Fidelity Tax Free Bond Fund (FTABX) - Mutual Fund

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / Mutual Fund
Shares, excl. options Q3 2024
103K
Holdings value Q3 2024
$1.14M
Value change Q3 2024
+$1.14M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
0
Average buys Q3 2024 %
0
Average sells Q3 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 103K $1.14M +$1.14M $11.16 1
2022 Q4 23.9K $254K -$27.2K $10.61 1
2022 Q3 26.5K $273K +$1.52K $10.30 1
2022 Q2 26.4K $283K +$1.91K $10.74 1
2022 Q1 26.2K $295K +$1.22K $11.27 1
2021 Q4 26.1K $317K -$95.8K $12.16 1
2021 Q3 33.9K $412K -$38.4K $12.14 1
2021 Q2 37.1K $456K +$43.9K $12.29 1
2021 Q1 33.5K $406K -$7.37K $12.10 1
2020 Q4 34.1K $415K +$3.15K $12.30 2
2020 Q3 33.9K $405K +$3.39K $12.21 2
2020 Q2 33.6K $397K +$2.72K $12.14 2
2020 Q1 33.4K $387K +$3.01K $11.35 2
2019 Q4 33.1K $395K -$508K $12.20 2
2019 Q3 75.7K $904K +$2.76K $11.94 2
2019 Q2 75.5K $891K +$2.7K $11.81 2
2019 Q1 75.3K $872K +$367K $11.59 2
2018 Q4 43.6K $493K -$214K $11.32 1
2018 Q3 62.7K $702K +$214K $11.20 2
2018 Q2 43.6K $493K $0 $11.32 1
2018 Q1 43.6K $492K $0 $11.30 1
2017 Q4 43.6K $504K $0 $11.57 1
2017 Q3 43.6K $504K $0 $11.57 1
2017 Q2 43.6K $499K -$326K $11.46 1
2017 Q1 72.4K $818K +$202K $11.30 2
2016 Q4 54.6K $615K +$1.68K $11.28 2
2016 Q3 54.4K $649K +$999 $11.92 2
2016 Q2 54.3K $656K +$1.03K $12.08 2
2016 Q1 54.2K $639K +$1.04K $11.79 2
2015 Q4 54.1K $631K +$1.23K $11.64 2
2015 Q3 54K $625K +$1.05K $11.56 2
2015 Q2 53.9K $619K -$150K $11.47 2
2015 Q1 66.8K $784K +$152K $11.75 3
2014 Q4 53.8K $630K +$1.02K $11.73 2
2014 Q3 53.7K $622K +$506K $11.57 2
2014 Q2 10K $116K -$29K $11.56 1
2014 Q1 12.5K $141K +$1.35K $11.24 1