Fidelity Multi Asset Income & Growth Fund

Select share classes

Fidelity Investment Funds IV - Fidelity Multi Asset Income & Growth Fund W Income

Category GBP Allocation 60-80% Equity


star-filledstar-filled
This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

116.70p

arrow-down-1.00p (-0.85%)

Fund Code

NMAIN

BFPC0C7

GB00BFPC0C71

Prices updated as at 18 Dec 2025
|
Prices in GBX

Investment objective
The Fund aims to achieve an income yield of 4-6% per annum over a typical market cycle (5-7 years). The Fund also aims to increase the value of investor's investment over a period of 5 years or more which will typically be in line with inflation. The Fund invests at least 70% into funds (including funds managed by Fidelity) which provide global exposure to a mixture of asset classes. The Fund can also invest directly into transferable securities, money market instruments, cash and deposits, and is also able to use derivatives for efficient portfolio management and investment purposes. The Fund is actively managed without reference to a benchmark.

Dividend information

Dividend information
-
4.00
-
Monthly
01 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Dec 20250.00141.169
01 Oct 20250.002751.134
03 Nov 20250.0036691.189
01 Sep 20250.00371.087
01 Aug 20250.00311.073
01 Jul 20250.0031.053
02 Jun 20250.0031.041
01 May 20250.0031.027
01 Apr 20250.0031.046
03 Mar 20250.00281.068
03 Feb 20250.00251.06
02 Jan 20250.00211.046
02 Dec 20240.00211.065
01 Nov 20240.0074371.041
01 Oct 20240.00541.054
02 Sep 20240.00391.057
01 Aug 20240.00371.064
01 Jul 20240.00421.048
03 Jun 20240.00421.049
01 May 20240.00341.034
02 Apr 20240.00281.053
01 Mar 20240.00261.031
01 Feb 20240.00251.012
02 Jan 20240.00251.016
01 Dec 20230.00250.9828
01 Nov 20230.0072590.9497
02 Oct 20230.0050.9786
01 Sep 20230.00520.984
01 Aug 20230.00451.007
03 Jul 20230.00450.9968
01 Jun 20230.0040.9928
02 May 20230.00341.023
03 Apr 20230.00341.022
01 Mar 20230.00271.035
01 Feb 20230.00241.041
03 Jan 20230.00211.019
01 Dec 20220.00211.017
01 Nov 20220.0049440.9792
03 Oct 20220.0040.9809
01 Sep 20220.00371.042
01 Aug 20220.0031.06
01 Jul 20220.00331.048
01 Jun 20220.00381.097
03 May 20220.00381.099
01 Apr 20220.00371.116
01 Mar 20220.00331.117
01 Feb 20220.00331.149
04 Jan 20220.00331.162
01 Dec 20210.00331.139
01 Nov 20210.0052071.154
01 Oct 20210.0041.154
01 Sep 20210.0041.177
02 Aug 20210.0031.162
01 Jul 20210.00241.169
01 Jun 20210.00321.167
04 May 20210.0031.161
01 Apr 20210.00281.135
01 Mar 20210.00251.12
01 Feb 20210.00241.115
04 Jan 20210.00241.131
01 Dec 20200.00281.114
02 Nov 20200.0076491.06
01 Oct 20200.0041.077
01 Sep 20200.0041.078
03 Aug 20200.00281.079
01 Jul 20200.00321.071
01 Jun 20200.00331.055
01 May 20200.00341.016
01 Apr 20200.00330.9742
02 Mar 20200.0031.109
03 Feb 20200.00291.147
02 Jan 20200.00281.152
02 Dec 20190.00281.136
01 Nov 20190.0052281.134
01 Oct 20190.00421.146
02 Sep 20190.00421.146
01 Aug 20190.00331.157
01 Jul 20190.00371.145
03 Jun 20190.00371.114
01 May 20190.00351.126
01 Apr 20190.00331.112
01 Mar 20190.00321.102
01 Feb 20190.00321.096
02 Jan 20190.00281.067
03 Dec 20180.00281.093
01 Nov 20180.0058331.09
01 Oct 20180.00551.115
03 Sep 20180.0041.124
01 Aug 20180.00381.127
02 Jul 20180.00341.102
01 Jun 20180.00341.11
01 May 20180.00341.111
03 Apr 20180.00311.091
01 Mar 20180.00281.111
01 Feb 20180.00311.127
02 Jan 20180.00291.137
01 Dec 20170.00291.133
01 Nov 20170.0053461.139
02 Oct 20170.00521.137
01 Sep 20170.00521.156
01 Aug 20170.00481.147
03 Jul 20170.00361.149
01 Jun 20170.00291.164
02 May 20170.00291.144
03 Apr 20170.00291.147
01 Mar 20170.00291.145
01 Feb 20170.00291.115
03 Jan 20170.00311.119
01 Dec 20160.00221.09
01 Nov 20160.0109821.13
03 Oct 20160.0051.138
01 Sep 20160.0051.131
01 Aug 20160.00261.124
01 Jul 20160.00261.098
01 Jun 20160.00261.053
03 May 20160.00261.048
01 Apr 20160.00261.04
01 Mar 20160.00261.02
01 Feb 20160.00261.02
04 Jan 20160.00261.023
01 Dec 20150.00171.038
02 Nov 20150.0086491.033
01 Oct 20150.00321.023
01 Sep 20150.00321.026
03 Aug 20150.00321.056
01 Jul 20150.00321.043
01 Jun 20150.00321.071
01 May 20150.00321.073
01 Apr 20150.00321.078
02 Mar 20150.00321.07
02 Feb 20150.00311.064
02 Jan 20150.00311.047
Please note that past performance is not a reliable indicator of future returns.


Important Information

Investment values, and income from investments, can go down as well as up, so you may get back less than you invest. This is not a personal recommendation for a specific investment. If you're not sure which investments are suitable for you, consult Fidelity's advisers or another authorised financial adviser. The information contained herein: is proprietary to Morningstar and/or its content providers; may not be copied or distributed; and is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.


Any ESG-related information, methodologies, tools, ratings, data and opinions contained or reflected herein are not directed to or intended for use or distribution to India-based clients or users and their distribution to Indian resident individuals or entities is not permitted, and Morningstar accepts no responsibility or liability whatsoever for the actions of third parties in this respect.
© Copyright 2025 Morningstar. All rights reserved.