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SYMBOL LAST CHANGE BID/NAV ASK/POP VOLUME HIGH LOW DATE/TIME
FSLSX 35.92 0.29 35.92 35.92 N/A N/A N/A
200357 Unknown symbol. You may lookup the symbol.
G 40.6850 -0.2550 N/A N/A 406,931 41.0900 40.4400 08/22/2019  2:39pm
EQPGX 13.69 0.14 13.69 13.69 N/A N/A N/A
Quotes are displayed by Date/Time in Eastern time. All Quotes are Delayed

 
MUTUAL FUND QUOTE Top
FIDELITY VALUE STRATEGIES FUND (FSLSX)

As of:08/21/2019

NAV 35.92   Offer Price (POP) 35.92
Net Change 0.29   Load % 0.0000%
Net Change % 0.81%   Last Dividend (12/27/2018) 0.3780
Previous NAV 35.63   Last Cap Gain ST (12/26/2018) 0.051
Previous NAV Date 08/20/2019   Last Cap Gain LT (12/26/2018) 3.989
Fund Number 00014   30-Day Yield % 0.00
Quotes are displayed by Date/Time in Eastern time. Trade | Chart | Research
 
STOCK QUOTE Top
GENPACT LIMITED (G)

As of: 08/22/2019, 2:39pm

Last Trade [tick] 40.6850 [-]   Volume 406,931
Net Change -0.2550   52 Week High 44.5500 on 08/08/2019
Net Change % -0.62%   52 Week Low 25.4800 on 12/26/2018
Bid N/A   Ex. Dividend Date
Bid Size N/A   Dividend Pay Date
Ask N/A   Dividend Rate
Ask Size N/A   P/E Ratio 27.6600
Bid Exchange N/A   Yield 0.83%
Ask Exchange N/A   Split Factor 0.00
Last Trade Exchange NASDAQ-NMS   EPS +1.4800
Open 41.0100   Currency USD
Day High 41.0900   Primary Exchange NYSE
Day Low 40.4400  
Stock Research (G)
  Get (G)  
Prev Close Price 40.9400  
Prev Close Date 08/21/2019  
Quotes are delayed at least 15 minutes and are reflected as composite quotes.  Quotes are displayed by Date/Time in Eastern time.
 
MUTUAL FUND QUOTE Top
FIDELITY ADVISOR EQUITY GROWTH FUND - CLASS I (EQPGX)

As of:08/21/2019

NAV 13.69   Offer Price (POP) 13.69
Net Change 0.14   Load % 0.0000%
Net Change % 1.03%   Last Dividend (12/28/2012) 0.0018
Previous NAV 13.55   Last Cap Gain ST (12/26/2017) 1.061
Previous NAV Date 08/20/2019   Last Cap Gain LT (12/26/2018) 0.72
Fund Number 00086   30-Day Yield % 0.00
Quotes are displayed by Date/Time in Eastern time. Trade | Chart | Research