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Fidelity Funds – Sustainable Global Dividend Plus Fund A-Acc-EUR
Last NAV
EUR
 
11.21
(Last Update : 2024/11/21)
1-Month return
 
-0.71%
Fund House FIL Investment Management (Hong Kong) Limited
Fund Type Equity Funds
Fund Size
 
551.00M
Sector High Dividend
Geographic Allocation Global
 
Fund Investment Objective & Strategy
The fund aims to achieve income with potential for capital growth over time. The fund invests at least 70% of its assets, in equities of companies from anywhere in the world the world including emerging markets. The fund invests at least 70% of its assets in securities of issuers with favourable environmental, social and governance (ESG) characteristics and up to 30% in securities of companies with improving ESG characteristics. The fund may invest less than 30% of Its assets (directly and/or indirectly) in China A and B shares (in aggregate). The Investment Manager aims to provide income in excess of the benchmark.
 
 
Key Risks
Equities:The value of stocks may fluctuate, sometimes dramatically, in response to the activities and results of individualcompanies or because of general market and economic conditions or other events.Holdings Concentration:At times, the fund will invest in a relatively small number of investments and will be concentrated in a specific industrysector and the net asset value of the fund may be more volatile as a result of this concentration of holdings relative to afund which diversifies across a larger number of investments or sectors.Telecommunication Sector Risk:The telecommunications industry is subject to rapid and significant changes in technology that are evidenced bythe increasing pace of technological upgrades, evolving industry standards, ongoing improvements in the capacityand quality of digital technology, shorter development cycles for new products and enhancements, developments inemerging wireless transmission technologies, and changes in customer requirements and preferences. The successof the industry participants depends in substantial part on the timely and successful introduction of new products andservices. The telecommunications industry can be adversely impacted by the failure and delays in obtaining financingor regulatory approval, intense competition with other telecommunication service providers, product incompatibility,mismatched consumer preferences, and the rapid obsolescence and research and development of new products.Further, the telecommunications industry is generally subject to extensive regulations and the costs of complyingwith such regulations, delays or failures to receive required regulatory approvals or the enactment of new, adverseregulatory requirements may negatively affect the business of telecommunications companies and hence lead topotential decline in the value of investments in such sector. Foreign Currency Risk:The fund’s total return and balance sheet can be significantly affected by foreign exchange rate movements where thefund’s assets and income are denominated in currencies other than the base currency of the fund and this means thatcurrency movements may significantly affect the value of the fund’s share price.
 
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