Fidelity Advisor Sustainable International Equity Fund - Class M
FSYMX
NASDAQ
Weiss Ratings | FSYMX-NASDAQ | Click to Compare |
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Rating | ||||
Reward Index | Weak | |||
Reward Grade | D+ | |||
Risk Index | Fair | |||
Risk Grade | C | |||
Company Info | FSYMX-NASDAQ | Click to Compare |
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Provider | Fidelity Investments | |||
Manager/Tenure (Years) | William J. Kennedy (3) | |||
Website | http://www.institutional.fidelity.com | |||
Fund Information | FSYMX-NASDAQ | Click to Compare |
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Fund Name | Fidelity Advisor Sustainable International Equity Fund - Class M | |||
Category | Foreign Large Blend | |||
Sub-Category | Global Equity Large Cap | |||
Prospectus Objective | Foreign Stock | |||
Inception Date | Feb 10, 2022 | |||
Open/Closed To New Investors | Open | |||
Minimum Initial Investment | 0.00 | |||
Minimum Subsequent Investment | -- | |||
Front End Fee | 0.04 | |||
Back End Fee | -- | |||
Dividends and Shares | FSYMX-NASDAQ | Click to Compare |
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Dividend Yield | 1.25% | |||
Dividend | FSYMX-NASDAQ | Click to Compare |
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Dividend Yield (Forward) | 3.01% | |||
Asset Allocation | FSYMX-NASDAQ | Click to Compare |
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Cash | 3.44% | |||
Stock | 95.43% | |||
U.S. Stock | 4.41% | |||
Non-U.S. Stock | 91.02% | |||
Bond | 0.00% | |||
U.S. Bond | 0.00% | |||
Non-U.S. Bond | 0.00% | |||
Preferred | 0.00% | |||
Convertible | 0.00% | |||
Other Net | 1.13% | |||
Price History | FSYMX-NASDAQ | Click to Compare |
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7-Day Total Return | 1.69% | |||
30-Day Total Return | 3.34% | |||
60-Day Total Return | 6.60% | |||
90-Day Total Return | 12.25% | |||
Year to Date Total Return | 15.49% | |||
1-Year Total Return | 12.43% | |||
2-Year Total Return | 27.41% | |||
3-Year Total Return | 44.57% | |||
5-Year Total Return | -- | |||
Price | FSYMX-NASDAQ | Click to Compare |
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Closing Price | -- | |||
1-Month Low Price | -- | |||
1-Month High Price | -- | |||
52-Week Low Price | -- | |||
52-Week Low Price (Date) | -- | |||
52-Week High Price | -- | |||
52-Week High Price (Date) | -- | |||
NAV | FSYMX-NASDAQ | Click to Compare |
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Nav | -- | |||
1-Month Low NAV | $10.41 | |||
1-Month High NAV | $10.85 | |||
52-Week Low NAV | $8.55 | |||
52-Week Low NAV (Date) | Apr 08, 2025 | |||
52-Week High NAV | $10.85 | |||
52-Week High Price (Date) | Jun 30, 2025 | |||
Beta / Standard Deviation | FSYMX-NASDAQ | Click to Compare |
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Beta | 1.00 | |||
Standard Deviation | 16.03 | |||
Balance Sheet | FSYMX-NASDAQ | Click to Compare |
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Total Assets | 14.87M | |||
Operating Ratios | FSYMX-NASDAQ | Click to Compare |
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Expense Ratio | 1.55% | |||
Turnover Ratio | 50.00% | |||
Performance | FSYMX-NASDAQ | Click to Compare |
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Last Bull Market Total Return | 6.09% | |||
Last Bear Market Total Return | -17.47% | |||