Fidelity Global Telecommunications Fund

Investment Strategy

Fidelity Global Telecommunications Fund delivers targeted exposure to dynamic growth opportunities across the global telecommunications sector.

Performance

Annual compound performance – as at 31-Dec-2011

  Fund Morningstar
Quartile*
Benchmark
1 month -0.84% 0.01%
3 month 0.24% 1.59%
6 month -4.43% -1.33%
1 year 0.61% 3.01%
2 year 2.96% 4.73%
3 year 1.54% 3.09%
5 year -2.73% -0.66%
7 year 2.92% 3.38%
10 year 0.63% 0.84%
YTD 0.61% 3.01%
Since Inception -5.06% -3.85%

Calendar year performance – as at 31-Dec-2011

Growth of $10,000 since inception – as at 31-Jan-2012

Fund risk measures – as at 31-Dec-2011
  Fund Benchmark
Annual Standard Deviation 11.90 11.13
Beta 1.04
0.95

Risk measures are based on 3-year net returns (series B). (All returns are calculated in Canadian currency.)

Volatility meter

The volatility meter uses methodology recommended by the Fund Risk Classification Task Force of the Investment Funds Institute of Canada. The Task Force prescribes risk assessment based on historical volatility risk as measured by the standard deviation of fund performance. The Task Force also acknowledges that other types of measurable and nonmeasurable risk may exist. The Task Force reminds investors that historical performance may not be indicative of future returns and a fund’s historical volatility may not be indicative of future volatility.

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Fund facts

NAVPU – Series B

$4.91 – as at 06-Feb-2012

Fund inception date

24-Jul-2000

Fund benchmark

MSCI AC World Telecommunications index

Fund aggregate assets (all series)

$6.9 million
as at 31-Jan-2012

Management expense ratio - Series B

2.42% – as at 30-Sep-2011

Quarterly Top Ten Holdings
Vodafone Group  
AT&T  
Verizon Communications  
China Mobile  
America Movil  
NTT Docomo  
Telefonica  
CenturyLink  
BT Group  
Nippon Telegraph & Telephone  
Total number of holdings 47
Top 10 holdings aggregate 53.8%
Allocation to funds

Asset mix

Sector mix

Country mix

500619.33.0