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Net Asset Value(s)

31st Mar 2025 12:16

RNS Number : 9516C
Fidelity Emerging Markets Limited
31 March 2025
 
Fidelity Emerging Markets Limited  
31 March 2025 
  
The Directors of Fidelity Emerging Markets Limited announce the following unaudited estimates as at 28 March 2025:
  
NAV (ex income)
784.73p
NAV (cum income)
799.87p
Total Assets (ex income)
£528.563 million
Total Assets (cum income)
£538.761 million
  
  
Enquiries:  
  
Fidelity Investment International 
Phone + 44 ( 0) 1737 837846 
  
END  
  
Fidelity Emerging Markets Limited 
Source: Fidelity Emerging Markets Limited 
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FTSE 100 Latest
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