Fidelity Emerging Markets portfolio managers Nick Price and Chris Tennant see improving conditions for emerging markets, supported by a weaker US dollar and signs of recovery in China...
Fidelity Emerging Markets has reported its final results for the year ended 30 June 2025. The Company achieved a Net Asset Value (NAV) return of +11.8%, outperforming the MSCI Emerging Markets Index, which delivered +6.3%...
Fidelity Emerging Markets has published its monthly factsheet for August 2025. The Trust reported positive returns, outperforming its benchmark, with stock selection in Brazil, Taiwan and China adding value...
Emerging markets are drawing renewed investor attention as currency shifts, valuations, and policy support converge to create conditions not seen in years...
Emerging market equities are carving out distinctive momentum, combining renewed structural strength with attractive valuations, offering investors more than ordinary upside...
Fidelity Emerging Markets Limited has agreed a conditional share repurchase deal with Strathclyde Pension Fund for its entire 25.7% holding, subject to shareholder approval. The £NAV-discounted repurchase is expected to complete in November 2025, cancelling 16.4m shares and delivering an estimated 4% uplift to NAV per share for ongoing shareholders...
Emerging markets delivered positive returns in July, marginally ahead of developed markets. The portfolio also gained but underperformed its index, with financials and industrials weighing on performance, while technology stock selection was supportive...
Fidelity Emerging Markets' portfolio manager Chris Tennant highlights how lower debt levels, strong reserves, early interest rate action and a weaker US dollar create favourable conditions...
Amid trade disruptions and funding shortfalls, emerging economies are forging pathways where patient capital can unlock multiple dollars of growth through critical infrastructure upgrades...
Emerging markets posted positive returns in June, outperforming developed markets after a ceasefire eased Middle East tensions and progress on a US–China tariff framework. The portfolio outperformed its index, led by gains from the short book and stock selection in consumer discretionary, IT and consumer services...
Fidelity Emerging Markets portfolio managers Nick Price and Chris Tennant see improving conditions for emerging markets, supported by a weaker US dollar and signs of recovery in China...
Fidelity Emerging Markets has reported its final results for the year ended 30 June 2025. The Company achieved a Net Asset Value (NAV) return of +11.8%, outperforming the MSCI Emerging Markets Index, which delivered +6.3%...
Fidelity Emerging Markets has published its monthly factsheet for August 2025. The Trust reported positive returns, outperforming its benchmark, with stock selection in Brazil, Taiwan and China adding value...
Emerging markets are drawing renewed investor attention as currency shifts, valuations, and policy support converge to create conditions not seen in years...
Emerging market equities are carving out distinctive momentum, combining renewed structural strength with attractive valuations, offering investors more than ordinary upside...
Fidelity Emerging Markets Limited has agreed a conditional share repurchase deal with Strathclyde Pension Fund for its entire 25.7% holding, subject to shareholder approval. The £NAV-discounted repurchase is expected to complete in November 2025, cancelling 16.4m shares and delivering an estimated 4% uplift to NAV per share for ongoing shareholders...
Emerging markets delivered positive returns in July, marginally ahead of developed markets. The portfolio also gained but underperformed its index, with financials and industrials weighing on performance, while technology stock selection was supportive...
Fidelity Emerging Markets' portfolio manager Chris Tennant highlights how lower debt levels, strong reserves, early interest rate action and a weaker US dollar create favourable conditions...
Amid trade disruptions and funding shortfalls, emerging economies are forging pathways where patient capital can unlock multiple dollars of growth through critical infrastructure upgrades...
Emerging markets posted positive returns in June, outperforming developed markets after a ceasefire eased Middle East tensions and progress on a US–China tariff framework. The portfolio outperformed its index, led by gains from the short book and stock selection in consumer discretionary, IT and consumer services...