FTBD - Fidelity Tactical Bond ETF (FTBD)

FTBD - Monthly dividend ETF

Key Metrics

Current Price
$49.13
Yield
4.21%
1-Year Return
6.77%
DRIP/NAV Return
6.94%
Frequency
monthly
Expense Ratio
0.5500%
AUM
37.05
Inception Date
Tue Jan 24 2023 00:00:00 GMT+0000 (Coordinated Universal Time)

Recent Dividend History

Ex-Dividend DateAmount
3/30/2026 $0.2020
2/26/2026 $0.1630
1/29/2026 $0.1520
12/30/2025 $0.4090
11/26/2025 $0.1530
10/30/2025 $0.1960
9/29/2025 $0.1840
8/28/2025 $0.2090
7/30/2025 $0.2230
6/27/2025 $0.1860
5/29/2025 $0.2030
4/29/2025 $0.2150
3/28/2025 $0.1840
2/27/2025 $0.1900
1/30/2025 $0.1420
12/30/2024 $0.2810
11/27/2024 $0.1820
10/30/2024 $0.1650
9/27/2024 $0.1570
8/29/2024 $0.1620