Fidelity International Bond Index Fund – NASDAQ:FBIIX

Fidelity International Bond Index Fund stock price today

$8.88
-0.39
-4.31%
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Fidelity International Bond Index Fund stock price monthly change

+1.42%
month

Fidelity International Bond Index Fund stock price quarterly change

+1.42%
quarter

Fidelity International Bond Index Fund stock price yearly change

+0.54%
year

Fidelity International Bond Index Fund key metrics

Market Cap
871.38M
Enterprise value
919.20M
P/E
10.70
EV/Sales
90.57
EV/EBITDA
788.48
Price/Sales
85.77
Price/Book
0.80
PEG ratio
0.10
EPS
1.04
Revenue
13.55M
EBITDA
200.14K
Income
12.40M
Revenue Q/Q
-0.57%
Revenue Y/Y
4.77%
Profit margin
101.4%
Oper. margin
89.91%
Gross margin
100%
EBIT margin
89.91%
EBITDA margin
1.48%
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Fidelity International Bond Index Fund stock price history

Fidelity International Bond Index Fund stock forecast

Fidelity International Bond Index Fund financial statements

Fidelity International Bond Index Fund (NASDAQ:FBIIX): Profit margin
Mar 2023 3.40M 2.11M 62.12%
Jun 2023 3.40M 2.11M 62.12%
Sep 2023 3.36M 4.08M 121.27%
Dec 2023 3.36M 4.08M 121.27%
1.86%
Yield TTM
Fidelity International Bond Index Fund (NASDAQ:FBIIX): Payout ratio
Payout ratio 73.68%
Fidelity International Bond Index Fund (NASDAQ:FBIIX): Dividend Yield
2019 7.96%
2020 7.72%
2021 7.91%
2022 8.99%
2023 8.74%
Fidelity International Bond Index Fund (NASDAQ:FBIIX): Debt to assets
Mar 2023 182992594 50.23M 27.45%
Jun 2023 182992594 50.23M 27.45%
Sep 2023 185767492 49.68M 26.74%
Dec 2023 185767492 49.68M 26.74%
Fidelity International Bond Index Fund (NASDAQ:FBIIX): Cash Flow
Mar 2023 12.13M 0 -12.01M
Jun 2023 12.13M 0 -12.01M
Sep 2023 2.59M 0 -2.82M
Dec 2023 2.59M 0 -2.82M

Fidelity International Bond Index Fund other data

  • What's the price of Fidelity International Bond Index Fund stock today?

    One share of Fidelity International Bond Index Fund stock can currently be purchased for approximately $8.88.

  • When is Fidelity International Bond Index Fund's next earnings date?

    Unfortunately, Fidelity International Bond Index Fund's (FBIIX) next earnings date is currently unknown.

  • Does Fidelity International Bond Index Fund pay dividends?

    Yes, Fidelity International Bond Index Fund pays dividends and its trailing 12-month yield is 1.86% with 74% payout ratio. The last Fidelity International Bond Index Fund stock dividend of undefined was paid on 26 Sep 2025.

  • How much money does Fidelity International Bond Index Fund make?

    Fidelity International Bond Index Fund has a market capitalization of 871.38M and it's past years’ income statements indicate that its last revenue has increased compared to the previous period by 4.78% to 13.56M US dollars.

  • What is Fidelity International Bond Index Fund's stock symbol?

    Fidelity International Bond Index Fund is traded on the NASDAQ under the ticker symbol "FBIIX".

  • What is Fidelity International Bond Index Fund's primary industry?

    Company operates in the Financial Services sector and Asset Management - Bonds industry.

  • How do i buy shares of Fidelity International Bond Index Fund?

    Shares of Fidelity International Bond Index Fund can be purchased through any online brokerage account. Popular online brokerages with access to the U.S. stock market include WeBull, Vanguard Brokerage Services, TD Ameritrade, E*TRADE, Robinhood, Fidelity, and Charles Schwab.

  • When Fidelity International Bond Index Fund went public?

    Fidelity International Bond Index Fund is publicly traded company for more then 5 years since IPO on 10 Oct 2019.

Fidelity International Bond Index Fund company profile:

Fidelity International Bond Index Fund

Exchange:

NASDAQ

Full time employees:

0

Industry:

Asset Management - Bonds

Sector:

Financial Services

The fund normally invests at least 80% of assets in securities included in the Bloomberg Global Aggregate ex-USD Float Adjusted RIC Diversified Index (USD Hedged), which is a multi-currency benchmark that includes fixed-rate treasury, government-related, corporate and securitized bonds from developed and emerging markets issuers while excluding USD denominated debt. The manager uses statistical sampling techniques based on duration, maturity, interest rate sensitivity, security structure, and credit quality to attempt to replicate the returns of the index. The fund is non-diversified.

Boston, MA 02109
,

CIK: 0000035315
ISIN: US31635T7321
CUSIP: 31635T732