Fidelity Funds - Emerging Markets Fund A-Euro/  LU0307839646  /

Fonds
NAV2024-05-16 Chg.+0.0200 Type of yield Investment Focus Investment company
16.2700EUR +0.12% paying dividend Equity Emerging Markets FIL IM (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2007 - - - - - - - -3.30 8.95 10.26 -7.45 0.38 -
2008 -14.12 5.17 -10.81 9.33 4.14 -10.53 -6.69 -3.80 -16.97 -22.27 -9.03 -2.45 -57.81%
2009 0.16 -4.31 6.56 16.37 10.62 -0.77 7.39 -0.94 7.89 -1.20 4.22 9.53 +68.87%
2010 -3.46 2.51 10.70 2.55 -1.54 -0.74 1.18 0.63 3.31 2.89 4.53 3.09 +28.03%
2011 -4.94 -0.94 1.76 -0.29 -1.22 -2.24 0.41 -8.22 -9.36 8.93 1.95 -0.45 -14.79%
2012 6.89 4.61 -0.93 1.50 -4.45 0.05 6.06 -2.40 1.85 -2.12 1.23 1.99 +14.53%
2013 -1.22 4.05 2.17 -1.82 2.58 -6.05 0.55 -2.04 4.43 3.87 0.50 -0.36 +6.32%
2014 -6.14 3.33 0.19 -1.01 4.93 2.18 2.26 4.52 -2.21 3.86 2.09 -1.42 +12.67%
2015 9.82 2.79 5.35 -2.80 0.55 -3.10 -4.32 -9.45 -0.92 8.57 2.58 -3.60 +3.78%
2016 -6.86 -1.96 5.42 -1.80 3.49 1.06 3.86 -0.51 0.59 1.35 -2.58 -0.17 +1.30%
2017 3.26 3.15 3.38 1.79 0.54 -0.23 1.22 2.56 1.84 4.76 -1.58 2.17 +25.19%
2018 4.11 -1.64 -3.07 -1.38 1.68 -4.40 -0.22 -4.25 -0.38 -8.62 4.38 -3.57 -16.70%
2019 8.63 1.82 4.90 2.90 -5.85 5.41 2.43 -2.76 1.81 1.51 1.89 5.17 +30.69%
2020 -1.95 -5.72 -16.42 8.64 -1.58 8.23 5.85 1.91 2.94 4.00 5.80 6.35 +16.19%
2021 4.50 2.44 1.12 -1.50 1.63 2.35 -5.09 2.05 -2.12 3.10 -2.86 2.27 +7.69%
2022 -3.18 -9.43 -4.03 -3.42 -2.23 -4.31 1.13 -1.25 -7.50 -3.37 10.18 -6.27 -29.90%
2023 7.99 -3.26 -1.17 -3.48 0.87 3.51 2.90 -3.46 -1.19 -4.94 4.01 2.71 +3.71%
2024 -0.56 4.54 4.75 0.06 3.76 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 11.82% 11.49% 12.16% 16.10% 18.51%
Sharpe ratio 3.01 2.85 1.06 -0.56 -0.03
Best month +4.75% +4.75% +4.75% +10.18% +10.18%
Worst month -0.56% -0.56% -4.94% -9.43% -16.42%
Maximum loss -5.79% -5.79% -9.31% -35.23% -37.75%
Outperformance +15.08% - +16.98% +21.51% +23.48%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
Fidelity Fd.Em.Mkt.Fd.A Dis GBP paying dividend 3.1430 +15.15% -14.86%
Fidelity Fd.Em.Mkt.Fd.I Dis EUR paying dividend 13.3300 +17.90% -12.11%
Fidelity Fd.Em.Mkt.Fd.W Acc GBP paying dividend 1.3140 +16.14% -12.74%
Fidelity Fd.Em.Mkt.Fd.D Acc EUR reinvestment 14.0900 +16.06% -15.98%
Fidelity Fd.Em.Mkt.Fd.I Acc GBP paying dividend 1.6310 +16.29% -12.37%
Fidelity Fd.Em.Mkt.Fd.A Dis USD ... paying dividend 14.7200 +19.29% -15.61%
Fidelity Fd.Em.Mkt.Fd.A Acc SGD ... reinvestment 0.9460 +14.53% -26.27%
Fidelity Fd.Em.Mkt.Fd.RA Acc USD reinvestment 7.7350 +17.20% -
Fidelity Funds - Emerging Market... reinvestment 1.9450 +16.12% -12.74%
Fidelity Funds - Emerging Market... reinvestment 16.9300 +17.98% -21.37%
Fidelity Funds - Emerging Market... reinvestment 9.8250 +17.86% -
Fidelity Funds - Emerging Market... reinvestment 53.1700 +15.81% -16.61%
Fidelity Funds - Emerging Market... reinvestment 16.1300 +17.82% -21.74%
Fidelity Fd.Em.Mkt.Fd.Y Dis USD paying dividend 13.9900 +17.83% -21.69%
Fidelity Fd.Em.Mkt.Fd.Y Acc EUR reinvestment 16.3100 +17.68% -12.50%
Fidelity Fd.Em.Mkt.Fd.Y Dis EUR paying dividend 11.2500 +17.68% -12.50%
Fidelity Fd.Em.Mkt.Fd.Y Acc EUR ... reinvestment 8.8880 +15.23% -27.21%
Fidelity Fd.Em.Mkt.Fd.A Acc EUR ... reinvestment 12.4000 +17.09% -20.41%
Fidelity Funds - Emerging Market... paying dividend 16.2700 +16.67% -14.63%
Fidelity Fd.Em.Mkt.Fd.A Acc EUR reinvestment 16.8000 +16.67% -14.72%
Fidelity Fd.Em.Mkt.Fd.A Acc HUF reinvestment 5,500.0000 +22.47% -6.24%
Fidelity Funds - Emerging Market... paying dividend 30.5900 +16.78% -23.63%
Fidelity Funds - Emerging Market... reinvestment 20.3700 +16.80% -23.68%

Performance

YTD  
+13.06%
6 Months  
+16.71%
1 Year  
+16.67%
3 Years
  -14.63%
5 Years  
+17.85%
10 Years  
+65.65%
Since start  
+64.68%
Year
2023  
+3.71%
2022
  -29.90%
2021  
+7.69%
2020  
+16.19%
2019  
+30.69%
2018
  -16.70%
2017  
+25.19%
2016  
+1.30%
2015  
+3.78%
 

Dividends

2023-08-01 0.03 EUR
2021-08-02 0.02 EUR
2020-08-03 0.02 EUR
2019-08-01 0.02 EUR
2013-08-01 0.02 EUR
2012-08-01 0.00 EUR
2009-08-03 0.03 EUR
2008-08-01 0.00 EUR