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Fidelity | Fidelity Global Thematic Opportunity Dis - USD

The fund invests principally in equities in markets throughout the world including major markets and smaller emerging markets.
Quote
Quote
$23,27
Quote date
31-03-2026
Performance in EUR
Date
31-03-2026
This year
-3,27%
1 week
-1,38%
1 month
-6,19%
3 months
-3,27%
6 months
0,30%
1 year
12,03%
3 years (annualised)
8,93%
5 years (annualised)
4,81%
Since start (annualised)
8,76%
Indicators
Standard deviation (3yr)
13,00%
Share ratio (3yr)
0,49
Beta (3yr)
0,94
Alpha (3yr)
-3,88
Tracking error (3yr)
4,37
Top 10 holdings (31-07-2024)
Microsoft Corp
5,40 %
NVIDIA Corp
3,58 %
Alphabet Inc Class A
2,89 %
Taiwan Semiconductor Manufacturing Co Ltd
2,03 %
Amazon.com Inc
1,93 %
Apple Inc
1,66 %
UnitedHealth Group Inc
1,54 %
Hitachi Ltd
1,49 %
ASML Holding NV
1,19 %
SSE PLC
1,18 %
Fees
Entry fee
0,60%
Exit charges
0,60%
Estimated ongoing charges
1,05%
Dividend
Dividend paying
Yes
Dividend
$0,08
Ex-dividend date
01-08-2025
Payment date
08-08-2025
Dividend frequency
Annually
Characteristic
Asset Manager
Fidelity
Asset class
Equities
Investment category
Equities - Global
Active/Passive
Active
Fund code
54395
Fund code fractional orders
54395
Fund manager name
Caroline Shaw|Julie-Ann Ashcroft
ISIN
LU0936580512
Sustainable Classification
Art. 8, ESG integration
Sustainability Rating
Domicile
Luxembourg
Currency
USD
Fund size (mio)
$1.506,93 (28-02-2026)
Cut-off time
15:30:00
Execution date
Yes
Inception date
09-10-2013
Benchmark
MSCI ACWI NR USD
Minimum investment amount
€20
Assortiment
Self Directed Investing Plus, Investment advice