Fund code: 7942

  • NAV $11.28 $0.03 / 0.23%
    14-Jul-2026
  • Inception 23-Jan-2026
  • Benchmark MSCI World Index
  • Aggregate exposure
    Long 122.2%
    Short -34.8%
    Net 87.4%
    Cash 12.6%
    31-May-2026
  • Aggregate assets
    (all series)
    $39.3M
    30-Jun-2026
  • Distributions Annually
  • Also available through ETF Series CDN$, Trust US$ and Trust T-Series
  • Get Fund Facts

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Start NAV

$10.0000

End NAV

$10.4031
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Calendar returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Standard period returns

In accordance with National Instrument 81-102, performance cannot be shown until one year after a fund's inception.

Why invest in this fund?

  • Adaptable active strategy: Research guides exposure shifts across changing market conditions
  • Global investment universe: Broad access across regions, sectors and market caps
  • Research-driven idea generation: Insights sourced from Fidelity’s global research platform
  • Structural and tactical positioning: Combines long-term convictions with short-term opportunities

Risk measures

Risk measures cannot be calculated on funds that are less than three years old. This fund does not yet meet the required criteria.

Risk classification

  1. Low
  2. Low to medium
  3. Medium
  4. Medium to high
  5. High

This fund has a medium volatility rating

Allocation

Asset mix (%)

31-May-2026
Long Short Net
Foreign Equities 119.1 -31.4 87.7
Canadian Equities 3.1 -3.4 -0.3
Cash & Other 18.7 -6.1 12.6

Country mix (%)

31-May-2026
Long Short Net
United States 49.3 -23.7 25.6
United Kingdom 11.3 -1.8 9.5
France 9.8 -0.5 9.4
Netherlands 9.4 -0.8 8.6
Germany 9.4 -1.5 8.0
China 5.9 - 5.9
Sweden 6.4 -1.0 5.5
Japan 5.4 - 5.4
Taiwan 3.5 - 3.5
Switzerland 4.5 -1.4 3.0
Denmark 2.7 - 2.7
Hong Kong 2.6 - 2.6
Ireland 2.5 - 2.5
Australia 2.2 - 2.2
Italy 2.8 -0.8 2.1
Brazil 1.5 - 1.5
Belgium 1.5 - 1.5
South Korea 2.8 -1.7 1.1
Canada 3.1 -2.6 0.5
Multinational - -0.1 -0.1
Austria - -0.5 -0.5

Sector mix (%)

31-May-2026
Long Short Net
Information Technology 35.2 -6.5 28.6
Industrials 35.2 -7.8 27.4
Consumer Disc. 15.7 -5.1 10.6
Materials 11.1 -2.3 8.9
Health Care 9.2 -2.2 7.1
Energy 4.7 - 4.7
Consumer Staples 6.4 -2.1 4.3
Communication Services 0.9 -1.3 -0.4
Real Estate - -0.4 -0.4
Utilities - -1.4 -1.4
Financials 3.7 -5.6 -1.9

Top ten holdings

  1. Taiwan Semiconductor Manufacturing
  2. ASML Holding
  3. VESTAS WIND SYSTEMS AS
  4. ARCELORMITTAL SA (NETH)
  5. LISI
  6. Diploma PLC
  7. Westinghouse Air Brake Technologies
  8. ZOOM COMMUNICATIONS INC CL A
  9. SIGMAROC PLC
  10. BMW AG (BAYER MTR WKS) (GERW)
Top ten long holdings aggregate 32.7%
Top ten short holdings aggregate -5.0%
Total number of holdings 137
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