Fidelity Advisor Risk Parity I holds a quantitatively derived Neutral Morningstar Medalist Rating. The rating suggests the model does not express a clear expectation of outperformance or underperformance relative to peers over a full market cycle.
Fidelity Advisor Risk Parity Fund - Class I FAPYX
- NAV / 1-Day Return 11.53 / 0.00
- Total Assets 16.0M
-
Adj. Expense Ratio
0.730%
- Expense Ratio 0.590%
- Distribution Fee Level Low
- Share Class Type Institutional
- Category Tactical Allocation
- Investment Style Large Blend
- Credit Quality / Interest Rate Sensitivity High/Moderate
- Status Limited
- TTM Yield 6.85%
- Turnover 51%
USD | NAV as of Jul 18, 2026 | 1-Day Return as of Jul 18, 2026, 4:51 AM GMT+0
Morningstar’s Analysis FAPYX
Will FAPYX outperform in the future?
Get our overall rating based on a fundamental assessment of the pillars below.
People Pillar
Parent Pillar
- Current Portfolio Date
- Equity Holdings —
- Bond Holdings —
- Other Holdings —
- % Assets in Top 10 Holdings 90.9
|
Top 10 Holdings
|
% Portfolio Weight
|
Market Value USD
|
Sector
|
|---|---|---|---|
Fidelity Inflation-Prot Bd Index | 21.16 | 3M | — |
Bkln 6/26 Bnp -25 Bps 2 Bps Bf | 16.01 | 3M | — |
Fidelity Commodity Strategy | 12.54 | 2M | — |
iShares US Treasury Bond ETF | 10.65 | 2M | — |
MSCI Emerging Markets Index Future June 26 | 9.12 | 1M | — |
Hyg 07/01/2026 Fds Etrs | 8.37 | 1M | — |
Fidelity Small Cap Value Index | 8.10 | 1M | — |
Gld 07/01/2026 Fds Etrs | 7.91 | 1M | — |
iShares JP Morgan EM Local Ccy Bd ETF | 7.59 | 1M | — |
Fidelity International Bond Index | 5.99 | 976,242 | — |