OEIC Sub FundsUnit TrustsOffshore FundsInvestment TrustsWindfall SharesFidelity Currency Funds
FIDELITY - Windfall Shares
Name NAV Ccy Date Change Since Yield Ex div
Windfall Shares
AVIVA (ex CGNU) 4.165 GBP 06/01/2009 0.298 05/01/2009 0.00  
Barclays 1.633 GBP 06/01/2009 0.023 05/01/2009 0.00  
HBOS 0.689 GBP 06/01/2009 0.031 05/01/2009 0.00  
Northern Rock 0.000 GBP 06/01/2009 0.000 05/01/2009 0.00  
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For Fidelity's bond funds the yield quoted is the gross redemption yield (net of fees, gross of tax) and is updated monthly. This gives an indication of returns after charges, inclusive of all income payments and any capital gain or loss made. For details of the running yield, you should contact Fidelity on 08457 100 456. Please note yields are not guaranteed.

Please remember, past performance is not a guide to what might happen in the future. The value of investments and the income from them can go down as well as up and an investor may not get back the amount invested and may be affected by fluctuations in exchange rates.