FLDB
Fidelity Low Duration Bond ETF · NAS
- Category Bond
- Expense Ratio 0.2%
- Listing Date Feb 26, 2024
- Volume 177.0
- Market Cap (AUM) $372.96M
Performance
+0.16%
1W
+0.45%
1M
+1.01%
3M
+1.01%
6M
+1.01%
YTD
+1.01%
1Y
Top Holdings
-
Name
Symbol%Assets
- United States Treasury Notes 3.0% 30-JUN-2024N/A15.61%
- Fidelity Revere Street Trust Taxable Cent Cash FundN/A15.29%
- United States Treasury Notes 4.125% 31-JAN-2025N/A5.33%
- United States Treasury Notes 4.75% 31-JUL-2025N/A3.21%
- ASSET-BACKED SECURITIESN/A1.74%
- HCA Inc. 5.375% 01-FEB-2025N/A0.54%
- Bank of America Corporation 3.384% 02-APR-2026N/A0.53%
- Canadian Natural Resources Limited 3.9% 01-FEB-2025N/A0.50%
- BPCE S.A. 2.375% 14-JAN-2025N/A0.47%
- Citigroup Inc. 3.106% 08-APR-2026N/A0.46%
Technical Analysis of FLDB 2024-05-03
Overview:
In analyzing the technical indicators for FLDB over the last 5 days, we will delve into the trend, momentum, volatility, and volume indicators to provide a comprehensive outlook on the possible stock price movement in the coming days. By examining these key indicators, we aim to offer valuable insights and predictions for potential inv...
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