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Fidelity Freedom 2025 Fund Q4 2024 Review

Source: SeekingAlpha

2025-03-17 13:16:00 ET

Summary

  • The fourth quarter of 2024 was volatile for most asset classes against a backdrop of the U.S. election, surging dollar strength, sticky inflation and rising interest rates in some markets.
  • Active asset allocation decisions detracted from the Fund's performance versus the Fidelity Freedom® 2030 Composite Index in Q4, whereas the investment performance of the underlying portfolios contributed.
  • Active asset allocation positioning detracted from the Fund's relative return this quarter.

Performance Summary

Cumulative

Annualized

3

Month

YTD

1

Year

3

Year

5

Year

10 Year/ LOF 1

Fidelity Freedom 2025 Fund Gross Expense Ratio: 0.61%2

-3.02%

8.21%

8.21%

0.96%

5.36%

6.23%

S&P 500 Index

2.41%

25.02%

25.02%

8.94%

14.53%

13.10%

Fidelity Freedom 2025 Composite Index

-2.52%

8.64%

8.64%

1.14%

5.23%

6.24%

Morningstar Fund Target-Date 2025

-2.13%

8.24%

8.24%

1.14%

4.96%

5.67%

% Rank in Morningstar Category (1% = Best)

--

--

60%

70%

38%

28%

# of Funds in Morningstar Category

--

--

193

183

162

107

Read the full article on Seeking Alpha

For further details see:

Fidelity Freedom 2025 Fund Q4 2024 Review
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