Institutional Money Funds

Institutional Money Funds

Fidelity Instit Prime MMF/Instit
(800) 544-6666

Fund Information
Category First Tier Instit Distributor Fidelity Distributors Corp.
Manager Kim Miller Advisor Fidelity Management & Research
Nasdaq FIPXX Year of Inception 2007
Fund Features
Rating (M/S&P/F) Aaa/AAAm/- Purchase Deadline 5:00 PM
Minimum Investment $10,000,000 Check Writing No
Subsequent Investments 1 Minimum Check Amount $
Wire Redemption Yes Number of Checks/Month -
Fund Weekly Performance (As of August 31, 2010)
Share Class Assets ($mils) $38,752.0 Portfolio Assets ($mils) $69,337.8
7-Day Simple Yield 0.30% 7-Day Compound Yield 0.30%
30-Day Simple Yield 0.31% 30-Day Compound Yield 0.31%
Average Maturity (days) 40 % Maturing in 7 Days 25
Fund Monthly Performance (As of August 2010)
1-Year Growth Rate 0.25% 3-Year Growth Rate %
5-Year Growth Rate % Expense Ratio 0.15
Note: All Yields and Growth rates are Net of fees.
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