Fidelity Strategic Bond Fund

Select share classes

Fidelity Strategic Bond Fund Fund W Income

Category Global Flexible Bond - GBP Hedged



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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

109.10p

arrow-up0.00p (+0.00%)

Fund Code

YSD

B469J89

GB00B469J896

Prices updated as at 14 May 2025
|
Prices in GBX

Investment objective
The Fund aims to deliver an income with the potential to increase the value of investor's investment. The Fund will be at least 70% exposed to sterling-denominated (or hedged back to sterling) global debt instruments, which may include (but are not limited to) government bonds, inflation-linked bonds, investment grade and high yield corporate bonds, which could include investment in countries considered as emerging markets as determined by the Investment Manager at its sole discretion. The Fund is actively managed without reference to a benchmark.

Dividend information

Dividend information
3.16
7.54
-
Monthly
25 May 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 May 20250.004081.102
01 Apr 20250.0035041.088
03 Mar 20250.0019091.092
03 Feb 20250.0021871.083
02 Jan 20250.0024491.083
02 Dec 20240.0039291.099
01 Nov 20240.0034231.087
01 Oct 20240.0032251.108
02 Sep 20240.0043411.096
01 Aug 20240.0035191.091
03 Jun 20240.0036021.07
01 Jul 20240.0032011.071
01 May 20240.0032191.059
02 Apr 20240.0036361.079
01 Mar 20240.0047551.071
01 Feb 20240.0036951.085
02 Jan 20240.0031331.085
01 Dec 20230.0031081.048
01 Nov 20230.0029531.008
02 Oct 20230.0032991.018
01 Sep 20230.0028451.041
01 Aug 20230.0038351.049
03 Jul 20230.0037421.04
01 Jun 20230.0041081.046
02 May 20230.0034051.058
03 Apr 20230.0029651.063
01 Mar 20230.0111451.064
01 Feb 20230.0027331.096
03 Jan 20230.0027331.061
01 Dec 20220.003621.069
01 Nov 20220.0026291.028
03 Oct 20220.0035611.023
01 Sep 20220.0033991.088
01 Aug 20220.002891.13
01 Jul 20220.0029531.094
01 Jun 20220.0032731.153
03 May 20220.0033241.159
01 Apr 20220.002851.208
01 Mar 20220.002321.23
01 Feb 20220.0024461.265
04 Jan 20220.0031.29
01 Dec 20210.0023541.292
01 Nov 20210.0020381.299
01 Oct 20210.0026481.314
01 Sep 20210.003111.332
02 Aug 20210.0031781.333
01 Jul 20210.0035561.321
01 Jun 20210.0029191.316
04 May 20210.0025071.315
01 Apr 20210.0027361.308
01 Mar 20210.0025691.317
01 Feb 20210.0022631.335
04 Jan 20210.0023361.342
01 Dec 20200.0030441.331
02 Nov 20200.0026391.302
01 Oct 20200.0026371.306
01 Sep 20200.00291.316
03 Aug 20200.0022821.312
01 Jul 20200.0025651.284
01 Jun 20200.0028241.274
01 May 20200.0020291.253
01 Apr 20200.0024151.211
02 Mar 20200.0022181.294
03 Feb 20200.0020941.285
02 Jan 20200.0021491.271
02 Dec 20190.00191.262
01 Nov 20190.0018071.267
01 Oct 20190.0019921.261
02 Sep 20190.0019611.27
01 Aug 20190.0023141.256
01 Jul 20190.002061.257
03 Jun 20190.0020121.239
01 May 20190.0022081.233
01 Apr 20190.0023851.225
01 Mar 20190.0027231.207
01 Feb 20190.002141.2
02 Jan 20190.0028851.18
03 Dec 20180.0023521.173
01 Nov 20180.0019221.184
01 Oct 20180.0016451.197
03 Sep 20180.0015991.205
01 Aug 20180.0016361.204
02 Jul 20180.0014461.204
01 Jun 20180.0017321.206
01 May 20180.0024691.213
03 Apr 20180.0014841.221
01 Mar 20180.0022951.226
01 Feb 20180.0016831.241
02 Jan 20180.0022851.244
01 Dec 20170.002051.243
01 Nov 20170.0028671.243
02 Oct 20170.0020181.24
01 Sep 20170.0027691.248
01 Aug 20170.0021541.244
03 Jul 20170.0021821.239
01 Jun 20170.0020351.242
02 May 20170.0020961.23
03 Apr 20170.0021321.226
01 Mar 20170.0073621.224
01 Feb 20170.0019171.226
03 Jan 20170.001361.221
01 Dec 20160.0018481.217
01 Nov 20160.0015491.249
03 Oct 20160.0020191.258
01 Sep 20160.0030261.272
01 Aug 20160.0024181.262
01 Jul 20160.0023221.242
01 Jun 20160.0022881.224
03 May 20160.0024781.222
01 Apr 20160.0026021.211
01 Mar 20160.0026941.183
01 Feb 20160.0028231.187
04 Jan 20160.0025541.189
01 Dec 20150.002551.2
02 Nov 20150.004721.199
01 Oct 20150.0024291.201
01 Sep 20150.0022911.209
03 Aug 20150.0020761.225
01 Jul 20150.0023971.213
01 Jun 20150.0025131.238
01 May 20150.0027141.249
01 Apr 20150.0026911.263
02 Mar 20150.0022931.261
02 Feb 20150.0027761.269
02 Jan 20150.0027181.229
Please note that past performance is not a reliable indicator of future returns.


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