Fidelity USD HY Corp Bond Research Enhanced PAB UCITS ETF USD

Fidelity USD HY Corp Bond Research Enhanced PAB UCITS ETF USD

FYUI.L
Fidelity USD HY Corp Bond Research Enhanced PAB UCITS ETF USDGB flagLondon Stock Exchange
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USD
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Capital Structure

FRC

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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChatGPT
Sector
Financial Services
Industry
Asset Management
Address
Beaux Lane House, Mercer Street Lower Dublin Ireland D02
IPO Date
Oct 28, 2024
Business
Fidelity USD High Yield Corp Bond Research Enhanced PAB UCITS ETF USD (FYUI.L) is a UCITS-compliant exchange-traded fund managed by Fidelity International, designed to provide exposure to USD-denominated high-yield corporate bonds with an emphasis on research-driven selection. The fund seeks to deliver income and capital appreciation by investing in a diversified portfolio of high-yield, investment-grade, and credit-enhanced instruments within the USD corporate bond universe, while employing a research-enhanced approach to security selection and risk management. Main products and services: UCITS-compliant ETF structure; active research-led portfolio construction; exposure to USD-denominated corporate bonds across credit spectrums; income generation through bond coupons and potential capital gains; risk management through diversification, duration control, credit analysis, and liquidity oversight; fund administration, custody, and compliance services; distribution to institutional and retail investors through European and international channels; reporting and performance analytics; currency hedging solutions where applicable; transparency and daily NAV publishing; investment research and credit research coverage. Latest major company changes: Fidelity periodically refreshes product lineup and exposure in response to market conditions, including enhancements to index replication methods, updates to risk controls, and strategic fund launches or closures within its UCITS ETF universe; notable changes in recent years include tactical adjustments to holdings and sector allocations to reflect credit cycle developments, enhancements to reporting and governance frameworks, and expansions of distribution in key European markets. Additional context: Industry and segments encompass asset management and ETF products within fixed income, with target markets including institutional investors, wealth management platforms, and registered retail funds across Europe and globally. Geographic operations cover multiple regions, including Europe (Ireland, Luxembourg, the UK), Asia-Pacific, and other regions where UCITS funds are distributed. Founding year and headquarters location pertain to Fidelity International and the Fidelity group, with headquarters in London and operations spanning global asset management services. Subsidiaries and parent relationships place the fund within Fidelity’s global investment platform, interacting with Fidelity’s research teams, fund administration, and distribution networks.