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Fidelity High Income (SPHIX)

8.64 Up 0.01(0.12%) Aug 23

Risk as of Jul 30, 2016Get Risk for:
Risk Overview 
Morningstar Risk Rating:4
Number of Years Up21
Number of Years Down4
Best 1 Yr Total Return(Dec 30, 2009):51.46%
Worst 1 Yr Total Return(Dec 30, 2008):-23.72%
Risk (Modern Portfolio Theory) Statistics 
3 Years
Alpha (against Standard Index)0.981.11
Beta (against Standard Index)0.550.47
Mean Annual Return0.280.26
R-squared (against Standard Index)5.575.87
Standard Deviation6.185.56
Sharpe Ratio0.520.61
Treynor Ratio5.626.75
5 Years
Alpha (against Standard Index)3.623.74
Beta (against Standard Index)0.400.34
Mean Annual Return0.420.42
R-squared (against Standard Index)2.412.54
Standard Deviation7.006.56
Sharpe Ratio0.720.79
Treynor Ratio12.164.15
10 Years
Alpha (against Standard Index)3.552.85
Beta (against Standard Index)0.650.66
Mean Annual Return0.590.54
R-squared (against Standard Index)4.325.28
Standard Deviation10.019.74
Sharpe Ratio0.620.58
Treynor Ratio9.108.17