Fidelity Funds - Fidelity Target TM 2030 Fund A-DIST-Eur
LU0215159145
Fidelity Funds - Fidelity Target TM 2030 Fund A-DIST-Eur/ LU0215159145 /
NAV04.11.2024 |
Zm.-0,1400 |
Typ dystrybucji dochodów |
Kategoria |
Firma inwestycyjna |
50,9600EUR |
-0,27% |
płacące dywidendę |
Fundusz mieszany
Światowy
|
FIL IM (LU) ▶ |
Strategia inwestycyjna
The fund aims to achieve capital growth over the long term for investors planning to withdraw substantial portions of their investment in the year 2030. The fund invests in a range of asset classes such as bonds, equities, interest bearing and money market instruments as well as eligible exposure to commodities from anywhere in the world, including emerging markets. These investments may be denominated in any currency and some of them may be below investment grade or unrated. The proportion of assets allocated to each asset class varies over time and the fund will increasingly favour lower risk investments as it approaches its target date, shifting to an increasingly conservative asset allocation. The fund invests at least 50% of its assets in securities of issuers with favourable environmental, social and governance (ESG) characteristics. The fund may invest in the following assets according to the percentages indicated: collateralised and securitised debt instruments: up to 20% SPACs: less than 5% The fund will not terminate at the target date but will continue to be managed in accordance with its investment objective and policy.
The fund is actively managed and references a blend of market indices (each a ''Market Index'') in order to set internal guidelines around the weightings allocated to different asset classes. The fund is managed to offer an optimized asset allocation between asset classes with different risk and return characteristics. The asset allocation has been designed to de-risk portfolio by migrating from a growth to a defensive asset allocation up to the fund's target date. The Investment Manager also considers ESG characteristics when assessing investment risks and opportunities. In determining favourable ESG characteristics, the Investment Manager takes into account ESG ratings provided by Fidelity or external agencies. Through the investment management process the Investment Manager aims to ensure that investee companies follow good governance practices.
Cel inwestycyjny
The fund aims to achieve capital growth over the long term for investors planning to withdraw substantial portions of their investment in the year 2030. The fund invests in a range of asset classes such as bonds, equities, interest bearing and money market instruments as well as eligible exposure to commodities from anywhere in the world, including emerging markets. These investments may be denominated in any currency and some of them may be below investment grade or unrated. The proportion of assets allocated to each asset class varies over time and the fund will increasingly favour lower risk investments as it approaches its target date, shifting to an increasingly conservative asset allocation. The fund invests at least 50% of its assets in securities of issuers with favourable environmental, social and governance (ESG) characteristics. The fund may invest in the following assets according to the percentages indicated: collateralised and securitised debt instruments: up to 20% SPACs: less than 5% The fund will not terminate at the target date but will continue to be managed in accordance with its investment objective and policy.
Dane podstawowe
Typ dystrybucji dochodów: |
płacące dywidendę |
Kategoria funduszy: |
Fundusz mieszany |
Region: |
Światowy |
Branża: |
Fundusz mieszany/elastyczny |
Benchmark: |
- |
Początek roku obrachunkowego: |
01.05 |
Last Distribution: |
01.08.2024 |
Bank depozytariusz: |
Brown Brothers Harriman (Lux) S.C.A. |
Kraj pochodzenia funduszu: |
Luxemburg |
Zezwolenie na dystrybucję: |
Austria, Niemcy, Szwajcaria, Wielka Brytania, Czechy |
Zarządzający funduszem: |
Ayesha Akbar, Julie-Ann Ashcroft |
Aktywa: |
465,04 mln
EUR
|
Data startu: |
16.05.2005 |
Koncentracja inwestycyjna: |
- |
Warunki
Opłata za nabycie: |
5,25% |
Max. Administration Fee: |
1,10% |
Minimalna inwestycja: |
2 500,00 EUR |
Opłaty depozytowe: |
- |
Opłata za odkupienie: |
0,00% |
Uproszczony prospekt: |
Ściągnij (Wersja do wydruku) |
Firma inwestycyjna
TFI: |
FIL IM (LU) |
Adres: |
Kärntner Straße 9, Top 8, 1010, Wien |
Kraj: |
Austria |
Internet: |
www.fidelity.at
|
Aktywa
Akcje |
|
43,50% |
Obligacje |
|
39,63% |
Gotówka |
|
7,70% |
Fundusze inwestycyjne |
|
6,08% |
Cerytikaty |
|
0,13% |
Inne |
|
2,96% |
Kraje
USA |
|
42,79% |
Gotówka |
|
7,70% |
Niemcy |
|
4,55% |
Wielka Brytania |
|
4,31% |
Japonia |
|
3,72% |
Francja |
|
3,49% |
Irlandia |
|
1,82% |
Włochy |
|
1,68% |
Kajmany |
|
1,55% |
Holandia |
|
1,46% |
Kanada |
|
0,96% |
Tajwan, Chiny |
|
0,85% |
Szwajcaria |
|
0,83% |
Hiszpania |
|
0,62% |
Indonezja |
|
0,61% |
Inne |
|
23,06% |
Waluty
Dolar amerykański |
|
54,97% |
Euro |
|
17,49% |
Funt brytyjski |
|
4,05% |
Jen japoński |
|
3,55% |
Dolar hongkoński |
|
1,01% |
Dolar tajwański |
|
0,87% |
Frank szwajcarski |
|
0,79% |
Won koreański |
|
0,58% |
Juan renminbi chiński |
|
0,50% |
Dolar kanadyjski |
|
0,48% |
Rupia indyjska |
|
0,43% |
Korona duńska |
|
0,38% |
Korona szwedzka |
|
0,33% |
Real brazylijski |
|
0,15% |
Baht tajski |
|
0,15% |
Inne |
|
14,27% |