Fidelity® Short-Term Bond
(FSHBX)
US Markets Closed
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=
8.62
0.00
0.00%
:

Previous Close

8.62

Net Assets

6.34B

Yield

0.92%

Front load

None

Expenses

0.45%

Category

Short-Term Bond

Morningstar Risk

Below Average

Morningstar Rating ★★★
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Performance
Returns %
Key statistics
  • Composition
  • Performance
  • Top Holdings
  • Top Rated Funds
  • Fund vs. Category
Quarterly Returns
  • Annual

  • FSHBX

  • Category

    • 2013

    • 0.57%

    • -

    • 2012

    • 2.37%

    • -

    • 2011

    • 1.79%

    • -

    • 2010

    • 3.79%

    • -

    • 2013

    • 2012

    • 2011

      • Q1

      • 0.20%

      • 0.77%

      • 0.36%

      • Q2

      • -0.40%

      • 0.39%

      • 0.97%

      • Q3

      • 0.54%

      • 0.96%

      • 0.22%

      • Q4

      • 0.23%

      • 0.23%

      • 0.24%

      Composition
      Bond Investment Style
      The two dimensions of the Fund Style box measure the average size of companies that have been in the FUND, from the top to bottom, and the average valuation characteristics of the FUND's past stock holdings, from left to right.
      • Name

      • % Portfolio Weight

      • Shares Held

      • Change

        • US Treasury Note 0.5%

        • 8.02

        • 635,000,000

        • 0

        • US Treasury Note 0.625%

        • 5.12

        • 400,792,000

        • -10,000,000

        • US Treasury Note 0.875%

        • 3.39

        • 263,998,000

        • 0

        • US Treasury Note 0.625%

        • 2.66

        • 207,442,000

        • 0

        • US Treasury Note 0.875%

        • 2.11

        • 164,722,000

        • 0

        • US Treasury Note 0.75%

        • 1.86

        • 145,351,000

        • 0

        • US Treasury Note 0.625%

        • 1.28

        • 100,000,000

        • 0

        • US Treasury Note 0.5%

        • 0.76

        • 59,739,000

        • 0

        • J P Morgan Chase & Co Mtn Be 1.35%

        • 0.72

        • 56,100,000

        • 0

        • Chase Issuance Tr 2012-8a 0.54%

        • 0.64

        • 49,767,000

        • 0

        • Name

        • Rating

        • YTD Return %

          • Virtus Low Duration Income I

          • ★★★★★
          • 2.47

          • Great-West Short Duration Bond Init

          • ★★★★★
          • 1.34

          • Prudential Short-Term Corporate Bd Z

          • ★★★★★
          • 2.10

          • Virtus Multi-Sector S/T Bd C

          • ★★★★★
          • 1.86

          • Transamerica Short-Term Bond I2

          • ★★★★★
          • 1.97

          • Virtus Multi-Sector S/T Bd I

          • ★★★★★
          • 2.29

          • Lord Abbett Short Duration Income F

          • ★★★★★
          • 2.18

          • Metropolitan West Low Dur Bd Admin Cl

          • ★★★★★
          • 1.16

          • Frost Total Return Bond A Load Waived

          • ★★★★★
          • 4.76

          • Vanguard Short-Term Corp Bd Idx Admiral

          • ★★★★★
          • 2.40

          • Name

          • FSHBX

          • Category

            • Expense Ratio

            • 0.45%

            • 0.83%

            • Net Assets

            • 6.34B

            • 640.53M

            • Dividend Yield

            • -

            • 2.30

            • Price/Book

            • -

            • 2.21

            • Price/Sales

            • -

            • 1.52

            • Price/Cash Flow

            • -

            • 7.30

            Profile

            Name of Issuer

            Fidelity Investments

            Fund Style

            Open

            Fund Manager

            Robin Foley

            Investment Style

            -

            The investment seeks to obtain a high level of current income consistent with preservation of capital. The fund normally invests at least 80% of assets in investment-grade debt securities (those of medium and high quality) of all types and repurchase agreements for those securities. Its manager manages the fund to have similar overall interest rate risk to the Barclays® U.S. 1-3 Year Government/Credit Bond Index. The fund normally maintains a dollar-weighted average maturity of three years or less. It allocates assets across different market sectors and maturities. The fund invests in domestic and foreign issuers.

            Purchase Information

            Initial Purchase 2,500
            Initial Purchase: IRA 500
            Initial Purchase: AIP 2,500
            Front load None
            Back Load None

            Inception

            9/15/1986