Fidelity Funds - Malaysia Y-ACC-USD

At A Glance

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Net Asset Value

14.07USD

 1.59

25 Apr 2017

YTD Return (Cumulative)
 7.79%
5 Year Return (Annualized)
 3.22%
Classification
Equity Malaysia
Manager Benchmark
Index not available in Lipper
Lipper Leader Profile (Overall)
N/A
N/A
 
N/A

Growth of 10,000USD since April, 2008 »

 Fidelity Funds - Malaysia Y-ACC-USD

The Growth of 10,000USD chart includes reinvestment of dividends and capital gains, but does not reflect the effect of any applicable sales or redemption charges which would lower these figures.

Fund Profile

Fund PromoterFidelity
Portfolio ManagerFIL Fund Management Limited
Launch Date25 Mar 2008
Geographical FocusMalaysia
Redemption Current0.00%
Redemption Max--
Redemption Min--

Fees, Expenses, & Minimums

Early Redemption Fee--
Initial Current0.00%
Initial Max--
Initial Min--
Regular Investments--
Irregular Investments--
Total Net Assets9.17  M USD
Total Net Assets Date31 Mar 2017
Annual Current Charge0.80%
Annual Max Charge0.80%
Annual Min Charge--

Investment Strategy

The fund invests principally in Malaysian equity securities. Its aim is to provide investors with long-term capital growth from diversified and actively managed portfolios of securities.

Overall Lipper Leaders Ratings & Fund Profile »

Similar
Rating/
Category
Total Return
N/A
33448
Consistent Return
N/A
33448
Capital Preservation
 
33908
Low Expense
N/A
28610

About the ratings...

Total Return reflects the fund's historical total return performance relative to its peers. Consistent Return reflects the funds's historical risk-adjusted returns relative to its peers. The Capital Preservation is relative, rather that absolute...More »

Lipper Leaders.com

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2 ETFs »

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3Yr Return
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5Yr Return
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Quick Fund Facts

This fund is not an index fund
This fund is open to new investors
This fund is not ISA eligible
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