Fund Name |
Fund Inception |
NAV |
YTD Return at NAV |
Searchable Categories |
|||||||
---|---|---|---|---|---|---|---|---|---|---|---|
$ | % | ||||||||||
Intermediate Core Bond | 12/31/1984 | $9.40 | -$0.05 | -0.53% | $9.79 | -4.07% |
+3.52%
as of 04/17/2024
|
31617K402 FMGAX 00040 237 | |||
High Yield Bond | 01/05/1987 | $11.31 | -$0.02 | -0.18% | $11.78 | +1.82% |
+5.11%
as of 04/17/2024
|
315807826 FAHDX 00218 258 | |||
Multisector Bond | 10/31/1994 | $11.06 | -$0.02 | -0.18% | $11.52 | -0.43% |
+5.02%
as of 04/17/2024
|
315920850 FSTAX 00638 260 | |||
Short-Term Bond | 02/02/1984 | $11.05 | -$0.02 | -0.18% | $11.36 | -0.29% |
+4.77%
as of 04/17/2024
|
315809806 FDIAX 00087 261 | |||
Bank Loan | 08/16/2000 | $9.30 | $0.00 | 0.00% | $9.56 | +2.34% |
+8.14%
as of 04/17/2024
|
315807594 FFRAX 00161 861 | |||
Intermediate Core Bond | 08/06/1971 | $6.95 | -$0.02 | -0.29% | $7.24 | -3.10% |
+4.40%
as of 04/17/2024
|
316146703 FGBAX 00026 1118 | |||
Intermediate Core-Plus Bond | 10/15/2002 | $9.23 | -$0.03 | -0.32% | $9.61 | -2.71% |
+4.75%
as of 04/17/2024
|
31617K873 FEPAX 01158 1341 | |||
Intermediate Government | 04/04/1979 | $8.89 | -$0.03 | -0.34% | $9.26 | -3.45% |
+3.50%
as of 04/17/2024
|
31617K782 FVIAX 00054 1755 | |||
Corporate Bond | 05/04/2010 | $10.14 | -$0.03 | -0.29% | $10.56 | -2.69% |
+4.78%
as of 04/17/2024
|
316146588 FCBAX 02208 2209 | |||
Real Estate | 02/04/2003 | $11.19 | -$0.01 | -0.09% | $11.66 | -1.73% |
+5.61%
as of 04/17/2024
|
316389477 FRINX 01833 2221 | |||
Symbol
FGHAX
CUSIP
31641Q805
Fund #
2298
|
High Yield Bond | 05/11/2011 | $8.53 | -$0.01 | -0.12% | $8.89 | +0.55% |
+6.24%
as of 04/17/2024
|
31641Q805 FGHAX 02297 2298 | ||
Global Bond-USD Hedged | 05/22/2012 | $7.55 | -$0.02 | -0.26% | $7.86 | +0.58% |
+4.38%
as of 04/17/2024
|
31638R873 FGBZX 02423 2424 | |||
High Yield Bond | 11/05/2013 | $8.77 | -$0.01 | -0.11% | $9.14 | +0.87% |
+6.54%
as of 04/17/2024
|
31641Q839 FSBHX 02580 2581 | |||
Short-Term Bond | 09/15/1986 | $8.32 | -$0.01 | -0.12% | $8.45 | +0.23% |
+4.62%
as of 04/17/2024
|
31635V596 FBNAX 00450 2842 | |||
High Yield Bond | 08/29/1990 | $7.55 | -$0.01 | -0.13% | $7.86 | +0.42% |
+6.91%
as of 04/17/2024
|
31641Q771 FGQMX 00455 3311 | |||
Emerging Markets Bond | 05/04/1993 | $12.32 | +$0.01 | +0.08% | $12.83 | +0.64% |
+6.09%
as of 04/17/2024
|
31641Q698 FGVMX 00331 3317 | |||
Intermediate Core-Plus Bond | 06/15/2021 | $8.19 | -$0.03 | -0.36% | $8.53 | -3.22% |
+3.85%
as of 04/17/2024
|
31617L459 FEBBX 06379 6380 | |||
Multisector Bond | 02/10/2022 | $8.60 | -$0.02 | -0.23% | $8.96 | -2.72% |
+4.84%
as of 04/17/2024
|
31635T633 FTKAX 06502 6503 | |||
Ultrashort Bond | 04/13/2022 | $10.19 | $0.00 | 0.00% | $10.35 | +1.25% |
+4.91%
as of 04/17/2024
|
31635T484 FAMZX 06526 6527 | |||
Intermediate Core-Plus Bond | 04/13/2022 | $8.98 | -$0.02 | -0.22% | $9.35 | -3.11% |
+4.55%
as of 04/17/2024
|
31635T567 FIAIX 06541 6542 | |||
Ultrashort Bond | 03/03/2011 | $10.05 | $0.00 | 0.00% | $10.20 | +1.42% |
+4.89%
as of 04/17/2024
|
31635T237 FCNQX 02267 7362 | |||
na | 05/19/2023 | $10.17 | $0.00 | 0.00% | $10.79 | +0.77% |
+5.98%
as of 04/17/2024
|
31625F106 FMSJX 07368 7368 |
List of Funds to Compare
Commodity interest trading involves substantial risk of loss. Past Performance is not indicative of future results.
Maximum Sales Charges | ||||||
Class A - Front-end Charge | Equity and Asset Allocation Funds | Income and Real Estate Income Funds Except Those Noted to the Right |
Floating Rate High Income, Limited Term Bond & Limited Term Muni Income Funds |
Short Fixed-Income Fund | ||
5.75% | 4.00% | 2.75% | 1.50% | |||
Class B shares were merged into Class A effective June 24, 2016. |
||||||
Class C - Contingent Deferred Sales Charge (CDSC) Effective 6/21/21, Fidelity Advisor Class C shares convert to Class A shares after 8 years. |
|
|||||
Class M - Front-end Sales Charge |
Equity and Asset Allocation Funds |
Income and Real Estate Income Funds Except Those Noted to the Right |
Floating Rate High Income, Limited Term Bond & Limited Term Muni Income Funds |
Short Fixed-Income Fund | ||
3.50% |
4.00% | 2.75% | 1.50% | |||
Class I | No loads. No 12b-1 fees. Available through certain eligible intermediaries. | |||||
Class Z | No loads. No 12b-1 fees. Available in eligible employer-sponsored retirement plans and managed accounts that charge an asset-based fee. | |||||
Class Z6 | No loads. No 12b-1 fees. Available through intermediary-sold employer-sponsored retirement plans that use Fidelity and non-Fidelity recordkeeping platforms. |
Funds listed under the "Domestic Equity" category have a majority of their assets invested in U.S. issuers, but may also invest in non-U.S. issuers.
Important Class A Performance Information
Important Class C Performance Information
Important Class I Performance Information
Important Class M Performance Information
Important Class Z/Z6 Performance Information
Important Investment Policy Changes
Click on fund name and go to fund information on the fund basics tab to see further important share class information.
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