Components Fidelity Low Volatility Factor ETF - USD

ETF

FDLO

US3160928244

Delayed Nyse 12:48:57 2024-04-29 EDT 5-day change 1st Jan Change
54.61 USD +0.33% Intraday chart for Fidelity Low Volatility Factor ETF - USD +0.85% +3.08%

Composition of Fidelity Low Volatility Factor ETF - USD

Weight
401.1 USD -1.28%+0.12%+6.76%7.49%
174.7 USD +3.17%+5.17%-9.41%6.64%
166.8 USD -2.99%+6.90%+19.60%3.88%
180.4 USD +0.45%+1.87%+18.82%3.84%
60.08 USD -0.12%-0.07%+14.36%2.11%
733.2 USD -0.04%+0.29%+25.83%1.96%
272.7 USD -0.65%+0.17%+4.78%1.64%
490.4 USD -0.99%+0.02%-6.68%1.62%
457.6 USD -1.05%+0.22%+7.33%1.51%
304.8 USD -1.05%-4.08%-13.23%1.49%
146.3 USD +0.14%-1.84%-6.62%1.41%
47.88 USD +0.03%-0.44%-5.13%1.37%
166.6 USD -0.34%-8.26%+2.03%1.32%
116 USD -1.02%+1.41%+10.17%1.32%
178.4 USD +0.54%+9.22%+4.72%1.31%
130.3 USD -0.71%+2.63%+19.50%1.28%
160.6 USD +0.61%-4.51%+3.45%1.27%
336.1 USD +0.29%-0.06%-3.07%1.20%
348.1 USD +0.48%+0.81%+11.15%1.10%
516.3 USD -1.98%-4.34%-5.41%1.10%
119.6 USD +1.39%-0.80%+19.61%1.07%
107.1 USD -0.37%+0.13%-2.60%1.03%
460.2 USD -0.11%+11.83%+10.03%1.02%
176.1 USD +0.34%-5.06%-14.84%0.98%
85.34 USD +0.42%-1.26%-3.03%0.98%
161.1 USD -0.13%+0.26%+9.83%0.97%
206.4 USD -0.77%-2.92%+29.82%0.95%
248.2 USD +1.11%-1.20%+9.94%0.92%
198.3 USD +0.20%-1.37%+4.86%0.91%
102.2 USD +0.47%+1.27%-13.68%0.88%
211.2 USD +0.14%-1.82%+0.46%0.87%
273 USD -0.02%-0.78%-7.78%0.85%
40.28 USD +1.52%+4.42%+6.91%0.85%
722.2 USD -0.96%+0.99%+9.47%0.85%
169.3 USD -0.64%+0.61%-13.66%0.84%
275.3 USD +1.98%+1.08%-4.58%0.83%
233.8 USD -0.13%-1.42%+4.12%0.82%
38.82 USD +0.64%-4.30%-11.46%0.81%
67.42 USD +0.36%-3.12%-14.56%0.80%
212.5 USD -0.44%-0.73%+11.66%0.80%
397.4 USD -0.03%-0.50%-2.20%0.79%
894.8 USD +1.31%-0.70%+1.78%0.77%
166.9 USD +0.63%+2.98%+11.79%0.77%
81.44 USD -0.03%-1.15%+14.68%0.76%
77.06 USD +0.54%-7.54%+9.08%0.74%
241.3 USD -0.60%+3.25%-1.44%0.74%
166.6 USD +1.03%+1.09%+1.97%0.73%
78.92 USD +4.18%+18.68%-35.27%0.73%
17.12 USD +2.24%+5.00%+2.06%0.73%
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ETF Ratings

Description

US3160928244
Total Expense Ratio 0.29%
Asset Class
Sector
Size
Currency
Provider
Underlying Fidelity U.S. Low Volatility Factor Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2016-09-11
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 950 M€
AuM 1M 975 M€
AuM 3 months 1,020 M€
AuM 6 months 542 M€
AuM 12 months 439 M€
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