Fidelity Global Balanced Class Port Sr F

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  • NAV / 1-Day Return
    25.59 / -1.14%
  • Investment Size
    5.8 Bil
  • TTM Yield
    0.31%
  • MER
    1.07%
  • Share Class Type
    Fee-based Advice
  • Minimum Initial Investment
    500
  • Category
    Canada Fund Global Neutral Balanced
  • Investment Style
    Large Blend
  • Credit Quality / Interest Rate Sensitivity
    Medium/Extensive
  • Turnover
    41%
  • Risk Level
    Low to Medium
  • Inception Date
    Apr 18, 2007

Performance

Growth of 10,000

  • Investment
    19,587
  • Index
    17,584
  • Category
    15,969
  • Growth
A chart contrasting Fund Growth of 10k over 10 years versus Category and Index
2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Manager Change : Full Partial
Total Return % 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Investment 11.59 2.47 9.50 -0.43 14.01 12.20 8.12 -10.24 12.78 19.09 -5.77
Category 5.37 4.73 7.13 -3.04 12.65 7.38 9.36 -10.73 9.79 13.63 -5.12
Index 6.08 5.94 7.82 -0.41 13.65 9.64 8.27 -10.37 11.57 14.02 -4.93
Quartile Rank
Percentile Rank 14 78 15 16 29 10 60 43 11 7 71
# of Invest. in Cat. 1,105 1,168 1,258 1,373 1,574 1,584 1,457 1,612 1,578 1,598 1,368
Category Name
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced
CA136 Canada Fund Global Neutral Balanced

Trailing Returns

Total Return %
1-Day
1-Week
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
10-Year
15-Year
Earliest Available
Investment -1.14 -6.58 -7.23 -6.13 -5.77 3.47 6.46 8.60 5.99 7.54 5.89
Category -1.25 -5.73 -6.52 -5.22 -5.12 3.33 3.78 6.38 3.99 5.24
Index -1.57 -5.45 -6.21 -5.04 -4.93 4.03 4.72 6.73 5.18 6.39
Quartile Rank
Percentile Rank 35 89 76 76 71 47 5 7 6 6
# of Invest. in Cat. 1,368 1,368 1,368 1,368 1,368 1,328 1,217 997 557 251

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