Fund Code. Prices updated as at 23 Nov The fund aims to deliver an income any income received is re-invested for growth with the potential to increase the value of your investment. However, the manager has a wide degree of freedom relative to the index and may invest in issuers, sectors, countries and security types not included in the index in order to take advantage of investment opportunities.
Investment Association IA sector. Morningstar category. Performance fee. Total fund size. No matching results for ''. Tip: Try a valid symbol or a specific company name for relevant results. Finance Home. News Market Data. Industry News. Personal Finance. UK markets open in 4 hours 30 minutes. Currency in GBp. Add to watchlist. Fidelity MoneyBuilder Global. Management information. Morningstar style box. Yahoo partners with Morningstar, a leading market research and investment data group to help investors rate and compare funds on Yahoo Finance.
The Morningstar Category is shown next to the Morningstar Style Box, which identifies a fund's investment focus, based on the underlying securities in the fund.
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Management fee. MER Show Tooltip Management expense ratio means the ratio, expressed as a percentage, of the expenses of an investment fund to its average net asset value, calculated in accordance with Part 15 of National Instrument In accordance with Part 15, an investment fund may disclose its management fee ratio only if the management expense ratio is calculated for the financial year or interim period of the investment fund, and it is calculated by dividing i the aggregate of A total expenses of the investment fund, excluding distributions if recognized as an expense, commissions and other portfolio transaction costs, before income taxes, for the financial year or interim period, as shown on the statement of comprehensive income, and B any other fee, charge or expense of the investment fund that has the effect of reducing the investment fund's net asset value, by ii the average net asset value of the investment fund for the financial year or interim period.
Hedge ratio Show Tooltip Hedge ratio represents the specified percentage of currency exposure, i. A DRIP lets you take the money you receive when a Fund pays a dividend and immediately purchase additional units of that Fund in the market. Investors may opt into the DRIP by contacting their brokerage firm. Distributions —. Trailing 12 month yield Show Tooltip The trailing 12 month yield is intended to show a fund's distributions in percentage form relative to its net asset value. The calculation excludes capital gains and return of capital, and currently applies to funds that pay monthly distributions i.
The calculation takes the average of a fund's last 12 months' distributions, multiplies that by 12 to annualize, and divides that number by the fund's average NAV over the last 12 months on the day before the distribution is paid out. Trailing 12 month yield Show Tooltip The trailing 12 month yield is intended to show a fund's distributions in percentage form relative to its NAV. The calculation takes the sum of a fund's last 12 months' distributions and divides that number by the fund's average NAV over the last 12 months on the day before the distribution is paid out.
Index provider. Rebalance frequency. Duration Show Tooltip Duration is a measure of a security's price sensitivity to changes in interest rates. Duration differs from maturity in that it considers a security's interest payments in addition to the amount of time until the security reaches maturity, and also takes into account certain maturity-shortening features e. Securities with longer durations generally tend to be more sensitive to interest rate changes than securities with shorter durations.
A fund with a longer average duration generally can be expected to be more sensitive to interest rate changes than a fund with a shorter average duration. Also available through:. Get Fund Facts. Add to watch list Remove from watch list.
Close Dialog. Gain insights into this fund with the latest portfolio manager viewpoints. Performance Price Initial investment End investment. Annualized return Show Tooltip Return values calculated and displayed in this return calculator may differ slightly from the published returns for identical periods due to the specificity of rounding in the underlying daily return data. Published returns are calculated based on daily return data expressed to sixteen significant digits.
The return calculator uses daily returns expressed to two significant digits. None None Deposit Withdrawal Cash distribution. Monthly Monthly Annually. Add fund. From: to:. Toggle draw tools Distributions. Why invest in this fund? Designed for investors seeking capital growth.
Employs active asset allocation across multiple dimensions of the portfolio to take advantage of market opportunities and mitigate risk. Risk measures Show Tooltip Risk measures are based on 3-year net returns series B. All returns are calculated in Canadian currency. Show Tooltip Statistical measure of how much a return varies over an extended period of time.
The more variable the returns, the larger the standard deviation. Investors may examine historical standard deviation in conjunction with historical returns to decide whether an investment's volatility would have been acceptable given the returns it would have produced.
A higher standard deviation indicates a wider dispersion of past returns and thus greater historical volatility. Standard deviation does not indicate how an investment actually performed, but it does indicate the volatility of its returns over time. Standard deviation is annualized. The returns used for this calculation are not load-adjusted.
Standard deviation does not predict the future volatility of a fund. Show Tooltip A measure of a portfolio's sensitivity to market movements as represented by a benchmark index. The benchmark index has a beta of 1. A beta of more less than 1. Show Tooltip A measurement of how closely the portfolio's performance correlates with the performance of the fund's primary benchmark index or equivalent. Risk classification Show Tooltip The investment risk level indicated is required to be determined in accordance with the Canadian Securities Administrators standardized risk classification methodology, which is based on the historical volatility of a fund, as measured by the ten-year annualized standard deviation of the returns of the fund.
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Finance Home. News Market Data. Industry News. Personal Finance. UK markets open in 4 hours 30 minutes. Currency in GBp. Add to watchlist. Fidelity MoneyBuilder Global. Management information. Morningstar style box. Yahoo partners with Morningstar, a leading market research and investment data group to help investors rate and compare funds on Yahoo Finance.
The Morningstar Category is shown next to the Morningstar Style Box, which identifies a fund's investment focus, based on the underlying securities in the fund. Morningstar category. While the investment objective stated in a fund's prospectus may or may not reflect how the fund actually invests, the Morningstar category is assigned based on the underlying securities in each portfolio.
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