Last Updated: 28 Jun 2026 4:58:57 AM(Singapore Time)
FIXED INCOMEGENERALGLOBAL
FIDELITY GLOBAL BOND A-USD
FIDELITY INTERNATIONAL
USD 1.050
Latest NAV Price.
Invests in global markets to maximise performance measured in US Dollars. The fund may invest its net assets directly in onshore China fixed income securities listed or traded on any Eligible Market in China.
AUM (million)
USD 1,442.00
FSM Risk Rating
4 - Moderately Low Risk
Launch Date
30 Sep 1990
Launch Price
USD 1.00
Historical Dividend
Yes
Dividend Yield (%)
2.52%
Dividend Frequency
Annual
CPF Risk Classification
na
Min. Initial Amount
SGD 136.06 / USD 100.00
Min. RSP Investment
SGD 100.00
RSP Special List
Yes
Annual Expense Ratio
1.05%
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Latest NAV Price
Past 3 Months
USD 1.050
USD 0.007
More
Created with Highcharts 9.3.2Chart context menu30. Mar6. Apr13. Apr20. Apr27. Apr4. May11. May18. May25. May1. Jun8. Jun15. Jun22. Jun1.041.0451.051.0551.061.065FSM Global
Annualised Returns
Created with Highcharts 9.3.2Chart context menu1 WK-0.10%1 MTH-0.28%3 MTH0.00%6 MTH-0.76%YTD-0.57%1 YR0.17%2 YR3.30%3 YR2.32%5 YR-2.61%10 YR0.19%
1 WK -0.100%
1 MTH -0.280%
3 MTH 0.000%
6 MTH -0.760%
YTD -0.570%
1 YR 0.170%
2 YR 3.300%
3 YR 2.320%
5 YR -2.610%
10 YR 0.190%
Calendar Year Returns
Created with Highcharts 9.3.2Chart context menu20257.43%2024-3.37%20235.00%2022-17.59%2021-4.68%
2025 7.426%
2024 -3.374%
2023 4.998%
2022 -17.592%
2021 -4.684%
Fund Historical Price
1Y High
1.08
30 Jun 2025
1Y Low
1.04
18 May 2026
3Y High
1.08
30 Jun 2025
3Y Low
0.97
18 Oct 2023
All Time High
1.33
04 Jan 2021
All Time Low
0.86
27 Jan 2002
Documents
pdfIcon
Prospectus
18 May 2026
pdfIcon
Semi-Annual Report
24 Dec 2025
pdfIcon
Annual Report
07 Aug 2025
pdfIcon
Product Highlights Sheet
28 Oct 2025
pdfIcon
Fund Factsheet
24 Jun 2026
Payment Method
Included under CashYes
Included under SRSNo
Included under CPFIS-OANo
Included under CPFIS-SANo
Buy Processing Flow
Order Placement
28 Jun 2026
Order Transact
29 Jun 2026
Complete to Holdings
03 Jul 2026
Sell Processing Flow
Order Placement
28 Jun 2026
Order Transact
29 Jun 2026
Paid Out
06 Jul 2026
Risk Metric
3 YR Annualised Volatility 6.55%
3 YR Sharpe Ratio 0.01
1 YR Max Drawdown -3.88%
3 YR Max Drawdown -7.71%
Upcoming Fund HolidaysMORE
There are no upcoming fund holidays for this fund.
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