FCCB
  • NAV $22.59 12-Jun-2026
  • $0.01 / 0.06% Daily NAV change
  • 1.96% YTD return
  • MARKET PRICE 12-Jun-2026
  • $22.63   
  • Inception 20-Sep-2019
  • Net assets $4.257B
    12-Jun-2026
  • Units outstanding 188,425,000
    12-Jun-2026
  • Management fee 0.25%
  • MER 0.29%
    30-Sep-2025
  • Investment program DRIP
  • Distributions
  • Trailing 12 month yield 3.87%
    29-May-2026
  • Yield To Worst 3.89%
    31-May-2026
  • Benchmark Fidelity Canada Systematic Canadian Bond Index
  • Index provider Fidelity Product Services LLC
  • Rebalance frequency Monthly
  • Duration 7.2 years
    31-May-2026
  • Exchange Cboe CA
  • CUSIP 31644F103
  • Morningstar category Canadian Fixed Income
  • Also available through Trust CDN$
  • Get ETF Facts

End investment

Annualized return

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Start NAV

$10.0000

End NAV

$10.4031
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Why invest in this ETF?

  • Increased yield potential relative to the broad bond universe due to increased corporate exposure.
  • Leverages Fidelity’s expertise in fixed-income investing and quantitative research.
  • Effective balance of both interest rate and credit risk.

Calendar returns (%) 31-May-2026

YTD 2026 2025 2024 2023 2022 2021 2020
ETF (NAV) 1.91 2.62 5.00 7.26 -11.89 -2.76 8.61
ETF (Market price) 2.03 2.20 5.25 7.65 -11.88 -2.76 8.84

Standard period returns (%) 31-May-2026

1 mo 3 mo 6 mo 1 yr 3 yr 5 yr Inception
ETF (NAV) 1.43 -0.27 0.63 3.40 4.73 1.15 1.29
ETF (Market price) 1.53 -0.27 0.70 3.40 4.78 1.21 1.31

Risk measures (%) 31-May-2026

Fund
Annualized standard deviation 5.10
Beta 1.00
1.00

Risk classification

  1. Low
  2. Low to medium
  3. Medium
  4. Medium to high
  5. High

This fund has a low volatility rating

Allocation

Asset mix (%)

31-May-2026

Country mix (%)

31-May-2026

Credit quality (%)

31-May-2026
12 months ago Last month Current month
AAA 12.3 11.7 12.0
AA 32.1 30.6 30.6
A 11.5 12.6 12.5
BBB 42.1 42.6 42.8
BB - - -
Cash & Net Other Assets 1.3 2.1 1.7
Not Rated/Not Available 0.7 0.5 0.5

Top ten holdings

  1. CANADA GOVERNMENT OF 2% 12/01/2051
  2. CANADA GOVERNMENT OF 3.5% 12/01/2057
  3. CANADA GOVERNMENT OF 5% 06/01/2037
  4. CANADA GOVERNMENT OF 2.75% 12/01/2048
  5. CANADA GOVERNMENT OF 1.75% 12/01/2053
  6. CANADA GOVERNMENT OF 2.75% 12/01/2055
  7. CANADA GOVERNMENT OF 3.25% 06/01/2036
  8. Fidelity Canadian Money Market Investment Trust - Series O
  9. CANADA GOVERNMENT OF 2.75% 12/01/2064
  10. CANADA GOVERNMENT OF 4% 06/01/2041
Total number of holdings 1,090
Top ten holdings aggregate 11.5%
  1. CANADA GOVERNMENT OF 2% 12/01/2051
  2. Fidelity Canadian Money Market Investment Trust - Series O
  3. CANADA GOVERNMENT OF 5% 06/01/2037
  4. CANADA GOVERNMENT OF 3.5% 12/01/2057
  5. CANADA GOVERNMENT OF 2.75% 12/01/2048
  6. CANADA GOVERNMENT OF 1.75% 12/01/2053
  7. NET OTHER ASSETS
  8. CANADA GOVERNMENT OF 2.75% 12/01/2055
  9. CANADA GOVERNMENT OF 3.25% 06/01/2036
  10. CANADA GOVERNMENT OF 2.75% 12/01/2064
Total number of holdings 1,091
Top ten holdings aggregate 12.5%
  1. CANADA GOVERNMENT OF 2% 12/01/2051
  2. Fidelity Canadian Money Market Investment Trust - Series O
  3. CANADA GOVERNMENT OF 5% 06/01/2037
  4. CANADA GOVERNMENT OF 3.5% 12/01/2057
  5. NET OTHER ASSETS
  6. CANADA GOVERNMENT OF 2.75% 12/01/2048
  7. CANADA GOVERNMENT OF 1.75% 12/01/2053
  8. CANADA GOVERNMENT OF 2.75% 12/01/2055
  9. CANADA GOVERNMENT OF 2.75% 12/01/2064
  10. CANADA GOVERNMENT OF 4% 06/01/2041
Total number of holdings 1,088
Top ten holdings aggregate 12.5%
  1. CANADA GOVERNMENT OF 2% 12/01/2051
  2. CANADA GOVERNMENT OF 5% 06/01/2037
  3. Fidelity Canadian Money Market Investment Trust - Series O
  4. CANADA GOVERNMENT OF 3.5% 12/01/2057
  5. CANADA GOVERNMENT OF 2.75% 12/01/2048
  6. NET OTHER ASSETS
  7. CANADA GOVERNMENT OF 1.75% 12/01/2053
  8. CANADA GOVERNMENT OF 2.75% 12/01/2055
  9. CANADA GOVERNMENT OF 2.75% 12/01/2064
  10. CANADA GOVERNMENT OF 4% 06/01/2041
Total number of holdings 1,080
Top ten holdings aggregate 12.1%
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