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Fund Report - Standard
For Fidelity Investments Canada ULC
Funds 1 to 50 from 3449 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of September 26, 2016 As of August 31, 2016

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Fund name

Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
Conservative Inc Pvt Pool B 10.784 0.027 1.00 2.53 5.09 5.09
6.74 (11/14) Chart   Price History        
Event Driven Opp Cl Srs A 12.269 -0.060 0.16 2.49 8.18 11.44
12.57 (11/14) Chart   Price History        
Event Driven Opp Srs A 12.132 -0.059 0.16 2.49 8.18 11.46
12.41 (11/14) Chart   Price History        
FIAM Canadian Bond Trust 19.728 0.073 0.91 2.77 4.94 6.02 6.24 6.12 (07/02) Chart   Price History        
FIAM Canadian Systematic Eqty Trust 41.871 -0.149 0.34 3.81 12.90 7.06 12.27 12.03 (10/02) Chart   Price History        
FIAM Currency Hgd EmMkts Debt Trust 14.595 -0.031 0.72 7.13 14.02 15.08 8.97 2.60 (03/94) Chart   Price History        
FIAM Select Global Equity Trust 16.351 -0.071 1.47 1.87 7.65 3.09 15.54 6.91 (05/06) Chart   Price History        
FIAM Select International Eq Trust 21.147 -0.117 2.46 0.99 5.49 -3.41 8.94 6.75 (02/03) Chart   Price History        
FIAM U.S. Large Cap Core Trust 15.843 -0.053 0.68 2.14 9.63 4.58 20.09 7.85 (02/04) Chart   Price History        
Fid Am Dpl Eq Cu Neut Cl Srs F5 22.095 -0.190 -1.26 1.65 11.56 1.74 9.84 10.98 (04/13) Chart   Price History        
Fid Am Dpl Eq Cu Neut Cl Srs F8 19.957 -0.172 -1.24 1.65 11.56 1.79 9.86 11.00 (04/13) Chart   Price History        
Fid Am Dpl Equity Cl Srs F5USD 21.383 -0.181 -1.23 1.70 11.98 2.86 9.81 10.90 (04/13) Chart   Price History        
Fid Am Dpl Equity Cl Srs F8USD 19.603 -0.166 -1.22 1.70 11.98 2.86 9.43 10.55 (04/13) Chart   Price History        
Fid Am Dpl Equity Srs F8 USD 17.475 -0.148 -1.23 1.72 12.00 2.85 9.44 10.55 (04/13) Chart   Price History        
Fid Am High Yield Cur Neu Sr P1 10.304 -0.016 -0.23 3.26 9.32

3.33 (12/15) Chart   Price History        
Fid Am High Yield Cur Neu Sr P2 10.305 -0.016 -0.23 3.26 9.31

3.33 (12/15) Chart   Price History        
Fid Canadian Asset Allo Sr P1T5 19.591 -0.026 0.85 3.75 8.82

6.25 (12/15) Chart   Price History        
Fid Canadian Asset Allocation Sr P1 10.189 -0.014 0.86 3.75 8.82

6.22 (12/15) Chart   Price History        
Fid Canadian Asset Allocation Sr P2 10.193 -0.014 0.86 3.76 8.86

6.26 (12/15) Chart   Price History        
Fid Canadian Asset Allocation Sr P3 10.198 -0.014 0.86 3.77 8.87

6.31 (12/15) Chart   Price History        
Fid Canadian Asset Allocation Sr P4 10.205 -0.014 0.87 3.81 8.93

6.37 (12/15) Chart   Price History        
Fid Canadian Money Market Sr P1 10.000 0.000 0.00 0.00 0.00

0.00 (12/15) Chart   Price History        
Fid Canadian Money Market Sr P2 10.000 0.000 0.00 0.00 0.00

0.00 (12/15) Chart   Price History        
Fid Canadian Opportunities Sr P1 11.866 -0.084 0.54 6.84 22.14

24.25 (12/15) Chart   Price History        
Fid Canadian Opportunities Sr P2 11.876 -0.084 0.55 6.90 22.22

24.35 (12/15) Chart   Price History        
Fid Canadian Opportunities Sr P3 11.890 -0.084 0.55 6.91 22.30

24.49 (12/15) Chart   Price History        
FID Clearpath Inst 2010 Portfolio 14.241 -0.006 1.02 2.92 7.16 5.14 7.46 6.25 (10/04) Chart   Price History        
Fid Conserv Inc Pvt Pool I5 USD 15.187 -0.038 -0.84 2.45 8.26 5.10
-2.34 (11/14) Chart   Price History        
Fid Conserv Inc Pvt Pool I8 USD 14.365 -0.036 -0.84 2.46 8.26 5.11
-2.47 (11/14) Chart   Price History        
Fid Conserv Inc Pvt Pool S5 USD 15.280 -0.038 -0.81 2.55 8.44 5.45
-1.78 (11/14) Chart   Price History        
Fid Conserv Inc Pvt Pool S8 USD 14.441 -0.036 -0.81 2.53 8.43 5.43
-1.83 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool B USD 8.148 -0.020 -0.81 2.53 8.42 5.43
-1.78 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool I 10.784 0.027 0.98 2.50 4.98 4.87
6.50 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool I USD 8.148 -0.020 -0.83 2.49 8.32 5.21
-2.01 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool I5 20.102 0.050 0.97 2.45 4.93 4.76
6.35 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool I8 19.013 0.047 0.98 2.46 4.93 4.77
6.36 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool S5 20.225 0.050 1.00 2.55 5.11 5.12
6.95 (11/14) Chart   Price History        
Fid Conservative Inc Pvt Pool S8 19.114 0.048 1.00 2.53 5.09 5.09
7.04 (11/14) Chart   Price History        
Fid Event Driven Opp Cl Sr P1 USD 7.679 -0.075 -1.51 2.86 12.42

-22.07 (12/15) Chart   Price History        
Fid Event Driven Opp Cl Sr P2 USD 7.683 -0.075 -1.50 2.88 12.46

-22.04 (12/15) Chart   Price History        
Fid Event Driven Opp Cl Srs B 12.326 -0.060 0.18 2.56 8.33 11.73
12.85 (11/14) Chart   Price History        
Fid Event Driven Opp Cl Srs S5 22.812 -0.111 0.19 2.57 8.34 11.32
10.78 (11/14) Chart   Price History        
Fid Event Driven Opp Cl Srs S8 21.656 -0.106 0.18 2.54 8.28 10.92
9.38 (11/14) Chart   Price History        
Fid Event Driven Opp Cl Srs T5 22.652 -0.111 0.16 2.48 8.09 10.88
10.37 (11/14) Chart   Price History        
Fid Event Driven Opp Cl Srs T8 21.547 -0.106 0.16 2.48 8.14 10.63
9.10 (11/14) Chart   Price History        
Fid Event Driven Opp Srs A USD 9.166 -0.091 -1.64 2.49 11.61 11.81
3.43 (11/14) Chart   Price History        
Fid Event Driven Opps Srs S5 22.465 -0.110 0.18 2.55 8.31 11.27
10.56 (11/14) Chart   Price History        
Fid Event Driven Opps Srs S5 USD 16.972 -0.168 -1.61 2.54 11.75 12.46
3.86 (11/14) Chart   Price History        
Fid Event Driven Opps Srs S8 21.387 -0.104 0.19 2.58 8.37 11.07
9.39 (11/14) Chart   Price History        
Fid Event Driven Opps Srs S8 USD 16.158 -0.159 -1.61 2.57 11.80 11.42
0.65 (11/14) Chart   Price History        
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Click the Fund Name link to view a Fund Profile. Funds highlighted in yellow are offered by Globefund Partners.  To view a chart select . To view fund price history, click  . To order free mutual fund prospectuses for selected funds, click . To view detailed fund information provided by the fund company, click . To view video clips provided by the fund company, click .

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