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EN
IT
CORE AGGRESSIVE
ISIN
LU2049500163
NAV Price
6.524
1 Day %
0.0767
YTD %
9.298
NAV Date
2024-06-24
NAV Currency
EUR
Launch Date
2019-10-02
Share Class
Accumulation
Documents
Prospectus
PRIIPs KID
Annual Report - Set 1
Semi Annual Report
A range of products tailored to you
FIDELITY EURO BOND FAM FUND
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FIDELITY GLOBAL DIVIDEND FAM FUND
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CoRe Target Allocation 25 (III)
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