• INNOVATOR -0.45%
  • InvestorMS 0.28%
  • mWIG40 -0.25%
  • mWIG40dvp 0.00%
  • mWIG40TR -0.40%
  • NCIndex -0.10%
  • sWIG80 -0.01%
  • sWIG80dvp 0.00%
  • sWIG80TR 0.01%
  • TBSP.Index 0.06%
  • WIG -0.36%
  • WIG20 -0.51%
  • WIG20dvp 0.00%
  • WIG20lev -1.03%
  • WIG20short 0.53%
  • WIG20TR -0.42%
  • WIG30 -0.53%
  • WIG30TR -0.32%
  • WIG-BANKI -1.14%
  • WIG-BUDOW 0.42%
  • WIG-CEE 1.21%
  • WIG-CHEMIA -0.37%
  • WIGdiv -0.11%
  • WIG-ENERG -1.00%
  • WIG-ESG -0.36%
  • WIG.GAMES 0.73%
  • WIG-GORNIC -1.00%
  • WIG-INFO 0.13%
  • WIG-LEKI 0.72%
  • WIG-MEDIA -0.32%
  • WIG-MOTO 0.43%
  • WIG.MS-BAS -1.46%
  • WIG.MS-FIN -1.07%
  • WIG.MS-PET -1.53%
  • WIG-NRCHOM 0.47%
  • WIG-ODZIEZ 0.41%
  • WIG-PALIWA -1.61%
  • WIG-Poland -0.19%
  • WIG-SPOZYW -0.75%
  • WIGtech 0.62%
  • WIGtechTR 0.56%
  • WIG-TELKOM 0.22%
  • WIG-Ukrain -0.41%
Wyświetl

Porównaj fundusze

Wyniki osiągnięte w przeszłości nie gwarantują osiągnięcia podobnych w przyszłości.
  Nazwa funduszu Waluta Data wyceny Wartość 1d 1m 3m 6m 12m 36m 60m
FIDELITY FUNDS ASEAN FUND A (ACC) (USD) USD 2021-12-07 26.63 1.80 -4.17 -0.63 -0.75 6.86 16.80 34.43
FIDELITY FUNDS ASIA PACIFIC DIVIDEND FUND A (MINC) (G) (USD) USD 2021-12-07 14.66 1.52 0.62 -3.68 -3.17 5.39 40.69
FIDELITY FUNDS ASIAN BOND FUND A (ACC) (USD) USD 2021-12-07 16.02 -0.12 0.63 -1.48 1.14 -1.05 23.23 23.04
FIDELITY FUNDS ASIAN HIGH YIELD FUND A (ACC) (USD) USD 2021-12-07 17.25 1.00 0.64 -12.26 -15.89 -12.26 3.42 5.31
FIDELITY FUNDS ASIAN HIGH YIELD FUND A (MINC) (G) (USD) USD 2021-12-07 6.78 0.89 -0.29 -14.29 -19.48 -19.09 -18.90 -28.63
FIDELITY FUNDS ASIAN SMALLER COMPANIES FUND A (ACC) (USD) USD 2021-12-07 27.35 1.33 -1.26 -3.29 -3.08 16.04 35.33 45.79
FIDELITY FUNDS CHINA CONSUMER FUND A (ACC) (USD) USD 2021-12-07 21.50 2.43 -4.66 -9.93 -21.82 -18.65 27.45 50.45
FIDELITY FUNDS CHINA RMB BOND FUND A (ACC) (EUR) EUR 2021-12-07 15.59 0.52 3.52 4.91 7.22 11.68 22.56 23.53
FIDELITY FUNDS EMERGING ASIA FUND A (ACC) (EUR) EUR 2021-12-07 30.27 2.09 -1.66 -0.88 -1.30 4.92 30.64
FIDELITY FUNDS EMERGING ASIA FUND A (ACC) (PLN) (HEDGED) PLN 2021-12-07 18.29 1.67 -3.79 -5.13 -8.09 -3.58 18.92 41.45
FIDELITY FUNDS EMERGING ASIA FUND A (ACC) (USD) USD 2021-12-07 21.57 1.75 -4.22 -5.93 -9.03 -2.79 29.16 60.73
FIDELITY FUNDS EMERGING EUROPE, MIDDLE EAST AND AFRICA FUND A (ACC) (EUR) EUR 2021-12-07 25.35 2.26 -5.20 1.60 7.83 39.75 55.81 58.74
FIDELITY FUNDS EMERGING EUROPE, MIDDLE EAST AND AFRICA FUND A (ACC) (PLN) (HEDGED) PLN 2021-12-07 18.23 1.84 -5.59 -0.49 4.77 28.29 47.02 48.69
FIDELITY FUNDS EMERGING EUROPE, MIDDLE EAST AND AFRICA FUND A (ACC) (USD) USD 2021-12-07 21.30 1.91 -7.63 -3.53 -0.61 29.48 54.01 66.02
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (ACC) (EUR) EUR 2021-12-07 25.66 0.71 1.58 0.67 5.95 7.18 20.81 17.28
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (ACC) (EUR) (HEDGED) EUR 2021-12-07 14.80 0.41 -1.14 -4.64 -2.76 -1.66 12.63
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (ACC) (USD) PLN 2021-12-07 23.28 0.39 -1.02 -4.43 -2.35 -0.68 19.45 22.59
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (HMDIST) (G) (PLN) (HEDGED) PLN 2021-12-07 8.87 0.45 -1.55 -5.94 -5.24 -6.53 -0.78
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (MDIST) (EUR) EUR 2021-12-07 12.21 0.74 1.24 -0.33 3.91 3.13 6.27 -4.53
FIDELITY FUNDS EMERGING MARKET DEBT FUND A (MINC) (G) (USD) USD 2021-12-07 8.64 0.35 -1.59 -5.88 -5.26 -6.39 0.35 -8.09