Fidelity Advisor Managed Retrmt Inc I (FRIMX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
59.21
-0.08 (-0.13%)
Sep 18, 2025, 8:06 AM EDT
-0.13%
Fund Assets17.30M
Expense Ratio0.45%
Min. Investment$0.00
Turnover33.00%
Dividend (ttm)1.66
Dividend Yield2.81%
Dividend Growth-4.59%
Payout FrequencyMonthly
Ex-Dividend DateSep 5, 2025
Previous Close59.29
YTD Return7.23%
1-Year Return5.13%
5-Year Return13.59%
52-Week Low54.68
52-Week High59.29
Beta (5Y)0.60
Holdings35
Inception DateAug 30, 2007

About FRIMX

The fund invests in a combination of Fidelity® U.S. equity funds, international equity funds, bond funds, and short-term funds in a manner that supports a withdrawal strategy to provide investors with income in retirement. The manager allocates assets according to a stable neutral asset allocation strategy.

Fund Family Fidelity
Category Target-Date Retirement
Stock Exchange NASDAQ
Ticker Symbol FRIMX
Share Class Class I
Index Bloomberg U.S. Aggregate Bond TR

Performance

FRIMX had a total return of 5.13% in the past year, including dividends. Since the fund's inception, the average annual return has been 3.98%.

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

SymbolShare ClassExpense Ratio
FRHMXClass K60.25%
FRKMXClass K0.35%
FRAMXFidelity Advisor Managed Retirement Income Fund: Class A0.70%
FRYMXFidelity Advisor Managed Retirement Income Fund: Class Z60.25%

Top 10 Holdings

78.84% of assets
NameSymbolWeight
Fidelity Srs 0-5 Yr Inf-Ptctd Bd IdxFSTZX18.20%
Fidelity Series Government Bd IdxFHNFX13.34%
Fidelity Series Investment Grade BondFSIGX12.57%
Fidelity Series Corporate BondFHMFX8.16%
Fidelity Series Invest Grd SecurtzdFHPFX7.81%
Fidelity Series Intl Dev Mkts Bd IdxFSTQX4.90%
Fidelity Series Treasury Bill IndexFHQFX4.54%
Fidelity Series Emerging Markets OppsFEMSX3.65%
Fidelity Series Long-Term Trs Bd IdxFTLTX3.22%
Fidelity Series Large Cap Value IndexFIOOX2.45%
View More Holdings

Dividend History

Ex-DividendAmountPay Date
Sep 5, 2025$0.087Sep 8, 2025
Aug 1, 2025$0.186Aug 4, 2025
Jul 11, 2025$0.079Jul 14, 2025
Jun 6, 2025$0.100Jun 9, 2025
May 2, 2025$0.134May 5, 2025
Apr 4, 2025$0.066Apr 7, 2025
Full Dividend History