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FGFGNX

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Analysis and statistics

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About

FGFGNX.US represents the Fidelity Freedom® 2065 Fund, a collective investment fund managed by Fidelity Investments. It is a target date fund designed for investors planning to retire around the year 2065. The fund operates on a glide path, meaning its asset allocation gradually shifts over time from a higher proportion of stocks to a more conservative mix of bonds and short-term investments as the target date approaches. This strategy aims to provide growth potential early in the investment horizon and then prioritize capital preservation closer to retirement. The fund's performance and composition are subject to market fluctuations and management decisions.
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Factors

Fund Performance: How well the fund is performing relative to its benchmark index and peer group significantly impacts its attractiveness to investors.

Market Conditions: Overall market sentiment, economic data releases, and global events can drive investor behavior, influencing demand for and price of the fund.

Interest Rate Changes: Interest rate hikes or cuts by central banks can affect bond yields and investor appetite for fixed-income funds like FGFGNX.US.

Credit Risk: Changes in the creditworthiness of the underlying bonds within the fund's portfolio can influence its perceived risk and market value.

Inflation: Rising inflation can erode the real value of fixed-income investments, leading to price declines as investors seek higher returns elsewhere.

Fund Flows: Inflows and outflows of investor capital can impact the fund's net asset value (NAV) and, consequently, its share price.

Expense Ratio: The fund's operating expenses can affect its overall return and attractiveness to investors, potentially influencing its price.

Management Expertise: The skill and experience of the fund manager in selecting and managing the portfolio's assets can impact performance and investor confidence.

Liquidity: The ease with which fund shares can be bought and sold in the market can influence its price, with less liquid funds potentially experiencing greater price volatility.

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