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Fidelity Low Duration Bond Factor ETF (FLDR)

Fidelity Low Duration Bond Factor ETF (FLDR)
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Overview

Name Fidelity Low Duration Bond Factor ETF
Fund Family Fidelity Investments
Underlying Index Fidelity Low Duration Investment Grade Factor Index
Inception Date 06/12/18
First Trade Date 06/29/98
Leverage Long
Asset Class Fixed Income

Description:

The Fidelity Low Duration Bond Factor ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity Low Duration Investment Grade Factor Index.

Investment Information

Alpha 0.58
60-Month Beta 0.07
Standard Deviation +0.68
Shares Outstanding, K 8,700.00
Managed Assets, $K 433,956.00 K
Net Asset Value 49.88
First Trade Price 4.75
P/E Ratio 0.00
Management Fee 0.15%
Options No
Latest Dividend 0.247
Last Dividend Date 04/26/24
Annual Dividend 2.77
Annual Dividend Yield 5.55%
1-Year Return 0.08%
3-Year Return -1.75%
5-Year Return -1.07%
Management Expense Ratio 0.15%

FLDR Dividends

Date Value
04/26/24 $0.2470
03/26/24 $0.2160
02/27/24 $0.2330
01/29/24 $0.2330
12/27/23 $0.2430
11/28/23 $0.2380
10/27/23 $0.2310
09/27/23 $0.2290
08/29/23 $0.2370
07/27/23 $0.2090
06/28/23 $0.2270
05/26/23 $0.2230
04/26/23 $0.2170
03/29/23 $0.1900
02/24/23 $0.2080
01/27/23 $0.1800
12/28/22 $0.2190
11/28/22 $0.1690
10/27/22 $0.1400
09/28/22 $0.1100
08/29/22 $0.1100
07/27/22 $0.0810
06/28/22 $0.0650
05/26/22 $0.0460
04/27/22 $0.0350
03/29/22 $0.0230
02/24/22 $0.0250
01/27/22 $0.0120
12/29/21 $0.0300
11/26/21 $0.0210
10/27/21 $0.0200
09/28/21 $0.0190
08/27/21 $0.0200
07/28/21 $0.0210
06/28/21 $0.0220
05/26/21 $0.0210
04/28/21 $0.0230
03/29/21 $0.0190
02/24/21 $0.0250
01/27/21 $0.0170
12/29/20 $0.0290
11/25/20 $0.0250
10/28/20 $0.0220
09/28/20 $0.0260
08/27/20 $0.0280
07/29/20 $0.0400
06/26/20 $0.0480
05/27/20 $0.0620
04/28/20 $0.0780
03/27/20 $0.0910
02/26/20 $0.0890
01/29/20 $0.0870
12/27/19 $0.1410
11/26/19 $0.1010
10/29/19 $0.0960
09/26/19 $0.0970
08/28/19 $0.1040
07/29/19 $0.1110
06/26/19 $0.1190
05/29/19 $0.1260
04/26/19 $0.1250
03/27/19 $0.1110
02/26/19 $0.1400
01/29/19 $0.0910
12/27/18 $0.1140
11/28/18 $0.1070
10/29/18 $0.0890
09/26/18 $0.1010
08/29/18 $0.1100
07/27/18 $0.1080
06/27/18 $0.0570
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