Sunday, May 11, 2008  

   


Fidelity Insight's Model Portfolios are composed of Fidelity funds carefully chosen for their ability to work together to deliver exceptional performance.

Each portfolio is designed to help a specific investor profile to reach their investing goals while mitigating risk.



Aggressive Growth:
For aggressive members who have no need for income or principal for more than 10 years.

    Target Relative Volatility Range: 0.50 - 1.50
    Estimated Portfolio Yield: 0.9%



Growth Model Portfolio:

For moderately aggressive members who want equity-dominated portfolios and have no income needs for at least 10 years.

    Target Relative Volatility Range: 0.50 - 1.00
    Estimated Portfolio Yield: 1.6%



Growth & Income Portfolio:
A good choice for members retiring in five-10 years looking for less volatility than the market. Seeks a yield in excess of the S&P 500.

    Target Relative Volatility Range: 0.25 - 0.75
    Estimated Portfolio Yield: 2.1%



Income & Preservation:

For individuals needing income and protection of their purchasing power against inflation. Seeks a yield of at least twice that of the S&P 500.

    Target Relative Volatility Range: 0.10 - 0.50
     Estimated Portfolio Yield: 2.1%




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