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As of 01/18/2019 ET

FFTWX

FIDELITY FREEDOM 2025
NAV13.29
Change 0.08
% Change
Previous NAV13.21
Previous NAV Date01/17/2019
Dividend Rate0.224
Dividend Pay Date12/31/2018
Ex. Dividend Date12/28/2018
30-Day Yield % 0.00%
Offer Price (POP)13.29
Load %
Fund Number01314

Past performance is no guarantee of future results. Yield will vary.