Fidelity Select Global Equities Fund

Fund selector

Fund facts

Portfolio manager

César Hernández

Fund size (as at 06/01/09)

$19,020,418

Inception date

17/06/96

Benchmark index

MSCI World (ex Australia & New Zealand) Index

Management costs (fees)^

Management Costs: 1.15% p.a. (including GST) excluding abnormal expenses and transaction charges.

Buy sell spread

0.30%/0.30% The buy/sell spread represents an allowance for brokerage and other transaction costs.

APIR code

FID0001AU

ARSN code

093164517

Distribution frequency

Quarterly

Unit prices
Application/Redemption^^

(as at 06/01/09)
10.6446/10.5810
Download history

Investment objective

To achieve returns in excess of the MSCI World (ex Australia & New Zealand) Index, net dividends reinvested, over a rolling three year period.


Key features

  • Central portfolio management
  • Quantitative portfolio construction
  • Strict regional and industry controls

Past performance % (as at 30/11/08)

  1 mth 3 mths 1 year 3 years 5 years 10 years Since 17/06/96
Fund * -5.18 -12.51 -22.89 -2.36 4.20 1.13 6.09
Benchmark ** -5.21 -11.27 -22.44 -4.43 2.10 -0.93 4.30
Active return 0.03 -1.24 -0.45 2.07 2.10 2.06 1.79
The returns shown represent past performance only. Past performance is not a reliable indicator of future performance. Returns of the Fund can be volatile and in some periods may be negative. The return of capital is not guaranteed.
* The returns shown have been calculated using the net asset value of the Fund from one period to the next. The returns include any re-invested distributions and are before fees and expenses. No allowance has been made for taxation. For periods greater than one year returns have been annualised.
**MSCI World (ex Australia & New Zealand) Index

Distributions

Latest
Distribution
Distribution
(CPU)*
Reinvestment
Price
30/09/2008 0.0000 $12.0499
Please note: The above distribution excludes imputation and foreign tax credits.
* cpu = cents per unit

Sector breakdown as at 31/10/08

Regional breakdown as at 31/10/08

The Fund is unhedged and is subject to the risk of fluctuations in international stock markets and currencies. Any apparent discrepancies in the numbers are due to rounding.
^Management Costs and buy/sell spread are current as at the date of publication of this website. These fees may be subject to change in the future.
^^These application and redemption prices are current as at the time of this communication, but are not the guaranteed prices you will receive should you apply for or redeem any units on or after the time of this communication, because the actual price may be calculated by reference to a different date.
By accessing and viewing this website you agree to be bound by the Terms and Conditions of this website.
This section of the Fidelity Australia website is intended for use by institutional investors only.
This webpage and any framed attachments contain general financial product advice and have been prepared without taking into account your objectives, financial situation or needs. You should consider whether the information contained on this webpage is appropriate to your objectives, financial situation and needs. You should consider the Product Disclosure Statement (PDS) relating to a financial product before making any decision about whether to acquire or hold the product. A copy of the appropriate PDS can be obtained by downloading it from this website. Past performance is not a reliable indicator of future performance.
The issuer of interests in the financial products referred to on this website is Perpetual Trust Services Limited. Details about Fidelity Australia's provision of financial services to retail clients are set out in our Financial Services Guide.