Fidelity Sustainable Global Dividend Plus Fund

Vývoj fondu

Vývoj fondu
ObdobieHodnota
January 20026.804
September 20024.225
June 20034.2
February 20045.31
November 20044.928
July 20055.641
April 20066.773
December 20067.589
September 20078.57
May 20087.591
February 20095.683
October 20095.894
July 20106.792
March 20117.223
December 20117.099
August 20128.357
May 20138.854
January 20148.999
October 20149.534
June 201511.55
March 201610.97
November 201610.54
August 201710.56
April 20189.958
January 201910.12
September 201910.93
June 20209.221
March 20219.226
November 202110.6
August 202210.9
April 20239.813

Potrebujete
pomôcť?

Telefonický kontakt
+421 2 5729 9999
E-mailový kontakt
Napíšte nám