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Fidelity US Bond Ix 12/31/25

 PORTFOLIO CHARACTERISTICS  TOP SECTOR ALLOCATIONS      ASSET ALLOCATION
 Avg. Coupon  3.73 %  United States Treasury Notes 0.015%  0.96 %
 Avg. Effective Maturity  N/A  United States Treasury Notes 0  0.90 %  Fixed Income  99.3%
 Avg. Effective Duration  5.9 Years  United States Treasury Notes 0  0.86 %
 Avg. Credit Quality  AA  United States Treasury Notes 0  0.85 %  Cash  0.7%
 Yield To Maturity  N/A  United States Treasury Notes 0.035%  0.75 %
 SEC Yield  4.1 %  Federal Home Loan Mortgage Corp.  0.67 %  Equity
 No data found.  United States Treasury Notes 0  0.65 %  0.0%
 United States Treasury Notes 0  0.62 %  Others  0.0%
 United States Treasury Notes 0  0.61 %
 United States Treasury Notes 0.035%  0.61 %  0.0%  50.0%  100.0%  150.0%
 Total         7.48 %

     MATURITY DISTRIBUTION  QUALITY ALLOCATION

 20-30Yrs  30.4%
          Other  0.0%
 1-3Yrs  21.0%
 3-5Yrs  Municipal  0.4%
 15.3%
 5-7Yrs  9.6%
  Cash & Equivalents
 7-10Yrs  9.1%  0.7%
 15-20Yrs  7.7%  Corporate         25.4%
 10-15Yrs  4.0%  Securitized        26.3%
 <1Yr  1.7%
      Government                                     47.2%
 >30Yrs  1.2%
 0.0%  8.0%  16.0%  24.0%  32.0%  40.0%  0.0%  15.0%  30.0%  45.0%  60.0%

 STYLE MAP (06/01/11 - 12/31/25)  UP/DOWN CAPTURE (01/01/21 - 12/31/25)
      150.0
 Barclays Capital 1-5 Yr Gov  Barclays Capital Long Term Govt Bond  125.0
 Capitalization  Up Capture     100.0

       75.0
       50.0
 Barclays Capital U.S. Credit 1-5 Year Index  Barclays Capital Long U.S. Credit
         50.0       70.0      90.0      110.0      130.0     150.0
 Manager Style                   Down Capture
 Style History  Dec-2025  Average Style Exposure  Fidelity US Bond Ix




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