Fidelity Money Market Pricing & Performance (2024)

Symbol

FTEXX

CUSIP

316048107

Fund #

10

01/05/2024$1.002.80%3.32%3.38%0.0000766980.000441318316048107 FTEXX 00010 10

Symbol

FTEXX

CUSIP

316048107

Fund #

10

01/06/2024na2.80%3.21%3.38%0.0000766970.000518015316048107 FTEXX 00010 10

Symbol

FTEXX

CUSIP

316048107

Fund #

10

01/07/2024na2.80%3.10%3.38%0.0000766980.000594713316048107 FTEXX 00010 10

Symbol

FDRXX

CUSIP

316067107

Fund #

55

01/05/2024$1.004.99%5.02%5.01%0.0001368290.000686302316067107 FDRXX 00055 55

Symbol

FDRXX

CUSIP

316067107

Fund #

55

01/06/2024na4.99%5.01%5.01%0.0001368290.000823131316067107 FDRXX 00055 55

Symbol

FDRXX

CUSIP

316067107

Fund #

55

01/07/2024na4.99%5.00%5.01%0.0001368290.000959960316067107 FDRXX 00055 55

Symbol

FTCXX

CUSIP

316176106

Fund #

56

01/05/2024$1.002.83%3.41%3.51%0.0000775880.000450782316176106 FTCXX 00056 56

Symbol

FTCXX

CUSIP

316176106

Fund #

56

01/06/2024na2.83%3.28%3.51%0.0000775870.000528369316176106 FTCXX 00056 56

Symbol

FTCXX

CUSIP

316176106

Fund #

56

01/07/2024na2.83%3.16%3.51%0.0000775880.000605957316176106 FTCXX 00056 56

Symbol

FIGXX

CUSIP

316175108

Fund #

57

01/05/2024$1.005.22%5.24%5.24%0.0001431480.000717729316175108 FIGXX 00057 57

Symbol

FIGXX

CUSIP

316175108

Fund #

57

01/06/2024na5.22%5.24%5.24%0.0001431480.000860877316175108 FIGXX 00057 57

Symbol

FIGXX

CUSIP

316175108

Fund #

57

01/07/2024na5.22%5.23%5.24%0.0001431470.001004024316175108 FIGXX 00057 57 01/05/2024$1.004.69%4.70%4.70%0.0001284400.000642653233809201 FDUXX 00058 58 01/06/2024na4.69%4.69%4.70%0.0001284410.000771094233809201 FDUXX 00058 58 01/07/2024na4.69%4.69%4.70%0.0001284430.000899537233809201 FDUXX 00058 58

Symbol

FMPXX

CUSIP

316175207

Fund #

59

01/05/2024$1.005.31%5.33%5.33%0.0001455850.000729232316175207 FMPXX 00059 59

Symbol

FMPXX

CUSIP

316175207

Fund #

59

01/06/2024na5.31%5.32%5.33%0.0001455860.000874818316175207 FMPXX 00059 59

Symbol

FMPXX

CUSIP

316175207

Fund #

59

01/07/2024na5.31%5.32%5.33%0.0001455860.001020404316175207 FMPXX 00059 59 01/05/2024$1.004.44%4.45%4.45%0.0001216380.000608644650914104 FSRXX 00058 77 01/06/2024na4.44%4.44%4.45%0.0001216390.000730283650914104 FSRXX 00058 77 01/07/2024na4.44%4.44%4.45%0.0001216420.000851925650914104 FSRXX 00058 77 01/05/2024$1.002.14%2.68%2.76%0.0000586690.000351396650914302 FERXX 00084 79 01/06/2024na2.14%2.56%2.76%0.0000586690.000410065650914302 FERXX 00084 79 01/07/2024na2.14%2.44%2.76%0.0000586690.000468734650914302 FERXX 00084 79 01/05/2024$1.002.39%2.92%3.01%0.0000655080.000385569233816107 FDEXX 00084 84 01/06/2024na2.39%2.81%3.01%0.0000655080.000451077233816107 FDEXX 00084 84 01/07/2024na2.39%2.69%3.01%0.0000655080.000516585233816107 FDEXX 00084 84

Symbol

FMOXX

CUSIP

650914609

Fund #

275

01/05/2024$1.002.67%3.20%3.29%0.0000731670.000423822650914609 FMOXX 00084 275

Symbol

FMOXX

CUSIP

650914609

Fund #

275

01/06/2024na2.67%3.09%3.29%0.0000731670.000496989650914609 FMOXX 00084 275

Symbol

FMOXX

CUSIP

650914609

Fund #

275

01/07/2024na2.67%2.97%3.29%0.0000731670.000570156650914609 FMOXX 00084 275

Symbol

FDLXX

CUSIP

31617H300

Fund #

415

01/05/2024$1.004.99%5.00%5.01%0.0001366400.00068476331617H300 FDLXX 00415 415

Symbol

FDLXX

CUSIP

31617H300

Fund #

415

01/06/2024na4.99%5.00%5.00%0.0001366400.00082140331617H300 FDLXX 00415 415

Symbol

FDLXX

CUSIP

31617H300

Fund #

415

01/07/2024na4.99%4.99%5.00%0.0001366400.00095804331617H300 FDLXX 00415 415 01/05/2024$1.002.66%3.23%3.32%0.0000741860.000433078316337500 FSNXX 00422 422 01/06/2024na2.65%3.10%3.32%0.0000741870.000507265316337500 FSNXX 00422 422 01/07/2024na2.65%2.97%3.32%0.0000741870.000581452316337500 FSNXX 00422 422 01/05/2024$1.002.61%3.16%3.25%0.0000728240.000428073316048206 FSJXX 00423 423 01/06/2024na2.60%3.04%3.25%0.0000728250.000500898316048206 FSJXX 00423 423 01/07/2024na2.60%2.93%3.25%0.0000728240.000573722316048206 FSJXX 00423 423 01/05/2024$1.002.44%2.97%3.13%0.0000676100.000398093315902304 FMSXX 00426 426 01/06/2024na2.43%2.85%3.13%0.0000676100.000465703315902304 FMSXX 00426 426 01/07/2024na2.43%2.73%3.12%0.0000676110.000533314315902304 FMSXX 00426 426 01/05/2024$1.005.07%5.09%5.09%0.0001389640.00069623031617H201 SPRXX 00454 454

Symbol

SPRXX

CUSIP

31617H201

Fund #

454

01/06/2024na5.07%5.08%5.09%0.0001389640.00083519431617H201 SPRXX 00454 454

Symbol

SPRXX

CUSIP

31617H201

Fund #

454

01/07/2024na5.07%5.08%5.09%0.0001389640.00097415831617H201 SPRXX 00454 454 01/05/2024$1.002.35%2.84%2.92%0.0000656850.000384051316061407 FSPXX 00457 457 01/06/2024na2.35%2.73%2.92%0.0000656850.000449736316061407 FSPXX 00457 457 01/07/2024na2.35%2.63%2.92%0.0000656850.000515421316061407 FSPXX 00457 457

Symbol

SPAXX

CUSIP

31617H102

Fund #

458

01/05/2024$1.004.98%5.00%5.00%0.0001364800.00068439131617H102 SPAXX 00458 458

Symbol

SPAXX

CUSIP

31617H102

Fund #

458

01/06/2024na4.98%5.00%5.00%0.0001364800.00082087131617H102 SPAXX 00458 458

Symbol

SPAXX

CUSIP

31617H102

Fund #

458

01/07/2024na4.98%4.99%5.00%0.0001364810.00095735231617H102 SPAXX 00458 458

Symbol

FDCXX

CUSIP

650914401

Fund #

529

01/05/2024$1.003.94%3.95%3.95%0.0001079420.000540165650914401 FDCXX 00058 529

Symbol

FDCXX

CUSIP

650914401

Fund #

529

01/06/2024na3.94%3.94%3.95%0.0001079440.000648109650914401 FDCXX 00058 529

Symbol

FDCXX

CUSIP

650914401

Fund #

529

01/07/2024na3.94%3.94%3.95%0.0001079470.000756056650914401 FDCXX 00058 529

Symbol

FCIXX

CUSIP

316175843

Fund #

541

01/05/2024$1.005.16%5.18%5.18%0.0001414730.000708674316175843 FCIXX 00059 541

Symbol

FCIXX

CUSIP

316175843

Fund #

541

01/06/2024na5.16%5.17%5.18%0.0001414740.000850148316175843 FCIXX 00059 541

Symbol

FCIXX

CUSIP

316175843

Fund #

541

01/07/2024na5.16%5.17%5.18%0.0001414740.000991622316175843 FCIXX 00059 541

Symbol

FOXXX

CUSIP

233809805

Fund #

542

01/05/2024$1.005.07%5.08%5.09%0.0001389050.000695148233809805 FOXXX 00680 542

Symbol

FOXXX

CUSIP

233809805

Fund #

542

01/06/2024na5.07%5.08%5.09%0.0001389050.000834053233809805 FOXXX 00680 542

Symbol

FOXXX

CUSIP

233809805

Fund #

542

01/07/2024na5.07%5.07%5.09%0.0001389040.000972957233809805 FOXXX 00680 542

Symbol

FOIXX

CUSIP

233809888

Fund #

543

01/05/2024$1.004.97%4.98%4.99%0.0001362130.000681690233809888 FOIXX 00680 543

Symbol

FOIXX

CUSIP

233809888

Fund #

543

01/06/2024na4.97%4.98%4.99%0.0001362130.000817903233809888 FOIXX 00680 543

Symbol

FOIXX

CUSIP

233809888

Fund #

543

01/07/2024na4.97%4.97%4.99%0.0001362140.000954117233809888 FOIXX 00680 543

Symbol

FEXXX

CUSIP

316176205

Fund #

544

01/05/2024$1.002.68%3.26%3.36%0.0000734820.000430226316176205 FEXXX 00056 544

Symbol

FEXXX

CUSIP

316176205

Fund #

544

01/06/2024na2.68%3.13%3.36%0.0000734820.000503708316176205 FEXXX 00056 544

Symbol

FEXXX

CUSIP

316176205

Fund #

544

01/07/2024na2.68%3.01%3.36%0.0000734820.000577190316176205 FEXXX 00056 544

Symbol

FCEXX

CUSIP

316175835

Fund #

600

01/05/2024$1.005.06%5.07%5.07%0.0001386350.000693721316175835 FCEXX 00695 600

Symbol

FCEXX

CUSIP

316175835

Fund #

600

01/06/2024na5.06%5.06%5.07%0.0001386360.000832357316175835 FCEXX 00695 600

Symbol

FCEXX

CUSIP

316175835

Fund #

600

01/07/2024na5.06%5.06%5.07%0.0001386360.000970993316175835 FCEXX 00695 600

Symbol

FCVXX

CUSIP

316175850

Fund #

604

01/05/2024$1.005.07%5.09%5.09%0.0001390800.000697391316175850 FCVXX 00057 604

Symbol

FCVXX

CUSIP

316175850

Fund #

604

01/06/2024na5.07%5.09%5.09%0.0001390810.000836472316175850 FCVXX 00057 604

Symbol

FCVXX

CUSIP

316175850

Fund #

604

01/07/2024na5.07%5.08%5.09%0.0001390800.000975552316175850 FCVXX 00057 604

Symbol

FCGXX

CUSIP

316175603

Fund #

657

01/05/2024$1.004.97%4.99%4.99%0.0001363450.000683718316175603 FCGXX 00057 657

Symbol

FCGXX

CUSIP

316175603

Fund #

657

01/06/2024na4.97%4.99%4.99%0.0001363460.000820064316175603 FCGXX 00057 657

Symbol

FCGXX

CUSIP

316175603

Fund #

657

01/07/2024na4.97%4.98%4.99%0.0001363460.000956410316175603 FCGXX 00057 657

Symbol

FCOXX

CUSIP

316175702

Fund #

659

01/05/2024$1.005.06%5.08%5.08%0.0001386840.000694726316175702 FCOXX 00059 659

Symbol

FCOXX

CUSIP

316175702

Fund #

659

01/06/2024na5.06%5.07%5.08%0.0001386850.000833411316175702 FCOXX 00059 659

Symbol

FCOXX

CUSIP

316175702

Fund #

659

01/07/2024na5.06%5.07%5.08%0.0001386850.000972096316175702 FCOXX 00059 659

Symbol

FSIXX

CUSIP

233809300

Fund #

680

01/05/2024$1.005.22%5.23%5.24%0.0001430400.000715822233809300 FSIXX 00680 680

Symbol

FSIXX

CUSIP

233809300

Fund #

680

01/06/2024na5.22%5.23%5.24%0.0001430390.000858861233809300 FSIXX 00680 680

Symbol

FSIXX

CUSIP

233809300

Fund #

680

01/07/2024na5.22%5.22%5.24%0.0001430390.001001900233809300 FSIXX 00680 680

Symbol

FETXX

CUSIP

316176304

Fund #

684

01/05/2024$1.002.58%3.16%3.26%0.0000707330.000416461316176304 FETXX 00056 684

Symbol

FETXX

CUSIP

316176304

Fund #

684

01/06/2024na2.58%3.03%3.26%0.0000707330.000487194316176304 FETXX 00056 684

Symbol

FETXX

CUSIP

316176304

Fund #

684

01/07/2024na2.58%2.91%3.26%0.0000707330.000557927316176304 FETXX 00056 684

Symbol

FISXX

CUSIP

316175504

Fund #

695

01/05/2024$1.005.21%5.22%5.22%0.0001426900.000713994316175504 FISXX 00695 695 01/06/2024na5.21%5.21%5.22%0.0001426900.000856684316175504 FISXX 00695 695

Symbol

FISXX

CUSIP

316175504

Fund #

695

01/07/2024na5.21%5.21%5.22%0.0001426900.000999374316175504 FISXX 00695 695

Symbol

FCSXX

CUSIP

316175884

Fund #

696

01/05/2024$1.004.96%4.97%4.97%0.0001358210.000679653316175884 FCSXX 00695 696

Symbol

FCSXX

CUSIP

316175884

Fund #

696

01/06/2024na4.96%4.96%4.97%0.0001358210.000815474316175884 FCSXX 00695 696

Symbol

FCSXX

CUSIP

316175884

Fund #

696

01/07/2024na4.96%4.96%4.97%0.0001358230.000951297316175884 FCSXX 00695 696

Symbol

FTYXX

CUSIP

192826105

Fund #

906

01/05/2024$1.005.17%5.18%5.19%0.0001416470.000708858192826105 FTYXX 00680 906

Symbol

FTYXX

CUSIP

192826105

Fund #

906

01/06/2024na5.17%5.18%5.19%0.0001416460.000850504192826105 FTYXX 00680 906

Symbol

FTYXX

CUSIP

192826105

Fund #

906

01/07/2024na5.17%5.17%5.19%0.0001416460.000992150192826105 FTYXX 00680 906

Symbol

FTUXX

CUSIP

192826204

Fund #

911

01/05/2024$1.005.16%5.17%5.17%0.0001413080.000707081192826204 FTUXX 00695 911

Symbol

FTUXX

CUSIP

192826204

Fund #

911

01/06/2024na5.16%5.16%5.17%0.0001413070.000848388192826204 FTUXX 00695 911

Symbol

FTUXX

CUSIP

192826204

Fund #

911

01/07/2024na5.16%5.16%5.17%0.0001413070.000989695192826204 FTUXX 00695 911

Symbol

FGEXX

CUSIP

192826303

Fund #

918

01/05/2024$1.005.17%5.19%5.19%0.0001417610.000710792192826303 FGEXX 00057 918

Symbol

FGEXX

CUSIP

192826303

Fund #

918

01/06/2024na5.17%5.19%5.19%0.0001417600.000852552192826303 FGEXX 00057 918

Symbol

FGEXX

CUSIP

192826303

Fund #

918

01/07/2024na5.17%5.18%5.19%0.0001417620.000994314192826303 FGEXX 00057 918

Symbol

FMYXX

CUSIP

192826501

Fund #

931

01/05/2024$1.005.26%5.28%5.28%0.0001442080.000722399192826501 FMYXX 00059 931

Symbol

FMYXX

CUSIP

192826501

Fund #

931

01/06/2024na5.26%5.27%5.28%0.0001442090.000866608192826501 FMYXX 00059 931

Symbol

FMYXX

CUSIP

192826501

Fund #

931

01/07/2024na5.26%5.27%5.28%0.0001442090.001010817192826501 FMYXX 00059 931

Symbol

FSXXX

CUSIP

192826600

Fund #

938

01/05/2024$1.002.78%3.36%3.46%0.0000762260.000443982192826600 FSXXX 00056 938

Symbol

FSXXX

CUSIP

192826600

Fund #

938

01/06/2024na2.78%3.23%3.46%0.0000762260.000520208192826600 FSXXX 00056 938

Symbol

FSXXX

CUSIP

192826600

Fund #

938

01/07/2024na2.78%3.11%3.46%0.0000762260.000596434192826600 FSXXX 00056 938 01/05/2024$1.002.45%2.94%3.01%0.0000682860.00039708231606Y108 FSBXX 00457 1868 01/06/2024na2.44%2.83%3.02%0.0000682860.00046536831606Y108 FSBXX 00457 1868 01/07/2024na2.44%2.72%3.02%0.0000682860.00053365431606Y108 FSBXX 00457 1868 01/05/2024$1.002.75%3.32%3.41%0.0000767640.000446004316338102 FNKXX 00422 1869 01/06/2024na2.74%3.19%3.41%0.0000767640.000522768316338102 FNKXX 00422 1869 01/07/2024na2.74%3.06%3.41%0.0000767640.000599532316338102 FNKXX 00422 1869 01/05/2024$1.002.70%3.25%3.34%0.0000753880.000440920316090406 FSKXX 00423 1870 01/06/2024na2.70%3.14%3.34%0.0000753890.000516309316090406 FSKXX 00423 1870 01/07/2024na2.70%3.02%3.34%0.0000753890.000591698316090406 FSKXX 00423 1870 01/05/2024$1.002.53%3.07%3.23%0.0000701660.000410876315902403 FMAXX 00426 1871 01/06/2024na2.52%2.95%3.22%0.0000701650.000481041315902403 FMAXX 00426 1871 01/07/2024na2.52%2.83%3.22%0.0000701660.000551207315902403 FMAXX 00426 1871

Symbol

FNSXX

CUSIP

31607A109

Fund #

2013

01/05/2024$1.005.35%5.37%5.37%0.0001466860.00073473531607A109 FNSXX 00059 2013

Symbol

FNSXX

CUSIP

31607A109

Fund #

2013

01/06/2024na5.35%5.36%5.37%0.0001466860.00088142131607A109 FNSXX 00059 2013

Symbol

FNSXX

CUSIP

31607A109

Fund #

2013

01/07/2024na5.35%5.36%5.37%0.0001466860.00102810731607A109 FNSXX 00059 2013

Symbol

FTVXX

CUSIP

31607A406

Fund #

2016

01/05/2024$1.004.71%4.72%4.72%0.0001290170.00064563531607A406 FTVXX 00695 2016

Symbol

FTVXX

CUSIP

31607A406

Fund #

2016

01/06/2024na4.71%4.71%4.72%0.0001290180.00077465331607A406 FTVXX 00695 2016

Symbol

FTVXX

CUSIP

31607A406

Fund #

2016

01/07/2024na4.71%4.71%4.72%0.0001290200.00090367331607A406 FTVXX 00695 2016

Symbol

FOPXX

CUSIP

31607A505

Fund #

2017

01/05/2024$1.004.72%4.73%4.74%0.0001293680.00064746531607A505 FOPXX 00680 2017

Symbol

FOPXX

CUSIP

31607A505

Fund #

2017

01/06/2024na4.72%4.73%4.74%0.0001293680.00077683331607A505 FOPXX 00680 2017

Symbol

FOPXX

CUSIP

31607A505

Fund #

2017

01/07/2024na4.72%4.72%4.74%0.0001293680.00090620131607A505 FOPXX 00680 2017

Symbol

FRGXX

CUSIP

31607A703

Fund #

2642

01/05/2024$1.005.26%5.28%5.28%0.0001441970.00072297431607A703 FRGXX 00057 2642

Symbol

FRGXX

CUSIP

31607A703

Fund #

2642

01/06/2024na5.26%5.28%5.28%0.0001441970.00086717131607A703 FRGXX 00057 2642

Symbol

FRGXX

CUSIP

31607A703

Fund #

2642

01/07/2024na5.26%5.27%5.28%0.0001441970.00101136831607A703 FRGXX 00057 2642

Symbol

FRSXX

CUSIP

31607A802

Fund #

2643

01/05/2024$1.005.26%5.27%5.28%0.0001441120.00072118631607A802 FRSXX 00680 2643

Symbol

FRSXX

CUSIP

31607A802

Fund #

2643

01/06/2024na5.26%5.27%5.28%0.0001441120.00086529831607A802 FRSXX 00680 2643

Symbol

FRSXX

CUSIP

31607A802

Fund #

2643

01/07/2024na5.26%5.26%5.28%0.0001441120.00100941031607A802 FRSXX 00680 2643

Symbol

FRBXX

CUSIP

31607A885

Fund #

2644

01/05/2024$1.005.25%5.26%5.26%0.0001437300.00071919131607A885 FRBXX 00695 2644

Symbol

FRBXX

CUSIP

31607A885

Fund #

2644

01/06/2024na5.25%5.25%5.26%0.0001437290.00086292031607A885 FRBXX 00695 2644

Symbol

FRBXX

CUSIP

31607A885

Fund #

2644

01/07/2024na5.25%5.25%5.26%0.0001437300.00100665031607A885 FRBXX 00695 2644

Symbol

FZEXX

CUSIP

316341403

Fund #

2737

01/05/2024$1.002.79%3.32%3.41%0.0000764520.000440266316341403 FZEXX 00084 2737

Symbol

FZEXX

CUSIP

316341403

Fund #

2737

01/06/2024na2.79%3.21%3.41%0.0000764510.000516717316341403 FZEXX 00084 2737

Symbol

FZEXX

CUSIP

316341403

Fund #

2737

01/07/2024na2.79%3.09%3.41%0.0000764520.000593169316341403 FZEXX 00084 2737

Symbol

FZDXX

CUSIP

31617H805

Fund #

2738

01/05/2024$1.005.19%5.21%5.21%0.0001422380.00071260031617H805 FZDXX 00454 2738

Symbol

FZDXX

CUSIP

31617H805

Fund #

2738

01/06/2024na5.19%5.20%5.21%0.0001422380.00085483831617H805 FZDXX 00454 2738

Symbol

FZDXX

CUSIP

31617H805

Fund #

2738

01/07/2024na5.19%5.20%5.21%0.0001422390.00099707731617H805 FZDXX 00454 2738 01/05/2024$1.004.45%4.47%4.47%0.0001220310.00061215131617H508 FZAXX 00458 2739 01/06/2024na4.45%4.47%4.47%0.0001220320.00073418331617H508 FZAXX 00458 2739 01/07/2024na4.45%4.46%4.47%0.0001220340.00085621731617H508 FZAXX 00458 2739

Symbol

FZBXX

CUSIP

31617H607

Fund #

2740

01/05/2024$1.004.70%4.72%4.72%0.0001288600.00064629431617H607 FZBXX 00458 2740

Symbol

FZBXX

CUSIP

31617H607

Fund #

2740

01/06/2024na4.70%4.72%4.72%0.0001288600.00077515431617H607 FZBXX 00458 2740

Symbol

FZBXX

CUSIP

31617H607

Fund #

2740

01/07/2024na4.70%4.71%4.72%0.0001288610.00090401531617H607 FZBXX 00458 2740

Symbol

FZCXX

CUSIP

31617H706

Fund #

2741

01/05/2024$1.005.08%5.10%5.10%0.0001392430.00069820831617H706 FZCXX 00458 2741

Symbol

FZCXX

CUSIP

31617H706

Fund #

2741

01/06/2024na5.08%5.10%5.10%0.0001392440.00083745231617H706 FZCXX 00458 2741

Symbol

FZCXX

CUSIP

31617H706

Fund #

2741

01/07/2024na5.08%5.09%5.10%0.0001392440.00097669631617H706 FZCXX 00458 2741

Symbol

FZFXX

CUSIP

316341304

Fund #

2742

01/05/2024$1.004.97%4.97%4.98%0.0001360720.000680812316341304 FZFXX 00058 2742

Symbol

FZFXX

CUSIP

316341304

Fund #

2742

01/06/2024na4.97%4.97%4.98%0.0001360740.000816886316341304 FZFXX 00058 2742

Symbol

FZFXX

CUSIP

316341304

Fund #

2742

01/07/2024na4.97%4.97%4.98%0.0001360740.000952960316341304 FZFXX 00058 2742

Symbol

FGNXX

CUSIP

31635V778

Fund #

2815

(Closed to Public)

01/05/2024$1.005.40%5.42%5.42%0.0001479300.00074174131635V778 FGNXX 02815 2815

Symbol

FGNXX

CUSIP

31635V778

Fund #

2815

(Closed to Public)

01/06/2024na5.40%5.42%5.42%0.0001479290.00088967031635V778 FGNXX 02815 2815

Symbol

FGNXX

CUSIP

31635V778

Fund #

2815

(Closed to Public)

01/07/2024na5.40%5.41%5.42%0.0001479300.00103760031635V778 FGNXX 02815 2815

Symbol

FZGXX

CUSIP

31617H870

Fund #

3018

01/05/2024$1.004.70%4.72%4.72%0.0001288210.00064609931617H870 FZGXX 00458 3018

Symbol

FZGXX

CUSIP

31617H870

Fund #

3018

01/06/2024na4.70%4.72%4.72%0.0001288230.00077492231617H870 FZGXX 00458 3018

Symbol

FZGXX

CUSIP

31617H870

Fund #

3018

01/07/2024na4.70%4.71%4.72%0.0001288220.00090374431617H870 FZGXX 00458 3018

Symbol

FAUXX

CUSIP

315902601

Fund #

6957

01/05/2024na2.32%2.86%3.02%0.0000642740.000381313315902601 FAUXX 00426 6957

Symbol

FAUXX

CUSIP

315902601

Fund #

6957

01/06/2024na2.31%2.74%3.01%0.0000642740.000445587315902601 FAUXX 00426 6957

Symbol

FAUXX

CUSIP

315902601

Fund #

6957

01/07/2024na2.31%2.62%3.01%0.0000642740.000509861315902601 FAUXX 00426 6957

Symbol

FABXX

CUSIP

31606Y306

Fund #

6958

01/05/2024na2.24%2.73%2.81%0.0000623900.00036748531606Y306 FABXX 00457 6958

Symbol

FABXX

CUSIP

31606Y306

Fund #

6958

01/06/2024na2.23%2.62%2.81%0.0000623900.00042987531606Y306 FABXX 00457 6958

Symbol

FABXX

CUSIP

31606Y306

Fund #

6958

01/07/2024na2.23%2.51%2.81%0.0000623900.00049226531606Y306 FABXX 00457 6958

Symbol

FAWXX

CUSIP

316338300

Fund #

6959

01/05/2024na2.54%3.11%3.20%0.0000708540.000416285316338300 FAWXX 00422 6959

Symbol

FAWXX

CUSIP

316338300

Fund #

6959

01/06/2024na2.53%2.98%3.20%0.0000708530.000487138316338300 FAWXX 00422 6959

Symbol

FAWXX

CUSIP

316338300

Fund #

6959

01/07/2024na2.53%2.85%3.20%0.0000708530.000557991316338300 FAWXX 00422 6959

Symbol

FAYXX

CUSIP

316090604

Fund #

6960

01/05/2024na2.50%3.05%3.14%0.0000694960.000411378316090604 FAYXX 00423 6960

Symbol

FAYXX

CUSIP

316090604

Fund #

6960

01/06/2024na2.49%2.93%3.13%0.0000694960.000480874316090604 FAYXX 00423 6960

Symbol

FAYXX

CUSIP

316090604

Fund #

6960

01/07/2024na2.49%2.81%3.13%0.0000694960.000550370316090604 FAYXX 00423 6960
Fidelity Money Market Pricing & Performance (2024)
Top Articles
Latest Posts
Article information

Author: Clemencia Bogisich Ret

Last Updated:

Views: 6293

Rating: 5 / 5 (80 voted)

Reviews: 87% of readers found this page helpful

Author information

Name: Clemencia Bogisich Ret

Birthday: 2001-07-17

Address: Suite 794 53887 Geri Spring, West Cristentown, KY 54855

Phone: +5934435460663

Job: Central Hospitality Director

Hobby: Yoga, Electronics, Rafting, Lockpicking, Inline skating, Puzzles, scrapbook

Introduction: My name is Clemencia Bogisich Ret, I am a super, outstanding, graceful, friendly, vast, comfortable, agreeable person who loves writing and wants to share my knowledge and understanding with you.