Fact sheet: Fidelity Tgt TM 2020 (€)

Fund information

Fund name
Fidelity Target TM 2020 (Euro) A EUR
Fund company manager
Fidelity International (FIL In
Fund type
SIB
Fund manager
Richard Skelt
since 05/09/2003
Fund objective
Aims to provide long-term capital growth for investors planning to withdraw substantial portions of their investment in the year 2020. Typically invests in a wide range of markets throughout the world providing exposure to shares of companies, bonds, interest rate bearing debt securities, money market securities and commodities. The fund is managed in accordance with an asset allocation that will become increasingly conservative as the target year is approached. Has the freedom to invest outside the fund's principal geographies, market sectors, industries or asset classes. Investments may be made in currencies other than Euro. Exposure to other currencies may be hedged, for example with currency forward contracts. Can invest in bonds issued by governments, companies and other bodies. May invest in assets directly or achieve exposure indirectly through other eligible means including derivatives. Can use derivatives with the aim of risk or cost reduction or to generate additional capital or income, including for investment purposes, in line with the fund’s risk profile. The fund has discretion in its choices of investments within its objectives and policies. Income is accumulated in the share price. Shares can usually be bought and sold each business day of the fund. This fund may not be appropriate for investors who plan to withdraw their money before the target date. Whilst the fund should be regarded as a long-term investment, it will become shorter as the target date approaches.
Benchmark
No Specified Index
Investment style
Target Maturity,Flexible
Investment method
Mixed

Performance snapshot

Quick stats

1 Year return

3.09 %

1 Year rank in sector

112/161

Sector

FO Mixed Asset - Flexible

Yield
-
Fund size

£ 175.0 m

FE Risk score

74

NAV
-
Discount/Premium
-
Gearing
-

Top in sector

Holdings snapshot

  • Not Specified
    60.4%
  • USA
    14.3%
  • Europe
    13.8%
  • Global Emerging Markets
    7.1%
  • Japan
    2.3%
  • Fixed Interest
    60.4%
  • Equities
    39.6%
  • Global Fixed Interest
    60.4%
  • US Equities
    14.3%
  • European Equities
    13.8%
  • Global Emerging Market Equities
    7.1%
  • Japanese Equities
    2.3%

Performance vs. Sector

Cumulative performance

1m6m1y3y5y
Fund-0.35 %0.53 %3.09 %18.54 %40.88 %
Sector0.48 %2.97 %5.26 %11 %23.16 %
Rank within sector144 / 180131 / 171112 / 16129 / 10416 / 75
Quartile th4 th4 th3 rd2 nd1 st

Calendar performance

YTD-20172016201520142013
Fund1.43 %4.66 %4.66 %14.04 %11.38 %
Sector5.21 %3.43 %-0.06 %4.97 %6.79 %
Rank within sector144 / 17161 / 13918 / 1147 / 9524 / 81
Quartile th4 th2 nd1 st1 st2 nd

Risk statistics

Alpha1.63
Beta1.28
Sharpe0.32
Volatility7.13
Tracking error3.74
Information ratio0.66
R-Squared0.76

Price movement

52 week high42.78
52 week low40.16
Current bid price0
Current offer price0
Current mid price41.87

Holdings by region

  • 60.4% Not Specified
  • 14.3% USA
  • 13.8% Europe
  • 7.1% Global Emerging Markets
  • 2.3% Japan
  • 1.2% Asia Pacific ex Japan
  • 0.9% Canada

Holdings by sector

  • 60.4% Fixed Interest
  • 39.6% Equities

Holdings by asset type

  • 60.4% Global Fixed Interest
  • 14.3% US Equities
  • 13.8% European Equities
  • 7.1% Global Emerging Market Equities
  • 2.3% Japanese Equities
  • 1.2% Asia Pacific ex Japan Equities
  • 0.9% Canadian Equities

Individual holdings

  • 27.9% FF EURO BOND A EUR
  • 27.8% FF CORE EURO BOND
  • 7.1% FF EMERGING MARKETS A USD
  • 5% FID FDS - US VALUE POOL
  • 4.3% FIDELITY FUNDS - US CORE
  • 3.8% FF EUROPEAN GROWTH A EUR
  • 3.5% FIDELITY PAN EUROPEAN INST
  • 3.4% FF EUROPEAN DIVIDEND A INC EUR
  • 2.4% FF Global Hybrids Bond Y USD
  • 2.2% FF AMERICAN GROWTH A USD