Grundlæggende statistik
Porteføljeværdi | $ 436.106.228 |
Nuværende stillinger | 45 |
Seneste beholdninger, ydeevne, AUM (fra 13F, 13D)
FFVAX - Fidelity Advisor Freedom 2015 Fund Class A har afsløret 45 samlede besiddelser i deres seneste SEC-arkivering. Den seneste porteføljeværdi er beregnet til at være $ 436.106.228 USD. Faktiske aktiver under forvaltning (AUM) er denne værdi plus kontanter (som ikke er oplyst). FFVAX - Fidelity Advisor Freedom 2015 Fund Class As største beholdninger er Fidelity Series Investment Grade Bond Fund (US:US3161467291) , Fidelity Series 0-5 Year Inflation-Protected Bond Index Fund (US:31635T666) , Fidelity Series Emerging Markets Opportunities Fund (US:US3159101258) , Fidelity Series International Developed Markets Bond Index Fund (US:31638R667) , and Fidelity Series Government Money Market Fund (US:US31635V7780) .
Top øger dette kvartal
Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.
Sikkerhed | Aktier (MM) |
Værdi (MM$) |
Portefølje % | ΔPortefølje % |
---|---|---|---|---|
0,27 | 2,22 | 0,5081 | 0,3429 | |
0,67 | 13,37 | 3,0641 | 0,2868 | |
0,53 | 9,57 | 2,1936 | 0,2396 | |
0,78 | 13,16 | 3,0173 | 0,1735 | |
0,82 | 13,36 | 3,0616 | 0,1680 | |
0,69 | 17,84 | 4,0892 | 0,1618 | |
0,42 | 11,41 | 2,6154 | 0,1602 | |
0,67 | 0,1532 | 0,1532 | ||
0,29 | 5,30 | 1,2142 | 0,1285 | |
0,46 | 6,06 | 1,3891 | 0,0956 |
Top falder i dette kvartal
Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.
Sikkerhed | Aktier (MM) |
Værdi (MM$) |
Portefølje % | ΔPortefølje % |
---|---|---|---|---|
13,66 | 138,01 | 31,6328 | -0,4873 | |
0,08 | 0,74 | 0,1700 | -0,3381 | |
2,43 | 18,70 | 4,2865 | -0,3254 | |
0,71 | 0,71 | 0,1628 | -0,2677 | |
4,52 | 45,29 | 10,3797 | -0,1627 | |
0,62 | 10,05 | 2,3031 | -0,1351 | |
2,31 | 20,15 | 4,6174 | -0,1067 | |
2,88 | 15,47 | 3,5465 | -0,0827 | |
-0,31 | -0,0709 | -0,0709 | ||
0,19 | 2,09 | 0,4794 | -0,0562 |
13F og Fondsarkivering
Denne formular blev indsendt den 2025-08-22 for rapporteringsperioden 2025-06-30. Klik på linkikonet for at se den fulde transaktionshistorik.
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Sikkerhed | Type | Gennemsnitlig aktiekurs | Aktier (MM) |
Δ Aktier (%) |
Δ Aktier (%) |
Værdi ($MM) |
Portefølje (%) |
ΔPortefølje (%) |
|
---|---|---|---|---|---|---|---|---|---|
US3161467291 / Fidelity Series Investment Grade Bond Fund | 13,66 | -0,51 | 138,01 | -0,21 | 31,6328 | -0,4873 | |||
31635T666 / Fidelity Series 0-5 Year Inflation-Protected Bond Index Fund | 4,52 | -0,83 | 45,29 | -0,24 | 10,3797 | -0,1627 | |||
US3159101258 / Fidelity Series Emerging Markets Opportunities Fund | 0,97 | -8,11 | 20,69 | 3,11 | 4,7422 | 0,0819 | |||
31638R667 / Fidelity Series International Developed Markets Bond Index Fund | 2,31 | -2,21 | 20,15 | -0,96 | 4,6174 | -0,1067 | |||
US31635V7780 / Fidelity Series Government Money Market Fund | 19,92 | 1,58 | 19,92 | 1,59 | 4,5652 | 0,0116 | |||
31635T658 / Fidelity Series 5 Plus Year Inflation-Protected Bond Index Fund | 2,43 | -5,33 | 18,70 | -5,82 | 4,2865 | -0,3254 | |||
US31617F8335 / Fidelity Series Large Cap Stock Fund | 0,69 | -8,56 | 17,84 | 5,51 | 4,0892 | 0,1618 | |||
US31635V6204 / Fidelity Series Long-Term Treasury Bond Index Fund | 2,88 | 1,59 | 15,47 | -0,98 | 3,5465 | -0,0827 | |||
US31618H7706 / Fidelity Series International Value Fund | 0,91 | -7,53 | 13,93 | 3,91 | 3,1919 | 0,0792 | |||
US31618H7219 / Fidelity Series International Growth Fund | 0,67 | 0,36 | 13,37 | 11,79 | 3,0641 | 0,2868 | |||
US31618H1766 / Fidelity Series Overseas Fund | 0,82 | -5,17 | 13,36 | 7,21 | 3,0616 | 0,1680 | |||
US3158051686 / Fidelity Advisor Series Equity Growth Fund | 0,78 | -7,30 | 13,16 | 7,51 | 3,0173 | 0,1735 | |||
US3160718025 / Fidelity Series Opportunistic Insights Fund | 0,42 | -8,42 | 11,41 | 7,95 | 2,6154 | 0,1602 | |||
US3161285529 / Fidelity Series Stock Selector Large Cap Value Fund | 0,71 | -3,53 | 10,05 | 0,37 | 2,3037 | -0,0220 | |||
US3161285867 / Fidelity Series Value Discovery Fund | 0,62 | -7,13 | 10,05 | -4,29 | 2,3031 | -0,1351 | |||
US3158051769 / Fidelity Advisor Series Growth Opportunities Fund | 0,53 | -7,27 | 9,57 | 13,75 | 2,1936 | 0,2396 | |||
US3161286360 / Fidelity Series All-Sector Equity Fund | 0,46 | -5,06 | 6,06 | 8,82 | 1,3891 | 0,0956 | |||
US31618H7623 / Fidelity Series International Small Cap Fund | 0,30 | -14,61 | 5,92 | 1,51 | 1,3559 | 0,0025 | |||
US31618H3580 / Fidelity Series Canada Fund | 0,29 | -1,53 | 5,30 | 13,33 | 1,2142 | 0,1285 | |||
US31618H3416 / Fidelity Series Emerging Markets Fund | 0,50 | -9,11 | 5,15 | 1,64 | 1,1805 | 0,0037 | |||
US31635V6048 / Fidelity Series Short-Term Credit Fund | 0,34 | -3,94 | 3,48 | -3,47 | 0,7975 | -0,0396 | |||
US3163896919 / Fidelity Series Small Cap Opportunities Fund | 0,21 | -11,11 | 3,09 | -2,59 | 0,7080 | -0,0284 | |||
US31641Q6070 / Fidelity Series High Income Fund | 0,26 | -2,14 | 2,31 | 0,74 | 0,5295 | -0,0032 | |||
US31617F7832 / FIDELITY SERIES EMERGING MARKETS DEBT LOCAL CURRENCY FUND | 0,27 | 243,53 | 2,22 | 211,67 | 0,5081 | 0,3429 | |||
US3163458751 / Fidelity Series Intrinsic Opportunities Fund | 0,19 | -14,91 | 2,09 | -9,32 | 0,4794 | -0,0562 | |||
US31635V4068 / Fidelity Series Large Cap Value Index Fund | 0,10 | -4,67 | 1,68 | -1,06 | 0,3852 | -0,0093 | |||
US3159127824 / Fidelity Series Small Cap Discovery Fund | 0,14 | -6,62 | 1,56 | -1,33 | 0,3576 | -0,0097 | |||
US3161466384 / Fidelity Series Commodity Strategy Fund | 0,01 | -6,32 | 0,81 | -9,34 | 0,1849 | -0,0215 | |||
US31638R7254 / Fidelity Series International Credit Fund | 0,09 | 1,27 | 0,74 | 2,06 | 0,1702 | 0,0013 | |||
US31617F7832 / FIDELITY SERIES EMERGING MARKETS DEBT LOCAL CURRENCY FUND | 0,08 | -71,79 | 0,74 | -66,56 | 0,1700 | -0,3381 | |||
US31635A1051 / Fidelity Cash Central Fund | 0,71 | -61,68 | 0,71 | -61,68 | 0,1628 | -0,2677 | |||
UST BILLS 0% 07/24/2025 / DBT (US912797PF82) | 0,67 | 0,1532 | 0,1532 | ||||||
US3159114798 / Fidelity Series Small Cap Core Fund | 0,04 | -7,00 | 0,47 | 0,00 | 0,1088 | -0,0013 | |||
US3163894369 / Fidelity Series Real Estate Income Fund | 0,04 | -2,55 | 0,40 | -1,97 | 0,0915 | -0,0033 | |||
UST BILLS 0% 07/31/2025 / DBT (US912797PG65) | 0,37 | 0,0845 | 0,0845 | ||||||
US31618H2673 / FIDELITY ADVISOR INTERNATIONAL VALUE FUNDZ | 0,03 | 0,36 | 0,0817 | 0,0817 | |||||
US31641Q4091 / Fidelity Series Floating Rate High Income Fund | 0,04 | -2,82 | 0,33 | -2,40 | 0,0748 | -0,0030 | |||
US 10YR NOTE FUT (CBT)SEP25 TYU5 / DIR (N/A) | 0,28 | 0,0634 | 0,0634 | ||||||
UST BILLS 0% 07/10/2025 / DBT (US912797LW51) | 0,25 | 0,0572 | 0,0572 | ||||||
US LONG BOND(CBT) FUT SEP25 USU5 / DIR (N/A) | 0,19 | 0,0439 | 0,0439 | ||||||
UST BILLS 0% 07/17/2025 / DBT (US912797PE18) | 0,18 | 0,0412 | 0,0412 | ||||||
MSCI EAFE FUT SEP25 MFSU5 / DE (N/A) | 0,04 | 0,0096 | 0,0096 | ||||||
MSCI EMGMKT FUT SEP25 MESU5 / DE (N/A) | 0,04 | 0,0089 | 0,0089 | ||||||
UST BILLS 0% 08/14/2025 / DBT (US912797PN17) | 0,02 | 0,0046 | 0,0046 | ||||||
S and P500 EMINI FUT SEP25 ESU5 / DE (N/A) | -0,31 | -0,0709 | -0,0709 |