Fund comparison · from official SEC filings

FATHX vs FCGLX: how much do they overlap?

Fidelity Advisor Freedom 2035 Fund and Fidelity Advisor Freedom 2045 Fund
Holdings overlap
76%
of assets, by weight
Shared positions
39
of 43 / 42 holdings
FATHX expense ratio
0.88%
net, per year
FCGLX expense ratio
0.45%
net, per year
FATHX and FCGLX are largely redundant — holding both means most of your money tracks the same underlying companies.
Shared holdings
Company
FATHX
FCGLX
F
FSIGXFIDELITY SER INV GRD BND
17.26%
0.00%
F
FGLGXFIDELITY SER LRG CAP STK
8.00%
11.08%
F
FEMSXFIDELITY SER EMRG MRKT OPP
7.77%
10.12%
F
FMFMXFIDELITY ADV EQUITY GROWTH
5.82%
8.09%
F
FINVXFIDELITY SER INTL VAL
5.59%
7.44%
F
FSOSXFIDELITY SERIES OVERSEAS
5.53%
7.38%
F
FIGSXFIDELITY SER INTL GRWTH
5.46%
7.30%
F
FVWSXFIDELITY SER OPP INSIGHT
4.98%
6.92%
F
FBLEXFIDELITY SER STOCK SEL L/C
4.64%
6.36%
F
FNKLXFIDELITY SER VAL DISCOV
4.66%
6.36%
F
FAOFXFIDELITY ADV GROWTH OPP
4.08%
5.66%
F
FSTQXFIDELITY SER INTL DEV MRK
4.61%
1.10%
F
FCNSXFIDELITY SERIES CANADA
3.14%
3.99%
F
FTLTXFIDELITY SER L/T TR BND INDX
3.86%
2.90%
F
FSAEXFIDELITY SER ALL SCTR EQ
2.71%
3.75%
F
FHKFXFIDELITY SER EMRG MRKT
1.99%
2.63%
F
FSTDXFIDELITY SER 5+Y INFL-PR
2.40%
0.04%
F
FSOPXFIDELITY SER SM CAP OPP
1.33%
1.85%
F
FDMLXFIDELITY SER INTRIN OPP
0.89%
1.23%
F
FIOOXFIDELITY SER L/C VAL INDX
0.77%
1.07%
F
FSTSXFIDELITY SER INTL SM CAP
0.97%
0.97%
F
FJACXFIDELITY SER SM CAP DISCOV
0.65%
0.90%
F
FCSSXFIDELITY SER COMMOD STRAT
0.75%
0.76%
F
FSHNXFIDELITY SER HIGH INCOME
0.51%
0.51%
F
FEDCXFIDELITY SER EMG MKT DBT
0.49%
0.49%
Only in FATHX
F
FSTZXFIDELITY SER 0-5Y INFL-PR
0.04%
B
B 0 04.02.26TREASURY BILL
0.01%
B
B 0 06.25.26TREASURY BILL
0.01%
B
B 0 06.18.26TREASURY BILL
0.00%
Only in FCGLX
B
B 0 04.16.26TREASURY BILL
0.02%
B
B 0 04.09.26TREASURY BILL
0.01%
B
B 0 05.28.26TREASURY BILL
0.00%
Hold FATHX and FCGLX together? See your combined true holdings, overlap, and blended fees — free, no signup.
Unwrap your portfolio →
Data source: official SEC Form N-PORT filings from each fund. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay.
Informational and educational only — not investment advice.