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  • Fund Type: Open-End Fund
  • Objective: Sector Fund-Debt
  • Asset Class: Debt
  • Geographic Focus: U.S.

Fidelity Advisor Strategic Real Return Fund

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FSIRX:US

9.75 USD 0.06 0.61%

As of 09:29:30 ET on 05/22/2013.

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Snapshot for Fidelity Advisor Strategic Real Return Fund (FSIRX)

Year To Date: +1.59% 3-Month: +0.86% 3-Year: +8.18% 52-Week Range: 9.19 - 9.89
1-Month: +0.10% 1-Year: +6.97% 5-Year: +3.33% Beta vs SPX: 0.49

Mutual Fund Chart for FSIRX

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  • FSIRX:US 9.75
  • 1M
  • 1Y
Interactive FSIRX Chart

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Fund Profile & Information for FSIRX

Fidelity Advisor Strategic Real Return Fund is an open-end fund incorporated in the USA. The Fund's objective is real return consistent with reasonable risk. The Fund invests in inflation-protected debt securities, floating-rate loans, commodity-linked notes and related investments, real estate investment trusts (REITs) and other real estate related investments.

Inception Date: 09-07-2005 Telephone: 1-800-544-6666
Managers: MARK SNYDERMAN / WILLIAM IRVING
Web Site: www.fidelity.com

Fundamentals for FSIRX

NAV (on 2013-05-22) 9.75
Assets (M) (on 2013-04-30) 1,583.67
Fund Leveraged N
Minimum Investment 2,500.00
Minimum Subsequent Investment 0.00

Dividends for FSIRX

Dividend Type Income
Dividend Frequency Quarter
Last Dividend Net (on 2013-04-05) 0.02
Dividend Yield (ttm) 2.41

Fees & Expenses for FSIRX

Front Load 0.00
Back Load 0.00
Current Mgmt Fee 0.57
Redemption Fee 0.75
12b1 Fee 0.00
Expense Ratio 0.80

Top Fund Holdings for FSIRX

Filing Date: 03/31/2013
Name Position Value % of Total
TII 2 ½ 07/15/16 20,131 26,573,826 1.718%
TII 1 ¼ 07/15/20 20,492 25,867,474 1.673%
TII 1 ⅞ 07/15/15 16,162 21,002,837 1.358%
Simon Property Group Inc 119,280 18,913,037 1.223%
TII 2 ⅜ 01/15/27 11,786 18,341,288 1.186%
TII 0 ⅛ 07/15/22 16,550 18,079,974 1.169%
TII 0 ⅛ 01/15/22 15,950 17,675,872 1.143%
TII 1 ⅛ 01/15/21 13,775 17,113,432 1.107%
Ventas Inc 226,147 16,553,960 1.070%
TII 0 ⅛ 04/15/16 14,857 16,475,888 1.065%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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