Fidelity Advisor Utilities Cl A: (MF: FUGAX)

NAV

$23.60

NAV Day Change

-0.21 (-0.88%)

 

 

May 16 06:05 PM ET

General Information As Of 04/30/13

%Yield 1.66
%SEC Yield NA
%YTD Return (as of 04/30/13) 19.78
Objective* Equity - Sector Utilities
Peer* UT LV

Portfolio Statistics

%Unrealized Gain YTD 7.23
Net Assets (Mil $) 04/30/2013 117.56
%Turnover 04/30/2013 135.00

Fees

%Max Sales Load 5.75
%Min Sales Load .00
%Max Deferred Load NA

Expenses

%Max 12b-1 Fee 0.25
%Max Management Fee 0.56
Redemption Fee 0.75
Expense Ratio 1.22

Allocation

Large Growth 0.00
Large Value 55.46
Small Growth 0.00
Small Value 0.00
Foreign Stock 14.34
Emerging Market 0.00
Precious Metal 0.00
Intermediate Bond 0.00
Foreign Bond 0.00
High Yield Bond 0.00

Portfolio Information

Composition

As of 01/31/2013 %of Net Assets
Stock 97.76
Cash 3.66
Bonds 0.00
Preferred 0.00
Convertibles 0.00
Foreign Stock 1.10
Foreign Bonds 0.00
Hedge 0.00
Other -1.42

Sector / Country Weightings

As of 04/30/2013 % of Portfolio
Utilities 88.51
Energy 6.28
Other 2.24
Industrial Cyclical 1.56
Services 1.41

Portfolio Holdings

Top Equity Holdings (As of 10/31/2012) % of Portfolio Value (Mil$)
DUKE ENERGY CORP 13.99 27.26
AMERICAN ELECTRIC POWER 8.16 15.89
SEMPRA ENERGY 7.93 15.45
EDISON INTL 7.16 13.95
P G & E CORP 6.19 12.07
FIRSTENERGY CORP 5.96 11.62
AES CORP 4.70 9.16
CALPINE CORP W I 4.70 9.16
CENTERPOINT ENERGY INC 4.65 9.06

Contact Information

Family Fidelity
Addrerss 82 Devonshire St
Boston, MA 02109
Phone 800 544-6666

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Zacks Mutual Fund Rank: 1 - Strong Buy

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Fund Description

Fidelity Advisor Telecommunications and Utilities Growth Fund, Class A was incepted in September 1996 and is managed by the Fidelity Group. The objective of the fund is to seek capital appreciation. The fund normally invests at least 80% of assets in securities of companies principally engaged in the utilities industry and companies deriving a majority of their revenues from their utility operations. Because the fund is considered non-diversified, the management invests a significant percentage of the fund's assets in a single issuer. The management invests in securities of foreign and domestic issuers. The fund offers dividends and capital gains in December.

Stock Holding % of Net Assets

As Of 01/31/2013
Total Issues 27
Avg. P/E 15.87
Avg. P/Book 2.50
Avg. EPS Growth 5.46
Avg. Market Value (Mil $) 13,785

Risk

3 Year 5 Year 10 Year
Beta 0.42 0.56 0.62
Alpha 10.58 1.88 5.70
R Squared 0.37 0.43 0.43
Std. Dev. 10.47 15.98 13.90
Sharpe 1.60 0.36 2.00

Shareholder Information

Manager Douglas Simmons
Since 10/06
Manager Rating 3.50
Inception Date 09/03/1996
Shareholders NA
Dividends Paid S
Minimum Initial Investment $2,500
Minimum Subsequent Investment $0
IRA Minimum $500
IRA Available Y Check Writing N Phone Invest Y
Phone Exchange Y Phone Redeem Y Auto Invest Y
Wire Redeem Y Wire Fee Y Wire Transfer Y

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