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Fidelity Emerging Markets Acc

Ranked 597 out of 839 in - Global Emerging Markets over 12 months
All calculations are in USD unless stated

Managed by

Nick Price

Nick Price graduated from the University of Natal with a Bachelor of Commerce & Accounting. He joined Fidelity International in 1998 as a research analyst covering the pan European chemicals, food manufacturing, tobacco and telecommunications sectors. In 2004 he became an assistant portfolio manager and in 2005 he was appointed portfolio manager of an internal EMEA mandate. Before joining Fidelity, Nick worked in various positions at SBC Warburg, Daiwa Europe Bank, JP Morgan and Price Waterhouse. He is a member of the South African Institute of Chartered Accountants and is a Certified Financial Analyst.

Objective

The Fund’s investment objective is to achieve long term capital appreciation. The Fund will invest primarily in securities of countries experiencing rapid economic growth including, without limitation, Africa, the Indian sub continent, Latin America, South East Asia, Europe and the Middle East. There is no policy to restrict investment to particular economic sectors.

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

Global Emerging Markets over : 30/09/2017 - 30/09/2018

Total Return

Quarterly Performance

to 30/09/2018 Annual Q1 Q2 Q3 Q4
2018 1.1% -8.3% -5.5%
2017 42.3% 11.5% 8.4% 9.6% 7.4%
2016 0.3% 1.0% -0.9% 7.5% -6.8%
2015 -6.6% 5.3% -1.4% -14.1% 4.6%
2014 -0.4% -3.0% 6.3% -3.3% 0.0%
2013 12.3% 2.1% -4.0% 8.4% 5.7%
2012 16.9% 13.6% -8.3% 7.7% 4.3%
2011 -17.4% 0.5% -1.2% -22.3% 7.0%
2010 18.0% 1.2% -9.2% 15.7% 10.9%
2009 80.5% -0.8% 35.9% 22.2% 9.5%
2008 -61.0% -14.4% 1.1% -34.3% -31.5%
2007 45.5% 3.9% 15.0% 14.5% 6.3%
2006 34.6% 14.9% -4.8% 4.9% 17.4%
2005 47.1% 4.1% 4.6% 20.8% 11.8%
2004 20.9% 9.2% -13.1% 8.9% 16.9%
2003 51.5% -6.8% 21.2% 12.4% 19.3%
2002 -7.1% 11.6% -9.1% -14.4% 6.9%
2001 -2.4% -7.0% 5.0% -21.5% 27.1%
2000 -32.2% 2.2% -10.6% -13.1% -14.5%
1999 66.5% 8.0% 24.9% -5.7% 30.9%
1998 -26.3% 5.5% -21.1% -21.8% 13.2%
1997 -7.2% 9.2% 8.1% -8.0% -14.5%
1996 -2.9% 0.3%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Denmark
  2. Finland
  3. France
  4. Ireland
  5. Netherlands
  6. Norway
  7. Sweden
  8. Switzerland
  9. United Kingdom

Fund Info

  • Launch date31/05/1996
  • Share Class size493Mn
  • Base currencyGBP
  • ISIN GB0003368577

Purchase Info

  • Min. initial investment100,000
  • Min. regular additional investment0

Charges

  • Annual management1.00%
  • Initial investment5.25%

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in USD).