Fidelity National Municipal Funds Interest Dividends by State

Fidelity National Municipal Funds Interest Dividends by State

The table below lists the national municipal fund 2023 interest dividends by state and territory. If you do not see a state or territory listed in the table for a particular fund, the percentage for each month was 0.000%

State/

Territory

Fidelity Muni

Money Market

Fund

[10]

ALABAMA

ALASKA

ARIZONA

ARKANSAS

CALIFORNIA

COLORADO

CONNECTICUT

DELAWARE

DISTRICT OF COLUMBIA

FLORIDA

GEORGIA

GUAM

HAWAII

IDAHO

ILLINOIS

INDIANA

IOWA

KANSAS

KENTUCKY

LOUISIANA

MAINE

MARYLAND

MASSACHUSETTS

MICHIGAN

MINNESOTA

MISSISSIPPI

MISSOURI

MONTANA

NEBRASKA

NEVADA

NEW HAMPSHIRE

NEW JERSEY

NEW MEXICO

NEW YORK

NORTH CAROLINA

NORTH DAKOTA

OHIO

OKLAHOMA

OREGON

PENNSYLVANIA

PUERTO RICO

RHODE ISLAND

SOUTH CAROLINA

SOUTH DAKOTA

TENNESSEE

4.20%

1.36%

1.34%

0.60%

0.76%

2.46%

3.08%

0.27%

0.95%

8.90%

4.12%

0.00%

0.75%

0.08%

9.54%

2.82%

3.82%

2.00%

2.28%

2.17%

0.00%

0.43%

0.84%

2.21%

0.32%

0.83%

1.56%

0.00%

1.39%

0.86%

0.01%

2.20%

0.06%

6.90%

0.48%

0.01%

1.65%

0.52%

0.52%

2.48%

0.00%

0.00%

0.87%

0.00%

0.73%

563636.16.0

Fidelity Inter

Fidelity

Muni Income Advisor Inter

Fund

Muni Income

[36]

Fund: [Multi]

2.44%

0.25%

2.71%

0.00%

4.98%

2.69%

1.59%

0.14%

1.40%

7.41%

3.64%

0.00%

0.51%

0.11%

12.89%

1.20%

0.37%

0.03%

2.64%

0.89%

0.17%

1.62%

1.67%

2.85%

0.73%

0.67%

0.70%

0.28%

0.49%

0.92%

0.98%

5.30%

0.06%

7.87%

0.71%

0.19%

1.46%

0.20%

1.21%

4.51%

0.88%

0.72%

0.75%

0.08%

0.67%

2.44%

0.25%

2.71%

0.00%

4.98%

2.69%

1.59%

0.14%

1.40%

7.41%

3.64%

0.00%

0.51%

0.11%

12.89%

1.20%

0.37%

0.03%

2.64%

0.89%

0.17%

1.62%

1.67%

2.85%

0.73%

0.67%

0.70%

0.28%

0.49%

0.92%

0.98%

5.30%

0.06%

7.87%

0.71%

0.19%

1.46%

0.20%

1.21%

4.51%

0.88%

0.72%

0.75%

0.08%

0.67%

Fidelity Muni

Income Fund

[37]

Fidelity

Advisor Muni

Income Fund:

[Multi]

FIMM:

Tax-Exempt:

Class I

[56]

FIMM:

Tax-Exempt:

Class II

[544]

FIMM:

Tax-Exempt:

Class III

[684]

FIMM:

Tax-Exempt:

Select Class

[938]

0.94%

0.02%

2.07%

0.00%

4.16%

2.34%

1.75%

0.05%

0.98%

6.19%

3.30%

0.00%

0.36%

0.01%

18.81%

1.08%

0.28%

0.01%

1.00%

1.03%

1.16%

1.48%

3.63%

1.99%

0.91%

0.85%

0.89%

0.11%

0.51%

0.24%

1.86%

5.44%

0.05%

7.26%

0.62%

0.12%

2.28%

0.16%

0.95%

7.57%

2.16%

0.42%

1.70%

0.11%

0.54%

0.94%

0.02%

2.07%

0.00%

4.16%

2.34%

1.75%

0.05%

0.98%

6.19%

3.30%

0.00%

0.36%

0.01%

18.81%

1.08%

0.28%

0.01%

1.00%

1.03%

1.16%

1.48%

3.63%

1.99%

0.91%

0.85%

0.89%

0.11%

0.51%

0.24%

1.86%

5.44%

0.05%

7.26%

0.62%

0.12%

2.28%

0.16%

0.95%

7.57%

2.16%

0.42%

1.70%

0.11%

0.54%

2.19%

1.89%

1.07%

0.00%

0.41%

1.38%

4.89%

0.45%

1.08%

5.12%

3.87%

0.00%

0.14%

0.04%

6.45%

2.11%

1.68%

1.31%

0.63%

3.62%

0.00%

0.67%

0.88%

3.23%

1.01%

0.50%

2.35%

0.00%

0.98%

0.68%

0.00%

2.68%

0.06%

10.64%

1.10%

0.01%

4.82%

0.32%

0.40%

3.06%

0.00%

0.31%

1.35%

0.08%

0.77%

2.19%

1.89%

1.07%

0.00%

0.41%

1.38%

4.89%

0.45%

1.08%

5.12%

3.87%

0.00%

0.14%

0.04%

6.45%

2.11%

1.68%

1.31%

0.63%

3.62%

0.00%

0.67%

0.88%

3.23%

1.01%

0.50%

2.35%

0.00%

0.98%

0.68%

0.00%

2.68%

0.06%

10.64%

1.10%

0.01%

4.82%

0.32%

0.40%

3.06%

0.00%

0.31%

1.35%

0.08%

0.77%

2.19%

1.89%

1.07%

0.00%

0.41%

1.38%

4.89%

0.45%

1.08%

5.12%

3.87%

0.00%

0.14%

0.04%

6.45%

2.11%

1.68%

1.31%

0.63%

3.62%

0.00%

0.67%

0.88%

3.23%

1.01%

0.50%

2.35%

0.00%

0.98%

0.68%

0.00%

2.68%

0.06%

10.64%

1.10%

0.01%

4.82%

0.32%

0.40%

3.06%

0.00%

0.31%

1.35%

0.08%

0.77%

2.19%

1.89%

1.07%

0.00%

0.41%

1.38%

4.89%

0.45%

1.08%

5.12%

3.87%

0.00%

0.14%

0.04%

6.45%

2.11%

1.68%

1.31%

0.63%

3.62%

0.00%

0.67%

0.88%

3.23%

1.01%

0.50%

2.35%

0.00%

0.98%

0.68%

0.00%

2.68%

0.06%

10.64%

1.10%

0.01%

4.82%

0.32%

0.40%

3.06%

0.00%

0.31%

1.35%

0.08%

0.77%

Tax-Exempt

Tax Exempt

Tax-Exempt

Fidelity

Fund: Capital

Fund: Daily

Fund:

Limited Term

Reserves

Money Classes Premium Class Muni Income

[79]

[84]

[2737]

Fund

[404]

2.56%

2.22%

1.42%

0.00%

0.23%

2.48%

5.11%

0.21%

0.56%

6.32%

3.98%

0.00%

0.17%

0.05%

7.32%

1.78%

1.38%

1.36%

0.66%

2.91%

0.00%

0.69%

0.70%

3.08%

1.32%

0.36%

2.25%

0.00%

1.11%

0.92%

0.00%

3.06%

0.05%

7.99%

0.92%

0.02%

4.81%

0.56%

0.54%

3.24%

0.00%

0.07%

1.23%

0.19%

0.97%

Fidelity Investments Institutional Operations Company LLC, 900 Salem Street, Smithfield, RI 02917

2.56%

2.22%

1.42%

0.00%

0.23%

2.48%

5.11%

0.21%

0.56%

6.32%

3.98%

0.00%

0.17%

0.05%

7.32%

1.78%

1.38%

1.36%

0.66%

2.91%

0.00%

0.69%

0.70%

3.08%

1.32%

0.36%

2.25%

0.00%

1.11%

0.92%

0.00%

3.06%

0.05%

7.99%

0.92%

0.02%

4.81%

0.56%

0.54%

3.24%

0.00%

0.07%

1.23%

0.19%

0.97%

2.56%

2.22%

1.42%

0.00%

0.23%

2.48%

5.11%

0.21%

0.56%

6.32%

3.98%

0.00%

0.17%

0.05%

7.32%

1.78%

1.38%

1.36%

0.66%

2.91%

0.00%

0.69%

0.70%

3.08%

1.32%

0.36%

2.25%

0.00%

1.11%

0.92%

0.00%

3.06%

0.05%

7.99%

0.92%

0.02%

4.81%

0.56%

0.54%

3.24%

0.00%

0.07%

1.23%

0.19%

0.97%

2.52%

0.20%

3.82%

0.00%

4.56%

1.74%

3.62%

0.15%

1.84%

5.73%

3.76%

0.00%

0.62%

0.01%

11.84%

2.08%

0.10%

0.05%

4.01%

0.67%

0.10%

2.52%

1.36%

1.17%

1.44%

0.24%

0.55%

0.29%

1.13%

0.69%

0.37%

6.98%

1.34%

10.08%

1.27%

0.22%

1.91%

0.56%

0.31%

2.08%

1.54%

1.26%

0.95%

0.00%

1.57%

Fidelity

Advisor

Limited Term

Muni Income

Fund

[Multi]

Fidelity TaxFree Bond

Fund

[90]

2.52%

0.20%

3.82%

0.00%

4.56%

1.74%

3.62%

0.15%

1.84%

5.73%

3.76%

0.00%

0.62%

0.01%

11.84%

2.08%

0.10%

0.05%

4.01%

0.67%

0.10%

2.52%

1.36%

1.17%

1.44%

0.24%

0.55%

0.29%

1.13%

0.69%

0.37%

6.98%

1.34%

10.08%

1.27%

0.22%

1.91%

0.56%

0.31%

2.08%

1.54%

1.26%

0.95%

0.00%

1.57%

1.53%

0.19%

2.59%

0.00%

3.26%

1.01%

2.39%

0.00%

0.92%

5.98%

3.34%

0.00%

0.05%

0.19%

16.70%

1.26%

0.39%

0.07%

2.46%

0.30%

1.17%

1.20%

1.98%

2.13%

1.82%

0.17%

1.26%

0.11%

0.99%

0.70%

1.50%

5.93%

0.07%

7.39%

1.51%

0.13%

2.85%

0.13%

0.78%

6.24%

1.81%

0.46%

2.00%

0.14%

0.91%

1.841292.118

Fidelity National Municipal Funds Interest Dividends by State

TEXAS

UTAH

VERMONT

VIRGINIA

WASHINGTON

WEST VIRGINIA

WISCONSIN

WYOMING

12.78%

0.52%

0.05%

0.89%

4.83%

2.21%

2.21%

0.91%

12.21%

0.28%

0.05%

1.64%

2.60%

0.23%

1.81%

0.04%

12.21%

0.28%

0.05%

1.64%

2.60%

0.23%

1.81%

0.04%

4.95%

1.30%

0.57%

0.61%

3.20%

0.11%

1.86%

0.03%

4.95%

1.30%

0.57%

0.61%

3.20%

0.11%

1.86%

0.03%

16.90%

1.26%

0.00%

2.46%

2.37%

0.25%

2.42%

0.33%

16.90%

1.26%

0.00%

2.46%

2.37%

0.25%

2.42%

0.33%

16.90%

1.26%

0.00%

2.46%

2.37%

0.25%

2.42%

0.33%

16.90%

1.26%

0.00%

2.46%

2.37%

0.25%

2.42%

0.33%

17.99%

1.25%

0.00%

2.32%

1.76%

0.27%

1.32%

0.47%

17.99%

1.25%

0.00%

2.32%

1.76%

0.27%

1.32%

0.47%

17.99%

1.25%

0.00%

2.32%

1.76%

0.27%

1.32%

0.47%

8.84%

0.48%

0.21%

0.66%

1.90%

0.17%

1.33%

0.02%

8.84%

0.48%

0.21%

0.66%

1.90%

0.17%

1.33%

0.02%

6.19%

0.79%

0.24%

1.06%

3.20%

0.09%

2.49%

0.00%

The table below lists the national municipal fund 2023 interest dividends by state and territory.

State/

Territory

Fidelity Muni

Income 2023

Fund [2523]

Fidelity

Advisor Muni

Income 2023

Fund: [Multi]

Fidelity

Conserv

Income Muni

Bond Fund

[2578]

Fidelity

Conserv

Income Muni

Bond Fund:

Inst Class

[2579]

Fidelity Muni

Income 2025

Fund [2948]

Fidelity

Advisor Muni

Income 2025

Fund: [Multi]

Fidelity

Advisor

Conserv

Income Muni

Bond Fund:

[Multi]

Fidelity Muni

Bond Index

Fund:

[3469]

Fidelity

Sustainable

Inter Muni

Income Fund:

[6532]

Fidelity

Advisor

Sustainable

Inter Muni

Income Fund:

[Multi]

Fidelity

Muni Core

Plus Bond

Fund:

[7330]

Fidelity

Advisor Muni

Core Plus

Bond Fund:

[Multi]

ALABAMA

ALASKA

ARIZONA

ARKANSAS

CALIFORNIA

COLORADO

CONNECTICUT

DELAWARE

DISTRICT OF COLUMBIA

FLORIDA

GEORGIA

GUAM

HAWAII

IDAHO

ILLINOIS

INDIANA

IOWA

KANSAS

KENTUCKY

LOUISIANA

MAINE

MARYLAND

MASSACHUSETTS

MICHIGAN

MINNESOTA

MISSISSIPPI

MISSOURI

MONTANA

NEBRASKA

NEVADA

NEW HAMPSHIRE

NEW JERSEY

NEW MEXICO

NEW YORK

NORTH CAROLINA

NORTH DAKOTA

OHIO

OKLAHOMA

OREGON

3.17%

0.07%

11.05%

1.58%

5.02%

0.74%

2.77%

0.10%

0.26%

6.13%

1.07%

0.00%

0.02%

0.00%

9.39%

3.02%

0.19%

0.03%

0.66%

0.98%

0.74%

0.26%

3.18%

2.59%

0.56%

1.92%

0.11%

0.00%

2.26%

0.38%

0.00%

7.69%

0.42%

7.75%

0.11%

0.00%

4.39%

0.00%

2.00%

3.17%

0.07%

11.05%

1.58%

5.02%

0.74%

2.77%

0.10%

0.26%

6.13%

1.07%

0.00%

0.02%

0.00%

9.39%

3.02%

0.19%

0.03%

0.66%

0.98%

0.74%

0.26%

3.18%

2.59%

0.56%

1.92%

0.11%

0.00%

2.26%

0.38%

0.00%

7.69%

0.42%

7.75%

0.11%

0.00%

4.39%

0.00%

2.00%

4.13%

0.06%

3.51%

0.13%

12.92%

2.26%

0.56%

0.04%

0.68%

4.91%

4.76%

0.16%

0.75%

0.00%

10.12%

2.37%

0.08%

0.01%

4.43%

2.94%

0.40%

0.81%

0.65%

0.90%

0.47%

0.42%

0.58%

0.03%

0.45%

1.08%

0.16%

4.00%

0.21%

6.79%

0.39%

0.00%

1.59%

1.22%

0.71%

4.13%

0.06%

3.51%

0.13%

12.92%

2.26%

0.56%

0.04%

0.68%

4.91%

4.76%

0.16%

0.75%

0.00%

10.12%

2.37%

0.08%

0.01%

4.43%

2.94%

0.40%

0.81%

0.65%

0.90%

0.47%

0.42%

0.58%

0.03%

0.45%

1.08%

0.16%

4.00%

0.21%

6.79%

0.39%

0.00%

1.59%

1.22%

0.71%

4.27%

0.02%

2.16%

0.00%

3.16%

0.91%

8.94%

0.03%

1.17%

6.89%

1.45%

0.00%

4.51%

0.00%

9.39%

0.57%

0.04%

0.01%

2.10%

0.60%

2.45%

0.62%

6.14%

2.90%

0.00%

0.06%

3.35%

0.00%

0.86%

0.26%

1.24%

4.46%

0.00%

2.82%

0.02%

0.00%

4.31%

0.00%

2.97%

4.27%

0.02%

2.16%

0.00%

3.16%

0.91%

8.94%

0.03%

1.17%

6.89%

1.45%

0.00%

4.51%

0.00%

9.39%

0.57%

0.04%

0.01%

2.10%

0.60%

2.45%

0.62%

6.14%

2.90%

0.00%

0.06%

3.35%

0.00%

0.86%

0.26%

1.24%

4.46%

0.00%

2.82%

0.02%

0.00%

4.31%

0.00%

2.97%

4.13%

0.06%

3.51%

0.13%

12.92%

2.26%

0.56%

0.04%

0.68%

4.91%

4.76%

0.16%

0.75%

0.00%

10.12%

2.37%

0.08%

0.01%

4.43%

2.94%

0.40%

0.81%

0.65%

0.90%

0.47%

0.42%

0.58%

0.03%

0.45%

1.08%

0.16%

4.00%

0.21%

6.79%

0.39%

0.00%

1.59%

1.22%

0.71%

1.54%

0.05%

1.01%

0.07%

19.07%

2.31%

1.20%

0.38%

1.60%

4.79%

1.88%

0.00%

0.72%

0.10%

5.79%

0.71%

0.41%

0.06%

0.90%

0.46%

0.00%

1.64%

2.69%

1.86%

1.55%

0.24%

0.53%

0.21%

0.34%

0.42%

0.00%

5.07%

0.39%

15.56%

0.88%

0.18%

2.03%

0.30%

0.90%

2.60%

0.01%

3.82%

0.00%

7.38%

2.77%

3.01%

0.78%

0.24%

8.16%

6.80%

0.00%

0.06%

0.00%

6.15%

1.84%

1.17%

0.01%

1.63%

1.12%

0.08%

2.16%

6.89%

1.65%

2.35%

0.05%

0.02%

0.00%

1.39%

0.01%

1.49%

4.64%

0.00%

12.72%

0.83%

0.00%

3.26%

0.32%

1.73%

2.60%

0.01%

3.82%

0.00%

7.38%

2.77%

3.01%

0.78%

0.24%

8.16%

6.80%

0.00%

0.06%

0.00%

6.15%

1.84%

1.17%

0.01%

1.63%

1.12%

0.08%

2.16%

6.89%

1.65%

2.35%

0.05%

0.02%

0.00%

1.39%

0.01%

1.49%

4.64%

0.00%

12.72%

0.83%

0.00%

3.26%

0.32%

1.73%

3.14%

0.06%

1.97%

0.00%

8.26%

1.74%

5.62%

0.09%

1.60%

2.02%

3.18%

0.00%

0.58%

0.00%

8.99%

0.41%

0.87%

0.03%

2.90%

1.31%

0.00%

1.05%

3.18%

0.63%

1.44%

0.72%

0.07%

0.00%

0.20%

4.50%

0.17%

9.30%

0.03%

9.59%

0.29%

1.38%

2.03%

0.01%

0.11%

3.14%

0.06%

1.97%

0.00%

8.26%

1.74%

5.62%

0.09%

1.60%

2.02%

3.18%

0.00%

0.58%

0.00%

8.99%

0.41%

0.87%

0.03%

2.90%

1.31%

0.00%

1.05%

3.18%

0.63%

1.44%

0.72%

0.07%

0.00%

0.20%

4.50%

0.17%

9.30%

0.03%

9.59%

0.29%

1.38%

2.03%

0.01%

0.11%

563636.16.0

Fidelity Investments Institutional Operations Company LLC, 900 Salem Street, Smithfield, RI 02917

1.841292.118

Fidelity National Municipal Funds Interest Dividends by State

PENNSYLVANIA

PUERTO RICO

RHODE ISLAND

SOUTH CAROLINA

SOUTH DAKOTA

TENNESSEE

TEXAS

UTAH

VERMONT

VIRGINIA

WASHINGTON

WEST VIRGINIA

WISCONSIN

WYOMING

3.11%

0.91%

1.02%

0.31%

0.39%

3.50%

1.45%

0.00%

0.00%

1.66%

5.18%

0.15%

1.54%

0.15%

3.11%

0.91%

1.02%

0.31%

0.39%

3.50%

1.45%

0.00%

0.00%

1.66%

5.18%

0.15%

1.54%

0.15%

3.65%

0.00%

0.05%

1.61%

0.01%

0.71%

13.66%

1.11%

0.10%

0.90%

0.94%

0.45%

1.77%

0.09%

3.65%

0.00%

0.05%

1.61%

0.01%

0.71%

13.66%

1.11%

0.10%

0.90%

0.94%

0.45%

1.77%

0.09%

8.48%

0.67%

0.00%

0.02%

0.00%

2.51%

1.21%

0.16%

2.06%

0.38%

3.05%

0.03%

2.72%

0.02%

8.48%

0.67%

0.00%

0.02%

0.00%

2.51%

1.21%

0.16%

2.06%

0.38%

3.05%

0.03%

2.72%

0.02%

3.65%

0.00%

0.05%

1.61%

0.01%

0.71%

13.66%

1.11%

0.10%

0.90%

0.94%

0.45%

1.77%

0.09%

3.53%

0.00%

0.30%

0.91%

0.00%

1.09%

10.36%

0.67%

0.00%

2.44%

2.61%

0.43%

0.87%

0.03%

1.28%

0.00%

0.81%

0.02%

0.00%

0.57%

3.22%

0.01%

0.00%

2.55%

3.71%

0.18%

0.51%

0.02%

1.28%

0.00%

0.81%

0.02%

0.00%

0.57%

3.22%

0.01%

0.00%

2.55%

3.71%

0.18%

0.51%

0.02%

3.51%

6.90%

2.74%

0.18%

0.01%

1.00%

3.79%

0.02%

0.00%

0.13%

2.20%

0.89%

1.08%

0.08%

3.51%

6.90%

2.74%

0.18%

0.01%

1.00%

3.79%

0.02%

0.00%

0.13%

2.20%

0.89%

1.08%

0.08%

?Certain states require funds to meet in-state investment thresholds before a shareholder can exempt the income earned from both bonds issued by his or her home state. In 2023 none of the funds listed above satisfied the thresholds imposed by California or Minnesota. Certain states, such

as California, may require the payers of exempt interest dividends to report to the state tax authority any municipal bond interest and exempt-interest dividends paid to residents. Other states, such as Illinois, do not exempt interest earned from obligations issued by the state when held indirectly

through a mutual fund.

?Utah residents should refer to the letter, mailed separately, which provides information on the treatment of distributions from Fidelity municipal funds based on Utah's state law.

Fidelity does not provide legal or tax advice. The information herein is general and educational in nature and should not be considered legal or tax advice. Tax laws and regulations are complex and subject to change, which can materially

impact investment results. Fidelity cannot guarantee that the information herein is accurate, complete, or timely. Fidelity makes no warranties with regard to such information or results obtained by its use, and disclaims any liability arising out

of your use of, or any tax position taken in reliance on, such information. Consult an attorney or tax professional regarding your specific situation. This information is prepared for use by Fidelity shareholders only.

563636.16.0

Fidelity Investments Institutional Operations Company LLC, 900 Salem Street, Smithfield, RI 02917

1.841292.118

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