# Portfolio overlap — SHYMX vs FSTFX

Comparing **SHORT DURATION MUNICIPAL FUND** (2026-02-28) and **Fidelity Limited Term Municipal Income Fund** (2026-03-31).

- Shared positions: 36
- SHORT DURATION MUNICIPAL FUND covered by Fidelity Limited Term Municipal Income Fund: 0.05549205056936101194169061142
- Fidelity Limited Term Municipal Income Fund covered by SHORT DURATION MUNICIPAL FUND: 0.05549205056936101194169061145

## SHORT DURATION MUNICIPAL FUND — top positions

| Security | Weight | Shared |
|----------|--------|--------|
| Public Energy Authority of Kentucky, Gas Supply Revenue Bonds, Refunding Series 2025A | 0.024919 | ✓ |
| KS AND 3.5 10/01/2028 | 0.013983 |  |
| DALLAS TX HSG FIN CORP CITY OF DALLAS HOUSING FINANCE CORP | 0.011921 |  |
| TENNERGY CORP TN GAS REVENUE TENNERGY CORP/TN | 0.010921 |  |
| Alachua County Housing Finance Authority | 0.009910 |  |
| SALT VERDE FNL CORP | 0.009845 |  |
| SOUTHEAST ENERGY-E | 0.009792 | ✓ |
| METROWEST MA REGL TRANSIT AUTH METROWEST REGIONAL TRANSIT AUTHORITY | 0.009215 |  |
| MAIN STR NAT GA 5% MT | 0.008877 | ✓ |
| CALIFORNIA HSG FIN AGY LTD OBLIG MF HSG REVENUE | 0.008411 |  |
| NEW YORK NY | 0.008273 |  |
| KNOXVILLE TN CMNTY DEV CORP MF REVENUE | 0.008210 |  |
| TULSA OK CITY OF TULSA OK | 0.007625 |  |
| Tarrant County Housing Finance Corp., Series 2025 | 0.007562 |  |
| DEL SUR FAMILY HOUSING LP (MPT) 5.0% 05-01-54 | 0.007548 |  |
| WASTE MANAGEMENT INC (MPT) 4.6% 10-01-53 | 0.007495 |  |
| MI HDA CLARK ROAD SR | 0.007470 |  |
| MICHIGAN ST HSG DEV AUTH RENTA MICHIGAN STATE HOUSING DEVELOPMENT AUTHORITY | 0.007176 |  |
| MIAMI-DADE MFH 3.4% 1/1/2045 | 0.006848 |  |
| HOMER NY CENTRL SCH DIST HOMER CENTRAL SCHOOL DISTRICT | 0.006793 |  |
| ARLINGTON TX HSG FIN CORP MF H ARLINGTON HOUSING FINANCE CORP | 0.006791 |  |
| CASS WTR RESOURCE-A | 0.006784 |  |
| NYC HSG DEV CORP-F-2A | 0.006784 |  |
| DEUTSCHE-SPEARS-8070 | 0.006510 |  |
| FLORIDA ST HSG FIN CORP MF MTGE REVENUE | 0.006423 |  |
| WISCONSIN ST HLTH & EDUCTNL FA WISCONSIN HEALTH & EDUCATIONAL FACILITIES AUTHORIT | 0.006144 |  |
| LONG ISLAND PWR-B | 0.006091 |  |
| KENTUCKY ST HSG CORP MF REVENU REGD V/R B/E HUD SEC 5.00000000 | 0.005863 |  |
| DALTON GA HSG AUTH MF HSG REVE DALTON HOUSING AUTHORITY | 0.005557 |  |
| MAIN STR NAT GA 0% 8/1/2052 | 0.005471 |  |
| MS BUS FIN-VAR-J-CHEV | 0.005425 |  |
| GRANITE CITY IL SOL WST DISP R REGD N/C B/E AMT 1.25000000 | 0.005407 |  |
| District of Columbia Housing Finance Agency, Series B | 0.005299 |  |
| WI HLTH & EDL FACS-A | 0.005004 |  |
| State of Illinois, Series D | 0.004953 | ✓ |
| DURHAM N C HSG AUTH MULTIFAMILY HSG REV ADJ%, DUE 04/01/2029 | 0.004944 |  |
| NY HAMILTON CLG BC26-1002 Q=BC D7 | 0.004944 |  |
| COLORADO ST HLTH FACS AUTH REV REGD V/R B/E 5.00000000 | 0.004909 |  |
| County of Allen OH Hospital Facilities Revenue | 0.004887 |  |
| TX DEPT OF HSG & CMNT | 0.004884 |  |
| Columbia Industrial Development Board, Series 2014 D | 0.004860 |  |
| HOPEWELL VLY NJ REGL SCH DIST HOPEWELL VALLEY REGIONAL SCHOOL DISTRICT | 0.004823 |  |
| PENNSYLVANIA ST HSG FIN AGY MF REGD V/R B/E HUD SEC 3.15000000 | 0.004792 |  |
| TX DEPT HSG & CMNTY | 0.004774 |  |
| NEW JERSEY ST ECON DEV AUTH REVENUE | 0.004757 |  |
| TX NSDSCD 08/01/2054 | 0.004749 | ✓ |
| VIRGINIA ELECTRIC AND POWER CO (MPT) 3.125% 11-01-35 | 0.004746 |  |
| S MIAMI FL HLTH FACS AUTH CITY OF SOUTH MIAMI HEALTH FACILITIES AUTHORITY IN | 0.004663 |  |
| GLENVILLE HILL FIRE DIST IN TH GLENVILLE HILL FIRE DISTRICT NO 8 | 0.004649 |  |
| NY MTATRN 5 11/15/2031 | 0.004648 |  |

## Fidelity Limited Term Municipal Income Fund — top positions

| Security | Weight | Shared |
|----------|--------|--------|
| Fidelity Municipal Cash Central Fund | 0.054522 |  |
| SOUTHEAST ENERGY-E | 0.013502 | ✓ |
| WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 0.009282 |  |
| WA ST HLTH CAR 5% 10/1/2035 | 0.007430 |  |
| MTRO WA DC ARPT 5% 10/1/2028 @ | 0.007421 |  |
| NYC NY 5% 8/1/2028 | 0.006804 |  |
| BLACK BELT ENERGY GAS VAR | 0.006642 |  |
| Southeast Energy Authority, Alabama, Revenue Bonds Cooperative District Energy Supply Series 2024C | 0.006628 |  |
| WA ST HLTH CAR 5% MT | 0.006157 |  |
| WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 0.006032 |  |
| WA ST HLTH CAR 5% 10/1/2030 | 0.005946 |  |
| MAIN STR NAT GA 4% MT | 0.005921 | ✓ |
| WHITING IN ENVRNMNTL FACS REVE REGD V/R B/E AMT 5.00000000 | 0.005535 |  |
| MAIN STR NAT GA 4% 07/01/2052 MT | 0.005236 |  |
| School District of Broward County, Series 2025A | 0.005073 |  |
| OKLAHOMA CTY OK 3% 7/1/2026 | 0.005015 |  |
| CHICAGO IL BRD OF EDU | 0.004873 |  |
| DFW ARPT 5% 11/1/2050 MT @ | 0.004846 |  |
| California Community Choice Financing Authority | 0.004752 |  |
| WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 0.004748 |  |
| NYC NY 5% 8/1/2027 | 0.004699 |  |
| State of New Jersey, Series 2020A | 0.004648 |  |
| NY TRANS CORP 5% 12/1/2026 @ | 0.004642 | ✓ |
| UT CNTY UT HOSP 5% MT | 0.004587 |  |
| MTRO WA DC ARPT 5% 10/1/2026@ | 0.004504 |  |
| NY TRANS CORP 5% 12/1/2027 @ | 0.004471 |  |
| TN TNSUTL 5 11/01/2034 | 0.004459 |  |
| COLORADO ST HLTH FACS AUTH REVENUE | 0.004449 | ✓ |
| TX SANUTL 02/01/2055 | 0.004386 | ✓ |
| PORT NY NJ 5% 12/1/2028 @ | 0.004341 |  |
| KY HSG SFM 6% 7/1/2054 | 0.004284 |  |
| MAIN STR NAT GA 5% MT | 0.004283 |  |
| LOVE FLD MOD TX 5% 11/1/2029 @ | 0.004283 |  |
| MINNEAPOLS MN 5% MT | 0.004278 | ✓ |
| NYC NY 5% 8/1/2028 | 0.004170 |  |
| TARRANT TX EDFC 5% MT | 0.004056 |  |
| LOVE FLD MOD TX 5% 11/1/2028 @ | 0.004024 |  |
| OHIO HOUSING FINANCE AGENCY FNMA/GNMA/FHLMC 3.25% 03-01-51 | 0.003872 |  |
| NJ ST TRANSN TR FD | 0.003810 |  |
| MAIN STR NAT GA 5% MT | 0.003784 |  |
| NE CENPWR 08/01/2055 | 0.003738 |  |
| GRAND PKWY TRANSPRTN | 0.003720 |  |
| CALIFORNIA COMMUNITY VAR | 0.003678 |  |
| SAN ANTONIO TX ELEC   GAS REVE SANUTL 12/45 ADJUSTABLE VAR | 0.003660 |  |
| HARRIS TX CED 5% MT | 0.003650 |  |
| New Jersey Transportation Trust Fund Authority | 0.003626 |  |
| SOUTHEAST ENRG 5% MT | 0.003621 |  |
| GEORGIA POWER CO (MPT) 2.9% 08-01-43 | 0.003593 |  |
| MAIN STR NAT GA 5% MT | 0.003548 | ✓ |
| HI ST 5% 10/1/2026 | 0.003463 |  |


## Sources

- N-PORT (fund A) — accession `0002048251-26-003431` (as of 2026-02-28)
  <https://www.sec.gov/Archives/edgar/data/701817/000204825126003431/0002048251-26-003431-index.htm>
- N-PORT (fund B) — accession `0000035402-26-003413` (as of 2026-03-31)
  <https://www.sec.gov/Archives/edgar/data/35373/000003540226003413/0000035402-26-003413-index.htm>

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_Data sourced from U.S. SEC EDGAR filings (Forms N-PORT, N-CEN, and prospectus Risk/Return summaries). FundWatcher is not affiliated with the SEC._

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