FPMMX Mutual Fund

FPMMX Mutual Fund

NAV$9.68
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Showing top 50 of 178 holdings · as of Aug 31, 2026
FPMMX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1DebtDistrict Columbia Hsg Fin Agy
1.88%
1.9%550,000$540.0K--
2—Black Belt Energy Gas Dist Ala 5.25% May 01, 2032Utilities · Gas Utilities
1.80%
3.7%505,000$517.6KUtilitiesGas Utilities
Sector and industry · Pro
3DebtChesapeake Bay Bridge & Tunnel District
1.79%
5.5%510,000$514.4K
4DebtRoutt Cnty Colo Arpt Rev
1.79%
7.3%500,000$516.3K
5—Massachusetts 6.5% 07/60
1.77%
9.0%500,000$508.8K
6DebtBullhead Ariz Wtr & Wastewater Sys Rev
1.73%
10.8%500,000$496.9K
7DebtMedical Univ S C Hosp Auth Hosp Mtg Rev
1.72%
12.5%480,000$496.3K
8—National Fin Auth N H Multifam 5.13% Mar 01, 2036 5.13 2036-03-01
1.50%
14.0%440,000$433.0K
9DebtColorado International Ctr Met Dist No 14 5.25%
1.44%
15.4%400,000$413.0K
10—Development Authority Of Burke County (The), Series 1
1.39%
16.8%400,000$400.8K
11—Minnesota Muni Gas Agy Gas Pro Mgautl 09/35 Fixed 5
1.37%
18.2%375,000$393.1K
12—City Of Miami Beach Fl Parking Revenue Bam 5.0% 09-01-40 5 2040-09-01
1.36%
19.5%380,000$392.1K
13—Black Belt Energy Gas Dist Al Bbeutl 10/35 Fixed 5
1.36%
20.9%380,000$390.0K
14—Black Belt Energy Gas Dist Al Bbeutl 06/36 Fixed 5 5
1.36%
22.3%375,000$390.2K
15—Phoenix Az Civic Impt Corp Arpt Revenue
1.32%
23.6%375,000$381.0K
16—Maryland Department Of Housing & Commun
1.29%
24.9%375,000$371.1K
17DebtNorthwest Mich Regl Arpt Auth Arpt Rev
1.25%
26.1%350,000$360.0K
18—Rhode Island St Hlth Eductnl Rismed 10/56 Fixed Oid 8.5
1.17%
27.3%300,000$336.6K
19—State Of Illinois 5.25 2046-04-01
1.10%
28.4%300,000$315.7K
20—Black Belt Energy Gas Dist Ala Gas Proj Rev Bds 12/01/2034
1.09%
29.5%300,000$315.0K
21—Los Angeles (city Of) Department of Airports (los Angeles International Airport), Series 2018 A, Rb
1.07%
30.6%300,000$306.9K
22—Mead Colo Ctfs Partn 5% 5 2041-12-01
1.07%
31.6%300,000$308.8K
23DebtSan Leandro Public Financ
1.06%
32.7%300,000$305.5K
24DebtLogan Hocking Ohio Loc Sch Dist Ctfs Partn
1.01%
33.7%350,000$289.7K
25—National Fin Auth Nh Spl Revenue 0%, Due 12/15/2034
1.01%
34.7%500,000$289.9K
26—Public Finance Authority, Series 2025F 7 2030-12-08
1.00%
35.7%277,702$287.3K
27DebtNational Fin Auth N H Spl Rev
0.98%
36.7%600,000$282.1K
28—San Jose, California, Airport Revenue Bonds, Refunding Series 2017a
0.98%
37.7%275,000$282.0K
29—Public Fin Auth Wi Revenue Pubgen 07/40 Fixed 9
0.91%
38.6%250,000$261.3K
30DebtCity Of Miami Beach Fl
0.90%
39.5%250,000$257.8K
31—Port Port Arthur Tex Nav Dist Port Rev 5.25% 5.25 2046-03-01
0.90%
40.4%255,000$258.3K
32DebtWismed
0.90%
41.3%250,000$259.9K
33DebtPimco Municipal Income Opportunities Active Exchange-Traded Fund Usetf
0.89%
42.2%250,000$255.0K
34DebtOregon St Facs Auth Rev
0.89%
43.0%230,000$255.3K
35DebtPublic Fin Auth Wis Wt Rev
0.89%
43.9%250,000$254.7K
36—County Of Lucas, Series 2025 6.75 2049-11-01
0.88%
44.8%250,000$254.5K
37—New York (State Of) Dormitory Authority, Series 2015, Ref. Rb 5 52413 2043-07-01
0.88%
45.7%250,000$252.2K
38—Canaveral Fl Port Auth
0.88%
46.6%250,000$254.3K
39DebtMichigan St Fin Auth Revenue
0.87%
47.4%280,000$250.4K
40DebtCalifornia St Enterprise Dev Auth Rev 5%
0.87%
48.3%245,000$251.1K
41DebtFort Bend County Industrial Development Corp
0.86%
49.2%250,000$248.4K
42—Public Finance Authority Of Wisconsin, Educational Facility Revenue Bonds, Dreamhouse Refunding Series 2025A
0.86%
50.0%250,000$247.6K
43DebtNy Hmvdev
0.86%
50.9%250,000$247.9K
44—Flandreau Santee Sioux Flndre 09/45 Fixed 7.125
0.85%
51.7%250,000$245.2K
45—Public Fin Auth Wis Edl Fac Rev Bds 2026A
0.85%
52.6%250,000$244.8K
46—National Fin Auth N H Affordab 4.5% Mar 01, 2036 4.5 2036-03-01
0.84%
53.4%249,631$241.8K
47DebtPwr Cnty Id Indl Dev Corp Sol
0.75%
54.2%215,000$216.9K
48DebtNew Hampshire Business Finance Authority
0.74%
54.9%220,000$212.5K
49—Texas St Muni Gas Acquisition Tgautl 03/37 Fixed 5.25
0.74%
55.7%200,000$212.5K
50DebtBuffalo & Erie Cnty N Y Indl Ld Dev Corp Rev
0.74%
56.4%200,000$212.2K
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Not reported for this fund: share changes.
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FPMMX Mutual Fund All Holdings

FPMMX holdings total 150 positions. The top 10 holdings account for 16.8% of the fund, led by District Columbia Hsg Fin Agy 4.8% 09/01/2047 at 1.9%, Black Belt Energy Gas Dist Ala 5.25% May 01, 2032 at 1.8%, Chesapeake Bay Bridge & Tunnel District 5.0% 07/01/2041 at 1.8%.

FPMMX portfolio concentration is well-diversified, with the top 10 representing 16.8% of total assets. The largest sector exposure is Financials at 10.7%.

FPMMX sectors provide a detailed breakdown. FPMMX overlap shows how holdings compare to other funds in your portfolio.