Home > Quotes > FIBAX
 
 
 

Symbol List Views

Stock Details

 Save stocks for next time
 | Sponsored
Symbol Company Name Asset Class Last Net Change / %Change
FIBAX Spartan Intermediate Treasury Bond Fund Fidelity Advantage Class Mutual Fund $11.25 .040.35%
Last Net Asset Value (NAV) $11.25
Ask: $11.25
Total Net Assets: $ 33,700,000
Previous Close: $11.29

Market Close as of: May 17, 2013

Income Distributions
Dividends: N/A Interest: N/A
Capital Distributions
Short Term Gains: N/A Long Term Gains: $ .07
Unallocated Distributions: N/A Return of Capital: N/A