Fund Name |
Fund Inception |
1 yr | 5 yr |
10 yr/ Life* |
Short- Term Trading Fee |
Expense Ratio (Gross/ Net)† |
Searchable Categories |
|||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
Intermediate Government | +2.75% | 11/08/1985 | +7.07% | -1.39% | -0.23% | +0.94% | na |
0.44% 0.44% |
31617K105 FGMNX 00015 15 | |||
Intermediate Core Bond | +3.67% | 08/06/1971 | +7.52% | -1.64% | +0.77% | +2.04% | na |
0.44% 0.44% |
316146109 FBNDX 00026 26 | |||
Intermediate Core Bond | +4.08% | 05/23/1975 | +6.43% | +0.02% | +1.18% | +1.88% | na |
0.44% 0.44% |
315912105 FTHRX 00032 32 | |||
High Yield Bond | +12.68% | 11/01/1977 | +16.06% | +5.14% | +7.46% | +6.65% | na |
0.99% 0.97% |
316062108 FAGIX 00038 38 | |||
Intermediate Government | +3.00% | 12/31/1984 | +7.42% | -1.81% | -0.41% | +1.06% | na |
0.44% 0.44% |
31617K204 FMSFX 00040 40 | |||
Intermediate Government | +2.48% | 04/04/1979 | +5.97% | -2.59% | -0.68% | +0.78% | na |
0.44% 0.44% |
316172105 FGOVX 00054 54 | |||
Emerging Markets Bond | +8.63% | 05/04/1993 | +13.28% | +1.90% | +1.94% | +2.99% | na |
0.79% 0.79% |
315910836 FNMIX 00331 331 | |||
Short-Term Bond | +4.64% | 09/15/1986 | +5.90% | +1.98% | +1.85% | +1.73% | na |
0.30% 0.30% |
316146208 FSHBX 00450 450 | |||
Intermediate Government | +2.89% | 05/02/1988 | +4.97% | -0.87% | +0.14% | +0.91% | na |
0.44% 0.44% |
31617K303 FSTGX 00452 452 | |||
High Yield Bond | +10.45% | 08/29/1990 | +14.05% | +3.20% | +3.18% | +4.14% | na |
0.88% 0.88% |
316146406 SPHIX 00455 455 | |||
Short Government | +3.35% | 11/10/1986 | +4.85% | +0.19% | +0.63% | +0.94% | na |
0.30% 0.30% |
315809400 FFXSX 00662 662 | |||
Bank Loan | +8.27% | 08/16/2000 | +9.95% | +6.88% | +5.76% | +4.64% | na |
0.75% 0.75% |
315916783 FFRHX 00161 814 | |||
Intermediate Core-Plus Bond | +4.52% | 10/15/2002 | +8.27% | -0.89% | +1.29% | +2.42% | na |
0.44% 0.44% |
31617K881 FTBFX 01158 820 | |||
Moderate Allocation | +9.95% | 02/04/2003 | +14.97% | +1.91% | +4.08% | +5.52% | na |
0.67% 0.67% |
316389865 FRIFX 01833 833 | |||
High Yield Bond | +7.06% | 09/08/2004 | +10.01% | +2.21% | +2.65% | +3.82% | na |
0.76% 0.75% |
316146794 FHIFX 01366 1366 | |||
Symbol
FSIGX
CUSIP
316146729
Fund #
2114
|
Intermediate Core Bond | +4.12% | 10/08/2008 | +7.99% | -1.10% | +1.23% | +2.37% | na |
0.00% 0.00% |
316146729 FSIGX 02114 2114 | ||
Corporate Bond | +5.27% | 05/04/2010 | +9.49% | -1.61% | +0.86% | +2.69% | na |
0.45% 0.45% |
316146596 FCBFX 02208 2208 | |||
Symbol
FSIPX
CUSIP
316146661
Fund #
2213
|
Inflation-Protected Bond |
na
|
09/29/2009 | na | na | na | na | na |
0.00% 0.00% |
316146661 FSIPX 02213 2213 | ||
Ultrashort Bond | +5.06% | 03/03/2011 | +5.67% | +3.98% | +2.65% | +2.07% | na |
0.30% 0.25% |
316146521 FCNVX 02267 2268 | |||
High Yield Bond | +10.10% | 03/10/2011 | +13.51% | +3.87% | +4.46% | +4.89% | na |
0.15% 0.15% |
31641Q607 FSHNX 02269 2269 | |||
Symbol
FFHCX
CUSIP
31641Q409
Fund #
2270
|
Bank Loan | +9.10% | 10/20/2011 | +10.70% | +7.65% | +6.50% | +5.19% | na |
0.03% 0.00% |
31641Q409 FFHCX 02270 2270 | ||
Moderate Allocation | +11.05% | 10/20/2011 | +14.31% | +2.59% | +4.42% | +5.56% | na |
0.00% 0.00% |
316389436 FSREX 02277 2277 | |||
Symbol
FEDCX
CUSIP
31617F858
Fund #
2295
|
Emerging Markets Bond | +9.78% | 03/17/2011 | +14.67% | +2.20% | +2.33% | +3.68% | na |
0.02% 0.00% |
31617F858 FEDCX 02295 2295 | ||
High Yield Bond |
na
|
05/11/2011 | na | na | na | na | na |
1.10% 0.80% |
31641Q854 FGHNX 02297 2297 | |||
Global Bond-USD Hedged | +10.11% | 05/22/2012 | +14.87% | -1.96% | +0.35% | +1.75% | na |
0.50% 0.50% |
31638R881 FGBFX 02423 2423 | |||
High Yield Bond | +8.45% | 11/05/2013 | +11.11% | +4.37% | +3.95% | +3.75% | na |
0.71% 0.71% |
31641Q847 FSAHX 02580 2580 | |||
Short-Term Bond | +5.25% | 02/02/1984 | +6.99% | +1.66% | +1.81% | +2.02% | na |
0.30% 0.30% |
315916718 FJRLX 00087 2622 | |||
Short-Term Bond | +5.38% | 03/27/2015 | +6.71% | +2.62% | +2.41% | +2.23% | na |
0.00% 0.00% |
31635V604 FYBTX 02743 2743 | |||
Symbol
FTLTX
CUSIP
31635V620
Fund #
2840
|
Long Government | -0.05% | 07/07/2016 | +7.54% | -10.75% | -4.72% | -2.02% | na |
0.00% 0.00% |
31635V620 FTLTX 02840 2840 | ||
Multisector Bond | +7.82% | 10/31/1994 | +11.47% | +1.84% | +3.47% | +3.74% | na |
0.66% 0.66% |
315807461 FADMX 00638 3082 | |||
Corporate Bond | +5.56% | 08/17/2018 | +9.81% | -1.35% | +1.17% | +2.92% | na |
0.00% 0.00% |
31635V141 FHMFX 03220 3220 | |||
Symbol
FHPFX
CUSIP
315807453
Fund #
3223
|
Intermediate Government | +3.78% | 08/17/2018 | +7.98% | -1.21% | +0.15% | +1.38% | na |
0.01% 0.00% |
315807453 FHPFX 03223 3223 | ||
Intermediate Core-Plus Bond | +3.51% | 06/15/2021 | +7.30% | -2.06% | na | -1.75% | na |
0.45% 0.45% |
31617L392 FFEBX 06379 6379 | |||
Multisector Bond | +3.89% | 02/10/2022 | +7.99% | na | na | +0.25% | na |
1.00% 0.70% |
31635T641 FBAGX 06502 6502 | |||
Ultrashort Bond | +4.99% | 04/13/2022 | +5.52% | na | na | +4.16% | na |
0.30% 0.25% |
31635T492 FAPGX 06526 6526 | |||
Intermediate Core-Plus Bond | +3.71% | 04/13/2022 | +7.55% | na | na | +1.08% | na |
0.45% 0.45% |
31635T575 FIAEX 06541 6541 | |||
na | +7.36% | 05/19/2023 | +9.61% | na | na | +8.58% | na |
5.02% 3.90% |
31625F403 FMSNX 07368 7371 |
List of Funds to Compare
* For periods of less than one year, the life of fund number is represented by a cumulative total return. Data in bold represent funds with less than 10 years.
† Gross Expense Ratio is the total annual class operating expense ratio from the most recent prospectus and generally is based on amounts incurred during the most recent fiscal year. Net Expense Ratio is the total annual fund or class operating expense from the fund's most recent prospectus, after any fee waiver and/or expense reimbursements that will reduce any fund operating expenses for no less than one year from the effective date of the fund's registration statement. This number does not include any fee waiver arrangement or expense reimbursement that may be terminated without agreement of the fund's board of trustees during the one-year period.
Commodity interest trading involves substantial risk of loss. Past Performance is not indicative of future results.
Fidelity AMT Tax-Free Money, Fidelity Fifty, Fidelity Growth Company, Fidelity Municipal Income 2015, Fidelity Small Cap Discovery, Fidelity Small Cap Value and Fidelity Treasury Money Market funds are closed to new investors.
Fidelity Commodity Strategy, Fidelity Series 100 Index, Fidelity Series All-Sector Equity, Fidelity Series Broad Market Opportunities, Fidelity Series Commodity Strategy Fund - Series Class, Fidelity Series Emerging Markets, Fidelity Series Emerging Markets Debt, Fidelity Series Global ex U.S. Index, Fidelity Series High Income, Fidelity Series Inflation-Protected Bond Index, Fidelity Series International Small Cap, Fidelity Series International Growth, Fidelity Series International Value, Fidelity Series Investment Grade Bond, Fidelity Series Large Cap Value Fund and Fidelity Series Small Cap Opportunities are closed to public.
The current yield more closely reflects the current earnings of the portfolio, while total return refers to a specific past holding period.
Average annual total returns are historical and include changes in share price and reinvestment of dividends and capital gains.
Important Performance Information
Returns shown for MSCI U.S. IMI Banks 5% Capped Index for the periods prior to September 1, 2016 are returns of MSCI U.S. IMI Banks 25/50 Index; returns shown for periods prior to January 1, 2010 are returns of the MSCI U.S. IM Banks Index. Returns shown for MSCI U.S. IMI Financials 5% Capped Index for the periods prior to September 1, 2016 are returns of MSCI U.S. IMI Financials 25/50 Index; returns shown for periods prior to January 1, 2010 are returns of the MSCI U.S. IM Financials Index.
Prior to 7/1/99, 2/1/07, 2/1/07, 12/1/10 and 6/1/11, respectively, Value Strategies, Trend, Growth Discovery, Emerging Asia, and Global Strategies operated under certain different investment policies and compared their performance to a different benchmark. Prior to 2/11/00, 9/1/00, 12/29/01, 10/1/04 and 12/1/07, respectively, Aggressive International, China Region, Focused Stock, International Discovery, and Mega Cap Stock operated under certain different investment policies. These funds' historical performance may not represent their current investment policies.
Prior to 10/1/06 Select IT Services, Select Consumer Discretionary, Select Industrials, Select Communications Equipment, Select Consumer Staples, and Select Materials were named Select Business Services and Outsourcing, Select Consumer Industries, Select Cyclical Industries, Select Developing Communications, Select Food and Agriculture, Select Industrial Materials, respectively. These funds and Select Utilities Growth operated under certain different investment policies and compared their performance to different secondary benchmarks prior to 10/1/06. Prior to 7/1/10 Select Environment and Alternative Energy was named Select Environmental and compared its performance to a different secondary benchmark. The funds' historical performance may not represent their current investment policies.
Prior to 12/1/18, Select Communication Services operated under certain different investment policies and compared its performance to a different benchmark. The fund's historical performance may not reflect its current investment policies. Index returns shown for the period January 1, 2010, to November 30, 2018, are returns of the MSCI U.S. IM Media 25/50 Index. Index returns shown for periods prior to January 1, 2010, are returns of the MSCI U.S. IM Media Index.
From time to time, FDC LLC or its affiliates may pay its representatives additional compensation if they meet certain targets related to sales of the Fidelity funds, which may be weighted at different rates. Furthermore, certain representatives may be considered product specialists and may receive compensation, which may be weighted at different rates, solely for the sales of specific types of funds in which they specialize.