CORE DIVERSIFICATION

Fidelity Target Risk Model Portfolios

Meet your clients' needs with our Target Risk Model Portfolios, designed for various risk profiles with goals ranging from capital preservation to aggressive growth.

Strategy details

Target Asset Mixes: 5

Style: Blend of active and passive

Fund Universe: Fidelity and Third-Party Mutual Funds and ETFs, and a core sweep fund

Model Reallocation:***  Quarterly
Fidelity Target Risk Blended Model Portfolios

Help to set and manage expectations for loss and limit expected downside risk for each risk profile with Target Risk Blended Model Portfolios, which seeks to provide risk-adjusted total return across the risk spectrum. This model portfolio’s five asset mixes (conservative, moderate conservative, moderate, moderate aggressive, and aggressive) are designed to help your clients stay invested through a target drawdown percentage.* Created with an open architecture approach, Target Risk Blended Model Portfolios use a blend of active and passive mutual funds and ETFs from Fidelity and third-party asset managers.

Strategy details

Target Asset Mixes: 5

Style: Blend of active and passive

Fund Universe: Fidelity and Third-Party Mutual Funds and ETFs, and a core sweep fund

Model Reallocation:***  Quarterly
 
Fidelity Target Risk ETF Model Portfolios

These model portfolios seek to provide enhanced risk-adjusted total return across the risk spectrum and use a blend of active and passive ETFs from Fidelity and third-party asset managers. This model portfolio's five target asset mixes (conservative, moderate conservative, moderate, moderate aggressive, and aggressive) are designed to help your clients stay invested by assisting with setting and managing expectations for loss and limiting expected downside risk for each risk profile.

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