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Fidelity Funds - Emerging Asia Fund A-Acc-USD
Last NAV
USD
 
21.40
(Last Update : 2024/12/02)
1-Month return
 
-2.82%
Fund House FIL Investment Management (Hong Kong) Limited
Fund Type Equity Funds
Fund Size
 
442.00M
Sector General
Geographic Allocation Asia (ex Japan)
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
21.20 - 21.40
+0.75%
+0.54%
1-Month
21.20 - 22.50
-2.82%
+0.34%
3-Month
20.33 - 23.58
+3.28%
+1.88%
1-Year
18.93 - 23.58
+7.70%
+13.64%
3-Year
15.99 - 23.58
+1.04%
+0.07%
Since Launch
4.49 - 25.70
+114.00%
+399.45%
Volatility
3 year annualised standard deviation
15.61%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2023
2022
2021
2020
2019
USD
+5.50%
-11.80%
-5.00%
+17.10%
+17.10%
USD
+5.50%
-11.80%
-5.00%
+17.10%
+17.10%
Portfolio Composition
By Market
 China (37.00%)
 India (13.50%)
 Taiwan (12.90%)
 Korea (South) (10.60%)
 Indonesia (6.60%)
 Others (4.30%)
 Malaysia (3.40%)
 Hong Kong (3.40%)
 Cash (3.10%)
  Vietnam (2.10%)
 Thailand (2.00%)
 United States (1.70%)
By Sector
 Information Technology (21.80%)
 Financials (20.10%)
 Consumer Discretionary (17.60%)
 Communication Services (10.60%)
 CONSUMER STAPLES (6.50%)
 Industrials (6.10%)
 Health Care (4.60%)
 Real Estate (3.60%)
 Cash (3.10%)
 MATERIALS (2.80%)
 Energy (2.30%)
 Utilities (1.00%)
Top Holdings
Asset
Attribute
Proportion
 
TAIWAN SEMICONDUCTOR MFG CO LTD
Information Technology
10.50%
TENCENT HLDGS LTD
Communication Services
6.50%
SAMSUNG ELECTRONICS CO LTD
Information Technology
4.30%
ALIBABA GROUP HOLDING LTD
Consumer Discretionary
3.60%
HDFC BANK LTD
Financials
3.40%
ICICI BANK LTD
Financials
2.90%
TRIP.COM GROUP LTD
Consumer Discretionary
2.80%
BYTEDANCE LTD
Communication Services
2.00%
CHINA OVERSEAS LAND & INVESTMENT LTD
Real Estate
1.90%
AXIS BANK LTD
Financials
1.70%
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Top 5 Decliners
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3M Return
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-7.36%
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Fund - Browser History
Last NAV
1 Month Return
3 Month Return
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