Fidelity

FAUS

Fidelity Advanced U.S. Equity Fund

Equity ETFGlobalTSX:FAUSCAD

Market price data current to September 18, 2026.

Key Stats

+0.22% 1D

Market price

As of Sep 18, 2026

Net assets

Assets under management

MER

Low cost

TTM yield

As of Not reported

Annually

Distribution frequency

Income payment schedule

Underlying holdings

Broad diversification

Annualized return

What Is FAUS?

One ticker, 508 companies

The Fund invests primarily in equity securities of U.S. companies. The Fund uses a proprietary quantitative model based on advanced research capabilities in the construction of its portfolio.

IssuerFidelity
Inception dateJanuary 24, 2025
ExchangeToronto Stock Exchange
CurrencyCAD
Risk ratingMedium
Management fee0.60%

Set it, forget it, let compounding do the heavy lifting. 💪

Additional Fund Facts

NAV$29.28
Units outstanding67,500
Management fee0.60%
Direct holdings508
Risk ratingMedium