17th Oct 2022 08:40
(Alliance News) - Fidelity Asian Values PLC - provides equity exposure to Asian businesses considered mispriced - Net asset value per share ends July 31 at 507.78 pence, climbing 2.1% from 497.50p a year ago. Says that in the year to July 31, NAV including 1.8% dividend reinvestment grows 3.9%. Notes benchmark, the MSCI All Countries Asia ex Japan Small Cap Index, fell by 5.6% over same time period. Read More