield % 0.00%
Previous NAV Date 02/26/2015   Fund Number 331
Offer Price (POP) 15.22   Trade | Chart | Research
Load % 0.00%
Quotes are displayed by Date/Time in Eastern time.