Fidelity Funds - Euro Bond Fund A-MDIST-Euro/  LU0168050333  /

Fonds
NAV08/10/2024 Chg.0.0000 Type of yield Investment Focus Investment company
10.6100EUR 0.00% paying dividend Bonds Worldwide FIL IM (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2021 - -1.11 0.24 -1.20 -0.33 0.49 2.03 -0.72 -1.12 -0.57 2.28 -1.51 -1.59%
2022 -1.46 -1.15 -2.49 -4.17 -1.87 -4.43 6.50 -6.67 -3.90 -1.00 3.72 -3.48 -19.18%
2023 3.05 -2.89 1.24 0.27 0.30 -1.33 0.83 0.00 -2.37 0.49 3.74 4.43 +7.77%
2024 -0.23 -1.84 1.61 -1.77 -0.12 0.96 2.62 0.31 1.79 -0.72 - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 5.27% 5.28% 5.70% 7.87% -%
Sharpe ratio 0.01 0.76 1.45 -0.86 -
Best month +4.43% +2.62% +4.43% +6.50% -
Worst month -1.84% -1.77% -1.84% -6.67% -
Maximum loss -2.33% -2.04% -3.38% -22.72% -
Outperformance - - - - -
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
Fidelity Funds - Euro Bond Fund ... reinvestment 27.7900 +11.12% -11.16%
Fidelity Fd.Euro Bd.Fd.X Acc EUR reinvestment 10.3800 +12.59% -7.57%
Fidelity Funds - Euro Bond Fund ... paying dividend 10.6100 +11.51% -10.18%
Fidelity Fd.Euro Bd.Fd.I Acc EUR reinvestment 10.5900 +12.11% -8.71%
Fidelity Funds - Euro Bond Fund ... reinvestment 16.0000 +11.89% -9.19%
Fidelity Fd.Euro Bd.Fd.Y Dis EUR paying dividend 10.6800 +11.94% -9.15%
Fidelity Fd.Euro Bd.Fd.Y Acc USD reinvestment 10.4000 +16.47% -13.91%
Fidelity Fd.Euro Bd.Fd.Y Acc USD... reinvestment 12.5100 +13.83% -4.06%
Fidelity Fd.Euro Bd.Fd.A Acc USD... reinvestment 12.9700 +13.37% -5.19%
Fidelity Fd.Euro Bd.Fd.A Acc HUF... reinvestment 4,073.0000 +16.87% +13.58%
Fidelity Funds - Euro Bond Fund ... paying dividend 12.7000 +11.50% -10.12%
Fidelity Funds - Euro Bond Fund ... reinvestment 15.3600 +11.63% -10.07%

Performance

YTD  
+2.55%
6 Months  
+3.59%
1 Year  
+11.51%
3 Years
  -10.18%
5 Years     -
10 Years     -
Since start
  -12.11%
Year
2023  
+7.77%
2022
  -19.18%
2021
  -1.59%
 

Dividends

01/10/2024 0.02 EUR
02/09/2024 0.02 EUR
01/08/2024 0.02 EUR
01/07/2024 0.02 EUR
03/06/2024 0.02 EUR
01/05/2024 0.02 EUR
01/04/2024 0.02 EUR
01/03/2024 0.02 EUR
01/02/2024 0.02 EUR
02/01/2024 0.02 EUR
01/12/2023 0.02 EUR
01/11/2023 0.02 EUR
02/10/2023 0.02 EUR
01/09/2023 0.02 EUR
01/08/2023 0.02 EUR
03/07/2023 0.01 EUR
01/06/2023 0.01 EUR
01/05/2023 0.01 EUR
03/04/2023 0.01 EUR
01/03/2023 0.01 EUR
01/02/2023 0.01 EUR
02/01/2023 0.00 EUR
01/12/2022 0.01 EUR
01/11/2022 0.01 EUR
03/10/2022 0.01 EUR
01/09/2022 0.01 EUR
01/08/2022 0.01 EUR
01/07/2022 0.01 EUR
01/06/2022 0.00 EUR