Fidelity Global Dividend Fund

Select share classes

Fidelity Global Dividend W Income Monthly

A Select 50 Fund - Fidelity insight
Category Global Equity Income



star-filledstar-filledstar-filledstar-filled
This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

171.10p

arrow-down-0.80p (-0.47%)

Fund Code

WGDIM

BYSYZL7

GB00BYSYZL73

Prices updated as at 19 Jul 2024
|
Prices in GBX

Investment objective
The Fund aims to increase the value of investor's investment with low volatility versus the MSCI All Country World (Net Total Return) Index. It also seeks to deliver an income that is at least 25% more than the income produced by companies included in the index. The Fund will invest at least 70% in equities (and their related securities) of companies globally. The Investment Manager will choose investments which it believes offer attractive dividend yields in addition to price appreciation. It is not restricted in terms of size, industry, or geographical split. The Fund is actively managed without reference to a benchmark.

Dividend information

Dividend information
3.70
2.72
-
Monthly
18 Aug 2024

Dividend history

Ex-div datePer share amountReinvestment price
01 Jul 20240.00361.701
03 Jun 20240.00361.704
01 May 20240.00361.657
02 Apr 20240.00361.695
01 Mar 20240.0083541.65
01 Feb 20240.00351.62
02 Jan 20240.00351.62
01 Dec 20230.00351.578
01 Nov 20230.00351.525
02 Oct 20230.00351.546
01 Sep 20230.00351.538
01 Aug 20230.00351.548
03 Jul 20230.00351.552
01 Jun 20230.00351.529
02 May 20230.00351.574
03 Apr 20230.00351.558
01 Mar 20230.0068221.556
01 Feb 20230.00341.546
03 Jan 20230.00341.529
01 Dec 20220.00341.535
01 Nov 20220.00341.495
03 Oct 20220.00341.429
01 Sep 20220.00341.489
01 Aug 20220.00341.494
01 Jul 20220.00341.463
01 Jun 20220.00341.516
03 May 20220.00341.516
01 Apr 20220.00341.52
01 Mar 20220.0060291.462
01 Feb 20220.00331.535
04 Jan 20220.00331.574
01 Dec 20210.00331.507
01 Nov 20210.00331.498
01 Oct 20210.00331.469
01 Sep 20210.00331.539
02 Aug 20210.00331.499
01 Jul 20210.00331.489
01 Jun 20210.00331.47
04 May 20210.00331.47
01 Apr 20210.00331.456
01 Mar 20210.0056151.383
01 Feb 20210.00331.418
04 Jan 20210.00331.447
01 Dec 20200.00331.424
02 Nov 20200.00331.322
01 Oct 20200.00331.379
01 Sep 20200.00331.346
03 Aug 20200.00331.37
01 Jul 20200.00331.369
01 Jun 20200.00331.355
01 May 20200.00321.276
01 Apr 20200.00321.191
02 Mar 20200.0060381.307
03 Feb 20200.00321.399
02 Jan 20200.00321.4
02 Dec 20190.00321.376
01 Nov 20190.00311.37
01 Oct 20190.00311.41
02 Sep 20190.003251.408
01 Aug 20190.00311.412
01 Jul 20190.00311.378
03 Jun 20190.00311.294
01 May 20190.00311.294
01 Apr 20190.00311.261
01 Mar 20190.0043811.238
01 Feb 20190.00311.22
02 Jan 20190.00311.185
03 Dec 20180.00311.261
01 Nov 20180.00311.209
01 Oct 20180.00311.252
03 Sep 20180.00311.262
01 Aug 20180.0031.234
02 Jul 20180.0031.18
01 Jun 20180.0031.183
01 May 20180.0031.159
03 Apr 20180.0031.118
01 Mar 20180.0057691.15
01 Feb 20180.0031.179
02 Jan 20180.0031.197
01 Dec 20170.0031.199
01 Nov 20170.0031.211
02 Oct 20170.0031.195
01 Sep 20170.0031.227
01 Aug 20170.00281.199
03 Jul 20170.00281.207
01 Jun 20170.00231.233
02 May 20170.00231.187
03 Apr 20170.00231.211
01 Mar 20170.0091951.211
01 Feb 20170.00231.149
03 Jan 20170.00231.167
01 Dec 20160.00231.109
01 Nov 20160.00231.181
03 Oct 20160.00231.164
01 Sep 20160.00231.126
01 Aug 20160.00231.142
01 Jul 20160.00231.114
01 Jun 20160.00231.008
03 May 20160.00230.9904
01 Apr 20160.0011151.005
Please note that past performance is not a reliable indicator of future returns.

Important Information

Please note the value of investments can go down as well as up so you may get back less than you invested. This information is not a personal recommendation for any particular investment. If you are unsure about the suitability of an investment you should speak to an authorised financial adviser. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and(3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.