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Fidelity Ltd Term Bond ETF (FLTB)

Fidelity Ltd Term Bond ETF (FLTB)
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Overview

Name Fidelity Limited Term Bond ETF
Fund Family Fidelity Investments
Underlying Index Fidelity Limited Term Composite Index
Inception Date 10/09/14
First Trade Date 10/09/14
Leverage Long
Asset Class Fixed Income

Description:

The Fidelity Limited Term Bond ETF is an actively managed fund to have similar overall interest rate risk to the Fidelity Limited Term Composite Index. The Fund seeks to provide a high rate of income, normally investing at least 80% of assets in investment-grade debt securities (those of medium and high quality) of all types and repurchase agreements for those securities.

Investment Information

Alpha 0.90
60-Month Beta 0.10
Standard Deviation +1.43
Shares Outstanding, K 2,950.00
Managed Assets, $K 143,843.20 K
Net Asset Value 48.76
First Trade Price 50.30
P/E Ratio 0.00
Management Fee 0.36%
Options No
Latest Dividend 0.170
Last Dividend Date 04/26/24
Annual Dividend 1.71
Annual Dividend Yield 3.51%
1-Year Return 0.17%
3-Year Return -6.84%
5-Year Return -2.46%
Management Expense Ratio 0.36%

FLTB Dividends

Date Value
04/26/24 $0.1700
03/26/24 $0.1620
02/27/24 $0.1520
01/29/24 $0.1460
12/27/23 $0.1500
11/28/23 $0.1470
10/27/23 $0.1400
09/27/23 $0.1410
08/29/23 $0.1350
07/27/23 $0.1200
06/28/23 $0.1300
05/26/23 $0.1200
04/26/23 $0.1210
03/29/23 $0.1120
02/24/23 $0.1000
01/27/23 $0.1560
12/28/22 $0.1250
11/28/22 $0.0860
10/27/22 $0.0860
09/28/22 $0.0730
08/29/22 $0.0730
07/27/22 $0.0630
06/28/22 $0.0540
05/26/22 $0.0490
04/27/22 $0.0460
03/29/22 $0.0420
02/24/22 $0.0460
01/27/22 $0.0380
12/29/21 $0.0380
11/26/21 $0.0400
10/27/21 $0.0360
09/28/21 $0.0360
08/27/21 $0.0330
07/28/21 $0.0490
06/28/21 $0.0360
05/26/21 $0.0260
04/28/21 $0.0400
03/29/21 $0.0360
02/24/21 $0.0460
01/27/21 $0.0440
12/29/20 $0.0450
11/25/20 $0.0490
10/28/20 $0.0500
09/28/20 $0.0520
08/27/20 $0.0510
07/29/20 $0.0870
06/26/20 $0.0570
05/27/20 $0.0850
04/28/20 $0.0970
03/27/20 $0.0920
02/26/20 $0.0870
01/29/20 $0.0750
12/27/19 $0.1500
11/26/19 $0.0830
10/29/19 $0.1020
09/26/19 $0.1180
08/28/19 $0.1140
07/29/19 $0.1120
06/26/19 $0.1150
05/29/19 $0.1100
04/26/19 $0.1190
03/27/19 $0.1110
02/26/19 $0.1110
01/29/19 $0.1120
12/27/18 $0.0920
11/28/18 $0.1630
10/29/18 $0.1130
09/26/18 $0.1090
08/29/18 $0.1090
07/27/18 $0.0630
06/27/18 $0.1510
05/29/18 $0.0810
04/26/18 $0.1130
03/27/18 $0.0840
02/26/18 $0.0820
01/29/18 $0.0750
12/27/17 $0.0740
11/28/17 $0.0730
10/27/17 $0.0740
09/27/17 $0.0720
08/29/17 $0.0710
07/27/17 $0.0720
06/28/17 $0.0730
05/26/17 $0.0720
04/26/17 $0.0800
03/29/17 $0.0720
02/24/17 $0.0650
01/27/17 $0.0960
12/28/16 $0.0640
11/28/16 $0.0460
10/27/16 $0.0630
09/28/16 $0.0620
08/29/16 $0.0610
07/27/16 $0.0620
06/28/16 $0.0690
05/26/16 $0.0990
04/27/16 $0.0420
03/29/16 $0.0890
02/25/16 $0.0550
01/27/16 $0.0310
12/29/15 $0.0660
11/25/15 $0.0410
10/28/15 $0.0410
09/28/15 $0.0650
08/27/15 $0.0660
07/29/15 $0.1770
06/26/15 $0.0180
05/27/15 $0.0480
04/28/15 $0.1210
03/27/15 $0.0470
02/25/15 $0.0550
01/28/15 $0.0660
12/29/14 $0.0680
11/26/14 $0.0650
10/28/14 $0.0400
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