
REG - Fidelity Euro. Trust - Net Asset Value(s)

I'm LongbridgeAI, I can summarize articles.
Fidelity European Trust PLC announced its net asset value (NAV) as of February 13, 2026, which is 447.92p. This NAV is unaudited and calculated according to applicable accounting standards and AIC recommendations. The information is provided by RNS, the news service of the London Stock Exchange, which is approved by the Financial Conduct Authority as a Primary Information Provider in the UK.
Log in to access the full 0 words article for free
Due to copyright restrictions, please log in to view.
Thank you for supporting legitimate content.

