Fidelity MoneyBuilder Corporate Bond Fund A-INC-GBP

Category GBP Corporate Bond


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Last buy/sell price

29.11p

arrow-up0.06p (+0.21%)

Fund Code

0386391

GB0003863916

Prices updated as at 17 Dec 2025
|
Prices in GBX

Investment objective
The Fund aims to deliver an income with the potential to increase the value of investment. The Fund will be at least 70% exposed to sterling-denominated (or hedged back to sterling) investment grade debt instruments.

Dividend information

Dividend information
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-
-
Monthly
01 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Dec 20250.001070.2905
03 Nov 20250.0011920.2917
01 Oct 20250.0012210.2877
01 Sep 20250.0011240.2872
01 Aug 20250.0011890.2884
01 Jul 20250.0013420.2903
02 Jun 20250.001240.2869
01 May 20250.001230.2898
01 Apr 20250.0012460.2876
03 Mar 20250.0008250.289
03 Feb 20250.0012420.2899
02 Jan 20250.001420.2879
02 Dec 20240.001220.2911
01 Nov 20240.0011680.2882
01 Oct 20240.0012340.2939
02 Sep 20240.0012340.2929
01 Aug 20240.0011980.2945
03 Jun 20240.001230.2898
01 Jul 20240.0012390.2904
01 May 20240.0011740.2875
02 Apr 20240.0011970.2935
01 Mar 20240.0014970.2914
01 Feb 20240.0011720.2944
02 Jan 20240.0012020.2951
01 Dec 20230.0012630.2859
01 Nov 20230.001230.279
02 Oct 20230.0011970.2801
01 Sep 20230.0012180.2816
01 Aug 20230.0012340.2831
03 Jul 20230.0011770.2789
01 Jun 20230.0012780.2828
02 May 20230.0012020.29
03 Apr 20230.0011760.2922
01 Mar 20230.0013050.2906
01 Feb 20230.0011430.2981
03 Jan 20230.0012640.2892
01 Dec 20220.0010610.2959
01 Nov 20220.0010840.2865
03 Oct 20220.0010410.279
01 Sep 20220.0011270.3035
01 Aug 20220.0010770.3246
01 Jul 20220.0011590.3178
01 Jun 20220.0010650.3288
03 May 20220.001030.3338
01 Apr 20220.0010660.346
01 Mar 20220.0009620.3553
01 Feb 20220.001060.3612
04 Jan 20220.0012430.371
01 Dec 20210.0010270.3775
01 Nov 20210.001030.3747
01 Oct 20210.0010470.3745
01 Sep 20210.001060.3825
02 Aug 20210.0011430.3846
01 Jul 20210.0010490.3795
01 Jun 20210.001060.3776
04 May 20210.0010530.3779
01 Apr 20210.0011120.3759
01 Mar 20210.0007690.3769
01 Feb 20210.0008160.3881
04 Jan 20210.0008090.3931
01 Dec 20200.0008030.3868
02 Nov 20200.0007970.3798
01 Oct 20200.0008340.3796
01 Sep 20200.00080.378
03 Aug 20200.0007660.3824
01 Jul 20200.000820.3758
01 Jun 20200.000850.3734
01 May 20200.0008540.3712
01 Apr 20200.0008660.3605
02 Mar 20200.0008210.3834
03 Feb 20200.000870.3849
02 Jan 20200.0008490.3755
02 Dec 20190.0008230.3753
01 Nov 20190.0008620.3774
01 Oct 20190.000780.378
02 Sep 20190.0008560.3814
01 Aug 20190.0008630.3758
01 Jul 20190.0008390.3705
03 Jun 20190.0008860.3665
01 May 20190.0008740.3647
01 Apr 20190.0008950.3648
01 Mar 20190.0008280.3576
01 Feb 20190.0009040.3581
02 Jan 20190.0009080.355
03 Dec 20180.0008590.3514
01 Nov 20180.0008840.3579
01 Oct 20180.0008280.3571
03 Sep 20180.0008780.3622
01 Aug 20180.000880.3613
02 Jul 20180.0008560.3621
01 Jun 20180.0008520.3642
01 May 20180.0008380.3651
03 Apr 20180.0008510.3663
01 Mar 20180.000780.3665
01 Feb 20180.0008550.3695
02 Jan 20180.0008490.3722
01 Dec 20170.0008380.3708
01 Nov 20170.0008640.3708
02 Oct 20170.0008570.3701
01 Sep 20170.0008930.3766
01 Aug 20170.0009040.3738
03 Jul 20170.0008840.3714
01 Jun 20170.0009150.3757
02 May 20170.0009060.3727
03 Apr 20170.0009330.372
01 Mar 20170.0007440.3709
01 Feb 20170.0006940.3643
03 Jan 20170.0007740.366
01 Dec 20160.0007320.3616
01 Nov 20160.0007410.3698
03 Oct 20160.0007330.3822
01 Sep 20160.0007750.3863
01 Aug 20160.0007810.3781
01 Jul 20160.0007660.3697
01 Jun 20160.0007760.3586
03 May 20160.0007610.3564
01 Apr 20160.0007980.355
01 Mar 20160.0007650.3492
01 Feb 20160.0008010.3503
04 Jan 20160.0007780.3493
01 Dec 20150.0007580.3519
02 Nov 20150.0007740.3491
01 Oct 20150.0007530.3513
01 Sep 20150.0007620.3517
03 Aug 20150.0007440.3548
01 Jul 20150.0007110.3504
01 Jun 20150.0007390.3595
01 May 20150.0007430.3614
01 Apr 20150.0007460.3676
02 Mar 20150.0006910.3655
02 Feb 20150.0008010.3743
02 Jan 20150.0008130.3596
Please note that past performance is not a reliable indicator of future returns.


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