Fidelity Institutional Liquidity Fund - USD Treasury Fund G Distributing header image

Fidelity Institutional Liquidity Fund - USD Treasury Fund G Distributing

Fund

ISIN IE00BMY47J90 / Valor 57252722

NAV (2025-11-18)
USD 1.00%

Fidelity Institutional Liquidity Fund - USD Treasury Fund G Distributing
UMushroom Community-Bewertung:

star star star star star
0.00 0 Bewertungen Noch keine Bewertungen
NegativNeutralPositiv

Der Fidelity Institutional Liquidity Fund - USD Treasury Fund G Distributing, bezeichnet durch seine ISIN IE00BMY47J90, verzeichnete einen Nettoinventarwert (NAV) von 1.00 USD am 2025-11-18. Diese Zahl entspricht einer Bewertungsänderung von % gegenüber dem letzten NAV-Bericht. Für weitere Informationen über das interaktive Performance-Diagramm des Fonds, die wichtigsten Bestände, Merkmale, Anteilsklassendetails und wichtige Anlegerdokumente sollten sich die Nutzer in ihr Konto einloggen, wo sie detaillierte und objektive Finanzdaten abrufen können.

Tags:
geldmarkt us-schatzamt

Bewertungen & Kommentare

star star star star star

0.00

0 Bewertungen
Performance:
starstarstarstarstar
0.00
Innovation:
starstarstarstarstar
0.00
Gesellschaft:
starstarstarstarstar
0.00
Umwelt:
starstarstarstarstar
0.00

WEITERE ANTEILSKLASSEN DIESES FONDS

Fidelity Institutional Liquidity Fund - USD Treasury Fund R Accumulating
Fidelity Institutional Liquidity Fund - USD Treasury Fund R Accumulating Fidelity Institutional Liquidity Fund - USD Treasury Fund R Accumulating
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.01%USD 10,994.72
Fidelity Institutional Liquidity Fund - USD Treasury Fund A Accumulating
Fidelity Institutional Liquidity Fund - USD Treasury Fund A Accumulating Fidelity Institutional Liquidity Fund - USD Treasury Fund A Accumulating Valor: 57251684
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.01%USD 11,334.61
Fidelity Institutional Liquidity Fund - USD Treasury Fund G Accumulating
Fidelity Institutional Liquidity Fund - USD Treasury Fund G Accumulating Fidelity Institutional Liquidity Fund - USD Treasury Fund G Accumulating
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.01%USD 11,314.66
Fidelity Institutional Liquidity Fund - USD Treasury Fund F Distributing
Fidelity Institutional Liquidity Fund - USD Treasury Fund F Distributing Fidelity Institutional Liquidity Fund - USD Treasury Fund F Distributing Valor: 57251702
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.00%USD 1.00
Fidelity Institutional Liquidity Fund - USD Treasury Fund A Distributing
Fidelity Institutional Liquidity Fund - USD Treasury Fund A Distributing Fidelity Institutional Liquidity Fund - USD Treasury Fund A Distributing Valor: 57251623
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.00%USD 1.00
Fidelity Institutional Liquidity Fund - USD Treasury Fund R Flex Distributing
Fidelity Institutional Liquidity Fund - USD Treasury Fund R Flex Distributing Fidelity Institutional Liquidity Fund - USD Treasury Fund R Flex Distributing
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.00%USD 1.00
Fidelity Institutional Liquidity Fund - USD Treasury Fund I Accumulating
Fidelity Institutional Liquidity Fund - USD Treasury Fund I Accumulating Fidelity Institutional Liquidity Fund - USD Treasury Fund I Accumulating
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.01%USD 10,979.24
Fidelity Institutional Liquidity Fund - USD Treasury Fund I Distributing
Fidelity Institutional Liquidity Fund - USD Treasury Fund I Distributing Fidelity Institutional Liquidity Fund - USD Treasury Fund I Distributing
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.00%USD 1.00
Fidelity Institutional Liquidity Fund - USD Treasury Fund B Accumulating
Fidelity Institutional Liquidity Fund - USD Treasury Fund B Accumulating Fidelity Institutional Liquidity Fund - USD Treasury Fund B Accumulating Valor: 57251518
starstarstarstarstar

Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.01%USD 11,253.86