HSBA

949.7

+0.07%↑

BARC

371

+0.79%↑

LLOY

82.66

+0.83%↑

RBS

534.2

+1.17%↑

STAN

1,413.5

+1.73%↑

HSBA

949.7

+0.07%↑

BARC

371

+0.79%↑

LLOY

82.66

+0.83%↑

RBS

534.2

+1.17%↑

STAN

1,413.5

+1.73%↑

HSBA

949.7

+0.07%↑

BARC

371

+0.79%↑

LLOY

82.66

+0.83%↑

RBS

534.2

+1.17%↑

STAN

1,413.5

+1.73%↑

HSBA

949.7

+0.07%↑

BARC

371

+0.79%↑

LLOY

82.66

+0.83%↑

RBS

534.2

+1.17%↑

STAN

1,413.5

+1.73%↑

HSBA

949.7

+0.07%↑

BARC

371

+0.79%↑

LLOY

82.66

+0.83%↑

RBS

534.2

+1.17%↑

STAN

1,413.5

+1.73%↑

Search

Fidelity European Values PLC

Open

SectorFinanciƫn

393.5 -1.13

Overzicht

Wijziging aandelenprijs

24u

Huidig

Min

389

Max

398

Belangrijke statistieken

By Trading Economics

Verkoop

-96M

K/W

Sectorgemiddelde

133

25.056

EPS

-0.27

Dividendrendement

2.3

EBITDA

-108M

Dividenden

By Dow Jones

Dividendrendement

Sectorgemiddelde

2.30%

3.86%

Volgende Winsten

18 aug 2025

Volgende dividenddatum

24 okt 2025

Volgende Ex Dividend datum

18 sep 2025

Marktinformatie

By TradingEconomics

Marktkapitalisatie

1.6B

Vorige openingsprijs

394.63

Vorige sluitingsprijs

393.5

Nieuwssentiment

By Acuity

67%

33%

484 / 535 Rangschikking in Finance

Fidelity European Values PLC Grafiek

Eerdere prestaties zijn geen betrouwbare indicator voor toekomstige resultaten.

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Peer Vergelijking

Prijswijziging

Fidelity European Values PLC Prognose

Sentiment

By Acuity

484 / 535 Rangschikking in Financiƫn

Nieuwssentiment

Bullish Bewijs

Volatiliteit

Onder gemiddelde

Nieuws Volume (RCV)

Gemiddelde

Financieel

Verkoop- en administratiekosten

Bedrijfskosten

Winst voor belastingen

Verkoop

Kosten van verkopen

Brutowinst op verkopen

EBITDA

Operationele winst

$

Over Fidelity European Values PLC

Fidelity European Trust PLC is an open-ended equity fund launched and managed by FIL Investment Services (UK) Limited. It is co-managed by FIL Investments International Limited. The fund invests in the public equity markets of Continental Europe. It makes its investments in stocks of companies operating across diversified sectors. The fund invests in stocks of companies operating across all market capitalizations. It also invests in value oriented growth stocks. The fund benchmarks the performance of its portfolio against the FTSE World Europe ex UK Index. Fidelity European Trust PLC was formed on November 5, 1991 and is domiciled in the United Kingdom.