| Date | Time | Source | Announcement |
|---|---|---|---|
| 22 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 21 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 18 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 17 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 16 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 15 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 14 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 11 Feb 2022 | 07:30 AM | Compliance with Market Abuse Regulations | |
| 11 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 10 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 09 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 08 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 07 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 04 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 03 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 02 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 01 Feb 2022 | 01:15 PM | Total Voting Rights | |
| 01 Feb 2022 | 07:00 AM | Net Asset Value(s) | |
| 31 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 28 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 27 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 26 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 25 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 24 Jan 2022 | 04:16 PM | Monthly Summary | |
| 24 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 21 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 20 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 19 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 18 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 17 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 14 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 13 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 12 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 11 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 10 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 07 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 06 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 05 Jan 2022 | 12:17 PM | Total Voting Rights | |
| 05 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 04 Jan 2022 | 03:59 PM | Portfolio Update | |
| 04 Jan 2022 | 07:00 AM | Net Asset Value(s) | |
| 31 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 30 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 29 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 24 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 23 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 22 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 21 Dec 2021 | 07:00 AM | Net Asset Value(s) | |
| 20 Dec 2021 | 09:10 AM | Doc re Monthly Factsheet as at 30 November 2021 | |
| 20 Dec 2021 | 07:00 AM | Net Asset Value(s) |
Fidelity European Trust PLC is a UK-based investment trust focused on long-term growth from continental European equities, managed by Fidelity International. It invests in approximately 40 to 50 companies across various sectors, aiming to identify firms with consistent dividend growth potential. The trust was previously known as Fidelity European Values and has a registered office in Tadworth, England.
Fidelity European Trust share price launched at 13p in 1993.