FMSDX
Fidelity Advisor Multi-Asset Income Fund
Fidelity School Street Trust
Fund of funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
275
Top-10 weight
47.83%
Effective holdings ?
15
Crowding ?
415.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 U.S. Treasury Bills B 834,826,000 $821.91M 24.12%
2 STRATEGY INC SER A 10% PERP PFD STRF 10 PERP 1,313,345 $125.75M 3.69%
3 DHT HOLDINGS INC DHT 6,684,102 $122.12M 3.58%
4 INTERNATIONAL SEAWAYS INC 1,646,763 $120.02M 3.52%
5 US TREASURY N/B 95,800,000 $93.43M 2.74%
6 SATS 3.875 11/30/30 SATS 21,490,000 $76.76M 2.25%
7 Presidencia da Republica NTNFF27 393,175,000 $73.96M 2.17%
8 Boeing Co. (The), Conv. Pfd. 1,133,412 $73.57M 2.16%
9 STRATEGY INC CL A PFD FRN PRP STRC 735,151 $73.51M 2.16%
10 ALPHABET INC CL A 246,822 $70.98M 2.08%
11 ALMONTY INDUSTRI 4,891,180 $70.82M 2.08%
12 US TREASURY N/B 73,750,000 $70.47M 2.07%
13 US TREASURY N/B 72,285,000 $70.44M 2.07%
14 US TREASURY N/B 78,600,000 $70.41M 2.07%
15 US TREASURY N/B 71,560,000 $69.68M 2.04%
16 US TREASURY N/B 105,838,000 $58.77M 1.72%
17 US TREASURY N/B 123,606,000 $58.66M 1.72%
18 Fidelity Securities Lending Cash Central Fund 55,583,636 $55.59M 1.63%
19 Fidelity Private Credit Company LLC 5,783,274 $54.12M 1.59%
20 NVIDIA CORP 281,400 $49.08M 1.44%
21 TRANSALTA CORP 3,612,309 $47.49M 1.39%
22 VALLOUREC 1,800,821 $45.59M 1.34%
23 SHARPLINK INC 6,712,672 $43.30M 1.27%
24 APPLE INC 169,353 $42.98M 1.26%
25 T/L GREAT OUTDOORS GROUP LLC REGD 0.00000000 BASSPR 38,673,658 $38.56M 1.13%
26 TESLA INC 98,000 $36.43M 1.07%
27 SERCO GROUP 8,229,300 $31.18M 0.92%
28 Strive Inc 262,100 $26.14M 0.77%
29 META PLATFORMS INC CL A 44,973 $25.73M 0.76%
30 STRIVE INC-A 2,422,668 $24.28M 0.71%
31 RIOT PLATFORMS INC CONV 0.75% 01/15/2030 19,420,000 $22.28M 0.65%
32 HESS MIDSTREAM LP - CLASS A COMMON STOCK HESM 488,128 $18.97M 0.56%
33 BAUSCH HEALTH TERM B 1LN 10/08/2030 BHCCN 19,542,325 $18.83M 0.55%
34 CHENIERE ENERGY INC 64,200 $18.22M 0.53%
35 MICROSOFT CORP 47,645 $17.64M 0.52%
36 AMAZON.COM INC 83,719 $17.44M 0.51%
37 EXXON MOBIL CORP 101,176 $17.17M 0.50%
38 KINDER MORGAN INC 494,700 $16.59M 0.49%
39 LILLY ELI and CO 17,492 $16.09M 0.47%
40 KENNAMETAL INC 373,337 $13.49M 0.40%
41 ASTRAZENECA PLC 55,901 $10.93M 0.32%
42 JOHNSON&JOHNSON 44,508 $10.88M 0.32%
43 MERCK & CO 89,362 $10.75M 0.32%
44 GSK plc SPONSORED ADR GSK US 192,700 $10.64M 0.31%
45 DIAMONDBACK ENERGY INC 53,400 $10.56M 0.31%
46 FTI CONSULTING INC 59,600 $10.54M 0.31%
47 GILEAD SCIENCES INC 75,403 $10.51M 0.31%
48 CF INDUSTRIES HOLDINGS INC 80,400 $10.44M 0.31%
49 ERO COPPER CORP REGD 144A P/P 6.50000000 EROCN 10,515,000 $10.41M 0.31%
50 TANGER INC- REIT 299,700 $10.18M 0.30%
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