Fund performance

Fidelity Global Equities Fund performance

As at 31 October 2024

Fund Details
APIR code FID0007AU
Fund group
Fund size $460,688,700 as at 31 October 2024
Inception date 15 April 1998
1 mth % 3 mth % 6 mth % 1 yr % pa 3 yr % pa 5 yr % pa
Fidelity Global Equities Fund 3.32 0.47 7.42 22.22 8.26 12.11

NAv: Not Available
NAp: Not Applicable

Performance information for Expand Essential and Expand Extra products can be found at myexpand.com.au.

Issued by IOOF Investment Management Limited (IIML), ABN 53 006 695 021, AFSL 230524 as Trustee of the IOOF Portfolio Service Superannuation Fund ABN 70 815 369 818, Navigator Australia Limited (NAL), ABN 45 006 302 987, AFSL 236466 as Service Operator of Expand Essential and Expand Extra Investment and IOOF Investment Services Limited (IISL) ABN 80 007 350 405, AFSL 230703 as Service Operator of each IOOF Investor Directed Portfolio Service. IOOF WealthBuilder is issued by IOOF Ltd, ABN 21 087 649 625, AFSL 230522.

Past performance is not a reliable indicator of future performance. The quoted performance figures are net of fund manager fees and charges accounted for in unit prices, including investment management fees, other expenses and tax (where applicable), however do not include the impact of any administration fees charged by IIML, NAL and IISL or any optional financial advice fees. Performance is based on exit price to exit price for the period and assumes that all distributions are reinvested. Unit prices may rise and fall in line with the value of the underlying assets. Neither IIML, NAL, IISL, IOOF Ltd, the investment managers, nor any of their related bodies corporate guarantee the performance or any rate of return of the investments. To the extent permitted by law, no liability is accepted for any loss or damage as a result of any reliance on this information. This performance summary is not intended to represent investment or professional advice and doesn’t take into account your individual objectives, financial situation or needs. You should consider the appropriateness of this information, having regard to your individual objectives, financial situation or needs before deciding whether to acquire, hold or dispose of an investment option. Before making a decision, you should consider the applicable Product Disclosure Statement and Target Market Determination.

The performance data has been sourced from Morningstar, Inc. (Morningstar) and the individual investment managers (as applicable). IIML, NAL and IISL believe these figures to be correct and up-to-date as at the time of preparation. © 2022 Morningstar, Inc. All rights reserved. Neither Morningstar, its affiliates, nor the content providers guarantee the data or content contained herein to be accurate, complete or timely nor will they have any liability for its use or distribution. Any general advice or ‘regulated financial advice’ under New Zealand law has been prepared by Morningstar Australasia Pty Ltd (ABN: 95 090 665 544, AFSL: 240892) and/or Morningstar Research Ltd, subsidiaries of Morningstar, Inc, without reference to your objectives, financial situation or needs. For more information refer to our Financial Services Guide (AU) and Financial Advice Provider Disclosure Statement (NZ) at www.morningstar.com.au/s/fsg.pdf and www.morningstar.com.au/mca/s/fapds.pdf. You should consider the advice in light of these matters and if applicable, the relevant Product Disclosure Statement before making any decision to invest. Our publications, ratings and products should be viewed as an additional investment resource, not as your sole source of information. Morningstar’s full research reports are the source of any Morningstar Ratings and are available from Morningstar or your adviser. Past performance does not necessarily indicate a financial product’s future performance. To obtain advice tailored to your situation, contact a professional financial adviser. Some material is copyright and published under licence from ASX Operations Pty Ltd ACN 004 523 782.