Fidelity MoneyBuilder Balanced

Category GBP Allocation 60-80% Equity


star-filled
Last buy/sell price

45.19p

arrow-up0.18p (+0.40%)

Fund Code

0387855

GB0003878559

Prices updated as at 12 Dec 2025
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Prices in GBX

Investment objective
The Fund aims to achieve an income and to increase value of investor's investment over a period of 5 years or more. The Fund will invest at least 80% in a blend of equities (and their related securities) of UK companies (those domiciled, incorporated or having significant business in UK and those which are listed in the UK) and sterling denominated (or hedged back to sterling) investment grade debt instruments e.g. bonds, which could include government and corporate bonds. The Investment Manager is not restricted in terms of size or industry. The Fund is actively managed without reference to a benchmark.

Dividend information

Dividend information
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Monthly
01 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Dec 20250.00130.4531
03 Nov 20250.00130.4487
01 Oct 20250.00130.4357
01 Sep 20250.00130.4344
01 Aug 20250.00130.4305
01 Jul 20250.00130.4272
02 Jun 20250.00130.4288
01 May 20250.00130.4224
01 Apr 20250.00130.4253
03 Mar 20250.0035950.4288
03 Feb 20250.00130.4296
02 Jan 20250.00130.4211
02 Dec 20240.00130.4298
01 Nov 20240.00130.4262
01 Oct 20240.00130.4382
02 Sep 20240.00130.4415
01 Aug 20240.00130.4415
03 Jun 20240.00130.4341
01 Jul 20240.00130.4299
01 May 20240.00130.4294
02 Apr 20240.00130.4261
01 Mar 20240.0058510.4177
01 Feb 20240.00120.4265
02 Jan 20240.00120.4323
01 Dec 20230.00120.4203
01 Nov 20230.00120.409
02 Oct 20230.00120.4178
01 Sep 20230.00120.4165
01 Aug 20230.00120.4222
03 Jul 20230.0008380.4192
01 Jun 20230.0008380.4218
02 May 20230.0008380.4403
03 Apr 20230.0008380.4375
01 Mar 20230.0077890.4401
01 Feb 20230.0008380.4473
03 Jan 20230.0008380.4359
01 Dec 20220.0008380.4451
01 Nov 20220.0008380.4277
03 Oct 20220.0008380.4127
01 Sep 20220.0008380.4434
01 Aug 20220.0008380.4657
01 Jul 20220.0008380.4484
01 Jun 20220.0008380.4646
03 May 20220.0008380.4677
01 Apr 20220.0008380.471
01 Mar 20220.0069570.4697
01 Feb 20220.0008360.4834
04 Jan 20220.0008360.4867
01 Dec 20210.0008370.4782
01 Nov 20210.0008370.4757
01 Oct 20210.0008370.4654
01 Sep 20210.0008370.4784
02 Aug 20210.0008380.4747
01 Jul 20210.0008380.4673
01 Jun 20210.0008380.4645
04 May 20210.0008380.4621
01 Apr 20210.0008390.4506
01 Mar 20210.0053970.4387
01 Feb 20210.000840.4531
04 Jan 20210.0008410.4645
01 Dec 20200.0008410.4529
02 Nov 20200.0008410.4273
01 Oct 20200.0008410.4418
01 Sep 20200.0008410.4392
03 Aug 20200.0008420.4467
01 Jul 20200.0008420.4496
01 Jun 20200.0008420.4515
01 May 20200.0008420.4377
01 Apr 20200.0012640.4213
02 Mar 20200.0065210.4628
03 Feb 20200.0012670.5006
02 Jan 20200.0012670.5073
02 Dec 20190.0012670.4935
01 Nov 20190.0012680.4897
01 Oct 20190.0012680.4899
02 Sep 20190.0012680.4875
01 Aug 20190.0012690.4862
01 Jul 20190.0012690.483
03 Jun 20190.001270.4699
01 May 20190.001270.4811
01 Apr 20190.0012710.4794
01 Mar 20190.0059680.4724
01 Feb 20190.0012730.4714
02 Jan 20190.0012730.4583
03 Dec 20180.0012740.4749
01 Nov 20180.0012740.4805
01 Oct 20180.0012740.4912
03 Sep 20180.0012750.4951
01 Aug 20180.0012750.4966
02 Jul 20180.0012750.4957
01 Jun 20180.0012780.502
01 May 20180.0012760.4959
03 Apr 20180.0012770.4782
01 Mar 20180.0068010.4793
01 Feb 20180.0012710.499
02 Jan 20180.0012690.5125
01 Dec 20170.001270.5026
01 Nov 20170.001270.5107
02 Oct 20170.0012720.515
01 Sep 20170.0012730.5198
01 Aug 20170.0012720.5198
03 Jul 20170.0012740.5243
01 Jun 20170.0012760.5423
02 May 20170.001260.5264
03 Apr 20170.001260.5268
01 Mar 20170.0060480.5245
01 Feb 20170.001260.5082
03 Jan 20170.001260.5167
01 Dec 20160.001260.498
01 Nov 20160.001260.5183
03 Oct 20160.001260.5333
01 Sep 20160.001260.5326
01 Aug 20160.001260.5256
01 Jul 20160.001260.5193
01 Jun 20160.001260.4992
03 May 20160.001260.4897
01 Apr 20160.00120.4912
01 Mar 20160.0064410.4979
01 Feb 20160.00120.5003
04 Jan 20160.00120.4971
01 Dec 20150.00120.5094
02 Nov 20150.00120.5031
01 Oct 20150.00120.498
01 Sep 20150.00120.4885
03 Aug 20150.00120.5083
01 Jul 20150.00120.4965
01 Jun 20150.00120.5156
01 May 20150.00120.5108
01 Apr 20150.00120.5138
02 Mar 20150.005160.5138
02 Feb 20150.00120.5175
02 Jan 20150.00120.4977
Please note that past performance is not a reliable indicator of future returns.


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