Fidelity Health Savings Index Fund (FHSNX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.56
-0.03 (-0.28%)
Aug 1, 2025, 4:00 PM EDT
-0.28% (1Y)
Fund Assets | 29.43M |
Expense Ratio | 0.17% |
Min. Investment | $0.00 |
Turnover | n/a |
Dividend (ttm) | 0.30 |
Dividend Yield | 2.82% |
Dividend Growth | 1.69% |
Payout Frequency | Monthly |
Ex-Dividend Date | n/a |
Previous Close | 10.59 |
YTD Return | 5.50% |
1-Year Return | 7.14% |
5-Year Return | 16.06% |
52-Week Low | 9.70 |
52-Week High | 10.68 |
Beta (5Y) | 0.45 |
Holdings | 10 |
Inception Date | Mar 2, 2020 |
About FHSNX
The fund is designed to assist investors in saving for future eligible medical expenses. Normally investing at least 80% of assets in a combination of passively managed Fidelity bond and equity funds and affiliated and unaffiliated exchange-traded funds (collectively, underlying funds). Investing approximately 30% of the fund's assets in underlying equity funds and 70% of the fund's assets in underlying bond funds.
Fund Family Fidelity
Category Mix Tgt Alloc Con
Stock Exchange NASDAQ
Ticker Symbol FHSNX
Index Bloomberg U.S. Aggregate Bond TR
Performance
FHSNX had a total return of 7.14% in the past year, including dividends. Since the fund's inception, the average annual return has been 5.37%.
Top 10 Holdings
100.00% of assetsName | Symbol | Weight |
---|---|---|
Fidelity Total Market Index | n/a | 18.53% |
Fidelity U.S. Bond Index Fund | FXNAX | 17.93% |
Fidelity International Bond Index | n/a | 14.77% |
Fidelity International Index | n/a | 13.06% |
Fidelity Short-Term Bond Index | n/a | 9.81% |
Fidelity Cash Central Fund | n/a | 7.48% |
Fidelity Inflation-Prot Bd Index | n/a | 6.74% |
Fidelity Emerging Markets Index Fund | FPADX | 5.38% |
Fidelity Commodity Strategy | n/a | 4.25% |
iShares iBoxx $ High Yield Corporate Bond ETF | HYG | 2.05% |
Dividend History
Ex-Dividend | Amount | Pay Date |
---|---|---|
Jul 11, 2025 | $0.010 | Jul 14, 2025 |
Jun 6, 2025 | $0.012 | Jun 9, 2025 |
May 2, 2025 | $0.025 | May 5, 2025 |
Apr 4, 2025 | $0.010 | Apr 7, 2025 |
Mar 7, 2025 | $0.010 | Mar 10, 2025 |
Feb 7, 2025 | $0.006 | Feb 10, 2025 |