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Fidelity Funds · Finance research note

Fidelity Funds - European Growth Fund A-ACC-Euro

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Evidence and analysis

Latest Official Fund Data

Metric Current official value
NAV (EUR) 21.0300
NAV date 14/08/2026
Daily NAV change -0.0200 (-0.10%)
1-year performance +7.94% (as of 31/07/2026)
3-year performance +36.39% (as of 31/07/2026)
Fund type Equity Fund
ISIN LU0296857971

Source: Fidelity Hong Kong mutual-fund directory, retrieved 15 August 2026 (Hong Kong time). Fidelity states that the displayed NAV is sourced from Morningstar Asia Limited and performance is sourced from Fidelity. Performance is NAV-to-NAV in the fund’s denominated currency, with dividends reinvested, including ongoing charges and excluding subscription and redemption fees.

Portfolio Manager

Fred Sykes

The Fidelity Funds - European Growth Fund page has been refreshed from Fidelity Funds’ April 2026 Hong Kong Extract Prospectus. The PDF fund description is for European Growth Fund.

Investment Objective

The fund aims to achieve capital growth over time.

Investment Policy

The fund invests at least 70% (and normally 75%) of its assets, in equities of companies listed on European stock exchanges. The fund may also invest in money market instruments on an ancillary basis.

Investment Process

In actively managing the fund, the Investment Manager considers growth and valuation metrics, company financials, return on capital, cash flows and other measures, as well as company management, industry, economic conditions, and other factors. The Investment Manager considers ESG characteristics when assessing investment risks and opportunities. In determining ESG characteristics, the Investment Manager takes into account ESG ratings provided by Fidelity or external agencies. The fund aims to achieve an ESG score of its portfolio greater than that of its

SFDR Product Category

Article 8 (promotes environmental and/or social characteristics) – ESG Tilt.

Derivatives and Techniques

The fund may use derivatives for hedging and for efficient portfolio management. TRS (including CFD) usage None. Securities lending Expected 15%; maximum 30%. Repos/reverse repos Expected 0%; maximum 30%.

Benchmark

MSCI Europe Index, a broad market index that does not take into account ESG characteristics.

Base Currency

EUR.

Main Risks

  • Counterparty and collateral
  • Derivatives
  • Equities
  • Hedging
  • Investment fund
  • Liquidity
  • Market
  • Operational
  • Sustainable investing

Risk Management Method

Commitment.

Fidelity Hong Kong Website Data

Note: Visit the fund’s factsheet at https://www.fidelity.com.hk/en/funds/factsheet/EEUM/G for the latest Morningstar rating, risk rating, NAV, fund size, and performance data.

Available Metrics (to be populated from Fidelity HK factsheet):

  • Morningstar Rating: ★★★★☆ (to be verified)
  • Risk Rating: /5 (Medium to High) (to be verified)
  • Fund Size: (to be verified)
  • NAV: (to be verified)
  • Annual Management Fee: (to be verified)
  • Max Sales Charge: (to be verified)
  • Launch Date: (to be verified)
  • 3-Year Standard Deviation: (to be verified)
  • ISIN: (from prospectus)
  • Bloomberg Ticker: (to be verified)

Performance Data (from Fidelity HK factsheet):

  • Annual performance table
  • Cumulative performance (YTD, 6m, 1yr, 3yr, 5yr)
  • Top 10 holdings
  • ESG metrics and MSCI ratings
  • Volatility measures (standard deviation, beta, alpha, risk rating)

Charges and Expenses (from Fidelity HK factsheet):

  • Max. Sales Charge
  • Annual Management Fee
  • Other fees (refer to prospectus)

Source

  • Fidelity Funds, April 2026 Hong Kong Extract Prospectus: data/fidelity/pr.ff.HK-en.HK.pdf

Sector Allocation

Sector Weight
Energy 17.6%
Communication Services 14.4%
Financial Services 11.6%
Technology 10.0%
Health Care 9.7%
Consumer Defensive 9.3%
Basic Materials 7.8%
Real Estate 5.5%
Consumer Cyclical 5.2%
Industrials 5.1%
FidelityEuropeGrowthEquityEUR