HKD10,24 11,74% (12m)

FIDELITY US HIGH YIELD "A " (HKD) INC M

ISIN: LU0532245395
Nivel de riesgo:
Moneda: HKD (HKD)
Gestora: FIDELITY
Gastos corrientes: 1,38%
Fecha valor liquidativo: 02.10.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 34 clases disponibles para la comercialización en España con diferentes Gastos Corrientes. Busque la suya por el ISIN, encuentre la más barata y empiece ahorrar.

ISIN
Gastos Corrientes
Rent. 1 año
FIDELITY US HIGH YIELD "A " (HKD) INC M
LU0532245395
LU0532245395
1,38%
11,74%
Buscada
FIDELITY US HIGH YIELD "Y" (USD) ACC
LU0370788753
LU0370788753
0,88%
13,82%
FIDELITY US HIGH YIELD "A" (GBP) INC
LU0132385534
LU0132385534
1,38%
3,52%
FIDELITY US HIGH YIELD "I" (USD) ACC
LU0891474172
LU0891474172
0,73%
14,05%
Más barata
FIDELITY US HIGH YIELD "W" (GBP) ACC
LU1033664530
LU1033664530
0,88%
4,02%
FIDELITY US HIGH YIELD "A" (AUDHDG) INC
LU0963542310
LU0963542310
1,38%
11,37%
FIDELITY US HIGH YIELD "D" (USD) INC
LU1387834309
LU1387834309
1,68%
12,47%
FIDELITY US HIGH YIELD "A" (EUR) ACC
LU0261953904
LU0261953904
1,38%
8,26%
FIDELITY US HIGH YIELD "Y" (HKD) INC
LU1284734321
LU1284734321
0,88%
12,31%
FIDELITY US HIGH YIELD "A" ACC
LU0605520377
LU0605520377
1,38%
13,29%
FIDELITY US HIGH YIELD "Y" (USD) INC (MONTHLY)
LU1273508173
LU1273508173
0,88%
13,30%
FIDELITY US HIGH YIELD "D" (EURHDG) ACC
LU1387834481
LU1387834481
1,68%
11,08%
FIDELITY US HIGH YIELD "Y" (CHFHDG) ACC
LU0963540884
LU0963540884
0,88%
9,11%
FIDELITY US HIGH YIELD "Y" (USD) INC (M)
LU1284733786
LU1284733786
0,88%
13,34%
FIDELITY US HIGH YIELD "I" (EURHDG) ACC
LU1642889783
LU1642889783
0,73%
12,23%
FIDELITY US HIGH YIELD "Y" (USD) INC
LU0936582211
LU0936582211
0,88%
13,85%
FIDELITY FUNDS - US HIGH YIELD FUND "I" (EURHDG) INC
LU1295423492
LU1295423492
0,73%
12,15%
FIDELITY US HIGH YIELD "Y" (GBP) INC
LU1273508330
LU1273508330
0,88%
3,94%
FIDELITY US HIGH YIELD "A" (HUFHDG) ACC
LU1295421959
LU1295421959
1,38%
16,91%
FIDELITY US HIGH YIELD "A" (EURHDG) ACC
LU0337581549
LU0337581549
1,38%
11,34%
FIDELITY US HIGH YIELD "A" INC
LU0132282301
LU0132282301
1,38%
13,21%
FIDELITY US HIGH YIELD "A" (USD) INC
LU0168057262
LU0168057262
1,38%
12,80%
FIDELITY US HIGH YIELD "A" (SGD) INC MONTHLY
LU0251145404
LU0251145404
1,38%
6,07%
FIDELITY US HIGH YIELD "A " (USD) INC M
LU0532245122
LU0532245122
1,38%
12,73%
FIDELITY US HIGH YIELD "Y" (EUR) ACC
LU1261432576
LU1261432576
0,88%
8,84%
FIDELITY US HIGH YIELD "Y" (AUDHDG) INC
LU1273508256
LU1273508256
0,88%
11,81%
FIDELITY US HIGH YIELD "Y" (EUR) INC
LU0936582484
LU0936582484
0,88%
8,10%
FIDELITY US HIGH YIELD "E" (EURHDG) INC MONTHLY
LU0766124555
LU0766124555
1,88%
10,35%
FIDELITY US HIGH YIELD "A" (EUR) INC
LU0132385880
LU0132385880
1,38%
7,60%
FIDELITY US HIGH YIELD "Y" (EURHDG) ACC
LU0665148036
LU0665148036
0,88%
12,89%
FIDELITY US HIGH YIELD "Y" (EURHDG) INC
LU0840140528
LU0840140528
0,88%
12,00%
FIDELITY US HIGH YIELD "A" (USD) INC M
LU0937948932
LU0937948932
1,38%
12,65%
FIDELITY US HIGH YIELD "I" (USD) INC
LU1235295703
LU1235295703
0,73%
13,47%
FIDELITY US HIGH YIELD "Y" (SGD) INC
LU1273508090
LU1273508090
0,88%
6,55%
Ver más clases
Datos de rentabilidad calculados a fecha 02/10/2024

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