FEMEX (Fidelity Em EMEA)
Net Asset Value: 8.83 1-Day Return: -0.02 (-0.23%) YTD Return as of 2/9/12:Up 12.77%

Classification: Emerging Markets   Objective: Emerging Markets   Open to New Investors: Yes

Lipper Rating

Total Return Consistent Return Preservation Tax Efficiency Expense

The Lipper Leader system ranks a fund in the following categories: Total Return; Consistent Return; Preservation; Tax Efficiency; and Expenses. Funds are rated in ascending order on a numeric scale of 1 to 5, with '1' representing funds with the lowest rating, and '5' representing the highest rated funds and funds that are Lipper Leaders. Click here for more detail.

NAV Chart | Growth of $10,000
Fund Chart

Total Returns (As of 2/09/2012)

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 YTD1Yr3Yr5Yr10Yr
Fund 12.77 -1.29 25.92NANA
Classification 14.47 -5.18 24.77 2.81 14.13
Index (S&P 500) 7.70 4.50 18.30 0.90 4.20
% Rank in Class (1-best,100=worst)761831NANA

Fund Stats

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Investment Objective:Emerging Markets
Net Assets ($Mil)111.90
Inception Date:5/8/08
Manager Name, TenureAdam Kutas, 2008
Expense Ratio: 1.31%
Sales Charge:
Load Type:
 
No Load
0.00%
0.00%

Top 10 Holdings (As of 11/30/11)

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Company NameSymbol% Net Assets
Gazprom Oao Ord NA 8.46
Mtn Group Ltd Ord MTN 8.15
Sberbank Rossii Oao Ord NA 5.89
Neftyanaya Kompaniya Lukoil Oao Dr LUKOY 5.87
Standard Bank Group Ltd Ord NA 4.27
Harmony Gold Mining Co Ltd Ord HAR 3.82
Novatek Oao Dr NA 3.68
Shoprite Holdings Ltd Ord SHP 3.41
Firstrand Ltd Ord FSR 3.34
Anglogold Ashanti Ltd Ord NA 3.20
% of Total Holdings 50.09

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