Fidelity Global HY Corp Bond Research Enhanced PAB UCITS ETF

Fidelity Global HY Corp Bond Research Enhanced PAB UCITS ETF

FGHU.L
Fidelity Global HY Corp Bond Research Enhanced PAB UCITS ETFGB flagLondon Stock Exchange
- -
USD
- -
- -
No data availableFinancial data will appear here once available

Capital Structure

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Working Capital

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Growth Rates

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Quarterly Revenue

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Quarterly Earnings Per Share

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Quarterly Dividends Per Share

FRC

in mil. unless spec.
No data availableFinancial data will appear here once available

Company Description

APIChatGPT
Sector
Financial Services
Industry
Asset Management
Address
Beaux Lane House, Mercer Street Lower Dublin Ireland D02
IPO Date
Jan 17, 2023
Business
Fidelity Global HY Corp Bond Research Enhanced PAB UCITS ETF (Ticker: FGHU.L) is a UCITS-compliant exchange-traded fund managed by Fidelity International, which provides exposure to high-yield corporate debt issued by global issuers. The fund seeks to deliver current income and capital appreciation through a diversified portfolio of global high-yield bonds, with a focus on corporate debt across developed and emerging markets. Primary business activity centers on investment management, portfolio construction, and risk monitoring for fixed‑income investors. Main products and services: global high-yield corporate bond exposure via UCITS ETF structure; fixed-income fund management; security selection and credit research; risk analytics and performance attribution; index replication and tracking strategy; collateral management and liquidity management; distribution and client servicing; fund administration and reporting; regulatory compliance and transparency reporting; securities lending and collateral optimization; ESG and sustainability integration as aligned with fund mandate. Latest major company changes: strategic partnerships and alliances within Fidelity’s global product ecosystem; ongoing product lineup enhancements including new share classes and currency hedging options; potential funding rounds or internal reorganizations in the Fidelity International framework; launches of related fixed-income or hybrid strategies; expansion of geographic reach and distribution channels; regulatory or structural updates to the UCITS framework in response to market developments. Industry and business segments: asset management and investment products; fixed income and credit strategies; ETF and index-tracking products; global markets and credit research; distribution to institutional and retail clients. Target markets or customer types: institutional investors, financial advisers, and affluent individual investors seeking high-yield fixed-income exposure with UCITS compliance and transparent reporting. Geographic operations: operates under Fidelity International’s European platform; serves clients across Europe and globally; domiciled in Luxembourg with fund administration and distribution capabilities supporting cross-border marketing within the EEA. Founding year and headquarters location: part of Fidelity International, established as a key product in the Fidelity family; operational headquarters and primary fund administration rooted in Luxembourg, with global investment research and management support. Subsidiaries or parent relationships: part of Fidelity International’s family of funds; linked to Fidelity Investments’ global product and research ecosystem; operates under Fidelity’s UCITS framework in conjunction with other Fidelity fixed-income offerings.