{"entity_type":"fund","name":"Fidelity Freedom Blend Retirement Fund","identifiers":{"lei":"549300YBVN4C5QKSH591","cik":"880195","fund_id":"S000062977","fundkey":"fidelity-freedom-blend-retirement-fund"},"dates":{"reporting_period_start":"2025-12-31","reporting_period_end":"2026-03-31","filing_date":"2026-02-24"},"summary":{"total_positions":45,"total_value_usd":201005897.15,"asset_categories":["EC","DBT","DE","STIV"],"by_asset_category":{"EC":{"positions":33,"total_value_usd":199732783.01},"DBT":{"positions":10,"total_value_usd":1007912.35},"DE":{"positions":1,"total_value_usd":1070.44},"STIV":{"positions":1,"total_value_usd":264131.35}}},"holdings":[{"issuer_name":"Fidelity Salem Street Trust","title":"FIDELITY SERIES 0-5 YEAR INFLATION-PROTECTED BOND INDEX FUND","isin":"US31635T6661","value_usd":40550850.6,"pct_val":20.19481640793,"balance":4121021.402,"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":22912559.59,"pct_val":11.41073312913,"balance":2485093.231,"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":21233551.55,"pct_val":10.57456672045,"balance":2083763.646,"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":13684610.89,"pct_val":6.81510253049,"balance":1443524.355,"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":12977701.74,"pct_val":6.463053182816,"balance":1421435.021,"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":11557483.56,"pct_val":5.755767269452,"balance":1160389.916,"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":9587688.56,"pct_val":4.774785420794,"balance":1130623.651,"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":7222471.25,"pct_val":3.59687845624,"balance":396186.026,"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":6381896.31,"pct_val":3.178261920723,"balance":258900.459,"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":6040823.17,"pct_val":3.008403351986,"balance":262873.071,"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":5163750.2,"pct_val":2.571610353974,"balance":958024.155,"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":3943931.31,"pct_val":1.964125722456,"balance":3943931.31,"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":3816191.36,"pct_val":1.90050967495,"balance":127974.224,"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":3685614.68,"pct_val":1.835480901428,"balance":138038.003,"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 Short-Term Credit Fund","isin":"US31635V6048","value_usd":3386750.03,"pct_val":1.686642673666,"balance":336320.758,"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":3315180.09,"pct_val":1.650999973766,"balance":212511.544,"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":3244809.03,"pct_val":1.615954330676,"balance":217334.831,"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":3233144.31,"pct_val":1.610145158356,"balance":169185.992,"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":2623270.14,"pct_val":1.306420409975,"balance":154038.176,"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":2490278.7,"pct_val":1.240189056628,"balance":126090.061,"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":2315153.36,"pct_val":1.152974509033,"balance":23929.2337,"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":2307395.01,"pct_val":1.149110756447,"balance":128976.803,"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":1572102.85,"pct_val":0.782926324858,"balance":133909.953,"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":1489066.23,"pct_val":0.741573078965,"balance":110138.035,"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":1235078.38,"pct_val":0.615084042984,"balance":81739.138,"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":1112047.99,"pct_val":0.553813413592,"balance":130369.049,"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":1003273.79,"pct_val":0.499642540073,"balance":112600.874,"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":719985.49,"pct_val":0.358561523908,"balance":44388.748,"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":284194.01,"pct_val":0.141532070752,"balance":29789.729,"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":264131.35,"pct_val":0.131540622253,"balance":264078.531,"units":"NS","currency":"USD","asset_cat":"STIV","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":196387.55,"pct_val":0.097803386571,"balance":19425.079,"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":190587.74,"pct_val":0.094915010707,"balance":21657.698,"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":169664.41,"pct_val":0.084494938089,"balance":170000,"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":159855.59,"pct_val":0.083290110247,"balance":160000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"Fidelity Investment Trust","title":"Fidelity Series Select International Small Cap Fund","isin":"US31618Q7622","value_usd":155329.17,"pct_val":0.077355814354,"balance":11239.448,"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% 10/16/2025","isin":"US912797QF73","value_usd":139763.52,"pct_val":0.072821469611,"balance":140000,"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":129680.04,"pct_val":0.067567639195,"balance":130000,"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% 01/29/2026","isin":"US912797RK59","value_usd":109709.51,"pct_val":0.054636669265,"balance":110000,"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":99624.37,"pct_val":0.049614146981,"balance":13143.057,"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% 01/08/2026","isin":"US912797RH21","value_usd":89947.9,"pct_val":0.044795147324,"balance":90000,"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":79897.75,"pct_val":0.039790050486,"balance":80000,"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":79738.73,"pct_val":0.041546545933,"balance":80000,"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":29776.65,"pct_val":0.014829133571,"balance":30000,"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":19878.25,"pct_val":0.009899610077,"balance":20000,"units":"PA","currency":"USD","asset_cat":"DBT","issuer_cat":"UST","inv_country":"US","fair_val_level":"2","payoff_profile":"Long"},{"issuer_name":"CHICAGO MERCANTILE EXCH INC","title":"S and P500 EMINI FUT MAR26 ESH6","isin":null,"value_usd":1070.44,"pct_val":0.000533092128,"balance":-10,"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-retirement-fund.json","page":"https://dealcharts.org/capitalmarkets/funds/fidelity-freedom-blend-retirement-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 Retirement Fund | LEI: 549300YBVN4C5QKSH591 | 45 positions totaling $201,005,897 across EC, DBT, DE, STIV | 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"}
