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FVRPMX

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Analysis and statistics

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About

FVRPMX.US refers to the Fidelity Variable Insurance Products Managed Allocation Portfolio II Initial Class, a mutual fund offered by Fidelity Investments. This fund is designed as an investment option within variable annuity and variable life insurance contracts. It employs a managed allocation strategy, meaning it invests in a mix of other Fidelity funds to achieve a target asset allocation. The portfolio's composition typically includes a blend of stocks, bonds, and short-term investments, with the specific allocation adjusted over time based on market conditions and investment objectives. Its performance reflects the underlying funds it invests in, as well as Fidelity's asset allocation decisions.
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Factors

Expense Ratio: Higher expenses can lower returns and thus the fund's price.

Fund Manager Expertise: Skilled management can lead to better investment choices and higher prices.

Underlying Bond Market: Changes in interest rates and credit spreads directly impact bond values.

Inflation: Rising inflation can erode bond values and decrease the fund's price.

Economic Growth: Strong growth may reduce demand for bonds, lowering prices.

Credit Ratings: Downgrades of underlying bonds can negatively affect the fund.

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