{"entity_type":"fund","name":"Fidelity Flex Freedom Blend 2025 Fund","identifiers":{"lei":"549300LCHQ7TDTU71224","cik":"880195","fund_id":"S000056416","fundkey":"fidelity-flex-freedom-blend-2025-fund"},"dates":{"reporting_period_start":"2025-12-31","reporting_period_end":"2026-03-31","filing_date":"2026-02-24"},"summary":{"total_positions":35,"total_value_usd":45532563.79,"asset_categories":["EC"],"by_asset_category":{"EC":{"positions":35,"total_value_usd":45532563.79}}},"holdings":[{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series 5+ Year Inflation-Protected Bond Index Fund","isin":null,"value_usd":4468671.69,"pct_val":10.58198231102,"balance":579594.253,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"FIDELITY SERIES 5+ YEAR INFLATION-PROTECTED BOND INDEX FUND","isin":"US31635T6588","value_usd":3943677.37,"pct_val":9.95149413768,"balance":520274.059,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Large Cap Value Index Fund","isin":"US31635V4068","value_usd":3115427.92,"pct_val":7.861485556118,"balance":170895.662,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Income Fund","title":"Fidelity Series Government Bond Index Fund","isin":"US31617L7560","value_usd":2950964.49,"pct_val":7.446477758584,"balance":320061.225,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Investment Grade Bond Fund","isin":"US3161467291","value_usd":2735012.01,"pct_val":6.901542248624,"balance":268401.571,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Securities Fund","title":"Fidelity Series Blue Chip Growth Fund","isin":"US3163893866","value_usd":2651371.02,"pct_val":6.690482178653,"balance":115377.329,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Long-Term Treasury Bond Index Fund","isin":"US31635V6204","value_usd":2639788.4,"pct_val":6.661254540534,"balance":489756.66,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Emerging Markets Opportunities Fund","isin":"US3159101258","value_usd":2460954.12,"pct_val":6.209983272105,"balance":99835.867,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Corporate Bond Fund","isin":"US31635V1411","value_usd":1762691.31,"pct_val":4.44798359304,"balance":185937.902,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Hastings Street Trust","title":"FIDELITY SERIES LARGE CAP STOCK FUND","isin":"US31617F8335","value_usd":1718920.5,"pct_val":4.337532123954,"balance":64379.045,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Large Cap Growth Index Fund","isin":"US31635V1338","value_usd":1674072.05,"pct_val":4.224361332993,"balance":56139.237,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Advisor Series II","title":"Fidelity Series Investment Grade Securitized Fund","isin":"US3158074530","value_usd":1670968.56,"pct_val":4.216529971641,"balance":183019.557,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series International Value Fund","isin":"US31618H7706","value_usd":1557288.92,"pct_val":3.929670230111,"balance":99826.213,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Overseas Fund","isin":"US31618H1766","value_usd":1528647.64,"pct_val":3.857396688623,"balance":102387.652,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series International Growth Fund","isin":"US31618H7219","value_usd":1523162.34,"pct_val":3.843555056646,"balance":79704.989,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity School Street Trust","title":"Fidelity Series International Developed Markets Bond Index Fund","isin":null,"value_usd":1478641.9,"pct_val":3.501479525818,"balance":169569.025,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity School Street Trust","title":"FIDELITY SERIES INTERNATIONAL DEVELOPED MARKETS BOND INDEX FUND","isin":"US31638R6678","value_usd":1429978.93,"pct_val":3.60841559889,"balance":168629.591,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Devonshire Trust","title":"Fidelity Series Value Discovery Fund","isin":"US3161285867","value_usd":1123241.15,"pct_val":2.834392033298,"balance":65956.615,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Canada Fund","isin":"US31618H3580","value_usd":936000.35,"pct_val":2.361907712519,"balance":47392.423,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Emerging Markets Fund","isin":"US31618H3416","value_usd":607352.99,"pct_val":1.532597409074,"balance":51733.645,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Concord Street Trust","title":"Fidelity Series International Index Fund","isin":"US3159116447","value_usd":581207.01,"pct_val":1.466620519414,"balance":38465.057,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Concord Street Trust","title":"Fidelity Series Small Cap Core Fund","isin":"US3159114798","value_usd":553924.2,"pct_val":1.397774947553,"balance":40970.725,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Hereford Street Trust","title":"Fidelity Series Treasury Bill Index Fund","isin":"US31617H8549","value_usd":541617.46,"pct_val":1.366720061599,"balance":54379.263,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series International Small Cap Fund","isin":"US31618H7623","value_usd":476132.73,"pct_val":1.201475584031,"balance":26614.462,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Securities Fund","title":"Fidelity Series Small Cap Opportunities Fund","isin":"US3163896919","value_usd":316425.58,"pct_val":0.798469805957,"balance":19508.359,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Oxford Street Trust","title":"Fidelity Series Commodity Strategy Fund","isin":"US3161466384","value_usd":278295.65,"pct_val":0.702252560157,"balance":2876.4408,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"FIDELITY SERIES 0-5 YEAR INFLATION-PROTECTED BOND INDEX FUND","isin":"US31635T6661","value_usd":257556.79,"pct_val":0.649920022693,"balance":26174.471,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Hastings Street Trust","title":"Fidelity Series Emerging Markets Debt Fund","isin":"US31617F8582","value_usd":218729.71,"pct_val":0.551943585284,"balance":25642.405,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Government Money Market Fund","isin":"US31635V7780","value_usd":118218.83,"pct_val":0.298313955055,"balance":118218.83,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Hastings Street Trust","title":"FIDELITY SERIES EMERGING MARKETS DEBT LOCAL CURRENCY FUND","isin":"US31617F7832","value_usd":55449.84,"pct_val":0.139922388655,"balance":5812.352,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Select International Small Cap Fund","isin":"US31618Q7622","value_usd":40541.41,"pct_val":0.102302385843,"balance":2933.532,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Summer Street Trust","title":"Fidelity Series High Income Fund","isin":"US31641Q6070","value_usd":39354.31,"pct_val":0.099306852085,"balance":4416.87,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Summer Street Trust","title":"Fidelity Series Floating Rate High Income Fund","isin":"US31641Q4091","value_usd":39203.54,"pct_val":0.098926398354,"balance":4454.948,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Securities Fund","title":"Fidelity Series Real Estate Income Fund","isin":"US3163894369","value_usd":38989.18,"pct_val":0.098385481316,"balance":3856.497,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity School Street Trust","title":"Fidelity Series International Credit Fund","isin":"US31638R7254","value_usd":83.89,"pct_val":0.000211688422,"balance":9.928,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"}],"source_documents":[{"label":"SEC NPORT-P Filings","url":"https://www.sec.gov/cgi-bin/browse-edgar?action=getcompany&CIK=880195&type=NPORT&dateb=&owner=exclude&count=40"}],"dataset":{"json":"https://dealcharts.org/llm/facts/fund/fidelity-flex-freedom-blend-2025-fund.json","page":"https://dealcharts.org/capitalmarkets/funds/fidelity-flex-freedom-blend-2025-fund/"},"provenance":{"curator":"CMD+RVL","curator_url":"https://cmdrvl.com","platform":"Dealcharts","platform_url":"https://dealcharts.org/","source":"SEC NPORT-P Public Filings","license":"CC-BY 4.0","license_url":"https://creativecommons.org/licenses/by/4.0/","attribution":"Data curated by CMD+RVL from SEC NPORT-P public filings"},"citation":"Fund: Fidelity Flex Freedom Blend 2025 Fund | LEI: 549300LCHQ7TDTU71224 | 35 positions totaling $45,532,564 across EC | Filing: Mon Feb 23 2026 19:00:00 GMT-0500 (Eastern Standard Time) | Source: SEC NPORT-P via Dealcharts.org","updated_at":"2026-02-24"}
