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Performance & Risk: FQALFIDELITY QUALITY FACTOR ETF
46.0602 as of 4:10:00pm ET 03/27/2023
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|
Date | Value |
---|---|
02/28/2023 | $20,012.39 |
12/31/2022 | $19,194.46 |
12/31/2021 | $23,853.81 |
12/31/2020 | $18,092.75 |
12/31/2019 | $15,572.50 |
12/31/2018 | $12,215.93 |
12/31/2017 | $12,689.14 |
12/31/2016 | $10,332.21 |
09/30/2016 | $10,000.00 |
Returns | Volatility (vs. Market Benchmark) | ||||||||
---|---|---|---|---|---|---|---|---|---|
Average | NAV Return | Market Return | Benchmark Index
(Fidelity US Quality Factor TR USD) AS OF 02/28/2023 |
Market Benchmark
(S&P 500 TR USD) AS OF 02/28/2023 |
Alpha | R2 | Beta | Standard Deviation |
Sharpe Ratio |
1 Year | -7.45 | -7.28 | -7.20 | -7.69 | -0.09% | 100% | 0.97% | 23.18% | -0.35% |
3 Year | +11.64 | +11.27 | +11.96 | +12.15 | -0.30% | 98.99% | 0.98% | 20.56% | 0.59% |
5 Year | +9.11 | +9.09 | +9.42 | +9.82 | -0.48% | 99% | 0.97% | 18.26% | 0.49% |
10 Year | -- | -- | -- | +12.25 | -- | -- | -- | -- | -- |
Life | +11.52 | +11.51 | +11.77 | +11.91 | -- | -- | -- | -- | -- |
Return Before Taxes (pre-tax) | Return After Taxes On Distribution (post tax) | Return After Taxes On Distribution & Sale of Fund Shares (liquidation) |
||||
---|---|---|---|---|---|---|
Average | NAV Return | Market Return | NAV Return | Market Return | NAV Return | Market Return |
1 Year | -19.53 | -19.70 | -20.01 | -20.18% | -11.56 | -11.65% |
3 Year | +7.22 | +7.23 | +6.66 | +6.68% | +5.40 | +5.41% |
5 Year | +8.63 | +8.60 | +8.06 | +8.03% | +6.60 | +6.57% |
10 Year | -- | -- | -- | -- | -- | -- |
Life | +11.09 | +11.09 | +10.47 | +10.47% | +8.66 | +8.66% |
Tax-adjusted returns and tax cost ratio are estimates of the impact taxes have had on a fund. Assumes the highest tax rate in calculating and follow the SEC guidelines for calculating returns before sale of shares. Click here to learn more.
Stock markets, especially foreign markets, are volatile and can decline significantly in response to adverse issuer, political, regulatory, market, or economic developments. The securities of smaller, less well-known companies can be more volatile than those of larger companies. There is no guarantee that a factor-based investing strategy will enhance performance or reduce risk. Before investing, make sure you understand how the fund's factor investment strategy may differ from more traditional index funds. Depending on market conditions, fund performance may underperform compared to funds that seek to track a market-capitalization weighted index. The return of an index ETF is usually different from that of the index it tracks because of fees, expenses and tracking error. An ETF may trade at a premium or discount to its Net Asset Value (NAV).
Performance data shown represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted.