Fidelity Flex Freedom Blend 2025 Fund (FELSX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
11.48
+0.01 (0.09%)
At close: Jul 2, 2025

FELSX Holdings List

May 31, 2025
No.SymbolName WeightShares
1FSTDXFidelity Srs 5+ Yr Inf-Ptctd Bd Idx10.29%598,772
2FIOOXFidelity Series Large Cap Value Index Fund7.93%210,294
3FTLTXFidelity Series Long-Term Treasury Bond Index Fund7.12%597,513
4FSBDXFidelity Series Blue Chip Growth Fund6.87%158,442
5FHNFXFidelity Series Government Bond Index Fund6.56%318,540
6FEMSXFidelity Series Emerging Markets Opportunities Fund6.18%136,458
7FSIGXFidelity Series Investment Grade Bond Fund6.16%272,965
8FINVXFidelity Series International Value Fund4.75%140,839
9FSOSXFidelity Series Overseas Fund4.74%132,771
10FIGSXFidelity Series International Growth Fund4.66%106,972
11FHOFXFidelity Series Large Cap Growth Index Fund4.37%76,276
12FGLGXFidelity Series Large Cap Stock Fund4.05%73,607
13FHMFXFidelity Series Corporate Bond Fund3.98%190,652
14FHPFXFidelity Series Investment Grade Securitized Fund3.82%191,052
15FSTQXFidelity Series Intl Dev Mkts Bd Idx3.50%177,923
16FNKLXFidelity Series Value Discovery Fund2.81%78,642
17FCNSXFidelity Series Canada Fund1.86%46,183
18FSSLXFidelity Series Small Cap Core1.79%71,243
19FHLFXFidelity Series International Index Fund1.78%56,466
20FHKFXFidelity Series Emerging Markets Fund1.55%71,575
21FSTSXFidelity Series International Small Cap Fund1.31%30,890
22FHQFXFidelity Series Treasury Bill Index1.29%57,535
23FSOPXFidelity Series Small Cap Opportunities Fund0.80%25,684
24FGNXXFidelity Government Money Market Fund0.56%245,377
25FEDCXFidelity Series Emerging Markets Debt Fund0.53%29,768
26FCSSXFidelity Series Commodity Strategy Fund0.21%1,057
27FSEDXFidelity Series Em Mk Dbt Lcl Ccy0.14%6,730
28FFHCXFidelity Series Floating Rate High Income Fund0.10%4,911
29FSHNXFidelity Series High Income Fund0.10%5,044
30FSREXFidelity Series Real Estate Income Fund0.10%4,283
31FSSJXFidelity Series Select Intl Sm Cp0.08%2,847
32FCDSXFidelity Series International Credit Fund0.00%10
As of May 31, 2025