Fidelity Advisor Managed Retirement Income Fund - Class I (MF:FRIMX)

59.42 -0.08 (-0.13%)
Daily Price Updated: 4:00 PM EST, Jan 16, 2026 Add to My Watchlist

Historical Prices

Date Open High Low Close Volume Change (%)
Jan 16, 2026 59.42 0 -0.08(-0.13%)
Jan 15, 2026 59.50 0 +0.01(+0.02%)
Jan 14, 2026 59.49 0 +0.06(+0.10%)
Jan 13, 2026 59.43 0 -0.02(-0.03%)
Jan 12, 2026 59.45 0 +0.05(+0.08%)
Jan 09, 2026 59.40 0 +0.16(+0.27%)
Jan 08, 2026 59.24 0 -0.05(-0.08%)
Jan 07, 2026 59.29 0 -0.01(-0.02%)
Jan 06, 2026 59.30 0 +0.07(+0.12%)
Jan 05, 2026 59.23 0 +0.21(+0.36%)
Jan 02, 2026 59.02 59.02 59.02 59.02 0 +0.11(+0.19%)
Dec 31, 2025 58.91 58.91 58.91 58.91 0 -0.14(-0.24%)
Dec 30, 2025 59.05 0 -0.76(-1.27%)
Dec 29, 2025 59.81 0 +0.16(+0.27%)
Dec 23, 2025 59.65 0 +0.08(+0.13%)
Dec 22, 2025 59.57 0 +0.05(+0.08%)
Dec 19, 2025 59.52 0 +0.04(+0.07%)
Dec 18, 2025 59.48 0 +0.17(+0.29%)
Dec 17, 2025 59.31 59.31 59.31 59.31 0 -0.09(-0.15%)
Dec 16, 2025 59.40 0 -0.02(-0.03%)
Dec 15, 2025 59.42 0 +0.04(+0.07%)
Dec 12, 2025 59.38 0 -0.22(-0.37%)
Dec 11, 2025 59.60 0 +0.05(+0.08%)
Dec 10, 2025 59.55 0 +0.22(+0.37%)
Dec 09, 2025 59.33 0 -0.06(-0.10%)
Dec 08, 2025 59.39 0 -0.05(-0.08%)
Dec 05, 2025 59.44 0 -0.04(-0.07%)
Dec 04, 2025 59.48 0 -0.04(-0.07%)
Dec 03, 2025 59.52 0 +0.13(+0.22%)
Dec 02, 2025 59.39 0 +0.06(+0.10%)
Dec 01, 2025 59.33 0 -0.21(-0.35%)
Nov 28, 2025 59.54 0 +0.01(+0.02%)
Nov 26, 2025 59.53 0 +0.17(+0.29%)
Nov 25, 2025 59.36 0 +0.20(+0.34%)
Nov 24, 2025 59.16 0 +0.18(+0.31%)
Nov 21, 2025 58.98 0 +0.20(+0.34%)
Nov 20, 2025 58.78 0 -0.12(-0.20%)
Nov 19, 2025 58.90 0 -0.04(-0.07%)
Nov 18, 2025 58.94 0 -0.06(-0.10%)
Nov 17, 2025 59.00 0 -0.13(-0.22%)
Nov 14, 2025 59.13 0 -0.07(-0.12%)
Nov 13, 2025 59.20 0 -0.29(-0.49%)
Nov 12, 2025 59.49 59.49 59.49 59.49 0 +0.02(+0.03%)
Nov 11, 2025 59.47 0 +0.15(+0.25%)
Nov 10, 2025 59.32 0 +0.14(+0.24%)
Nov 07, 2025 59.18 0 +0.01(+0.02%)
Nov 06, 2025 59.17 0 +0.03(+0.05%)
Nov 05, 2025 59.14 0 -0.07(-0.12%)
Nov 04, 2025 59.21 0 -0.14(-0.24%)
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