All charts and data below are with dividends reinvested. (Inflation adjustment is OFF !)

Total Real Returns

FXNAX: Total Return Chart (with Dividends Reinvested)

Tue 2011-05-10? to Mon 2025-04-28 YTD
Return
TR
Price
FXNAX
×
+2.36%
2025-04-28
1.306 TR
2025-04-28
Fidelity U.S. Bond Index Fund Institutional Premium Class Mutual Fund

Returns

Tue 2011-05-10? to Mon 2025-04-28 Overall
Return
Exponential
Trendline
FXNAX
×
+30.57%
+1.93%/yr
+1.70%/yr
(R2=0.634)
Fidelity U.S. Bond Index Fund Institutional Premium Class Mutual Fund

Growth of $10,000

Tue 2011-05-10? to Mon 2025-04-28 Start
Value
End
Value
FXNAX
×
$10,000.00
2011-05-10
$13,056.63
2025-04-28
Fidelity U.S. Bond Index Fund Institutional Premium Class Mutual Fund

Annual Returns

Year FXNAX
2025 (YTD) +2.36%
2024 +1.62%
2023 +5.53%
2022 −13.25%
2021 −2.03%
2020 +6.76%
2019 +8.51%
2018 +0.05%
2017 +3.45%
2016 +2.49%
2015 +0.58%
2014 +5.99%
2013 −2.19%
2012 +4.26%
2011 +4.76%

Drawdowns

Tue 2011-05-10? to Mon 2025-04-28 Current
Drawdown
Worst
Drawdown
FXNAX
×
−7.97% −19.64%
2022-10-24
Fidelity U.S. Bond Index Fund Institutional Premium Class Mutual Fund