TORONTO, Feb. 20,
2024 /CNW/ - Fidelity Investments Canada ULC
today announced the February 2024
cash distributions for Fidelity's suite of High Dividend Factor
ETFs, Fixed Income ETFs, Monthly High Income ETFs.
Detailed in the tables below, unitholders of record as of
February 27, 2024 will receive a
per-unit cash distribution payable on February 29, 2024.
Fidelity ETF
Name
|
Ticker
Symbol
|
Cash
Distribution
Per Unit (C$)
|
CUSIP
|
ISIN
|
Payment Frequency
|
Exchange
|
Fidelity Canadian
High
Dividend
ETF
|
FCCD
|
0.04716
|
31608M102
|
CA31608M1023
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity U.S. High
Dividend ETF
|
FCUD/
FCUD.U
|
0.04378
|
31645M107
|
CA31645M1077
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity U.S.
High
Dividend Currency
Neutral ETF
|
FCUH
|
0.03883
|
315740100
|
CA3157401009
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity U.S. Dividend
for
Rising Rates ETF
|
FCRR/
FCRR.U
|
0.03240
|
31644M108
|
CA31644M1086
|
Monthly
|
Toronto
Stock
Exchange
|
Fidelity U.S. Dividend
for
Rising Rates Currency
Neutral ETF
|
FCRH
|
0.02857
|
31644P101
|
CA31644P1018
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity
International
High Dividend ETF
|
FCID
|
0.04984
|
31623D103
|
CA31623D1033
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity
Systematic
Canadian Bond Index
ETF
|
FCCB
|
0.05711
|
31644F103
|
CA31644F1036
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity ETF
Name
|
Ticker
Symbol
|
Cash
Distribution
Per Unit
(C$)
|
CUSIP
|
ISIN
|
Payment Frequency
|
Exchange
|
Fidelity Canadian
Short
Term Corporate Bond
ETF
|
FCSB
|
0.07530
|
31608N100
|
CA31608N1006
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity Global Core
Plus
Bond ETF
|
FCGB/
FCGB.U
|
0.07129
|
31623G106
|
CA31623G1063
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity
Canadian
Monthly High Income
ETF
|
FCMI
|
0.02377
|
31609T106
|
CA31609T1066
|
Monthly
|
Toronto
Stock
Exchange
|
Fidelity Global
Monthly
High Income ETF
|
FCGI
|
0.02395
|
31623K107
|
CA31623K1075
|
Monthly
|
Toronto Stock
Exchange
|
Fidelity Global
Investment Grade Bond
ETF
|
FCIG/
FCIG.U
|
0.06725
|
31624P105
|
CA31624P1053
|
Monthly
|
Toronto Stock
Exchange
|
About Fidelity Investments Canada
ULC
At Fidelity, our mission is to build a better future for
Canadian investors and help them stay ahead. We offer investors and
institutions a range of innovative and trusted investment
portfolios to help them reach their financial and life goals.
As a privately-owned company, our people and world class
resources are committed to doing what is right for investors and
their long-term success. Our clients have entrusted us with
$226 billion in assets under
management (as at February 16, 2024)
and they include individuals, financial advisors, pension plans,
endowments, foundations and more.
We are proud to provide investors a full range of investment
solutions through mutual funds and exchange-traded funds, including
domestic, international and global equity, income-oriented
strategies, asset allocation solutions, managed portfolios,
sustainable investing and our high net worth program. Fidelity
Funds are available through a number of advice-based distribution
channels including financial planners, investment dealers, banks,
and insurance companies.
Read a fund's prospectus and consult your financial advisor
before investing. Exchange-traded funds are not guaranteed; their
values change frequently and past performance may not be repeated.
Commissions, management fees, brokerage fees and expenses may all
be associated with investments in exchange-traded funds and
investors may experience a gain or loss.
Find us on social media @FidelityCanada
https://www.fidelity.ca
SOURCE Fidelity Investments Canada ULC