Fidelity Funds

Fidelity Funds - Nordic Fund A-SEK




ISIN codeLU0048588080
DomicileDenmark
CurrencySEK
NAV as of 26.06.20262,797.00
Total assets, mill. 30.04.2026SEK 9,109
Key Information Document (PRIIPs)            
Factsheet        
Prospectus    
Complaints procedure  

10 years returns as of 29. may 2026

Period Return
29.05.2025 - 29.05.2026 37.8%
29.05.2024 - 29.05.2025 -10.4%
29.05.2023 - 29.05.2024 23.1%
29.05.2022 - 29.05.2023 6.2%
29.05.2021 - 29.05.2022 6.6%
29.05.2020 - 29.05.2021 59.4%
29.05.2019 - 29.05.2020 -12.4%
29.05.2018 - 29.05.2019 -1.7%
29.05.2017 - 29.05.2018 4.2%
29.05.2016 - 29.05.2017 43.7%
29.05.2015 - 29.05.2016 -11.8%
29.05.2014 - 29.05.2015 9.1%