Data as at: 17/02/2026

Fund manager benchmark
MSCI EM NR GBP

Performance (%) Performance (£)

Return type 1 year 3 years 5 years 10 years
Fidelity Emerging Markets Share price total return 71.5 109.5 47.1 235.4
Global Emerging Markets AIC sector Share price total return 45.8 67.6 37.0 254.1
Fidelity Emerging Markets NAV total return 63.5 90.5 39.7 207.3
Global Emerging Markets AIC sector NAV total return 37.9 60.4 35.3 224.1
Morningstar Emerging Markets * Total return 29.5 47.4 30.5 200.8
Return type 1 year 3 years 5 years 10 years
Fidelity Emerging Markets Share price total return 17,150 20,950 14,710 33,540
Global Emerging Markets AIC sector Share price total return 14,580 16,760 13,700 35,410
Morningstar Emerging Markets * Total return 12,950 14,740 13,050 30,080
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Discrete annual performance (%) Discrete annual performance (£)

Return type 17/02/21 - 22 17/02/22 - 23 17/02/23 - 24 17/02/24 - 25 17/02/25 - 26
Fidelity Emerging Markets Share price total return -12.6 -19.7 3.5 18.1 71.5
Fidelity Emerging Markets NAV total return -13.2 -15.8 1.8 13.6 63.5
Morningstar Emerging Markets * Total return -8.0 -3.8 2.2 11.4 29.5
Return type 17/02/21 - 22 17/02/22 - 23 17/02/23 - 24 17/02/24 - 25 17/02/25 - 26
Fidelity Emerging Markets Share price total return 8,740 8,030 10,350 11,810 17,150
Morningstar Emerging Markets * Total return 9,200 9,620 10,220 11,140 12,950
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