FIRVX

Fidelity Managed Retirement 2020 Fund FIRVX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode FIRVX FIRQX FIRSX QSML FSYJX FFIDX LVAFX GAGEX ALTEX JAQAX
6M 5.92 % 4.17 % 5.01 % 14.67 % 16.79 % 15.34 % 4.25 % 2.49 % 12.91 % 4.38 %
YTD 10.23 % 7.66 % 8.90 % 6.90 % 34.11 % 17.70 % 14.61 % 9.71 % 8.66 % 5.47 %
1Y 8.59 % 6.37 % 7.41 % 6.90 % 31.50 % 15.68 % 11.29 % 13.31 % 6.44 % 9.39 %
3Y 19.17 % 12.28 % 15.54 % 17.66 % 52.46 % 89.48 % 2.76 % 0.93 % -9.71 % -23.04 %
5Y 1.69 % -6.99 % -3.25 % 17.66 % 14.80 % 81.57 % 11.62 % 94.21 % -24.95 % -0.60 %
10Y 5.60 % -0.92 % -0.72 % 17.66 % 14.80 % 169.15 % 23.45 % 30.65 % 94.39 % -2.72 %
Depuis le début 17.00 % 13.90 % 13.58 % 17.66 % 14.80 % 572.46 % 15.30 % 90.64 % 14.11 % 0.20 %

Dividende

Fidelity Managed Retirement 2020 Fund

Fidelity Managed Retirement 2010 Fund

Fidelity Managed Retirement 2015 Fund

Wisdomtree U.S. Smallcap Quality Growth Fund

Fidelity Sustainable Emerging Markets Fund

Fidelity Fund

LSV Global Managed Volatility Fund

Guinness Atkinson Global Energy Fund

Firsthand Alternative Energy Fund

Janus Henderson Asia Equity Fund