Fidelity European Trust Ord

|%
Chart Data Not Available
  • Last Closing Share Price
  • Day Range
  • Year Range
  • Market Capitalisation GBP
    1.6 Bil
  • Income Only Yield
    0.02%
  • Bid/Ask
  • Last Actual NAV
    406.69
  • Last Actual NAV Date
    28/03/2025
  • Estimated NAV
    406.69
  • 1-Year Z-Statistic
    0.85
  • Latest Disc/Prem
    -4.35%
  • Total Distribution Yield
    2.12%

Performance

Growth of 10,000

Trailing Returns

Total Return %
1-Day
1-Week
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
10-Year
15-Year
Earliest Available
Total Return % (Price) -0.38 -0.76 -0.13 12.23 12.07 1.43 11.95 15.67 10.71 11.12 13.07
Total Return % (NAV) -0.52 -2.05 -2.53 7.32 7.72 0.19 10.08 14.45 5.70
Category (NAV)
Index (NAV) -0.39 -1.90 -1.26 9.18 9.44 4.36 9.07 13.05 7.69 7.33
Quartile Rank
Percentile Rank 89 6 32 19 25 69 16 21 7 6
# of Invest. in Cat. 5 5 5 5 5 5 5 5 5 5

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