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Categories
Core
»
Family
Fidelity Investments
»
Issue
Coupon
Maturity Date
Amount Owned
% of Fund
Overnight Cash/Repurchase Agreements
$1,787,213,964
14.07
Fannie Mae 4.5% 30 Year
4.5
$605,238,864
4.85
US Treasury Note 3.625%
3.62
2021-02-15
$453,206,000
3.61
US Treasury Note 2.375%
2.38
2015-02-28
$397,235,000
3.2
Fidelity Cent Invt Portfolios
$3,948,352
3.17
US Treasury Note 2.625%
2.62
2014-12-31
$329,010,000
2.68
FNMA 5%
5
$318,865,445
2.63
US Treasury Note 2.625%
2.62
2014-07-31
$316,140,000
2.58
Fannie Mae 5.5% 30 Year
5.5
$295,980,481
2.5
US Treasury Note 2.625%
2.62
2020-11-15
$303,015,000
2.22
FNMA 6%
6
$247,357,272
2.12
US Treasury Bond 4.75%
4.75
2041-02-15
$234,749,000
1.92
FHLB 4.5%
4.5
$203,670,966
1.63
US Treasury Note 2.375%
2.38
2014-09-30
$171,534,000
1.39
US Treasury Note 1.125%
1.12
2021-01-15
$168,910,000
1.36
FHLB 5%
5
$160,790,303
1.32
US Treasury Note 1.375%
1.38
2020-01-15
$147,550,000
1.24
FHLB 5.5%
5.5
$118,662,265
1
US Treasury Note 1.75%
1.75
2014-03-31
$125,000,000
1
GNMA 4.5%
4.5
$103,913,142
0.85
Fannie Mae 4% 30 Year
4
$107,553,782
0.83
US Treasury Note 2.5%
2.5
2015-03-31
$100,000,000
0.81
US Treasury Note 2.5%
2.5
2015-04-30
$100,000,000
0.81
US Treasury Note 3.125%
3.12
2017-04-30
$87,265,000
0.71
Fannie Mae 3.5% 30 Year
3.5
$92,436,908
0.69