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FEMXFidelity · Equity - Emerging Markets · Equity · Emerging markets · Active
Fidelity Global Emerging Markets Active ETF
Fee p.a.
0.99%
ASX report
Fund size
A$175m
12m flow A$-27.9m
Yield
9.5%
1 payments / yr
Volatility 3y
17.1%
annualised
Max DD 3y
−11.7%
all-time −27.9%
Listed
2018
5 Nov 2018 · spread 0.40%
$10k$12k$14k$16k$18k$20k$22k$24k201820192020202120222023202420252026
Performance
Period
Total
ASX
1 month
−0.3%
−2.1%
3 months
0.1%
—
6 months
12.8%
—
Year to date
12.3%
—
1 year
19.9%
22.6%
3 years p.a.
11.2%
10.8%
5 years p.a.
3.8%
5.0%
10 years p.a.
—
—
Since listing p.a.
10.5%
—
Total return to 4 Sept 2026, distributions reinvested, before franking. ASX figures are to 31 July 2026 and gross of franking, so they run higher for franked Australian funds.
Sharpe 3y 0.42Vol 1y 19.6%Vol 5y 16.6%Max DD 1y −11.7%Max DD 5y −27.9%Best year 35.0%86% positive years
Calendar-year returns
2019
35.0%
2020
14.0%
2021
11.0%
2022
−17.2%
2023
3.3%
2024
9.8%
2025
16.7%
2026
12.3%
Where the money is
The issuer does not publish machine-readable holdings for this fund, so exposures and holdings overlap are not available. Return correlations still are.
Most similar funds
Overlap is the share of the portfolio held in common, look-through. Correlation is of daily returns. High overlap means close substitutes.
Code
Fund
Fee
Overlap
Corr 3y