Fidelity MoneyBuilder Dividend Fund

Select share classes

Fidelity MoneyBuilder Dividend Fund W Monthly Income

Category UK Equity Income


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

112.80p

arrow-up0.70p (+0.62%)

Fund Code

YMBDM

BYSYZM8

GB00BYSYZM80

Prices updated as at 12 Dec 2025
|
Prices in GBX

Investment objective
The Fund aims to increase value of investor's investment over a period of 5 years or more and deliver an income that is at least 10% more than the income produced by companies in the FTSE All Share Index. The Fund will invest at least 70% in 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). 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
5.59
4.57
-
Monthly
01 Dec 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Dec 20250.00321.133
01 Oct 20250.00321.078
03 Nov 20250.00321.113
01 Sep 20250.00321.075
01 Aug 20250.00321.055
01 Jul 20250.00321.033
02 Jun 20250.00321.048
01 May 20250.00321.014
01 Apr 20250.00321.03
03 Mar 20250.0128651.041
03 Feb 20250.00321.041
02 Jan 20250.00321.013
02 Dec 20240.00321.03
01 Nov 20240.00321.023
01 Oct 20240.00321.048
02 Sep 20240.00321.063
01 Aug 20240.00321.059
01 Jul 20240.00321.027
03 Jun 20240.00321.043
01 May 20240.00321.031
02 Apr 20240.00321.005
01 Mar 20240.0147910.9763
01 Feb 20240.0030.9946
02 Jan 20240.0031.008
01 Dec 20230.0030.9856
01 Nov 20230.0030.9586
02 Oct 20230.0030.9872
01 Sep 20230.0030.973
01 Aug 20230.0030.9891
03 Jul 20230.0030.9794
01 Jun 20230.0020.9865
02 May 20230.0021.035
03 Apr 20230.0021.013
01 Mar 20230.0199381.031
01 Feb 20230.0021.034
03 Jan 20230.0021.005
01 Dec 20220.0021.015
01 Nov 20220.0020.9714
03 Oct 20220.0020.9347
01 Sep 20220.0020.9973
01 Aug 20220.0021.028
01 Jul 20220.0020.981
01 Jun 20220.0021.023
03 May 20220.0021.019
01 Apr 20220.0021.011
01 Mar 20220.0143830.9846
01 Feb 20220.0021.017
04 Jan 20220.0021.011
01 Dec 20210.0020.9647
01 Nov 20210.0020.9708
01 Oct 20210.0020.9457
01 Sep 20210.0020.9671
02 Aug 20210.0020.9545
01 Jul 20210.0020.9416
01 Jun 20210.0020.9351
04 May 20210.00260.9278
01 Apr 20210.00260.8941
01 Mar 20210.0034120.8621
01 Feb 20210.00080.8673
04 Jan 20210.00260.8854
01 Dec 20200.00260.8593
02 Nov 20200.00280.7856
01 Oct 20200.00280.8271
01 Sep 20200.00280.8261
03 Aug 20200.00280.8328
01 Jul 20200.00280.846
01 Jun 20200.0030.8494
01 May 20200.00140.8114
01 Apr 20200.00350.7735
02 Mar 20200.0125020.9007
02 Jan 20200.00351.056
03 Feb 20200.00351.017
02 Dec 20190.00351.007
01 Nov 20190.00350.9888
01 Oct 20190.00350.9831
01 Aug 20190.00350.9848
02 Sep 20190.00350.9684
01 Jul 20190.00350.9818
01 May 20190.00350.9859
03 Jun 20190.00350.9404
01 Apr 20190.00350.9745
01 Mar 20190.0110830.9643
01 Feb 20190.00350.9502
03 Dec 20180.00350.9739
02 Jan 20190.00350.9106
01 Nov 20180.00350.9843
01 Oct 20180.00351.02
03 Sep 20180.00351.024
01 Aug 20180.00351.029
02 Jul 20180.00351.022
01 Jun 20180.00351.04
01 May 20180.00351.024
03 Apr 20180.00350.9631
01 Mar 20180.0093590.9709
01 Feb 20180.00351.023
02 Jan 20180.00351.059
01 Dec 20170.00351.028
01 Nov 20170.00351.054
02 Oct 20170.00351.067
01 Sep 20170.00351.073
01 Aug 20170.00351.078
03 Jul 20170.00351.092
01 Jun 20170.00351.139
02 May 20170.00351.092
03 Apr 20170.00351.092
01 Mar 20170.0092871.086
01 Feb 20170.00331.038
03 Jan 20170.00331.058
01 Dec 20160.00331.006
01 Nov 20160.00331.059
03 Oct 20160.00331.084
01 Sep 20160.00331.073
01 Aug 20160.00331.061
01 Jul 20160.00331.044
01 Jun 20160.00331.008
03 May 20160.00330.9841
01 Apr 20160.0005980.9864
Please note that past performance is not a reliable indicator of future returns.


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