Previous Close | 22.36 |
Open | 22.36 |
Bid | 22.23 x N/A |
Ask | 22.66 x N/A |
Day's Range | 22.35 - 22.36 |
52 Week Range | 20.83 - 23.80 |
Volume | |
Avg. Volume | 0 |
Net Assets | 2.75M |
NAV | 22.57 |
PE Ratio (TTM) | N/A |
Yield | 6.11% |
YTD Daily Total Return | -7.96% |
Beta (5Y Monthly) | 0.00 |
Expense Ratio (net) | 0.53% |
Inception Date | 2019-09-23 |
Fidelity Investments Canada ULC ("Fidelity") today announced the final special reinvested distribution and final net asset values and termination proceeds per Series L unit of the below listed ETFs (the "Fidelity ETFs").
Fidelity Investments Canada ULC today announced the July 2022 cash distributions for Fidelity's suite of High Dividend Factor ETFs, Fixed Income ETFs and Monthly High Income ETFs.
Fidelity Investments Canada ULC today announced the June 2022 cash distributions for Fidelity's suite of High Dividend Factor ETFs, Fixed Income ETFs, Monthly High Income ETFs, Low Volatility Factor ETFs, High Quality Factor ETFs and Value Factor ETFs.