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FIGB Fidelity Investment Grade Bond ETF

40.88 -0.05 (-0.12%)

Quote as of Oct 09, 2026 20:00 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Compare Overlap News
Previous Close40.93 Day Range40.84 – 41.21
52-Week Range40.50 – 44.20 Volume52.57K
Avg Volume106.28K AUM$633.5M (Oct 10, 2026)
Expense Ratio0.36% Yield (TTM)4.29%
NAV40.92 Premium/Discount-0.10% indicative
InceptionMar 02, 2021 Holdings180
IssuerFidelity ExchangeAMEX
CategoryBonds Index TrackedNot stated in source data
CUSIP316188606 ISINUS3161886060
ManagementNot stated in source data

About this ETF

This investment-grade bond ETF serves as a fundamental fixed income option, offering investors a simplified way to access a broad range of highly-rated debt instruments within various U.S. markets.

Description from the fund data provider · profile as of Oct 10, 2026.

Price Chart

Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Source: Financial Modeling Prep.

Performance

1M3M6MYTD1Y3Y*5Y*10Y*Incep.*
Price return -2.57% -4.06% -5.26% -5.87% -6.07% -0.02% -3.97% — -3.47%
Total return -2.57% -3.72% -3.97% -3.70% -2.85% +4.00% -0.60% — -0.32%

* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance through Oct 09, 2026. Past performance does not guarantee future results.

Fees

Net expense ratio0.36% Annual cost of a $10,000 investment$36.00

Illustrative calculation only: expense ratio × $10,000. It excludes trading costs, bid/ask spreads, taxes and changes in investment value. Gross vs. net expense details and any fee waivers are in the prospectus.

Holdings

Holdings as of Oct 10, 2026 · portfolio reporting date from the data provider; holdings are not live positions. 1136 rows in database.

#HoldingTickerWeightSharesMarket Value
1 USTN 4.375% 07/31/31 — 4.17% 28.40M $27.6M
2 USTN 4.375% 05/15/36 — 3.93% 27.82M $26.0M
3 CASH CF — 3.43% 22.74M $22.7M
4 USTB 5% 05/15/56 — 3.32% 24.15M $22.0M
5 USTB 4.75% 08/15/55 — 3.17% 24.03M $21.0M
6 USTN 4.375% 07/31/33 — 2.89% 20.00M $19.2M
7 USTN 4.25% 08/15/35 — 2.69% 19.16M $17.9M
8 USTN 4.125% 02/15/36 — 2.35% 16.92M $15.6M
9 USTN 3.875% 12/31/32 — 1.78% 12.60M $11.8M
10 USTN 3.75% 10/31/32 — 1.43% 10.17M $9.5M
11 UMBS 30YR 2% 11/56 #TBA — 1.31% 11.62M $8.7M
12 USTB 5.125% 08/15/56 — 1.24% 8.80M $8.2M
13 USTN 3.75% 11/30/32 — 1.17% 8.30M $7.7M
14 USTN 3.625% 12/31/30 — 1.09% 7.64M $7.3M
15 USTB 4.625% 11/15/55 — 1.08% 8.35M $7.2M
16 USTN 4.125% 06/30/31 — 0.99% 6.80M $6.6M
17 USTN 4.25% 06/30/33 — 0.98% 6.80M $6.5M
18 USTN 4.625% 08/15/36 — 0.83% 5.80M $5.5M
19 UMBS 30YR 6% 11/56 #TBA — 0.80% 5.42M $5.3M
20 USTN 3.875% 08/15/33 — 0.79% 5.61M $5.2M
21 GNII II 5.5% 11/56 #TBA — 0.78% 5.38M $5.2M
22 USTB 4.75% 05/15/55 — 0.73% 5.55M $4.9M
23 USTN 4.5% 12/31/31 — 0.73% 4.96M $4.8M
24 UMBS 30YR 5% 11/56 #TBA — 0.65% 4.62M $4.3M
25 USTN 4% 01/31/33 — 0.64% 4.54M $4.3M
Show all 1136 holdings →

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Sector Exposure

Cash & Others 100.00%

Geographic Exposure

United States (developed) 63.46%
Other 33.66%
United Kingdom (developed) 0.71%
Mexico (emerging) 0.70%
Ireland (developed) 0.54%
Japan (developed) 0.26%
Switzerland (developed) 0.22%
Netherlands (developed) 0.19%
France (developed) 0.13%
Canada (developed) 0.09%
Cayman Islands 0.05%

Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: No hedging indicated in the fund name.

Distributions

Yield (TTM)4.29% Paid (last 12 months)$1.7550
FrequencyMonthly SEC yieldNot provided by our data source; see the issuer page
Last ex-dateSep 29, 2026 Last payment$0.1510 (Oct 01, 2026)
Growth 1Y-2.45% Growth 3Y / 5Y (ann.)+4.63% / —
Ex-dateRecordPay dateAmount
Sep 29, 2026Sep 29, 2026 Oct 01, 2026$0.1510
Aug 28, 2026Aug 28, 2026 Sep 01, 2026$0.1460
Jul 30, 2026Jul 30, 2026 Aug 03, 2026$0.1450
Jun 29, 2026Jun 29, 2026 Jul 01, 2026$0.1500
May 28, 2026May 28, 2026 Jun 01, 2026$0.1380
Apr 29, 2026Apr 29, 2026 May 01, 2026$0.1490
Mar 30, 2026Mar 30, 2026 Apr 01, 2026$0.1370
Feb 26, 2026Feb 26, 2026 Mar 02, 2026$0.1370
Jan 29, 2026Jan 29, 2026 Feb 02, 2026$0.1290
Dec 30, 2025Dec 30, 2025 Jan 02, 2026$0.1860
Nov 26, 2025Nov 26, 2025 Dec 01, 2025$0.1400
Oct 30, 2025Oct 30, 2025 Nov 03, 2025$0.1470

Trailing distribution yield = last 12 months of cash ÷ current price. It is NOT the SEC 30-day yield and distributions are not guaranteed to continue. The difference explained →

Risk Statistics

Volatility 1Y / 3Y4.28% / 5.85% Sharpe 1Y / 3Y-1.67 / 0.006
Max drawdown 1Y / 3Y-5.79% / -5.79% Sortino 1Y-2.17
Beta vs S&P 500 (3Y)0.046 Correlation vs S&P 500 (1Y)0.334
Downside deviation 1Y3.28% Risk-free rate used4.05% (3M T-bill, FRED)

Computed by ETF Explorer from daily dividend-adjusted closes; volatility and drawdown are annualized/period figures; S&P 500 exposure proxied by SPY. As of Oct 11, 2026. Formulas →

Liquidity

Volume today52.57K Average volume106.28K
AUM$633.5M Premium/Discount-0.10%
Bid/Ask spreadNot provided by our data source. Check your broker's quote screen; spreads are widest at the open and close.

Premium/discount compares the delayed market price with the last reported NAV: an indicative figure, not the official closing premium/discount. How ETF liquidity works →

Fund Flows (estimated)

PeriodEst. net flow% of starting AUMAUM start → end
1 Day $0.00 0.00% $633.5M → $633.5M
1 Month $1.7M +0.26% $643.6M → $633.5M
1 Week -$11.8M -1.84% $643.6M → $633.5M

ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.

Official Fund Resources

External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source; review them before investing.

Latest News for FIGB

No articles mention this fund directly in the last 7 days; showing general ETF coverage.

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All news for FIGB →

Guided help: AUM is fund size. The expense ratio is the yearly cost baked into returns. NAV is the value of what the fund owns per share; the market price can sit slightly above (premium) or below (discount) it. Total return assumes distributions were reinvested. Every dataset shows its own as-of date because holdings, assets and quotes update on different schedules.

Commodity

Commodities (broad)GoldOil & GasSilver

Digital Assets

CryptocurrencyBitcoin

Fixed Income

Bonds (all)Government BondsTreasury BondsCorporate BondsHigh Yield BondsMunicipal BondsInternational BondsTIPS / Inflation-Protected

Income

DividendCovered Call / Option IncomePreferred Stocks

Region

InternationalGlobalDeveloped MarketsEmerging MarketsInternational Small CapFrontier Markets

Sector & Theme

FinancialsTechnologyEnergyReal Estate / REITsHealthcareIndustrialsMaterialsInfrastructureClean Energy

Strategy

Buffer / Defined OutcomeESG / SustainableCurrency HedgedMomentumEqual WeightLow Volatility

Structure

Active ETFsLeveragedInverse

Style & Size

U.S. Large CapGrowthValueU.S. Small CapU.S. Mid CapTotal Market