Fidelity Advisor Asset Manager 30% Class C is a globally diversified mutual fund that aims to provide a high level of current income with an emphasis on capital preservation. As a multi-asset allocation fund, it invests across multiple asset classes—primarily stocks, bonds, and cash equivalents—with approximately 30% exposure to equities and the remainder allocated to fixed income and short-term securities. The fund strategically distributes assets among domestic and international markets, with allocations typically spanning U.S. equities, foreign equities, and various types of debt instruments. Its moderately conservative profile is designed to reduce overall portfolio risk and maintain stability during periods of market volatility, making it suitable for investors prioritizing steady income and capital protection over aggressive growth. By leveraging a mix of asset classes and regions, Fidelity Advisor Asset Manager 30% Class C seeks balanced returns through both income generation and limited capital appreciation, distinguishing itself as a core holding in diversified portfolios that require both income and risk management.
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