{"entity_type":"fund","name":"Fidelity Freedom Blend 2050 Fund","identifiers":{"lei":"549300IUNKTMGFJ04W94","cik":"880195","fund_id":"S000062979","fundkey":"fidelity-freedom-blend-2050-fund"},"dates":{"reporting_period_start":"2025-12-31","reporting_period_end":"2026-03-31","filing_date":"2026-02-24"},"summary":{"total_positions":59,"total_value_usd":3696264870.7,"asset_categories":["STIV","DE","DBT","EC"],"by_asset_category":{"EC":{"positions":33,"total_value_usd":3662354272.68},"DBT":{"positions":24,"total_value_usd":29540473.98},"STIV":{"positions":1,"total_value_usd":4404622.12},"DE":{"positions":1,"total_value_usd":-34498.08}}},"holdings":[{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Large Cap Value Index Fund","isin":"US31635V4068","value_usd":554150564.85,"pct_val":15.19709118288,"balance":30397727.09,"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":460182613.89,"pct_val":12.62010288838,"balance":20025353.085,"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":365434577.69,"pct_val":10.02172144322,"balance":14824932.158,"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":290564870.77,"pct_val":7.968485671093,"balance":9743959.449,"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":281457584.03,"pct_val":7.718726353327,"balance":10541482.548,"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":244007091.49,"pct_val":6.691679579264,"balance":15641480.224,"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":238365421.13,"pct_val":6.536961738441,"balance":15965533.9,"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":237498282.71,"pct_val":6.513181230989,"balance":12427958.279,"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":201012524.33,"pct_val":5.512591441591,"balance":11803436.543,"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":133039810.21,"pct_val":3.648499622593,"balance":6736192.922,"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":117905286.98,"pct_val":3.233448652469,"balance":8720805.25,"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":116942141.74,"pct_val":3.207035242535,"balance":21696130.193,"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":90865016.62,"pct_val":2.491893053077,"balance":6013568.274,"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":90599655.9,"pct_val":2.484615769043,"balance":7717176.823,"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":57276922.95,"pct_val":1.570769166286,"balance":3531252.956,"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":42467160.81,"pct_val":1.164624483027,"balance":2373793.226,"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":29481344.31,"pct_val":0.808499902539,"balance":3476573.622,"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":28038176.77,"pct_val":0.882718019207,"balance":3215387.244,"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":23931179.93,"pct_val":0.656291532624,"balance":247350.697,"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":18622319.51,"pct_val":0.510700711289,"balance":2090047.083,"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":18302069.58,"pct_val":0.501918139013,"balance":2145611.909,"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":5183701.58,"pct_val":0.142158450379,"balance":543364.945,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"Fidelity Revere Street Trust","title":"Fidelity Cash Central Fund","isin":"US31635A1051","value_usd":4404622.12,"pct_val":0.120792882349,"balance":4403741.37,"units":"NS","currency":"USD","asset_cat":"STIV","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":4259068.59,"pct_val":0.116801204982,"balance":427617.328,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 01/29/2026","isin":"US912797RK59","value_usd":3201523.06,"pct_val":0.087798950236,"balance":3210000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Securities Fund","title":"Fidelity Series Real Estate Income Fund","isin":"US3163894369","value_usd":3170241.88,"pct_val":0.086941091425,"balance":313574.864,"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":3090425.76,"pct_val":0.084752204631,"balance":351184.745,"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":2755160.77,"pct_val":0.075557857559,"balance":199360.403,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 01/22/2026","isin":"US912797PD35","value_usd":2554946.38,"pct_val":0.070067154248,"balance":2560000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 07/31/2025","isin":"US912797PG65","value_usd":2471388.2,"pct_val":0.077806018361,"balance":2480000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 10/30/2025","isin":"US912797NA14","value_usd":2432031.28,"pct_val":0.07089339174,"balance":2440000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 01/08/2026","isin":"US912797RH21","value_usd":1778969.61,"pct_val":0.048786674758,"balance":1780000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 07/10/2025","isin":"US912797LW51","value_usd":1658260.45,"pct_val":0.052206546515,"balance":1660000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 10/23/2025","isin":"US912797QG56","value_usd":1645938.94,"pct_val":0.047978903484,"balance":1650000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 10/09/2025","isin":"US912797QE09","value_usd":1608546.88,"pct_val":0.046888929856,"balance":1610000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 07/24/2025","isin":"US912797PF82","value_usd":1605715.84,"pct_val":0.050552299363,"balance":1610000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"FIDELITY SERIES 5+ YEAR INFLATION-PROTECTED BOND INDEX FUND","isin":"US31635T6588","value_usd":1555771.23,"pct_val":0.042665655765,"balance":205246.864,"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":null,"value_usd":1452629.88,"pct_val":0.045732737218,"balance":188408.545,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 11/28/2025","isin":"US912797NL78","value_usd":1410850.03,"pct_val":0.041126092697,"balance":1420000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 02/26/2026","isin":"US912797RU32","value_usd":1312762.74,"pct_val":0.036001361952,"balance":1320000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 08/28/2025","isin":"US912797PQ48","value_usd":1231359.61,"pct_val":0.038766547653,"balance":1240000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 07/17/2025","isin":"US912797PE18","value_usd":1217755.2,"pct_val":0.038338243846,"balance":1220000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 10/16/2025","isin":"US912797QF73","value_usd":1138074.35,"pct_val":0.033174717524,"balance":1140000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 10/02/2025","isin":"US912797MS31","value_usd":859903.94,"pct_val":0.025066086681,"balance":860000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 03/05/2026","isin":"US912797RV15","value_usd":785190.96,"pct_val":0.021533170535,"balance":790000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 07/03/2025","isin":"US912797NX17","value_usd":729830.03,"pct_val":0.022977033197,"balance":730000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 03/19/2026","isin":"US912797PV33","value_usd":486351.89,"pct_val":0.013337772237,"balance":490000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 09/04/2025","isin":"US912797MH75","value_usd":446539.77,"pct_val":0.014058285761,"balance":450000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 12/04/2025","isin":"US912797QS94","value_usd":436950.99,"pct_val":0.012737063852,"balance":440000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 01/15/2026","isin":"US912797RJ86","value_usd":239693.26,"pct_val":0.006573376549,"balance":240000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Corporate Bond Fund","isin":"US31635V1411","value_usd":225939.35,"pct_val":0.007113184895,"balance":24061.699,"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":217009.15,"pct_val":0.006832037924,"balance":24192.77,"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":199081.48,"pct_val":0.006267626141,"balance":19711.038,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 09/25/2025","isin":"US912797PY71","value_usd":168298.4,"pct_val":0.005298491107,"balance":170000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Income Fund","title":"Fidelity Series Government Bond Index Fund","isin":"US31617L7560","value_usd":88562.88,"pct_val":0.002788200197,"balance":9647.373,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 01/02/2026","isin":"US912797RA77","value_usd":60000,"pct_val":0.001645447156,"balance":60000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"UST BILLS","title":"UST BILLS 0% 03/12/2026","isin":"US912797SB42","value_usd":59592.17,"pct_val":0.001634262777,"balance":60000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Salem Street Trust","title":"Fidelity Series Government Money Market Fund","isin":"US31635V7780","value_usd":12063.93,"pct_val":0.000330842655,"balance":12063.93,"units":"NS","currency":"USD","asset_cat":"EC","issuer_cat":"RF","inv_country":"US","fair_val_level":"1","payoff_profile":"Long"},{"issuer_name":"CHICAGO MERCANTILE EXCH INC","title":"S and P500 EMINI FUT MAR26 ESH6","isin":null,"value_usd":-34498.08,"pct_val":-0.00094607946,"balance":-118,"units":"NC","currency":"USD","asset_cat":"DE","issuer_cat":"CORP","inv_country":"US","fair_val_level":"1","payoff_profile":"N/A"}],"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-freedom-blend-2050-fund.json","page":"https://dealcharts.org/capitalmarkets/funds/fidelity-freedom-blend-2050-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 Freedom Blend 2050 Fund | LEI: 549300IUNKTMGFJ04W94 | 59 positions totaling $3,696,264,871 across STIV, DE, DBT, 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"}
