NAV23.07.2024 Diff.-0.0120 Ertragstyp Ausrichtung Fondsgesellschaft
4.3380GBP -0.28% ausschüttend Aktien Asien (exkl. Japan) FIL IM (LU) 
  • Ausschüttungsbereinigt Ausschüttungsbereinigt

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2006 - - - - - - - - 4.85 0.93 5.50 6.96 -
2007 -1.63 -0.83 1.67 3.28 7.14 2.96 5.04 -1.22 11.81 10.56 -8.43 1.84 +35.17%
2008 -13.86 4.90 -4.67 7.69 -1.95 -9.27 -4.38 1.53 -11.28 -13.56 1.96 16.35 -27.11%
2009 -6.61 -4.42 13.89 9.76 3.70 -1.43 10.87 -0.93 11.26 -3.57 4.94 5.29 +48.50%
2010 -6.15 5.36 8.47 0.00 -3.13 -1.61 1.09 2.70 7.89 1.46 3.37 4.19 +25.14%
2011 -2.23 -5.48 5.31 1.83 -0.45 -1.36 0.00 -7.34 -11.88 6.74 -0.53 -1.06 -16.52%
2012 5.88 4.04 -1.94 0.00 -4.95 2.60 1.02 -1.31 3.06 0.00 2.48 1.45 +12.52%
2013 3.33 5.53 -1.31 -0.44 4.00 -5.98 2.27 -3.29 0.46 4.13 -1.32 -1.34 +5.53%
2014 -4.98 3.33 0.46 -0.46 4.15 0.44 3.96 3.05 -2.88 3.81 2.86 -0.79 +13.22%
2015 5.60 -0.76 4.96 3.27 -1.06 -5.69 -5.28 -7.92 0.87 5.15 0.82 1.62 +0.46%
2016 -3.59 0.83 7.38 -1.91 0.78 13.13 5.46 3.63 3.44 3.93 -5.52 -1.54 +27.58%
2017 5.63 2.66 3.75 -0.56 3.91 1.61 2.65 4.64 -3.69 4.35 -0.74 2.22 +29.38%
2018 1.45 -1.19 -2.65 1.49 1.95 -3.11 1.73 -0.49 -1.71 -9.43 5.21 -2.34 -9.42%
2019 5.07 0.76 4.53 1.93 -5.67 6.52 4.00 -4.66 1.43 -2.58 0.72 3.82 +16.11%
2020 -5.75 0.24 -10.95 7.10 -0.51 7.69 3.33 1.67 3.41 1.76 4.32 5.38 +17.35%
2021 1.96 1.35 0.19 1.52 -1.50 1.71 -8.40 2.46 -1.19 -1.01 -0.81 -1.23 -5.29%
2022 -1.04 -3.56 -3.67 -1.58 -0.11 -0.41 -2.10 3.63 -7.61 -10.48 15.74 -0.76 -13.26%
2023 6.91 -6.09 1.07 -4.67 -1.26 1.88 3.54 -4.70 -0.37 -2.58 1.77 1.49 -3.73%
2024 -5.02 5.34 3.28 1.78 -1.09 6.16 -2.41 - - - - - -
Einzelne Monate: Ausschüttungen nicht berücksichtigt

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 12.66% 12.11% 13.16% 16.85% 17.73%
Sharpe Ratio 0.85 1.97 0.16 -0.53 -0.22
Bester Monat +6.16% +6.16% +6.16% +15.74% +15.74%
Schlechtester Monat -5.02% -5.02% -5.02% -10.48% -10.95%
Maximaler Verlust -6.25% -5.97% -10.99% -30.35% -36.29%
Outperformance +1.74% - +2.36% +5.07% +6.43%
 
Alle Kurse in GBP

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
Fidelity Funds - Asian Special S... thesaurierend 19.8400 +7.94% -15.32%
Fidelity Fd.Asian Sp.Sit.Fd.A Di... ausschüttend 4.3380 +5.75% -14.92%
Fidelity Fd.Asian Sp.Sit.Fd.R Ac... thesaurierend 12.0200 +8.00% -16.82%
Fidelity Fd.Asian Sp.Sit.Fd.I Ac... thesaurierend 14.0400 +7.59% -17.61%
Fidelity Fd.Asian Sp.Sit.Fd.W Ac... ausschüttend 1.6470 +6.66% -12.70%
Fidelity Fd.Asian Sp.Sit.Fd.A Ac... thesaurierend 12.8700 +10.19% -1.00%
Fidelity Fd.Asian Sp.Sit.Fd.D Ac... thesaurierend 15.5400 +8.14% -14.71%
Fidelity Fd.Asian Sp.Sit.Fd.I Ac... thesaurierend 13.7800 +11.22% +2.00%
Fidelity Fd.Asian Sp.Sit.Fd.I Di... ausschüttend 9.9970 +7.55% -17.61%
Fidelity Funds - Asian Special S... thesaurierend 18.4500 +9.82% -10.78%
Fidelity Funds - Asian Special S... thesaurierend 24.6700 +7.40% -17.99%
Fidelity Fd.Asian Sp.Sit.Fd.Y Di... ausschüttend 16.0000 +7.37% -18.08%
Fidelity Fd.Asian Sp.Sit.Fd.Y Ac... thesaurierend 13.2800 +9.57% -11.23%
Fidelity Fd.Asian Sp.Sit.Fd.Y Ac... thesaurierend 10.1800 +9.52% -14.74%
Fidelity Funds - Asian Special S... thesaurierend 42.2500 +8.72% -13.39%
Fidelity Fd.Asian Sp.Sit.Fd.A Ac... thesaurierend 15.2000 +8.65% -16.76%
Fidelity Fd.Asian Sp.Sit.Fd.A Ac... thesaurierend 1'324.0000 +11.35% -7.09%
Fidelity Funds - Asian Special S... thesaurierend 28.2100 +6.45% -20.09%
Fidelity Funds - Asian Special S... ausschüttend 53.3100 +6.47% -20.06%

Performance

lfd. Jahr  
+7.78%
6 Monate  
+12.91%
1 Jahr  
+5.75%
3 Jahre
  -14.92%
5 Jahre
  -1.01%
10 Jahre  
+85.73%
seit Beginn  
+323.97%
Jahr
2023
  -3.73%
2022
  -13.26%
2021
  -5.29%
2020  
+17.35%
2019  
+16.11%
2018
  -9.42%
2017  
+29.38%
2016  
+27.58%
2015  
+0.46%
 

Ausschüttungen

02.08.2021 0.00 GBP
03.08.2020 0.01 GBP
01.08.2019 0.00 GBP
01.08.2016 0.00 GBP
03.08.2015 0.00 GBP
01.08.2014 0.00 GBP
01.08.2013 0.01 GBP
01.08.2012 0.00 GBP
03.08.2009 0.01 GBP
01.08.2007 0.00 GBP