Fidelity Funds - Global High Yield Fund - A EUR DIS H Logo
LU0740037378
A1JT9D

Fidelity Funds - Global High Yield Fund - A EUR DIS H

Dividend yield TTM
5.83%
€0.43/unit
Dividend growth (CAGR 5Y)
0.11%
Next dividend
The next dividend is expected in October.

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Historical dividends

In 2026, Fidelity Funds - Global High Yield Fund - A EUR DIS H has already paid €0.32 in dividends. The last payout was in September.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€7.28
Yield
5.83%
Interval
Monthly
CAGR 3Y
4.39%
CAGR 5Y
0.11%
CAGR 10Y
0.03%

All dividend data

So far in 2026, €0.32 per unit has been distributed. In 2025, Fidelity Funds - Global High Yield Fund - A EUR DIS H distributed €0.43. The dividend yield is currently 5.83%, and distributions have increased by 4.39% over the last 3 years. The ETF pays out every month.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.32 25.00% 4.36%
01/09/2026 08/09/2026 €0.0355
03/08/2026 10/08/2026 €0.0355
01/07/2026 08/07/2026 €0.0355
01/06/2026 08/06/2026 €0.0355
01/05/2026 08/05/2026 €0.0355
01/04/2026 08/04/2026 €0.0355
02/03/2026 09/03/2026 €0.0355
02/02/2026 09/02/2026 €0.0355
02/01/2026 09/01/2026 €0.0355
2025 €0.43 5.97% 5.66%
01/12/2025 08/12/2025 €0.0355
03/11/2025 10/11/2025 €0.0355
01/10/2025 08/10/2025 €0.0355
01/09/2025 08/09/2025 €0.0355
01/08/2025 08/08/2025 €0.0355
01/07/2025 08/07/2025 €0.0355
02/06/2025 09/06/2025 €0.0355
01/05/2025 08/05/2025 €0.0355
01/04/2025 08/04/2025 €0.0355
03/03/2025 10/03/2025 €0.0355
03/02/2025 10/02/2025 €0.0355
02/01/2025 09/01/2025 €0.0355
2024 €0.40 14.11% 5.28%
02/12/2024 09/12/2024 €0.0335
01/11/2024 08/11/2024 €0.0335
01/10/2024 08/10/2024 €0.0335
02/09/2024 09/09/2024 €0.0335
01/08/2024 08/08/2024 €0.0335
01/07/2024 08/07/2024 €0.0335
03/06/2024 10/06/2024 €0.0335
01/05/2024 08/05/2024 €0.0335
01/04/2024 08/04/2024 €0.0335
01/03/2024 08/03/2024 €0.0335
01/02/2024 08/02/2024 €0.0335
02/01/2024 09/01/2024 €0.0335
2023 €0.35 5.93% 4.69%
01/12/2023 08/12/2023 €0.0292
01/11/2023 08/11/2023 €0.0292
02/10/2023 09/10/2023 €0.0292
01/09/2023 08/09/2023 €0.0292
01/08/2023 08/08/2023 €0.0292
03/07/2023 10/07/2023 €0.0292
01/06/2023 08/06/2023 €0.0292
01/05/2023 08/05/2023 €0.0292
03/04/2023 10/04/2023 €0.0292
01/03/2023 08/03/2023 €0.0292
01/02/2023 08/02/2023 €0.0292
02/01/2023 09/01/2023 €0.0311
2022 €0.37 4.39% 5.03%
01/12/2022 08/12/2022 €0.0311
01/11/2022 08/11/2022 €0.0311
03/10/2022 10/10/2022 €0.0311
01/09/2022 08/09/2022 €0.0311
01/08/2022 08/08/2022 €0.0311
01/07/2022 08/07/2022 €0.0311
01/06/2022 08/06/2022 €0.0311
02/05/2022 09/05/2022 €0.0311
01/04/2022 08/04/2022 €0.0311
01/03/2022 08/03/2022 €0.0311
01/02/2022 08/02/2022 €0.0311
03/01/2022 10/01/2022 €0.0324
2021 €0.39 7.53% 4.30%
01/12/2021 08/12/2021 €0.0324
01/11/2021 08/11/2021 €0.0324
01/10/2021 08/10/2021 €0.0324
01/09/2021 08/09/2021 €0.0324
02/08/2021 09/08/2021 €0.0324
01/07/2021 08/07/2021 €0.0324
01/06/2021 08/06/2021 €0.0324
03/05/2021 10/05/2021 €0.0324
01/04/2021 08/04/2021 €0.0324
01/03/2021 08/03/2021 €0.0324
01/02/2021 08/02/2021 €0.0324
04/01/2021 11/01/2021 €0.0353
2020 €0.42 0.94% 4.44%
01/12/2020 08/12/2020 €0.0353
02/11/2020 09/11/2020 €0.0353
01/10/2020 08/10/2020 €0.0353
01/09/2020 08/09/2020 €0.0353
03/08/2020 10/08/2020 €0.0353
01/07/2020 08/07/2020 €0.0353
01/06/2020 08/06/2020 €0.0353
01/05/2020 08/05/2020 €0.0353
01/04/2020 08/04/2020 €0.0353
02/03/2020 09/03/2020 €0.0353
03/02/2020 10/02/2020 €0.0353
02/01/2020 09/01/2020 €0.0353
2019 €0.43 9.33% 4.39%
02/12/2019 09/12/2019 €0.0353
01/11/2019 08/11/2019 €0.0353
01/10/2019 08/10/2019 €0.0353
02/09/2019 09/09/2019 €0.0353
01/08/2019 08/08/2019 €0.0353
01/07/2019 08/07/2019 €0.0353
03/06/2019 10/06/2019 €0.0353
01/05/2019 08/05/2019 €0.0353
01/04/2019 08/04/2019 €0.0353
01/03/2019 08/03/2019 €0.0353
01/02/2019 08/02/2019 €0.0353
02/01/2019 09/01/2019 €0.0393
2018 €0.47 0.47% 5.08%
03/12/2018 10/12/2018 €0.0393
01/11/2018 08/11/2018 €0.0393
01/10/2018 08/10/2018 €0.0393
03/09/2018 10/09/2018 €0.0393
01/08/2018 08/08/2018 €0.0393
02/07/2018 09/07/2018 €0.0393
01/06/2018 08/06/2018 €0.0393
01/05/2018 08/05/2018 €0.0393
02/04/2018 09/04/2018 €0.0393
01/03/2018 08/03/2018 €0.0393
01/02/2018 08/02/2018 €0.0393
02/01/2018 09/01/2018 €0.0393
2017 €0.47 5.84% 4.48%
01/12/2017 08/12/2017 €0.0393
01/11/2017 08/11/2017 €0.0393
02/10/2017 09/10/2017 €0.0393
01/09/2017 08/09/2017 €0.0393
01/08/2017 08/08/2017 €0.0393
03/07/2017 10/07/2017 €0.0393
01/06/2017 08/06/2017 €0.0393
01/05/2017 08/05/2017 €0.0393
03/04/2017 10/04/2017 €0.0393
01/03/2017 08/03/2017 €0.0393
01/02/2017 08/02/2017 €0.0393
02/01/2017 09/01/2017 €0.0371
2016 €0.44 4.40% 4.24%
01/12/2016 08/12/2016 €0.0371
01/11/2016 08/11/2016 €0.0371
03/10/2016 10/10/2016 €0.0371
01/09/2016 08/09/2016 €0.0371
01/08/2016 08/08/2016 €0.0371
01/07/2016 08/07/2016 €0.0371
01/06/2016 08/06/2016 €0.0371
02/05/2016 09/05/2016 €0.0371
01/04/2016 08/04/2016 €0.0371
01/03/2016 08/03/2016 €0.0371
01/02/2016 08/02/2016 €0.0371
04/01/2016 11/01/2016 €0.0354
2015 €0.42 4.39% 4.39%
01/12/2015 08/12/2015 €0.0354
02/11/2015 09/11/2015 €0.0354
01/10/2015 08/10/2015 €0.0354
01/09/2015 08/09/2015 €0.0354
03/08/2015 10/08/2015 €0.0354
01/07/2015 08/07/2015 €0.0354
01/06/2015 08/06/2015 €0.0354
01/05/2015 08/05/2015 €0.0354
01/04/2015 08/04/2015 €0.0354
02/03/2015 09/03/2015 €0.0354
02/02/2015 09/02/2015 €0.0354
02/01/2015 09/01/2015 €0.0354
2014 €0.44 5.79% 4.27%
01/12/2014 08/12/2014 €0.0354
03/11/2014 10/11/2014 €0.0354
01/10/2014 08/10/2014 €0.0354
01/09/2014 08/09/2014 €0.0354
01/08/2014 08/08/2014 €0.0354
01/07/2014 08/07/2014 €0.0354
02/06/2014 09/06/2014 €0.0354
01/05/2014 08/05/2014 €0.0393
01/04/2014 08/04/2014 €0.0393
03/03/2014 10/03/2014 €0.0393
03/02/2014 10/02/2014 €0.0393
02/01/2014 09/01/2014 €0.0393
2013 €0.47 50.00% 4.37%
02/12/2013 09/12/2013 €0.0393
01/11/2013 08/11/2013 €0.0393
01/10/2013 08/10/2013 €0.0393
02/09/2013 09/09/2013 €0.0393
01/08/2013 08/08/2013 €0.0393
01/07/2013 08/07/2013 €0.0393
03/06/2013 10/06/2013 €0.0393
01/05/2013 08/05/2013 €0.0393
01/04/2013 08/04/2013 €0.0393
01/03/2013 08/03/2013 €0.0393
01/02/2013 08/02/2013 €0.0393
02/01/2013 09/01/2013 €0.0393
2012 €0.31 0.00% 2.95%
03/12/2012 10/12/2012 €0.0393
01/11/2012 08/11/2012 €0.0393
01/10/2012 08/10/2012 €0.0393
03/09/2012 10/09/2012 €0.0393
01/08/2012 08/08/2012 €0.0393
02/07/2012 09/07/2012 €0.0393
01/06/2012 08/06/2012 €0.0393
01/05/2012 08/05/2012 €0.0393

Frequently asked questions

What percentage of dividends does Fidelity Funds - Global High Yield Fund - A EUR DIS H pay?

The dividend yield is currently 5.83%, and payouts have increased by 4.39% over the past 3 years.

When were the most recent dividend payment dates for Fidelity Funds - Global High Yield Fund - A EUR DIS H?

The most recent payment was made on 08/09/2026. Previous payments were made on: 10/08/2026, 08/07/2026 and 08/06/2026.

When did you need to hold Fidelity Funds - Global High Yield Fund - A EUR DIS H in your portfolio to receive the latest dividend?

If you held Fidelity Funds - Global High Yield Fund - A EUR DIS H in your portfolio on 01/09/2026, you received the payout.

How much was the dividend from Fidelity Funds - Global High Yield Fund - A EUR DIS H in 2025?

In 2025, Fidelity Funds - Global High Yield Fund - A EUR DIS H paid €0.43 in dividends.

How much was the dividend from Fidelity Funds - Global High Yield Fund - A EUR DIS H in 2024?

In 2024, Fidelity Funds - Global High Yield Fund - A EUR DIS H paid €0.40 in dividends.

When is the next dividend from Fidelity Funds - Global High Yield Fund - A EUR DIS H expected?

Fidelity Funds - Global High Yield Fund - A EUR DIS H is expected to pay the next dividend in October.

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