Fidelity Series Investment Grade Bond Fund FSIGX

Rating as of | See Fidelity Investment Hub
  • NAV / 1-Day Return 9.59  /  −0.31 %
  • Total Assets 36.6B
  • Adj. Expense Ratio
    0.000
  • Expense Ratio 0.000
  • Distribution Fee Level Low
  • Share Class Type Institutional
  • Category Intermediate Core Bond
  • Credit Quality / Interest Rate Sensitivity High/Moderate
  • Min. Initial Investment 0
  • Status Limited
  • TTM Yield 4.51%
  • Effective Duration 5.99 years

USD | NAV as of Oct 03, 2026 | 1-Day Return as of Oct 03, 2026, 12:11 AM GMT+0

Morningstar’s Analysis FSIGX

There is no Morningstar’s Analysis data available.

Portfolio Holdings FSIGX

  • Current Portfolio Date
  • Equity Holdings —
  • Bond Holdings —
  • Other Holdings —
  • % Assets in Top 10 Holdings 17.0
Top 10 Holdings
% Portfolio Weight
Market Value USD
Sector

United States Treasury Notes 4.25%

1.91 706M
Government

United States Treasury Notes 4%

1.85 681M
Government

United States Treasury Bonds 4.125%

1.83 677M
Government

United States Treasury Notes 4.125%

1.80 666M
Government

United States Treasury Notes 3.875%

1.79 662M
Government

United States Treasury Notes 4.375%

1.66 611M
Government

United States Treasury Notes 4.375%

1.62 597M
Government

United States Treasury Notes 4.375%

1.57 578M
Government

United States Treasury Notes 4.875%

1.53 566M
Government

United States Treasury Notes 4.25%

1.46 541M
Government

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