Fidelity Advisor Short-Term Bond Fund - Class A (FBNAX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
8.55
+0.01 (0.12%)
Feb 13, 2026, 9:30 AM EST

FBNAX Stock Price History

Historical Data

DateOpenHighLowCloseAdj. CloseChange
Feb 17, 20268.678.678.678.678.67-0.12%
Feb 13, 20268.688.688.688.688.680.12%
Feb 12, 20268.678.678.678.678.670.12%
Feb 11, 20268.668.668.668.668.66-0.12%
Feb 10, 20268.678.678.678.678.670.12%
Feb 9, 20268.668.668.668.668.66-
Feb 6, 20268.668.668.668.668.66-0.12%
Feb 5, 20268.678.678.678.678.670.23%
Feb 4, 20268.658.658.658.658.65-
Feb 3, 20268.658.658.658.658.65-
Feb 2, 20268.658.658.658.658.65-0.12%
Jan 30, 20268.638.638.638.668.63-
Jan 29, 20268.638.638.638.668.630.12%
Jan 28, 20268.628.628.628.658.62-
Jan 27, 20268.628.628.628.658.62-
Jan 26, 20268.628.628.628.658.62-
Jan 23, 20268.628.628.628.658.62-
Jan 22, 20268.628.628.628.658.62-
Jan 21, 20268.628.628.628.658.62-
Jan 20, 20268.628.628.628.658.62-
Jan 16, 20268.628.628.628.658.62-
Jan 15, 20268.628.628.628.658.62-0.12%
Jan 14, 20268.638.638.638.668.63-
Jan 13, 20268.638.638.638.668.63-
Jan 12, 20268.638.638.638.668.63-
Jan 9, 20268.638.638.638.668.63-
Jan 8, 20268.638.638.638.668.63-0.12%
Jan 7, 20268.648.648.648.678.64-
Jan 6, 20268.648.648.648.678.64-
Jan 5, 20268.648.648.648.678.640.12%
Jan 2, 20268.638.638.638.668.63-
Dec 31, 20258.638.638.638.668.63-0.12%
Dec 30, 20258.628.628.628.678.62-
Dec 29, 20258.628.628.628.678.620.12%
Dec 26, 20258.618.618.618.668.61-
Dec 24, 20258.618.618.618.668.61-
Dec 23, 20258.618.618.618.668.61-
Dec 22, 20258.618.618.618.668.61-
Dec 19, 20258.618.618.618.668.61-0.12%
Dec 18, 20258.628.628.628.678.620.12%
Dec 17, 20258.618.618.618.668.61-0.12%
Dec 16, 20258.618.618.618.678.61-
Dec 15, 20258.618.618.618.678.61-
Dec 12, 20258.618.618.618.678.61-
Dec 11, 20258.618.618.618.678.61-
Dec 10, 20258.618.618.618.678.610.23%
Dec 9, 20258.598.598.598.658.59-0.12%
Dec 8, 20258.608.608.608.668.60-
Dec 5, 20258.608.608.608.668.60-0.12%
Dec 4, 20258.618.618.618.678.61-