Fidelity Funds - Global Dividend Fund - A USD DIS Logo
LU0731783048
A1JSY3

Fidelity Funds - Global Dividend Fund - A USD DIS

Dividend yield TTM
2.22%
€0.47/unit
Dividend growth (CAGR 5Y)
3.38%
Next dividend
The next dividend is expected in September.

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Historical dividends

In 2026, Fidelity Funds - Global Dividend Fund - A USD DIS has already paid €0.33 in dividends. The last payout was in August.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€21.29
Yield
2.22%
Interval
Monthly
CAGR 3Y
0.94%
CAGR 5Y
3.38%
CAGR 10Y
2.48%

All dividend data

So far in 2026, €0.33 per unit has been distributed. In 2025, Fidelity Funds - Global Dividend Fund - A USD DIS distributed €0.46. The dividend yield is currently 2.22%, and distributions have increased by 0.94% over the last 3 years. The ETF pays out every month.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.33 28.92% 1.53%
08/03/2026 08/10/2026 €0.0411
07/01/2026 07/08/2026 €0.0415
06/01/2026 06/08/2026 €0.0411
05/01/2026 05/08/2026 €0.0402
04/01/2026 04/08/2026 €0.0407
03/02/2026 03/09/2026 €0.0408
02/02/2026 02/09/2026 €0.0398
01/02/2026 01/09/2026 €0.0407
2025 €0.46 1.19% 2.34%
12/01/2025 12/08/2025 €0.0369
11/03/2025 11/10/2025 €0.0371
10/01/2025 10/08/2025 €0.0369
09/01/2025 09/08/2025 €0.0365
08/01/2025 08/08/2025 €0.0368
07/01/2025 07/08/2025 €0.0366
06/02/2025 06/09/2025 €0.0375
05/01/2025 05/08/2025 €0.0382
04/01/2025 04/08/2025 €0.0391
03/03/2025 03/10/2025 €0.0396
02/03/2025 02/10/2025 €0.0416
01/02/2025 01/09/2025 €0.0417
2024 €0.45 2.42% 2.45%
12/02/2024 12/09/2024 €0.0387
11/01/2024 11/08/2024 €0.0381
10/01/2024 10/08/2024 €0.0373
09/02/2024 09/09/2024 €0.0371
08/01/2024 08/08/2024 €0.0375
07/01/2024 07/08/2024 €0.0378
06/03/2024 06/10/2024 €0.038
05/01/2024 05/08/2024 €0.0381
04/01/2024 04/08/2024 €0.0377
03/01/2024 03/08/2024 €0.0374
02/01/2024 02/08/2024 €0.038
01/02/2024 01/09/2024 €0.0374
2023 €0.44 0.76% 2.74%
12/01/2023 12/08/2023 €0.0369
11/01/2023 11/08/2023 €0.0372
10/02/2023 10/09/2023 €0.0376
09/01/2023 09/08/2023 €0.0372
08/01/2023 08/08/2023 €0.0363
07/03/2023 07/10/2023 €0.0362
06/01/2023 06/08/2023 €0.0369
05/01/2023 05/08/2023 €0.0362
04/03/2023 04/10/2023 €0.0366
03/01/2023 03/08/2023 €0.0377
02/01/2023 02/08/2023 €0.0371
01/02/2023 01/09/2023 €0.0365
2022 €0.45 16.92% 2.99%
12/01/2022 12/08/2022 €0.0371
11/01/2022 11/08/2022 €0.0389
10/03/2022 10/10/2022 €0.0404
09/01/2022 09/08/2022 €0.0392
08/01/2022 08/08/2022 €0.0384
07/01/2022 07/08/2022 €0.0385
06/01/2022 06/08/2022 €0.0366
05/02/2022 05/09/2022 €0.0371
04/01/2022 04/08/2022 €0.036
03/01/2022 03/08/2022 €0.036
02/01/2022 02/08/2022 €0.0343
01/03/2022 01/10/2022 €0.0333
2021 €0.38 1.75% 2.32%
12/01/2021 12/08/2021 €0.0332
11/01/2021 11/08/2021 €0.0325
10/01/2021 10/08/2021 €0.0326
09/01/2021 09/08/2021 €0.0319
08/02/2021 08/09/2021 €0.0321
07/01/2021 07/08/2021 €0.0318
06/01/2021 06/08/2021 €0.031
05/03/2021 05/10/2021 €0.0311
04/01/2021 04/08/2021 €0.0316
03/01/2021 03/08/2021 €0.0318
02/01/2021 02/08/2021 €0.0313
01/04/2021 01/11/2021 €0.0304
2020 €0.39 0.75% 2.73%
12/01/2020 12/08/2020 €0.0306
11/02/2020 11/09/2020 €0.0313
10/01/2020 10/08/2020 €0.0314
09/01/2020 09/08/2020 €0.0314
08/03/2020 08/10/2020 €0.0315
07/01/2020 07/08/2020 €0.0326
06/01/2020 06/08/2020 €0.0327
05/01/2020 05/08/2020 €0.0337
04/01/2020 04/08/2020 €0.0341
03/02/2020 03/09/2020 €0.0325
02/03/2020 02/10/2020 €0.0339
01/02/2020 01/09/2020 €0.0324
2019 €0.39 7.54% 2.62%
12/02/2019 12/09/2019 €0.0325
11/01/2019 11/08/2019 €0.0327
10/01/2019 10/08/2019 €0.0328
09/02/2019 09/09/2019 €0.0326
08/01/2019 08/08/2019 €0.0322
07/01/2019 07/08/2019 €0.0321
06/03/2019 06/10/2019 €0.0318
05/01/2019 05/08/2019 €0.0321
04/01/2019 04/08/2019 €0.032
03/01/2019 03/08/2019 €0.032
02/01/2019 02/08/2019 €0.0318
01/02/2019 01/09/2019 €0.0306
2018 €0.36 2.29% 3.00%
12/03/2018 12/10/2018 €0.0311
11/01/2018 11/08/2018 €0.0311
10/01/2018 10/08/2018 €0.0307
09/03/2018 09/10/2018 €0.0304
08/01/2018 08/08/2018 €0.0304
07/02/2018 07/09/2018 €0.03
06/01/2018 06/08/2018 €0.03
05/01/2018 05/08/2018 €0.0297
04/02/2018 04/09/2018 €0.0286
03/01/2018 03/08/2018 €0.0287
02/01/2018 02/08/2018 €0.0288
01/02/2018 01/09/2018 €0.0287
2017 €0.37 0.85% 2.96%
12/01/2017 12/08/2017 €0.0291
11/01/2017 11/08/2017 €0.0296
10/02/2017 10/09/2017 €0.0292
09/01/2017 09/08/2017 €0.0285
08/01/2017 08/08/2017 €0.0292
07/03/2017 07/10/2017 €0.0301
06/01/2017 06/08/2017 €0.0307
05/01/2017 05/08/2017 €0.0314
04/03/2017 04/10/2017 €0.0324
03/01/2017 03/08/2017 €0.0325
02/01/2017 02/08/2017 €0.0321
01/02/2017 01/09/2017 €0.0318
2016 €0.36 1.28% 2.91%
12/01/2016 12/08/2016 €0.0317
11/01/2016 11/08/2016 €0.0306
10/03/2016 10/10/2016 €0.0302
09/01/2016 09/08/2016 €0.0299
08/01/2016 08/08/2016 €0.0304
07/01/2016 07/08/2016 €0.0305
06/01/2016 06/08/2016 €0.0296
05/02/2016 05/09/2016 €0.0296
04/01/2016 04/08/2016 €0.0296
03/01/2016 03/08/2016 €0.0306
02/01/2016 02/08/2016 €0.0301
01/04/2016 01/11/2016 €0.0307
2015 €0.36 24.32% 2.91%
12/01/2015 12/08/2015 €0.0306
11/02/2015 11/09/2015 €0.031
10/01/2015 10/08/2015 €0.0295
09/01/2015 09/08/2015 €0.0297
08/03/2015 08/10/2015 €0.0302
07/01/2015 07/08/2015 €0.0301
06/01/2015 06/08/2015 €0.0295
05/01/2015 05/08/2015 €0.0297
04/01/2015 04/08/2015 €0.0309
03/02/2015 03/09/2015 €0.0307
02/02/2015 02/09/2015 €0.0294
01/02/2015 01/09/2015 €0.0276
2014 €0.29 4.19% 2.57%
12/01/2014 12/08/2014 €0.0265
11/03/2014 11/10/2014 €0.0263
10/01/2014 10/08/2014 €0.0257
09/01/2014 09/08/2014 €0.0254
08/01/2014 08/08/2014 €0.0244
07/01/2014 07/08/2014 €0.024
06/02/2014 06/09/2014 €0.023
05/01/2014 05/08/2014 €0.0225
04/01/2014 04/08/2014 €0.0226
03/03/2014 03/10/2014 €0.0225
02/03/2014 02/10/2014 €0.0229
01/02/2014 01/09/2014 €0.0229
2013 €0.28 18.12% 2.85%
12/02/2013 12/09/2013 €0.0227
11/01/2013 11/08/2013 €0.0233
10/01/2013 10/08/2013 €0.023
09/02/2013 09/09/2013 €0.0236
08/01/2013 08/08/2013 €0.0233
07/01/2013 07/08/2013 €0.0243
06/03/2013 06/10/2013 €0.0226
05/01/2013 05/08/2013 €0.0228
04/01/2013 04/08/2013 €0.023
03/01/2013 03/08/2013 €0.0231
02/01/2013 02/08/2013 €0.0224
01/02/2013 01/09/2013 €0.023
2012 €0.23 0.00% 2.83%
12/03/2012 12/10/2012 €0.0232
11/01/2012 11/08/2012 €0.0235
10/01/2012 10/08/2012 €0.0231
09/03/2012 09/10/2012 €0.0235
08/01/2012 08/08/2012 €0.0243
07/02/2012 07/09/2012 €0.0244
06/01/2012 06/08/2012 €0.024
05/01/2012 05/08/2012 €0.0231
04/02/2012 04/09/2012 €0.0229
03/01/2012 03/08/2012 €0.0226

Frequently asked questions

What percentage of dividends does Fidelity Funds - Global Dividend Fund - A USD DIS pay?

The dividend yield is currently 2.22%, and payouts have increased by 0.94% over the past 3 years.

When were the most recent dividend payment dates for Fidelity Funds - Global Dividend Fund - A USD DIS?

The most recent payment was made on 08/10/2026. Previous payments were made on: 07/08/2026, 06/08/2026, and 05/08/2026.

When did you need to hold Fidelity Funds - Global Dividend Fund - A USD DIS in your portfolio to receive the latest dividend?

If you held Fidelity Funds - Global Dividend Fund - A USD DIS in your portfolio on 08/03/2026, you received the payout.

How much was the dividend from Fidelity Funds - Global Dividend Fund - A USD DIS in 2025?

In 2025, Fidelity Funds - Global Dividend Fund - A USD DIS paid €0.46 in dividends.

How much was the dividend from Fidelity Funds - Global Dividend Fund - A USD DIS in 2024?

In 2024, Fidelity Funds - Global Dividend Fund - A USD DIS paid €0.45 in dividends.

When is the next dividend from Fidelity Funds - Global Dividend Fund - A USD DIS expected?

Fidelity Funds - Global Dividend Fund - A USD DIS is expected to pay the next dividend in September.

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