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For Sale In UK / Fidelity (FIL(Luxembourg)SA)

Fidelity Global Property

Crown Rating

Domicile

Luxembourg

Sector

Primary Asset Class

Currency

GBP
 

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Performance figures are calculated on a bid price to bid price basis.
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Cumulative performance

chart
  
  Unit Citicode ISIN YTD 3m 6m 1y 3y 5y
add to basket Fidelity Global Property A Acc EUR QV35 LU0237698757 6.72 -4.73 13.47 36.38 -6.97 -
add to basket Fidelity Global Property A Inc EUR QV36 LU0237697510 6.71 -4.74 13.46 36.36 -6.88 -
add to basket Fidelity Global Property A Inc USD QV37 LU0237698245 6.64 -4.89 13.52 36.38 -6.98 -
add to basket Fidelity Global Property A Acc USD QV38 LU0237698914 6.65 -4.88 13.53 36.39 -6.98 -
add to basket Fidelity Global Property A Inc GBP QV95 LU0237697940 6.85 -4.58 13.51 36.38 -6.97 -
add to basket Fidelity Global Property A Hedge EUR Y796 LU0296858789 -3.65 -7.25 5.82 23.67 -17.72 -
  Property - International 4.21 -2.20 8.37 23.47 -34.67 -18.66
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Discrete performance, calendar years

chart
  Unit Citicode ISIN   2009 2008 2007 2006 2005
add to basket Fidelity Global Property A Acc EUR QV35 LU0237698757   24.20 -27.82 -15.33 22.72 -
add to basket Fidelity Global Property A Inc EUR QV36 LU0237697510   24.25 -27.82 -15.27 22.72 -
add to basket Fidelity Global Property A Inc USD QV37 LU0237698245   23.91 -27.62 -15.37 21.90 -
add to basket Fidelity Global Property A Acc USD QV38 LU0237698914   23.90 -27.61 -15.42 22.20 -
add to basket Fidelity Global Property A Inc GBP QV95 LU0237697940   25.88 -29.06 -15.08 20.35 -
add to basket Fidelity Global Property A Hedge EUR Y796 LU0296858789   19.84 -30.08 - - -
  Property - International       16.01 -41.96 -11.14 24.07 16.56
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Discrete performance, rolling 12-month periods

chart
  Unit Citicode ISIN   0-12m 12-24m 24-36m 36-48m 48-60m
add to basket Fidelity Global Property A Acc EUR QV35 LU0237698757   36.38 -19.81 -14.94 1.51 -
add to basket Fidelity Global Property A Inc EUR QV36 LU0237697510   36.36 -19.77 -14.88 1.51 -
add to basket Fidelity Global Property A Inc USD QV37 LU0237698245   36.38 -19.88 -14.87 1.57 -
add to basket Fidelity Global Property A Acc USD QV38 LU0237698914   36.39 -19.92 -14.84 1.60 -
add to basket Fidelity Global Property A Inc GBP QV95 LU0237697940   36.38 -19.81 -14.94 1.65 -
add to basket Fidelity Global Property A Hedge EUR Y796 LU0296858789   23.67 -28.98 -6.31 - -
  Property - International   23.47 -32.94 -21.11 9.16 14.07
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Annualised performance

  Unit Citicode ISIN     1y 3y 5y 10y
add to basket Fidelity Global Property A Acc EUR QV35 LU0237698757   36.38 -2.38 - -
add to basket Fidelity Global Property A Inc EUR QV36 LU0237697510   36.36 -2.35 - -
add to basket Fidelity Global Property A Inc USD QV37 LU0237698245   36.38 -2.38 - -
add to basket Fidelity Global Property A Acc USD QV38 LU0237698914   36.39 -2.38 - -
add to basket Fidelity Global Property A Inc GBP QV95 LU0237697940   36.38 -2.38 - -
add to basket Fidelity Global Property A Hedge EUR Y796 LU0296858789   23.67 -6.30 - -
  Property - International   23.47 -13.23 -4.05 3.52
 
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Growth of £1000 over 3 years

Total return performance of the fund rebased to 1000.
Your actual return would be reduced by the cost of buying and selling the fund, and inflation.
chart

All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis with net income (dividends) reinvested. Performance figures are shown in Sterling.

 
 
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