1
FundPulse FIDELITY MANAGED PORTFOLIOS 722405.38.0 61.111358E Read a fund’s prospectus and consult your financial advisor before investing. Mutual funds are not guaranteed; their values change frequently and past performance may not be repeated. Investors will pay management fees and expenses, may pay commissions or trailing commissions, and may experience a gain or loss. The indicated rates of return are historical annual compound returns including changes in unit value and the reinvestment of all distributions and do not take into account sales, redemption, distribution, optional charges or income taxes payable by any security holder that would have reduced returns. Fidelity Global Growth Portfolio 3 Series F for fee based accounts 1 PERFORMANCE (SERIES F) AS AT APRIL 30, 2018 Annual compound performance Annual compound performance FUND 1 month 0.32 3 month -0.45 6 month 2.63 1 year 6.68 3 year 7.90 5 year 11.49 10 year 7.62 Since inception 6.42 Growth of $10,000 since inception 2 Growth of $10,000 since inception 2 $0 $5,000 $10,000 $15,000 $20,000 $25,000 APR-07 MAR-18 $19,817 Calendar year performance Calendar year performance 0% 5% 10% 15% 20% 25% YTD 2017 2016 2015 2014 2013 2.18 13.49 3.11 12.30 11.75 24.14 Volatility meter Volatility meter LOW LOW TO MEDIUM MEDIUM MEDIUM TO HIGH HIGH A fund's volatility is determined using a statistical measure called “standard deviation.” Standard deviation measures the amount of variability of returns that has historically occurred relative to the average return. The higher the standard deviation of a fund, the greater the range of returns it has experience in the past. Other types of risk, both measurable and non-measurable, exist. In addition, just as historical performance may not be indicative of future returns, a fund's historical volatility may not be indicative of its future volatility. ALLOCATION ALLOCATION TO FUNDS AS AT MARCH 31, 2018 (%) 21.8 Canadian Equity Funds 7.2 Fidelity Canadian Growth Company Fund 5.3 Fidelity True North ® Fund 5.2 Fidelity Canadian Disciplined Equity ® Fund 2.3 Fidelity Canadian Large Cap Fund 1.8 Fidelity Canadian Opportunities Fund 24.4 U.S. Equity Funds 10.0 Fidelity U.S. All Cap Fund 7.9 Fidelity U.S. Focused Stock Fund 3.5 Energy Select Sector SPDR ETF 2.5 iShares Core S&P 500 ETF 0.5 Fidelity Small Cap America Fund 40.5 International Equity Funds 17.3 Fidelity International Growth Investment Trust 10.7 Fidelity Emerging Markets Fund 6.6 Fidelity Global Intrinsic Value Investment Trust 6.0 Fidelity Insights Investment Trust 1.2 Fidelity Global Real Estate Investment Trust 0.4 Fidelity Frontier Emerging Markets Fund -1.7 MSCI Emerging Markets Futures 8.8 Fixed-Income Funds 8.2 Fidelity Global Bond Investment Trust 0.6 iShares TIPS Bond ETF 1.7 High-Yield Bond Funds 1.0 Fidelity Global High Yield Investment Trust 0.7 Fidelity Convertible Securities Investment Trust 2.7 Short-Term Investment Funds 1.6 Other 0.6 Fidelity Canadian Money Market Fund 0.4 Cash 0.1 Futures Collateral 1 Series F is available only to investors who are eligible to buy this series. Your advisor is: (i) responsible for deciding whether or not you are eligible to buy and continue to hold this series; and (ii) required to sign a series F dealer agreement with Fidelity Investments. Your dealer may charge other fees. Other series' performance will vary largely due to fees and expenses. Fund strategy The Portfolio aims to achieve a high total investment return. The Portfolio is geared towards capital growth. It invests primarily in under- lying funds that generally invest in Canadian and international equity and fixed-income securities. Fund facts Portfolio managers Geoff Stein David Wolf Series inception date April 18, 2007 NAVPU - Series F $16.10 (as at April 30, 2018) Fund aggregate assets (all series) $858.0 million (as at March 31, 2018) Management expense ratio – Series F 1.18%, as at December 31, 2017 2 Compound growth calculations are used only for the purpose of illustrating the effects of compound growth and are not intended to reflect future values of any mutual fund or returns on investment in any mutual fund. 3 On January 15, 2016, the Portfolio’s objectives changed to permit the Portfolio to invest primarily in underlying funds, including Fidelity Funds and ETFs, that generally invest in equity and fixed income securities. © 2018 Fidelity Investments Canada ULC. All rights reserved. Reproduction in whole or in part by any means prior to written consent from Fidelity Investments Canada ULC is forbidden. All trademarks and service marks appearing in this docu- ment belong to Fidelity Investments Canada ULC. Source: FMR LLC.

The Portfolio aims to achieve a Fidelity Global Growth ... Global Real Estate Investment Trust 1.2 Fidelity Frontier Emerging Markets Fund 0.4 Fixed-Income Funds 10.5 Fidelity Global

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Page 1: The Portfolio aims to achieve a Fidelity Global Growth ... Global Real Estate Investment Trust 1.2 Fidelity Frontier Emerging Markets Fund 0.4 Fixed-Income Funds 10.5 Fidelity Global

FundPulse

FIDELITY MANAGED PORTFOLIOS

722405.38.0 61.111358E

Read a fund’s prospectus and consult your financial advisor before investing. Mutual funds are not guaranteed; their values change frequently and pastperformance may not be repeated. Investors will pay management fees and expenses, may pay commissions or trailing commissions, and may experience again or loss. The indicated rates of return are historical annual compound returns including changes in unit value and the reinvestment of all distributionsand do not take into account sales, redemption, distribution, optional charges or income taxes payable by any security holder that would have reducedreturns.

Fidelity Global Growth Portfolio3

Series F for fee based accounts1

PERFORMANCE (SERIES F)

AS AT APRIL 30, 2018

Annual compound performanceAnnual compound performanceFUND

1 month 0.32

3 month -0.45

6 month 2.63

1 year 6.68

3 year 7.90

5 year 11.49

10 year 7.62

Since inception 6.42

Growth of $10,000 since inception2Growth of $10,000 since inception2

$0

$5,000

$10,000

$15,000

$20,000

$25,000

APR-07 MAR-18

$19,817

Calendar year performanceCalendar year performance

0%

5%

10%

15%

20%

25%

YTD20172016201520142013

2.18

13.4

9

3.11

12.3

0

11.7

5

24.1

4

Volatility meterVolatility meter

LOW LOW TOMEDIUM

MEDIUM MEDIUMTO HIGH

HIGH

A fund's volatility is determined using a statistical measure called“standard deviation.” Standard deviation measures the amount ofvariability of returns that has historically occurred relative to theaverage return. The higher the standard deviation of a fund, thegreater the range of returns it has experience in the past. Othertypes of risk, both measurable and non-measurable, exist. Inaddition, just as historical performance may not be indicative offuture returns, a fund's historical volatility may not be indicative ofits future volatility.

ALLOCATION

ALLOCATION TO FUNDS AS AT MARCH 31, 2018 (%)

21.8Canadian Equity Funds

7.2Fidelity Canadian Growth Company Fund

5.3Fidelity True North® Fund

5.2Fidelity Canadian Disciplined Equity® Fund

2.3Fidelity Canadian Large Cap Fund

1.8Fidelity Canadian Opportunities Fund

24.4U.S. Equity Funds

10.0Fidelity U.S. All Cap Fund

7.9Fidelity U.S. Focused Stock Fund

3.5Energy Select Sector SPDR ETF

2.5iShares Core S&P 500 ETF

0.5Fidelity Small Cap America Fund

40.5International Equity Funds

17.3Fidelity International Growth Investment Trust

10.7Fidelity Emerging Markets Fund

6.6Fidelity Global Intrinsic Value Investment Trust

6.0Fidelity Insights Investment Trust

1.2Fidelity Global Real Estate Investment Trust

0.4Fidelity Frontier Emerging Markets Fund

-1.7MSCI Emerging Markets Futures

8.8Fixed-Income Funds

8.2Fidelity Global Bond Investment Trust

0.6iShares TIPS Bond ETF

1.7High-Yield Bond Funds

1.0Fidelity Global High Yield Investment Trust

0.7Fidelity Convertible Securities Investment Trust

2.7Short-Term Investment Funds

1.6Other

0.6Fidelity Canadian Money Market Fund

0.4Cash

0.1Futures Collateral

1 Series F is available only to investors who are eligible to buy this series. Your advisor is: (i) responsible for deciding whether or not youare eligible to buy and continue to hold this series; and (ii) required to sign a series F dealer agreement with Fidelity Investments. Yourdealer may charge other fees. Other series' performance will vary largely due to fees and expenses.

Fund strategyThe Portfolio aims to achieve ahigh total investment return. ThePortfolio is geared towards capitalgrowth. It invests primarily in under-lying funds that generally invest inCanadian and international equityand fixed-income securities.

Fund factsPortfolio managersGeoff SteinDavid Wolf

Series inception dateApril 18, 2007

NAVPU - Series F$16.10 (as at April 30, 2018)

Fund aggregate assets(all series)$858.0 million(as at March 31, 2018)

Management expense ratio –Series F1.18%, as at December 31, 2017

2 Compound growth calculations areused only for the purpose of illustratingthe effects of compound growth and arenot intended to reflect future values ofany mutual fund or returns on investmentin any mutual fund. ■ 3 On January 15,2016, the Portfolio’s objectives changedto permit the Portfolio to invest primarilyin underlying funds, including FidelityFunds and ETFs, that generally invest inequity and fixed income securities.

© 2018 Fidelity Investments Canada ULC.All rights reserved. Reproduction in wholeor in part by any means prior to writtenconsent from Fidelity InvestmentsCanada ULC is forbidden. All trademarksand service marks appearing in this docu-ment belong to Fidelity InvestmentsCanada ULC. Source: FMR LLC.