Fidelity Funds - Flexible Bond Fund - A GBP DIS Logo
LU0048620586
973286

Fidelity Funds - Flexible Bond Fund - A GBP DIS

Dividend yield TTM
2.72%
€0.00979/unit
Dividend growth (CAGR 5Y)
13.15%
Next dividend
The next dividend is expected in November.

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Historical dividends

In 2026, Fidelity Funds - Flexible Bond Fund - A GBP DIS has already paid €0.00706 in dividends. The last payout was in August.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€0.36
Yield
2.72%
Interval
Quarterly
CAGR 3Y
21.51%
CAGR 5Y
13.15%
CAGR 10Y
0.19%

All dividend data

So far in 2026, €0.00706 per unit has been distributed. In 2025, Fidelity Funds - Flexible Bond Fund - A GBP DIS distributed €0.0116. The dividend yield is currently 2.72%, and distributions have increased by 21.51% over the last 3 years. The ETF pays dividends quarterly in February, May, August, and November.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.00706 38.93% 1.96%
08/03/2026 08/10/2026 €0.00176
05/01/2026 05/08/2026 €0.00254
02/02/2026 02/09/2026 €0.00276
2025 €0.0116 1.49% 3.25%
11/03/2025 11/10/2025 €0.00274
08/01/2025 08/08/2025 €0.00312
05/01/2025 05/08/2025 €0.00318
02/03/2025 02/10/2025 €0.00252
2024 €0.0114 48.11% 3.15%
11/01/2024 11/08/2024 €0.00241
08/01/2024 08/08/2024 €0.00257
05/01/2024 05/08/2024 €0.00372
02/01/2024 02/08/2024 €0.00269
2023 €0.00769 19.41% 2.22%
11/01/2023 11/08/2023 €0.00184
08/01/2023 08/08/2023 €0.00198
05/01/2023 05/08/2023 €0.00241
02/01/2023 02/08/2023 €0.00146
2022 €0.00644 17.73% 1.97%
11/01/2022 11/08/2022 €0.0016
08/01/2022 08/08/2022 €0.0019
05/02/2022 05/09/2022 €0.00152
02/01/2022 02/08/2022 €0.00142
2021 €0.00547 12.20% 1.31%
11/01/2021 11/08/2021 €0.0014
08/02/2021 08/09/2021 €0.00142
05/03/2021 05/10/2021 €0.00128
02/01/2021 02/08/2021 €0.00137
2020 €0.00623 18.35% 1.50%
11/02/2020 11/09/2020 €0.00167
08/03/2020 08/10/2020 €0.00178
05/01/2020 05/08/2020 €0.00136
02/03/2020 02/10/2020 €0.00142
2019 €0.00763 5.22% 1.90%
11/01/2019 11/08/2019 €0.00151
08/01/2019 08/08/2019 €0.00163
05/01/2019 05/08/2019 €0.00209
02/01/2019 02/08/2019 €0.0024
2018 €0.00805 15.53% 2.27%
11/01/2018 11/08/2018 €0.00161
08/01/2018 08/08/2018 €0.002
05/01/2018 05/08/2018 €0.00228
02/01/2018 02/08/2018 €0.00216
2017 €0.00953 11.76% 2.49%
11/01/2017 11/08/2017 €0.00226
08/01/2017 08/08/2017 €0.00221
05/01/2017 05/08/2017 €0.00237
02/01/2017 02/08/2017 €0.00269
2016 €0.0108 8.24% 2.71%
11/01/2016 11/08/2016 €0.00236
08/01/2016 08/08/2016 €0.00282
05/02/2016 05/09/2016 €0.00317
02/01/2016 02/08/2016 €0.00245
2015 €0.0118 0.09% 2.71%
11/02/2015 11/09/2015 €0.00281
08/03/2015 08/10/2015 €0.00311
05/01/2015 05/08/2015 €0.00303
02/02/2015 02/09/2015 €0.00282
2014 €0.0118 12.00% 2.77%
11/03/2014 11/10/2014 €0.00293
08/01/2014 08/08/2014 €0.003
05/01/2014 05/08/2014 €0.00294
02/03/2014 02/10/2014 €0.00289
2013 €0.0105 9.79% 2.91%
11/01/2013 11/08/2013 €0.00264
08/01/2013 08/08/2013 €0.00255
05/01/2013 05/08/2013 €0.0026
02/01/2013 02/08/2013 €0.00271
2012 €0.0116 0.60% 2.96%
11/01/2012 11/08/2012 €0.00288
08/01/2012 08/08/2012 €0.00291
05/01/2012 05/08/2012 €0.00298
02/01/2012 02/08/2012 €0.00287
2011 €0.0117 0.59% 3.17%
11/01/2011 11/08/2011 €0.00292
08/01/2011 08/08/2011 €0.00299
05/02/2011 05/09/2011 €0.00297
02/01/2011 02/08/2011 €0.00283
2010 €0.0118 6.73% 3.49%
11/01/2010 11/08/2010 €0.00267
08/02/2010 08/09/2010 €0.00289
05/03/2010 05/10/2010 €0.00314
02/01/2010 02/08/2010 €0.00308
2009 €0.0126 21.70% 4.14%
11/02/2009 11/09/2009 €0.00302
08/03/2009 08/10/2009 €0.00327
05/01/2009 05/08/2009 €0.00302
02/02/2009 02/09/2009 €0.00332
2008 €0.0161 15.59% 5.92%
11/03/2008 11/10/2008 €0.00381
08/01/2008 08/08/2008 €0.00383
05/01/2008 05/08/2008 €0.00406
02/01/2008 02/08/2008 €0.00443
2007 €0.0191 3.24% 5.19%
11/01/2007 11/08/2007 €0.00474
08/01/2007 08/08/2007 €0.00486
05/01/2007 05/08/2007 €0.00485
02/01/2007 02/08/2007 €0.00466
2006 €0.0198 1.70% 4.74%
11/01/2006 11/08/2006 €0.00477
08/01/2006 08/08/2006 €0.00505
05/01/2006 05/08/2006 €0.00483
02/01/2006 02/08/2006 €0.0051
2005 €0.0194 8.44% 4.61%
11/01/2005 11/08/2005 €0.00473
08/01/2005 08/08/2005 €0.00477
05/02/2005 05/09/2005 €0.00484
02/01/2005 02/08/2005 €0.00508
2004 €0.0212 3.72% 5.16%
11/01/2004 11/08/2004 €0.00545
08/02/2004 08/09/2004 €0.00555
05/03/2004 05/10/2004 €0.00494
02/02/2004 02/09/2004 €0.00527
2003 €0.022 4.80% 5.54%
11/03/2003 11/10/2003 €0.00538
08/01/2003 08/08/2003 €0.00511
05/01/2003 05/08/2003 €0.00517
02/03/2003 02/10/2003 €0.00637
2002 €0.0231 7.28% 5.20%
11/01/2002 11/08/2002 €0.00533
08/01/2002 08/08/2002 €0.00586
05/01/2002 05/08/2002 €0.00595
02/01/2002 02/08/2002 €0.006
2001 €0.0216 17.10% 4.71%
11/01/2001 11/08/2001 €0.00604
08/01/2001 08/08/2001 €0.00596
05/01/2001 05/08/2001 €0.00453
02/01/2001 02/08/2001 €0.00504
2000 €0.026 7.39% 5.84%
11/01/2000 11/08/2000 €0.00599
08/01/2000 08/08/2000 €0.00634
05/01/2000 05/08/2000 €0.00685
02/01/2000 02/08/2000 €0.00684
1999 €0.0242 5.24% 5.60%
11/01/1999 11/08/1999 €0.00624
08/02/1999 08/09/1999 €0.006
05/04/1999 05/11/1999 €0.00605
02/01/1999 02/08/1999 €0.00594
1998 €0.0256 0.00% 6.26%
11/02/1998 11/09/1998 €0.00541
08/03/1998 08/10/1998 €0.00724
05/01/1998 05/08/1998 €0.00635
02/02/1998 02/09/1998 €0.00657

Frequently asked questions

When does Fidelity Funds - Flexible Bond Fund - A GBP DIS pay dividends?

Fidelity Funds - Flexible Bond Fund - A GBP DIS pays dividends in November, February, May, and August.

How often does Fidelity Funds - Flexible Bond Fund - A GBP DIS pay dividends?

Fidelity Funds - Flexible Bond Fund - A GBP DIS pays dividends quarterly.

What percentage of dividends does Fidelity Funds - Flexible Bond Fund - A GBP DIS pay?

The dividend yield is currently 2.72%, and payouts have increased by 21.51% over the past 3 years.

When were the most recent dividend payment dates for Fidelity Funds - Flexible Bond Fund - A GBP DIS?

The most recent payment was made on 08/10/2026. Previous payments were made on: 05/08/2026, 02/09/2026, and 11/10/2025.

When did you need to hold Fidelity Funds - Flexible Bond Fund - A GBP DIS in your portfolio to receive the latest dividend?

If you held Fidelity Funds - Flexible Bond Fund - A GBP DIS in your portfolio on 08/03/2026, you received the payout.

How much was the dividend from Fidelity Funds - Flexible Bond Fund - A GBP DIS in 2025?

In 2025, Fidelity Funds - Flexible Bond Fund - A GBP DIS paid €0.0116 in dividends.

How much was the dividend from Fidelity Funds - Flexible Bond Fund - A GBP DIS in 2024?

In 2024, Fidelity Funds - Flexible Bond Fund - A GBP DIS paid €0.0114 in dividends.

When is the next dividend from Fidelity Funds - Flexible Bond Fund - A GBP DIS expected?

Fidelity Funds - Flexible Bond Fund - A GBP DIS is expected to pay the next dividend in November.

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