Fidelity Flex Freedom Blend 2020 Fund (FULSX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.98
+0.01 (0.09%)
Dec 23, 2024, 4:00 PM EST
5.48%
Fund Assets 30.29M
Expense Ratio 0.00%
Min. Investment $0.00
Turnover 22.00%
Dividend (ttm) 0.30
Dividend Yield 2.75%
Dividend Growth n/a
Payout Frequency n/a
Ex-Dividend Date May 10, 2024
Previous Close 10.97
YTD Return 8.02%
1-Year Return 8.60%
5-Year Return 27.38%
52-Week Low 9.99
52-Week High 11.31
Beta (5Y) n/a
Holdings 33
Inception Date Jun 8, 2017

About FULSX

The fund invests in a combination of Fidelity® U.S. equity funds, international equity funds, bond funds, and short-term funds (underlying Fidelity® funds). The advisor allocates assets according to a neutral asset allocation strategy until it reaches an allocation similar to that of the Fidelity Flex? Freedom Blend Income Fund.

Fund Family Fidelity
Category Target-Date 2020
Performance Rating Average
Risk Rating Above Average
Stock Exchange NASDAQ
Ticker Symbol FULSX
Index Bloomberg U.S. Aggregate Bond TR

Performance

FULSX had a total return of 8.60% in the past year. Since the fund's inception, the average annual return has been 5.81%, including dividends.

Top 10 Holdings

65.06% of assets
Name Symbol Weight
Fidelity Series Government Bond Index Fund FHNFX 8.69%
Fidelity Series Investment Grade Bond Fund FSIGX 8.37%
Fidelity Srs 5+ Yr Inf-Ptctd Bd Idx FSTDX 7.83%
Fidelity Series 1000 Value Index Fund FIOOX 6.89%
Fidelity Investment Trust - Fidelity Series Emerging Markets Opportunities Fund FEMSX 6.87%
Fidelity Securities Fund - Fidelity Series Blue Chip Growth Fund FSBDX 5.70%
Fidelity Series Corporate Bond Fund FHMFX 5.53%
Fidelity Series Investment Grade Securitized Fund FHPFX 5.32%
Fidelity Salem Street Trust - Series 0-5 Year Inflation-Protected Bond Index Fund FSTZX 5.12%
Fidelity Series Long-Term Treasury Bond Index Fund FTLTX 4.73%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
May 10, 2024 $0.015 May 13, 2024
Dec 28, 2023 $0.287 Dec 29, 2023
Dec 29, 2022 $0.314 Dec 30, 2022
May 6, 2022 $0.168 May 9, 2022
Dec 30, 2021 $0.471 Dec 31, 2021
May 7, 2021 $0.255 May 10, 2021
Full Dividend History