Fidelity Sustainable International Fund ( FSYRX) - Price History
Monthly price history for FSYRX (Fidelity Sustainable International Fund)
| Date | Adjusted price | Real price |
|---|---|---|
| June 2026 | $12.89 | $12.89 |
| May 2026 | $12.78 | $12.78 |
| April 2026 | $12.38 | $12.38 |
| March 2026 | $11.39 | $11.39 |
| February 2026 | $12.59 | $12.59 |
| January 2026 | $12.20 | $12.20 |
| December 2025 | $11.57 | $11.57 |
| November 2025 | $11.33 | $11.58 |
| October 2025 | $11.40 | $11.65 |
| September 2025 | $10.98 | $11.23 |
| August 2025 | $10.62 | $10.86 |
| July 2025 | $10.40 | $10.63 |
| June 2025 | $10.64 | $10.88 |
| May 2025 | $10.26 | $10.49 |
| April 2025 | $9.78 | $10 |
| March 2025 | $9.37 | $9.58 |
| February 2025 | $9.55 | $9.76 |
| January 2025 | $9.47 | $9.68 |
| December 2024 | $9.16 | $9.37 |
| November 2024 | $9.41 | $9.80 |
| October 2024 | $9.36 | $9.75 |
| September 2024 | $9.89 | $10.30 |
| August 2024 | $9.86 | $10.27 |
| July 2024 | $9.53 | $9.93 |
| June 2024 | $9.31 | $9.70 |
| May 2024 | $9.27 | $9.66 |
| April 2024 | $8.84 | $9.21 |
| March 2024 | $9.06 | $9.44 |
| February 2024 | $8.76 | $9.13 |
| January 2024 | $8.51 | $8.86 |
| December 2023 | $8.50 | $8.85 |
| November 2023 | $8.02 | $8.49 |
| October 2023 | $7.43 | $7.87 |
| September 2023 | $7.61 | $8.06 |
| August 2023 | $8.01 | $8.48 |
| July 2023 | $8.34 | $8.84 |
| June 2023 | $8.24 | $8.73 |
| May 2023 | $8.02 | $8.49 |
| April 2023 | $8.23 | $8.72 |
| March 2023 | $8.04 | $8.52 |
| February 2023 | $7.84 | $8.30 |
| January 2023 | $8.04 | $8.52 |
| December 2022 | $7.50 | $7.94 |
| November 2022 | $7.68 | $8.18 |
| October 2022 | $6.77 | $7.21 |
| September 2022 | $6.54 | $6.97 |
| August 2022 | $7.25 | $7.72 |
| July 2022 | $7.70 | $8.20 |
| June 2022 | $7.20 | $7.67 |
| May 2022 | $7.97 | $8.49 |
| April 2022 | $7.98 | $8.50 |
| March 2022 | $8.71 | $9.28 |
| February 2022 | $8.68 | $9.24 |
FSYRX
Price: $12.89
52 week price:
Dividend Yield: 2.00%
5-year range yield:
Forward Dividend Yield: 2.02%
Dividend Per Share: 0.26 USD
Exchange: NAS
Sector: Financial Services
Industry: Asset Management
Market Capitalization: 17.6 million
Average Dividend Frequency: 1
Years Paying Dividends: 4