All charts and data below are CPI-U inflation-adjusted and with dividends reinvested. (Why?)

Total Real Returns

FITFX: Total Real Return Chart (Dividends Reinvested, Inflation Adjusted)

Wed 2017-03-15? to Mon 2025-06-23 YTD
Return
TRR
Price
FITFX
×
+13.18%
2025-06-23
1.328 TRR
2025-06-23
Fidelity Flex International Index Fund Mutual Fund

Returns

Wed 2017-03-15? to Mon 2025-06-23 Overall
Return
Exponential
Trendline
FITFX
×
+32.80%
+3.49%/yr
+1.01%/yr
(R2=0.064)
Fidelity Flex International Index Fund Mutual Fund

Growth of $10,000

Wed 2017-03-15? to Mon 2025-06-23 Start
Value
End
Value
FITFX
×
$10,000.00
2017-03-15
$13,280.00
2025-06-23
Fidelity Flex International Index Fund Mutual Fund

Annual Returns

Year FITFX
2025 (YTD) +13.18%
2024 +2.40%
2023 +11.70%
2022 −20.80%
2021 +0.62%
2020 +9.28%
2019 +19.80%
2018 −15.57%
2017 +16.44%

Drawdowns

Wed 2017-03-15? to Mon 2025-06-23 Current
Drawdown
Worst
Drawdown
FITFX
×
−3.92% −36.98%
2020-03-23
Fidelity Flex International Index Fund Mutual Fund