• This fund invests primarily in Sterling denominated debt securities.
  • This fund is subject to investment, foreign currency, credit rating risks, the risks of investing in securitised or structured debt instruments and mortgages-related securities. This fund may invest in bonds or debt securities which may be subject to credit, liquidity, counterparty and market risks. The fund will invest in non-investment grade bonds and unrated securities which may be subject to greater credit and liquidity risks, and may be more volatile than higher rated securities. The fund’s performance will be closely tied to the conditions in the European Economic Area, the fund may be subject to increased liquidity, price, and foreign exchange risk.
  • This fund can invest in derivative instruments which may involve additional risks (For example, leverage may cause greater volatility).
  • Investors may suffer substantial loss of their investments in the fund. Investor should not invest in the fund solely based on the information provided in this document and should read the prospectus (including potential risks involved) for details.

Fidelity Funds - Flexible Bond Fund A-GBP

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  • Price date: 13/12/2017
  • Morningstar rating: -
  • Risk rating+: 3

Performance & NAV

Annual performance Total return (%)

<span>Annual performance</span> Total return (%)
2016201520142013201220112010200920082007
9.50-0.8112.79-2.935.3911.029.2712.24-2.292.67

Morningstar benchmark (%)

Morningstar benchmark (%)
2016201520142013201220112010200920082007
3.661.397.920.045.935.804.825.317.595.76

Cumulative return Fund (%)

<span>Cumulative return</span> Fund (%)
YTD6 mths1 yr3 yrs5 yrs
3.080.583.7013.7122.59

Morningstar category (%)

Morningstar category (%)
YTD6 mths1 yr3 yrs5 yrs
4.361.265.3810.5623.85

Morningstar benchmark (%)

Morningstar benchmark (%)
YTD6 mths1 yr3 yrs5 yrs
1.840.512.017.6115.68

As of 30/11/2017, based on latest unit NAV of most recent calendar month.

Fund details

Investment objective

The fund aims to achieve income and capital growth by primarily investing in a broad range of fixed income instruments of issuers globally either denominated in Sterling or other currencies. Exposure to non-Sterling denominated debt securities will be largely hedged back to Sterling. The fund may also invest in UCITS and UCIs.

About this fund
Fund details as of30 Nov 2017
Denominated currencyGBP
Fund launch date12 Nov 1990
Class launch date12 Nov 1990
Class launch price0.23 GBP
Fund size304.64 million
IndexN/A X 100%
Morningstar BenchMarkBloomberg Barclays Global Aggregate TR Hdg GBP
Morningstar CategoryGlobal Flexible Bond - GBP Hedged
Unique Identifiers
ISIN
LU0048620586
Bloomberg ticker
FIDSTBI LX
PhoneXpress code
1037
Fund manager
Fund manager
(Start date)
Ian Spreadbury
(01 Jun 1995)
Tim Foster
(16 Feb 2015)
Claudio Ferrarese
(03 Apr 2017)
Fund Fees
Sale ChargesUp to 3.50%
Annual management feeUp to 1.00%

There are other fees and charges for the fund and please refer to the prospectus for details.

Volatility Measures
R-Squared
-
Beta
-
Alpha
-
3 years standard deviation

As of 30/11/2017

5.37%
Risk rating

As of 31/08/2017

3
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Data Source: Morningstar Asia Limited. The Morningstar sourced information is provided to investor(s) for reference purposes only. All fund prices quoted are calculated as at the latest valuation date. The performance information (%) in the chart and table may have slight variances due to factors such as rounding, or charting methodology used.

Past performance information is not indicative of future performance. Investors may not get back the full amount invested. Calculation of performance is based on the NAV-to-NAV for the stated period, with dividend reinvested, in denominated currency. These figures show by how much the share class increased or decreased in value during the stated period. Where no past performance is shown there was insufficient data available in that period to calculate performance.

Performance has been calculated in the “Denominated currency” set out in the “About this fund” section in the “Fund details” tab, including ongoing charges and excluding subscription fee and redemption fee you may have to pay.

Payments of dividends out of capital will only be made to seek to maintain a stable payment per share but the payment per share is not fixed. Dividend yield of the fund does not represent the return of the fund, and past dividend yield does not represent future dividend yield. The dividends are not guaranteed.

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Fund risk ratings shown are calculated based on information as of #{hkweb.fundDetailService.getMaxRetailFundsRiskLevelAsOfDate}. Risk ratings are 1 = Low risk, 2 = Low to Medium risk, 3 = Medium risk, 4 = Medium to High risk, 5 = High risk. Fund risk ratings are generally reviewed on a semi-annual basis.

For more details on Fund risk ratings and its calculation methodology, please refer to the overview.

The fund risk rating is sourced from a methodology developed by Morningstar Investment Management Asia Limited and its affiliates. The fund risk rating is provided to investor(s) for reference purposes only.

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Source: Fidelity.

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The name of the fund is not indicative of the fund’s performance and return.