Fidelity Funds - Emerging Europe, Middle East and Africa Fund A Acc EUR

富達基金 - 新興「歐非中東」基金 A類 Acc 歐元

LU0303816705

风险等级: 5级

iFund 的投资产品风险评级为一个衡量单一基金的地域和资产类别、投资风格和任何潜在因素的质化和量化并重的评估机制。风险评级分为一至六(1(最低风险)至6 (最高风险))等级别。风险评级为5或6的基金大多投资于单一市场或行业的股票、甚至包括衍生工具,为投资者提供资本增值。有关详细资讯,请参阅「流程说明」页面下的「尽职审查」。

非交易时段

交易资料

交易
快捷可靠

无需衍生产品
知识可购买

HKD4,000.00起投

1.50%

HKD4,000.00起投

AUD / CHF / HKD / JPY / EUR / GBP / CAD / USD / NZD

HKD4,000.00起投

HKD4,000.00

HKD4,000.00

Daily

14:00

-

*下图为基金价格,并未包括基金派息 (如适用)

基金表现(包括派息,如有)

1个月
+2.09%
3个月
+13.74%
6个月
+39.63%
1年
+64.45%
3年
+23.85%
5年
+44.02%

分析数值 (3年)

年度化回报
+7.39%
年度化波幅
+27.80%
夏普比率
+0.21

基金资料

基金公司
FIL Investment Management (Hong Kong) Limited
基金成立日期
2007-06-10
基金经理
Nick Price
Greg Konstantinidis
基金经理开始日期
2007-06-11
2017-04-01
主要投资地区
Eastern Europe Middle East & Africa
资产类别 / 行业
Equity - All cap
风险评级
5级

iFund 的投资产品风险评级为一个衡量单一基金的地域和资产类别、投资风格和任何潜在因素的质化和量化并重的评估机制。风险评级分为一至六(1(最低风险)至6 (最高风险))等级别。风险评级为5或6的基金大多投资于单一市场或行业的股票、甚至包括衍生工具,为投资者提供资本增值。有关详细资讯,请参阅「流程说明」页面下的「尽职审查」。

基金规模(截至 2021-03-30)
EUR 456,870,975.237
基金管理费
1.50%
最新派息
不适用

同类前列基金

    暂无基金

交易资料

交易
快捷可靠

无需衍生产品
知识可购买

HKD4,000.00起投

1.50%

HKD4,000.00起投

AUD / CHF / HKD / JPY / EUR / GBP / CAD / USD / NZD

HKD4,000.00起投

HKD4,000.00

HKD4,000.00

Daily

14:00

-

派息记录

无派息记录

投资目标

The fund is an Equity fund and aims to provide long-term capital growth with the level of income expected to be low.

风险性质及程度

Investment involves risks. Please refer to the Hong Kong Prospectus for details including the risk factors.
1.Investment Risk
The fund is an investment fund. The fund’s investment portfolio may fall in value and therefore your investment in the fund may suffer losses. There is no assurance that the strategy employed by the fund will be successful and therefore the investment objectives of the fund may not be achieved.
2.Equities
The value of stocks may fluctuate, sometimes dramatically, in response to the activities and results of individual companies or because of general market and economic conditions or other events.
3.Emerging Markets
This fund invests in emerging market securities (in particular securities in Central, Eastern and Southern Europe (including Russia), the Middle East and Africa) and the price of these securities may be more volatile than those of securities in more developed markets.
This volatility may stem from political and economic factors and be exacerbated by legal, trading liquidity, settlement, transfer of securities and currency factors.
Although care is taken to understand and manage these risks, the fund and accordingly the shareholders in the fund will ultimately bear the risks associated with investing in these markets.
4.Emerging Markets - Russia
This fund invests in Russia and it is understood that under current Luxembourg regulations the fund may invest not more than 10% of its net assets in unlisted securities not dealt on a regulated market. Some investments in Russian securities may be considered as falling within such limit.
The Russian market presents specific risks in relation to the settlement and safekeeping of securities as well as regarding the registration of assets where registrars are not always subject to effective government or other supervision.
5.Foreign Currency Risk
The fund’s total return and balance sheet can be significantly affected by foreign exchange rate movements where the fund’s assets and income are denominated in currencies other than the base currency of the fund. Also, a class of shares may be designated in a currency other than the base currency of the fund. This means that currency movements and changes in exchange rate controls may significantly affect the value of the fund’s share price.
6.Financial Derivative Instruments
Although the fund will not make extensive use of derivatives for investment purposes or use complex derivatives or strategies to meet the investment objectives of the fund, the use of derivatives may give rise to leverage, liquidity, counterparty and valuations risks at times. In adverse situations, the fund’s use of derivatives may become ineffective and the fund may suffer significant losses.