Strategic Advisers Core Income Fund (FPCIX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
9.21
0.00 (0.00%)
At close: Apr 28, 2026

FPCIX Holdings Information

FPCIX is a mutual fund with a total of 10790 individual holdings.

Total Holdings
10790
Top 10 Percentage
34.74%
Asset Class
Fixed Income
Fund Category
Intermediate Core-Plus Bond
Assets
43.81B
Forward PE Ratio
5.95

Breakdown by Sector

Top 25 Holdings

No.SymbolName WeightShares
1FSMTXFidelity SAI Total Bond Fund6.88%333,664,418
2PMZIXPIMCO Mortgage Opportunities and Bond Fund Institutional Class4.70%222,204,596
3IEFiShares 7-10 Year Treasury Bond ETF3.70%16,973,444
4IICIXVoya Intermediate Bond Fund Class I3.32%166,793,994
5ABNFXAmerican Funds Bond Fund of Amer F23.31%128,600,134
6DLTNXDoubleLine Total Return Bond Fund Class N3.03%150,819,741
7PIMIXPIMCO Income Fund Institutional Class2.83%114,521,809
8BAGIXBaird Aggregate Bond Fund Class Institutional2.61%116,707,739
9BCOIXBaird Core Plus Bond Fund Class Institutional2.54%109,494,502
10JHBSXJHancock Bond R61.82%58,793,603
11JCBUXJPMorgan Core Bond R61.66%70,237,635
12FNCL.5.5 4.11Federal National Mortgage Association 5.5%1.38%610,600,000
13n/aCdx Ig45 5y Ice 12/20/20301.37%602,530,000
14SPTLState Street SPDR Portfolio Long Term Treasury ETF1.30%21,299,820
15n/aOvernight Cash/Repurchase Agreements1.28%573,800,000
16TOTLState Street DoubleLine Total Return Tactical ETF1.25%13,815,794
17CLMVXColumbia Mortgage Opportunities Inst21.13%58,860,756
18GVMXXState Street U.S. Government Money Market Portfolio1.05%470,926,102
19FNCL.4.5 3.12Federal National Mortgage Association 4.5%1.03%470,209,000
20ITBIXThe Hartford Total Return Bond Fund Class I0.90%43,656,313
21FXNAXFidelity U.S. Bond Index Fund0.89%37,376,184
22MGVAXNYLI MacKay U.S. Infrastructure Bond Class A0.83%48,141,080
23TGINXTCW Emerging Markets Income Fund Class N0.75%36,685,380
24FNCL.5 4.11Federal National Mortgage Association 5%0.73%328,904,436
25PRXIXT. Rowe Price Emerging Markets Bond Fund I Class0.69%30,884,440
Showing 25 of 10790 holdings
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As of Feb 28, 2026