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Fidelity Total Bond ETF (FBND)

Fidelity Total Bond ETF (FBND)
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Overview

Name Fidelity Total Bond ETF
Fund Family Fidelity Investments
Underlying Index Bloomberg Barclays U.S. Universal Bond Index
Inception Date 10/09/14
First Trade Date 10/09/14
Leverage Long
Asset Class Fixed Income

Description:

The Fidelity Total Bond ETF is an actively managed fund to have similar overall interest rate risk to the Bloomberg Barclays U.S. Universal Bond Index. The Fund seeks to provide a high rate of income, normally investing at least 80% of assets in debt securities of all types and repurchase agreements for those securities. Investing up to 20% of assets in lower-quality debt securities (those of less than investment-grade quality, also referred to as high yield debt securities or junk bonds).

Investment Information

Alpha 1.03
60-Month Beta 0.17
Standard Deviation +0.49
Shares Outstanding, K 199,552.00
Managed Assets, $K 8,807,626.40 K
Net Asset Value 44.14
First Trade Price 50.25
P/E Ratio 0.11
Management Fee 0.36%
Options Yes
Latest Dividend 0.181
Last Dividend Date 04/26/24
Annual Dividend 2.05
Annual Dividend Yield 4.64%
1-Year Return -3.39%
3-Year Return -16.65%
5-Year Return -11.74%
Management Expense Ratio 0.36%

FBND Dividends

Date Value
04/26/24 $0.1810
03/26/24 $0.1700
02/27/24 $0.1720
01/29/24 $0.1750
12/27/23 $0.1850
11/28/23 $0.1700
10/27/23 $0.1770
09/27/23 $0.1490
08/29/23 $0.1690
07/27/23 $0.1660
06/28/23 $0.1830
05/26/23 $0.1510
04/26/23 $0.1550
03/29/23 $0.1580
02/24/23 $0.1550
01/27/23 $0.1430
12/28/22 $0.1520
11/28/22 $0.1390
10/27/22 $0.1470
09/28/22 $0.1290
08/29/22 $0.1270
07/27/22 $0.1180
06/28/22 $0.1130
05/26/22 $0.1070
04/27/22 $0.0980
03/29/22 $0.0970
02/24/22 $0.0800
01/27/22 $0.0760
12/29/21 $0.0760
11/26/21 $0.0760
10/27/21 $0.0770
09/28/21 $0.0780
08/27/21 $0.0850
07/28/21 $0.0840
06/28/21 $0.0860
05/26/21 $0.0860
04/28/21 $0.0890
03/29/21 $0.0850
02/24/21 $0.0850
01/27/21 $0.0810
12/29/20 $0.0840
12/04/20 $0.6000
11/25/20 $0.0870
10/28/20 $0.0970
09/28/20 $0.1110
08/27/20 $0.1160
07/29/20 $0.1040
06/26/20 $0.0910
05/27/20 $0.1030
04/28/20 $0.1320
03/27/20 $0.1300
02/26/20 $0.1080
01/29/20 $0.1060
12/27/19 $0.1240
11/26/19 $0.1230
10/29/19 $0.1150
09/26/19 $0.1230
08/28/19 $0.1230
07/29/19 $0.1280
06/26/19 $0.1310
05/29/19 $0.1330
04/26/19 $0.1320
03/27/19 $0.1280
02/26/19 $0.1270
01/29/19 $0.1150
12/27/18 $0.1300
11/28/18 $0.1190
10/29/18 $0.1200
09/26/18 $0.1130
08/29/18 $0.1200
07/27/18 $0.1300
06/27/18 $0.1210
05/29/18 $0.1190
04/26/18 $0.1260
03/27/18 $0.1200
02/26/18 $0.1000
01/29/18 $0.1020
12/27/17 $0.0960
11/28/17 $0.1200
10/27/17 $0.1050
09/27/17 $0.0950
08/29/17 $0.1070
07/27/17 $0.1090
06/28/17 $0.1070
05/26/17 $0.1020
04/26/17 $0.1140
03/29/17 $0.1170
02/24/17 $0.1100
01/27/17 $0.1030
12/28/16 $0.1110
11/28/16 $0.1150
10/27/16 $0.0970
09/28/16 $0.1010
08/29/16 $0.1410
07/27/16 $0.1160
06/28/16 $0.1280
05/26/16 $0.1270
04/27/16 $0.1250
03/29/16 $0.1300
02/25/16 $0.1230
01/27/16 $0.0990
12/29/15 $0.1560
11/25/15 $0.1280
10/28/15 $0.1220
09/28/15 $0.1410
08/27/15 $0.1340
07/29/15 $0.1470
06/26/15 $0.1420
05/27/15 $0.1140
04/28/15 $0.1320
03/27/15 $0.1200
02/25/15 $0.1090
01/28/15 $0.1220
12/29/14 $0.1290
11/26/14 $0.1200
10/28/14 $0.0790
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