Page 384 - DCAC February 2024 Files
P. 384

30.0
                                             25.0
                                               Risk (Standard Deviation %)
                                             20.0
                                             15.0
           (5 YEARS*)
                                             10.0
           RISK VS. RETURN
                                             5.0
                                             0.0
              12.5
                          7.5
                    10.0
                                     2.5
                                           0.0
                                5.0
                               Return  (%)
                                                  Years
                                                10
                                                  Years
                                                7
                                                  Years
                                                5
                                                  Years
                                                3
                                                    (30) Standard  Return  Deviation  (27)  4.42  (20)  7.12  (27)  8.34  (27)  4.18  18.33  8.34 Fidelity Intl Ix      (31)  4.28  (29)  6.91  (35)  8.16  (31)  4.02  (32)  17.93  8.16 MSCI EAFE (Net) Index      18.38  7.65  Median  3.94  6.42  7.65  3.01    2016  2017  2018  2019  2020  2021  (45)  1.34  (50)  25.38  (19)  -13.52  (37)  22.00  (50)  8.17  (37)  11.45  (51)
           PEER GROUP ANALYSIS - IM International Core Equity (MF)
                                                1  Year  18.31  18.24  17.15  (31)  (38)  (27)  (31)
                                                                  2022          3  Years  Ending  Dec-2023
                                                    (30)  (32)      -14.24  -14.45  -15.18  4.18  4.02  3.01
                                                Year  To Date  18.31  18.24  17.15
                                                    (31)  (43)  CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS
                                                Last  Quarter  10.75  10.42  10.19  ROLLING 3 YEAR RETURN AND PERCENTILE RANKINGS
              26.0  20.0  14.0  8.0  Return  2.0  -4.0  -10.0           IM International Core Equity (MF) Median  IM International Core Equity (MF) Median
                                                    Fidelity Intl Ix  MSCI EAFE (Net) Index  Median  Fidelity Intl Ix  MSCI EAFE (Net) Index  Fidelity Intl Ix  MSCI EAFE (Net) Index
                                                          
       Fidelity Intl Ix  12/31/23  FUND INFORMATION  Fidelity Investments  Fund  Family :  09/08/2011 Fund Inception :  Team Managed Portfolio  Manager :  $46,874 Million  Total  Assets :  4% Turnover :  Investment Strategy: Fidelity® International Index Fund is a diversified international equity strategy that seeks to closely track the returns and characteristics of the MSCI EAFE Index, a market-cap-weighted index that includes
   379   380   381   382   383   384   385   386   387   388   389