Last updated: May-25-2017
 
FUND LISTING BY COMPANY
5/26/2017 9:03:17 AM
HOME : FUNDS : BROWSE : FUND LISTING BY COMPANY
Filter Description: Company is FIDELITY INVESTMENTS  
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X Fund Name FundGrade NAVPS* 1 mo 3 mo 6 mo YTD 1 yr 2 yr Update Date Performance
Fidelity Global Dividend Class Series S8   C14.69764.4010.468.978.2117.208.584/30/2017 See Performance Chart
Fidelity Global Dividend Class Series T5   C19.60994.3910.388.838.1216.928.324/30/2017 See Performance Chart
Fidelity Global Dividend Class Series T8   C14.45014.3810.388.838.1216.898.364/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series A   C12.20804.3810.428.888.1616.988.364/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series A U$   C8.94331.695.266.996.397.531.874/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series B   C12.24114.4010.478.998.2317.228.574/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series B U$   C8.96751.715.317.096.467.742.074/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series S5   C14.94574.4010.488.998.2317.218.554/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series S8   C10.74544.4010.489.008.2317.258.614/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series T5   C14.92574.3810.428.888.1616.978.334/30/2017 See Performance Chart
Fidelity Global Dividend Fund Series T8   C10.72574.3810.438.898.1617.058.414/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl B   D18.20721.395.2410.886.7613.592.154/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl I   D17.86501.375.1610.726.6613.241.854/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl I5   D24.53741.375.1710.736.6613.291.884/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl I8   D19.38631.375.1510.716.6313.241.854/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl S5   D25.09051.395.2310.876.7513.542.134/30/2017 See Performance Chart
Fidelity Global Equity Currency Neutral Priv Pl S8   D19.81931.395.2310.876.7413.592.154/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series B   C22.91344.3810.5012.519.9420.628.134/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series I   C22.54024.3610.4212.359.8320.317.854/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series I5   C29.73644.3510.4112.339.8220.257.784/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series I8   C22.34304.3510.4112.339.8220.247.754/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series S5   C30.42584.3810.5012.519.9420.648.114/30/2017 See Performance Chart
Fidelity Global Equity Private Pool Series S8   C22.96644.3810.5112.549.9620.708.194/30/2017 See Performance Chart
Fidelity Global Financial Services Class Series A   C21.37203.588.6614.557.5725.919.924/30/2017 See Performance Chart
Fidelity Global Financial Services Class Series B   C21.73373.598.7114.637.6426.1010.084/30/2017 See Performance Chart
All On | All Off What do you want to do with the checkmarked funds?  
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Glossary
FundGradeNAVPS*Update DatePerformance


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This information is compiled from sources believed to be accurate but not guaranteed by The Fund Library, its owners, afficiates and partners. Past performance is no guarantee of future results.

Data Source: Fundata Canada Inc.
 
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