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Last Close
Apr 29  •  04:00PM ET
49.01
Dollar change
-0.36
Percentage change
-0.73
%
Category
Bonds - Corporate
Asset Type
Bonds
Tags
Return% 1Y
10.06%
Total Holdings
301
Perf Week
-0.85%
Sponsor
Fidelity
ETF Type
Tags
Return% 3Y
8.49%
AUM
499.95M
Perf Month
1.90%
Fund Family
Bond Type
Tags
Return% 5Y
3.91%
NAV/sh
Perf Quarter
-1.22%
Index
-
Average Maturity
Tags
Return% 10Y
52W High
49.71 -1.41%
Perf Half Y
-1.19%
Index Weighting
Commodity Type
Tags
-
Return% SI
52W Low
47.42 3.35%
Perf YTD
-0.65%
Active/Passive
Quant Type
Tags
-
Flows% 1M
-2.82%
Volatility
0.43% 0.47%
Perf Year
2.66%
ESG Type
Tags
-
Flows% 3M
0.07%
ATR (14)
0.25
Perf 3Y
4.17%
Dividend Type
Sector/Theme
Flows% YTD
7.50%
RSI (14)
44.55
Perf 5Y
-9.70%
Structure Type
Region
Flows% 1Y
Beta
0.39
Perf 10Y
-
Expense
0.35%
Growth/Value
SMA20
-0.44%
Flows% 3Y
Rel Volume
0.77
Prev Close
49.37
Inverse/Leveraged
Market Cap
SMA50
-0.14%
Flows% 5Y
Avg Volume
77.89K
Price
49.01
IPO
Jun 14, 2018
Option/Short
No / Yes
SMA200
-0.40%
Trades
Volume
60,298
Change
-0.73%
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Fidelity High Yield Factor ETF seeks a high level of income. The fund normally invests at least 80% of its assets in debt securities rated below investment grade (also referred to as high yield debt securities or junk bonds). The advisor uses the ICE BofA BB-B US High Yield Constrained Index as a guide in structuring the fund and selecting its investments as it relates to credit quality distribution and risk characteristics. The fund normally invests primarily in securities rated BB or B by S&P, Ba or B by Moody's, comparably rated by at least one nationally recognized credit rating agency, or, if unrated, considered by FMR to be of comparable quality.