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FID GLBL EX-US INDEXINSTITUTIONAL CL (FSGSX)

As of:05/23/2018

NAV 13.56   Offer Price (POP) 13.56
Net Change -0.12   Load % 0.0000%
Net Change % -0.88%   Last Dividend (12/11/2017) 0.2801
Previous NAV 13.68   Last Cap Gain ST (12/08/2017) 0.03
Previous NAV Date 05/22/2018   Last Cap Gain LT (12/13/2013) 0.01
Fund Number 02347   30-Day Yield % 0.00
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