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Fidelity Select Materials Portfolio

💰 Investment
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🛡 Loss Exposure
Real-time NAV performance overview
Latest NAV
101.3200
Return
-2.29%
High
107.0600
Low
95.6600
Trend
Downtrend
Volatility
2.3875
From High
-5.36%
From Low
5.92%
Data Points
40
Last Update
2026-04-30

💰 Investment Simulation

Final Value $9,771
Confidence score: 48/100
$-229 vs starting amount
-2.29% return
You would have turned $10,000 into $9,771
You lost money
Flat performance, low movement
Most investors exit during this phase
High risk zone, consider reviewing strategy
👉 Try Compare Funds to see better options

NAV Trend

Interactive performance over time

NAV History

Historical NAV data points
2026-03-05103.6900
2026-03-06101.6100
2026-03-09102.1800
2026-03-10102.2700
2026-03-11102.4300
2026-03-12102.2800
2026-03-13100.8000
2026-03-16101.2200
2026-03-17101.6100
2026-03-1899.3500
2026-03-1997.7000
2026-03-2095.6600
2026-03-2397.1600
2026-03-2499.1100
2026-03-25101.2200
2026-03-26100.2400
2026-03-27100.2400
2026-03-30100.5900
2026-03-31102.8700
2026-04-01104.2700
2026-04-02104.2900
2026-04-06104.1000
2026-04-07104.0600
2026-04-08106.9900
2026-04-09107.0600
2026-04-10104.5500
2026-04-13105.0800
2026-04-14104.5000
2026-04-15103.3700
2026-04-16103.5900
2026-04-17103.9300
2026-04-20104.5200
2026-04-21103.2400
2026-04-22103.8500
2026-04-23103.4800
2026-04-24104.0700
2026-04-27103.7200
2026-04-28102.4500
2026-04-29101.3200
2026-04-30101.3200
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