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LU0286669428
Fidelity Fds Scv Asian High Yield Fd A M USD Dis
Last NAV
09/05/2025
4.652 USD
-0.04 %
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Start date:
End date:
Currency:
All currencies
USD
Results from 08/05/2025 to 11/05/2025 in all currencies
NAV date
NAV
# Share Out.
TNA Share
TNA Sub-fund
TIS BE
AKG
AKG2
ZWG/IP
Imm.
ADDI
09/05/2025
4.652 USD
93 667 275.6
435 734 733.92
-
0
-
-
-
-
-
08/05/2025
4.654 USD
93 686 323.01
436 031 823.62
-
0
-
-
-
-
-
Number of results : 2
Number of pages : 1
Incorporating