Page 376 - DCAC Feb 2026 Files
P. 376

Fidelity US Bond Ix 12/31/25
                                   FUND INFORMATION        PEER GROUP ANALYSIS - Intermediate Core Bond                            RISK VS. RETURN (5 YEARS*)
                                Fund           Fidelity Investments    11.0                                                          1.6
                                Family:
                                Fund Inception:    05/04/2011
                                Portfolio  Bettencourt,B/Eswara,V/Lande,M
                                Manager:                                                                                             0.8
                                                                       8.0
                                Total            68,202 Million
                                Assets:
                                Turnover            45.00 %                                                                          0.0
                                                                       5.0
                                                                     Return                                                         Return (%)     -0.8
                               Firm and Management:
                               Fidelity  was  founded  in  1946  by    2.0                                                           -1.6
                               Edward Johnson II and headquartered
                               in Boston, MA. Fidelity has investment
                               funds that span from domestic markets                                                                 -2.4
                               to the international stage and manages  -1.0
                               nearly $13 trillion in assets under
                               administration. The fund is co-managed                                                                -3.2
                               by Brandon Bettencourt and Richard                                                                       3.6  4.5  5.4  6.3  7.2  8.1
                               Munclinger.                             -4.0                                                                  Risk (Standard Deviation %)
                                                                             Last   Year     1      3       5      7       10
                               Investment Strategy:                         Quarter  To Date  Year  Years  Years  Years   Years                       Return  Standard
                               The Fund seeks to provide investment  ¢ £  Fidelity US Bond Ix  1.02 (39)  7.13 (52)  7.13 (52)  4.64 (58)  -0.43 (55)  1.95 (57)  1.96 (58)  Deviation
                               results  that  correspond  to  the  ˜   Bloomberg Aggregate Idx  1.10 (23)  7.30 (36)  7.30 (36)  4.66 (56)  -0.36 (45)  1.99 (52)  2.01 (51)  ¢ £  Fidelity US Bond Ix  -0.43  6.31
                               aggregate  price  and  interest                                                                       ˜   Bloomberg Aggregate Idx  -0.36  6.31
                               performance of the debt securities in  Median  0.99  7.14   7.14   4.70    -0.41  2.01    2.01        ¾  Median        -0.41  6.29
                               the Bloomberg U.S. Aggregate Bond
                               Index. The Fund utilizes statistical
                               sampling  techniques  based  on
                               duration, security structure, and credit  CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS
                               quality to replicate the returns of the
                               benchmark.                                           2024        2023        2022        2021        2020       2019        2018
                                                           Fidelity US Bond Ix     1.34 (63)   5.54 (55)  -13.03 (28)  -1.79 (65)  7.80 (52)  8.48 (52)   0.01 (26)
                               Innovest Assessment:        Blmbg. U.S. Aggregate Index  1.25 (69)  5.53 (57)  -13.01 (27)  -1.55 (49)  7.51 (61)  8.72 (37)  0.01 (25)
                               As an index fund, this fund is expected  Intermediate Core Bond Median  1.50  5.59  -13.45  -1.57   7.86       8.49        -0.44
                               to closely track its benchmark with
                               minimal tracking error.
                                                             ROLLING 3 YEAR RETURN AND PERCENTILE RANKINGS
                                                                                     3           3           3           3          3           3           3
                                                                                    Years       Years       Years      Years       Years       Years       Years
                                                                                    Ending      Ending     Ending      Ending      Ending      Ending     Ending
                                                                                   Dec-2025    Dec-2024    Dec-2023   Dec-2022    Dec-2021    Dec-2020    Dec-2019
                                                           Fidelity US Bond Ix     4.64 (58)   -2.38 (44)  -3.40 (44)  -2.72 (49)  4.72 (61)  5.36 (42)   3.94 (41)
                                                           Blmbg. U.S. Aggregate Index  4.66 (56)  -2.41 (47)  -3.31 (36)  -2.71 (48)  4.79 (57)  5.34 (43)  4.03 (32)
                                                           Intermediate Core Bond Median  4.70  -2.46      -3.45      -2.74       4.92        5.26        3.81




                                  *If less than 5 years, data is since inception of fund share class.

                                                                                                66
   371   372   373   374   375   376   377   378   379   380   381