Fidelity Managed Retirement 2030 Fund - Class K6 (FMRFX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
11.11
-0.02 (-0.18%)
Jan 13, 2025, 4:00 PM EST

FMRFX Dividend Information

FMRFX has an annual dividend of $0.31 per share, with a yield of 2.74%. The dividend is paid every month and the last ex-dividend date was Dec 30, 2024.

Dividend Yield
2.74%
Annual Dividend
$0.31
Ex-Dividend Date
Dec 30, 2024
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
8.93%

Dividend History

Ex-Div Date AmountRecord DatePay Date
Dec 30, 2024$0.157Dec 30, 2024Dec 31, 2024
Nov 1, 2024$0.021Nov 1, 2024Nov 4, 2024
Oct 4, 2024$0.017Oct 4, 2024Oct 7, 2024
Sep 6, 2024$0.015Sep 6, 2024Sep 9, 2024
Aug 2, 2024$0.026Aug 2, 2024Aug 5, 2024
Jul 5, 2024$0.009Jul 5, 2024Jul 8, 2024
Jun 7, 2024$0.013Jun 7, 2024Jun 10, 2024
May 3, 2024$0.018May 3, 2024May 6, 2024
Apr 5, 2024$0.012Apr 5, 2024Apr 8, 2024
Mar 1, 2024$0.010Mar 1, 2024Mar 4, 2024
Feb 2, 2024$0.007Feb 2, 2024Feb 5, 2024
Dec 28, 2023$0.163Dec 28, 2023Dec 29, 2023
Nov 3, 2023$0.013Nov 3, 2023Nov 6, 2023
Oct 6, 2023$0.017Oct 6, 2023Oct 9, 2023
Sep 8, 2023$0.014Sep 8, 2023Sep 11, 2023
Aug 4, 2023$0.011Aug 4, 2023Aug 7, 2023
Jul 7, 2023$0.012Jul 7, 2023Jul 10, 2023
Jun 2, 2023$0.008Jun 2, 2023Jun 5, 2023
May 5, 2023$0.016May 5, 2023May 8, 2023
Apr 5, 2023$0.012Apr 5, 2023Apr 6, 2023
Mar 3, 2023$0.007Mar 3, 2023Mar 6, 2023
Feb 3, 2023$0.007Feb 3, 2023Feb 6, 2023
Dec 29, 2022$0.183Dec 29, 2022Dec 30, 2022
Nov 4, 2022$0.010Nov 4, 2022Nov 7, 2022
Oct 7, 2022$0.096Oct 7, 2022Oct 10, 2022
Sep 9, 2022$0.084Sep 9, 2022Sep 12, 2022
Sep 2, 2022$0.007Sep 2, 2022Sep 6, 2022
Aug 5, 2022$0.008Aug 5, 2022Aug 8, 2022
Jul 1, 2022$0.006Jul 1, 2022Jul 5, 2022
Jun 3, 2022$0.003Jun 3, 2022Jun 6, 2022
May 6, 2022$0.006May 6, 2022May 9, 2022
Apr 1, 2022$0.003Apr 1, 2022Apr 4, 2022
Mar 4, 2022$0.003Mar 4, 2022Mar 7, 2022
Feb 4, 2022$0.002Feb 4, 2022Feb 7, 2022
Dec 30, 2021$0.373Dec 30, 2021Dec 31, 2021
Nov 5, 2021$0.003Nov 5, 2021Nov 8, 2021
Oct 1, 2021$0.112Oct 1, 2021Oct 4, 2021
Sep 10, 2021$0.084Sep 10, 2021Sep 13, 2021
Sep 3, 2021$0.006Sep 3, 2021Sep 7, 2021
Aug 6, 2021$0.005Aug 6, 2021Aug 9, 2021
Jul 2, 2021$0.005Jul 2, 2021Jul 6, 2021
May 7, 2021$0.004May 7, 2021May 10, 2021
Apr 5, 2021$0.004Apr 5, 2021Apr 6, 2021
Mar 5, 2021$0.002Mar 5, 2021Mar 8, 2021
Feb 5, 2021$0.003Feb 5, 2021Feb 8, 2021
Dec 30, 2020$0.265Dec 30, 2020Dec 31, 2020
Nov 6, 2020$0.004Nov 6, 2020Nov 9, 2020
Oct 2, 2020$0.008Oct 2, 2020Oct 5, 2020
Sep 11, 2020$0.053Sep 11, 2020Sep 14, 2020
Sep 4, 2020$0.006Sep 4, 2020Sep 8, 2020
Aug 7, 2020$0.002Aug 7, 2020Aug 10, 2020
Jul 10, 2020$0.006Jul 10, 2020Jul 13, 2020
Jun 5, 2020$0.004Jun 5, 2020Jun 8, 2020
May 1, 2020$0.004May 1, 2020May 4, 2020
Apr 3, 2020$0.007Apr 3, 2020Apr 6, 2020
Mar 6, 2020$0.004Mar 6, 2020Mar 9, 2020
Feb 7, 2020$0.004Feb 7, 2020Feb 10, 2020
* Dividend amounts are adjusted for stock splits when applicable.

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