
Fidelity Advisor Balanced Fund Class M
FAIGX
Updated: 22/09/2026, 10:08:17
No historical data available
This fund seeks to generate both capital appreciation and current income. When market conditions are balanced, it typically allocates approximately 60% of its holdings to equities and other stock-related instruments, with the remaining portion invested in bonds and various debt obligations. The debt component may include speculative-grade bonds, commonly referred to as high-yield or "junk" bonds. At least 25% of the fund's total assets will be committed to senior fixed-income securities.
No summaries found.
- Share price
- $29.71
- Market cap
- $4.51B
- Exchange
- NASDAQ
- Currency
- USD
- CEO
- N/A
- Employees
- N/A
- IPO date
- 06/01/1987
- Beta
- 1.06
- Last dividend
- $0.00
- Day range
- $29.71 – $29.71
- 52-week range
- $26.42 – $30.77
- 1-day performance
- -0.03%
- 1-year performance
- 12.45%
- Current drawdown (1Y)
- -3.44%
- CIK
- 0000722574
- CUSIP
- 315807404
- ISIN
- US3158074043
- Created
- 07/12/2025, 03:54:09
- Last update
- 22/09/2026, 10:08:17
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