Sign inLoginPassword
  
Quick Search
 
 Advanced Search
  
Listings
Companies
Indices
Rankings
Your Rankings
Your portfolios
Glossary
Downloads
Hot-Line
Contact
 
 
 
Accédez au site :
Fund Information / Summary
Imprimer
 
 
FIDELITY MONEYBUILDER DIVIDEND FUND GBP CAP
Umbrella FundFidelity Investment FundsCurrencyGBPDates
PromoterFIL Investment Services UK LtdCountryGBRInception15/05/2001
 NatureSICAVClosing-
EP CategoryEquity UKISINGB0003860904
Rating categoryEquity UKEtoiles EuroPerformance
 
Europerformance Categories
Family :Equity
 
Ss Family :Equity Europe
  
Type :Equity UK
   
Cat :Equity UK
Category changed on :
AMF :
NAV
Date16/05/2024
VL2.61
Variation0.00
CurrencyGBP
Net Assets (at the end of the month)1 581.663 (Million €)
Total Net asset (subfund level)(end of month)only to registered users
Evolution of the NAV
 
 Management
Management companyFIL Investment Services UK Ltd
CustodianJp Morgan Trustee Depositary
Management type
-
Taxation
-
Risk profileAccum. / Distri.Distribution
FrequencyDaily Frequency of the dividendsQuarterly
Geographical investment zoneUnited KingdomMax. management fees1.00%
 
Marketing countries
Distributed FRA
Distributed GBR
Distributed IRL
 
 
Last Dividend
Date01/12/2023
Net Value0.02
Value Gross0.02
Subscription / Redemption
Subscription feesRedemption fees
Min / MaxMaximum 3.50 %Min / MaxFixed 0.00 %
dedicated to the fund-dedicated to the fund-
SubscriptionUnknown priceRedemptionUnknown price
Recommended minimum investment periodAt least 60 Month
 
Legal Information