Fidelity Funds - Global Equity Income ESG Fund A-MINCOME(G)-Euro WKN A40DJH | ISIN LU2813190605 | Fonds Watchlist Musterdepot Alert Factsheet 03.04.25 11,21 EUR -1,32 % (-0,15) ausschüttend Fidelity Funds - Global Equity Income ESG Fund I-ACC-NOK (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund I-ACC-SEK (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund I-ACC-GBP (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund A-QINCOME(G)-Euro (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund Y-QINCOME(G)-Euro (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund A-ACC-NOK (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund A-ACC-SEK (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund X-ACC-Euro (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund W-ACC-GBP (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund B1-MINCOME(G)-EUR (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund B1-QINCOME(G)-EUR (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund E-MINCOME(G)-EUR (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund E-QINCOME(G)-Euro (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund I-ACC-Euro (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund I-ACC-USD (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund Y-ACC-USD (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund Y-ACC-Euro (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund E-ACC-Euro (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund A-ACC-Euro (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund A-Euro (Euro/USD hedged) (thesaurierend) Fidelity Funds - Global Equity Income ESG Fund A-GDIST-Euro (ausschüttend) Fidelity Funds - Global Equity Income ESG Fund A-MINCOME(G)-Euro (ausschüttend) Verkaufen Kaufen Übersicht Profile / Kennzahlen Chart-Pro Risikomatrix Kurse & Handelsplätze Fondsprofil Ausschüttungen Datum Betrag 01.04.2025 0,02 EUR 03.03.2025 0,02 EUR 03.02.2025 0,02 EUR Datum Betrag 02.01.2025 0,02 EUR 02.12.2024 0,02 EUR 01.11.2024 0,02 EUR Datum Betrag 01.10.2024 0,02 EUR 02.09.2024 0,02 EUR 01.08.2024 0,02 EUR