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    Fidelity Advisor Strategic Income I (FSRIX)

    12.30 Down 0.01(0.08%) Apr 17

    Profile as of Mar 30, 2015Get Profile for:
    Fidelity Advisor Strategic Income I
    Fidelity Advisor Series II82 Devonshire StreetBoston, MA 02109
    Map
    Phone: 877-208-0098
    Fund Overview 
    Category:Multisector Bond
    Fund Family:Fidelity Investments
    Net Assets:9.47B
    Year-to-Date Return:1.77%
    Yield:3.54%
    Morningstar Rating:4 stars
    Fund Inception Date:Jul 3, 1995
    Morningstar Style Box 
    Multisector Bond
    [View Category Definition]
    View Top Multisector Bond Funds
    About the Morningstar Style Box
    Management Information 
    Joanna E. Bewick
    Lead Manager since Apr 18, 2008
    Joanna Bewick is a portfolio manager in the Global Asset Allocation group at Fidelity Investments. In this role, Joanna serves as the lead portfolio manager on the Strategic Family of Funds. Before joining Fidelity in 1997, Joanna was a fixed income analyst at Federated Investors from 1990 to 1997. She has been in the investments industry since 1990. Joanna earned her degree in accounting from Ohio University and her MBA in finance from Katz Graduate School of Business at the University of Pittsburgh. She is also a CFA charterholder.
    Investment Information 
    Min Initial Investment:2,500
    Min Initial Investment, IRA:500
    Min Initial Investment, AIP:2,500
    Min Subsequent Investment:N/A
    Min Subsequent Investment, IRA:N/A
    Min Subsequent Investment, AIP:100
    FSRIX can be purchased from 92 brokerages.

    Fund Summary 
    The investment seeks a high level of current income; it may also seek capital appreciation. The fund invests primarily in debt securities, including lower-quality debt securities (those of less than investment-grade quality, also referred to as high yield debt securities or junk bonds). It allocates the fund's assets among four general investment categories: high yield securities, U.S. government and investment-grade securities, emerging market securities, and foreign developed market securities.

    Fund Operations 
    Last Dividend : 0.00
    Last Cap Gain (Feb 12, 2015) : 0.00
    Annual Holdings Turnover (Apr 15, 2015) : 121.00%
    Average for Category:81.05%
    Fees & Expenses 
    ExpenseFSRIXCategory Avg
    Annual Report Expense Ratio (net):0.76%1.04%
    Prospectus Net Expense Ratio:0.76%N/A
    Prospectus Gross Expense Ratio:0.76%N/A
    Max 12b1 Fee:N/AN/A
    Max Front End Sales Load:N/A4.15%
    Max Deferred Sales Load: N/A1.89%
    3 Yr Expense Projection*:243517
    5 Yr Expense Projection*:422840
    10 Yr Expense Projection*:9421,730
    * Per $10,000 invested