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BNP Paribas L1 Consumer Innovator Classic Cap (USD)

 
Fidelity Funds - Global Financial Services Fund A-EUR

Name
Performance
Last NAV 357.54 68.05
Date of Valuation 2024/11/25 2024/11/25
Sharpe Ratio 0.98 0.51
3-Year Risk Return Ratio 0.04 0.89
Cumulative Performance (%)
  • 1-Month
+10.76% +9.51%
  • 3-Month
+18.07% +16.46%
  • 6-Month
+20.93% +19.49%
  • YTD
+18.88% +35.15%
  • 1-Year
+20.76% +13.20%
  • 3-Year
+15.74% +31.60%
  • 5-Year
+27.94% +25.70%
  • Since Launch
+358.09% +240.25%
Calendar Year Performance (%)
  • 2023
+20.76% +13.20%
  • 2022
-28.37% -9.80%
  • 2021
+15.74% +31.60%
  • 2020
+32.55% -3.30%
  • 2019
+27.94% +25.70%
3-Year Annualised Volatility 15.84% 13.02%
Funds Characteristics
Funds House BNP Paribas Investment Partners - BNP Paribas L1 Funds FIL Investment Management (Hong Kong) Limited
Portfolio Manager Deena FRIEDMAN Mac Elatab
Funds Type Equity Funds Equity Funds
Funds Size USD 882246400 USD 1535216000
Base Currency EUR EUR
Sector Consumer Finance
Geographic Allocation Global Global
Portfolio content
Top Holdings
  • 01
AMAZON COM INC (10.36%) JPMORGAN CHASE & CO (7.60%)
  • 02
TESLA INC (9.38%) VISA INC (4.20%)
  • 03
HOME DEPOT INC (8.58%) BERKSHIRE HATHAWAY INC DEL (7.30%)
  • 04
LVMH (5.32%) INTERACTIVE BROKERS GROUP INC (2.80%)
  • 05
SONY GROUP CORP (4.30%) WELLS FARGO & CO NEW (3.80%)
  • 06
MERCADOLIBRE INC (4.28%) MORGAN STANLEY (2.80%)
  • 07
HILTON WORLDWIDE HOLDINGS INC (3.78%) GALLAGHER (ARTHUR J.) & CO (2.60%)
  • 08
NIKE INC CLASS B B (3.61%) 3I GROUP PLC (2.50%)
  • 09
BOOKING HOLDINGS INC (3.59%) MASTERCARD INC (2.90%)
  • 10
FAST RETAILING LTD (3.55%) AXA SA (2.50%)
Investments and Fees
Minimum Initial Investment USD 1000 EUR 800
Initial Sales Fee Up to 5% of the net asset value of the relevant share class subscribed Class A – Up to 5.25% of NAV.Class Y – 0%
Switching Fee Up to 2% of the net asset value of the relevant share class converted Generally up to 1% of NAV, except if you are switching from one class with no subscription fee into a class with subscription fee, you will have to pay for a switching fee of up to 5.25% of NAV
Maintenance Fee Other fees:Up to 0.35%(Other fees cover the general asset custody expenses payable to the custodian and the daily administration expenses) Custodian Fee:Varies from 0.003% to 0.35% of NAV.Administration Fee:Up to 0.35% of NAV
Redemption Fee Nil N/A
Date and others
Launch Date 2013/05/24 2000/09/01
End of Financial Year 31/12 30/04
Country of Registry Luxembourg Luxembourg
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