Fidelity Advisor Freedom 2070 I FRBNX

  • NAV / 1-Day Return 10.64  /  −0.28 %
  • Total Assets 524,306.0
  • Adj. Expense Ratio
    0.750%
  • Expense Ratio 0.750%
  • Distribution Fee Level High
  • Share Class Type Institutional
  • Category Target-Date 2065+
  • Investment Style Large Growth
  • Credit Quality / Interest Rate Sensitivity
  • Status Open
  • TTM Yield
  • Turnover

USD | NAV as of Sep 28, 2024 | 1-Day Return as of Sep 28, 2024, 4:34 AM GMT+0

Morningstar’s Analysis FRBNX

There is no Morningstar’s Analysis data available.

Portfolio Holdings FRBNX

  • Current Portfolio Date
  • Equity Holdings
  • Bond Holdings
  • Other Holdings
  • % Assets in Top 10 Holdings 76.2
Top 10 Holdings
% Portfolio Weight
Market Value USD
Sector

Fidelity Series Emerging Markets Opps

10.80 55,012

Fidelity Series Large Cap Stock

10.06 51,269

Fidelity Series International Value

8.05 41,021

Fidelity Series Overseas

8.02 40,833

Fidelity Series International Growth

7.99 40,695

Fidelity Advisor Series Equity Gr

7.29 37,155

Fidelity Series Value Discovery

6.24 31,787

Fidelity Series Stk Selec Lg Cp Val

6.10 31,074

Fidelity Series Opportunistic Insights

5.87 29,890

Fidelity Series Long-Term Trs Bd Idx

5.76 29,345

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