FSTFX Mutual Fund

FSTFX Mutual Fund

NAV$10.33
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Showing top 50 of 901 holdings · as of Jul 31, 2026
FSTFX holdings, by weight
#TickerNameWeightCumulativeMkt valueSectorIndustry
1—Fidelity Municipal Cash Central FundFinancials · Capital Markets
2.00%
2.0%$60.30MFinancialsCapital Markets
2—Main Street Natural Gas Inc Ga Regd N/C V/R B/E 4.00000000Utilities · Gas Utilities
1.44%
3.4%$43.61MUtilitiesGas Utilities
Sector and industry · Pro
3—Southeast Energy Auth Coop Dis 5% Oct 01, 2030
1.29%
4.7%$39.09M
4—Black Belt Energy Gas Dis 5 2031-06-01
1.07%
5.8%$32.41M
5—Wisconsin St Hlth Eductnl Fa Wismed 10/32 Fixed 5
0.88%
6.7%$26.47M
6—Black Belt Energy Gas Dist Al 5%, Due 10/01/2033 5 2033-10-01
0.82%
7.5%$24.86M
7—Met Govt 5% 07/32 5
0.71%
8.2%$21.56M
8—Met Washington Dc Arpts Auth Arpt Sys Revenue 5 2028-10-01
0.71%
8.9%$21.32M
9—California Mun Fin Auth Solid 3.8% Dec 01, 2025
0.70%
9.6%$21.24M
10DebtWashington Health Care Facilities Authority
0.70%
10.3%$21.26M
11DebtMain Street Energy Inc Energy Msepwr 10/33 Fixed 5
0.69%
11.0%$20.80M
12DebtNew York City Housing Development Corporation, New York, Multifamily Housing Revenue Bonds, Sustainable Development Series 2024B-2
0.66%
11.7%$19.98M
13—Black Belt Energy Gas Dist Al Bbeutl 02/53 Adjustable Var
0.63%
12.3%$19.13M
14—Southeast Energy Authority A Cooperative District
0.62%
12.9%$18.86M
15—Washington Health Care Facilities Authority 5 2055-08-15
0.59%
13.5%$17.71M
16DebtMiami-Dade Slw
0.59%
14.1%$17.87M
17—Energy S E Al A Cooperative Di Esdpwr 04/34 Fixed 5
0.58%
14.7%$17.47M
18DebtWisconsin St H
0.57%
15.3%$17.28M
19DebtMain Street Natural Gas Inc
0.56%
15.8%$17.08M
20DebtWashington Health Care Facilities Authority
0.56%
16.4%$17.02M
21—Pa Edfa Sw Sifma+40 Mt
0.55%
16.9%$16.67M
22DebtPhiladelphia Pa Sch Dist Series 2026C
0.54%
17.5%$16.29M
23DebtBlack Belt Energy Gas Dist Ala Gas Proj Rev
0.51%
18.0%$15.53M
24—Broward County School Board, Florida, Certificates Of Participation, Series 2025A
0.48%
18.5%$14.59M
25—Chicago Ill Brd Ed 5.5% Dec 01, 2032
0.46%
18.9%$13.92M
26—Dallas Fort Worth Tx Internati Dalapt 11/50 Adjustable Var
0.46%
19.4%$13.91M
27—New York City, New York, General Obligation Bonds, Fiscal 2021 Series A-1
0.45%
19.8%$13.49M
28—California Cmnty Choice Fing A 5% Feb 01, 2031 5 2031-02-01
0.45%
20.3%$13.62M
29—Wisconsin Health & Educational Facilities Authority 5 2029-02-15
0.45%
20.7%$13.63M
30—New Jersey (state Of), Series 2020 A, Go Bonds
0.44%
21.2%$13.24M
31DebtNew York Trans. Dev. Corp. (Term. 4 John F. Kennedy International. Arpt. Proj.) Series 2022
0.44%
21.6%$13.37M
32—Utah County, Utah, Hospital Revenue Bonds, Ihc Health Services Inc, Series 2020b-2
0.44%
22.0%$13.21M
33—Metropolitan Washington Airports Authority
0.43%
22.5%$12.95M
34—New York Transportation Development Corp. (Jfk International Air Terminal Llc) Series 2022 5.00%, 12/01/27
0.43%
22.9%$12.89M
35DebtNorthside Independent School District
0.43%
23.3%$12.88M
36—Colorado Health Facilities Authority, Colorado, Revenue Bonds, Adventhealth Obligated Group, Series 11-15-2058
0.42%
23.8%$12.78M
37DebtCity Of San Antonio Tx Electric & Gas Systems Revenue
0.42%
24.2%$12.64M
38—Tennessee St Energy Acquisitio Tnsutl 11/34 Fixed 5
0.42%
24.6%$12.70M
39—Minneapolis, Minnesota, Health Care System Revenue Bonds, Allina Health System, Series 2023A 5 11-15-2052
0.41%
25.0%$12.32M
40DebtPort Ny Nj
0.41%
25.4%$12.43M
41—Love Field Airport Modernization Corporation, Texas, General Airport Revenue Bonds, Refunding Series 11/01/2029
0.41%
25.8%$12.28M
42—City Of New York Ny New York Ny
0.40%
26.2%$11.98M
43—Tarrant Cnty Tex Cultural Ed F 5% Nov 15, 2029
0.38%
26.6%$11.59M
44—Kentucky Hsg Corp Sf Mtg Rev 0.06 07-01-2054
0.38%
27.0%$11.48M
45DebtLove Fld Mod Tx
0.38%
27.4%$11.57M
46—Philadelphia Pa Sch Dist N/C, 5%, Due 03/01/2027
0.37%
27.7%$11.11M
47DebtCentral Plains Energy Pro
0.36%
28.1%$10.77M
48—Main Str Nat Var 06/55
0.36%
28.5%$10.88M
49—Ohio St Hsg Fin Agy Residentia L Mtg Rev 2051-03-01
0.36%
28.8%$10.88M
50DebtHarris County Cultural Education Facilities Finance Corporation, Texas, Hospital Revenue Bonds, Memorial Hermann Health System, Series 2024C
0.35%
29.2%$10.50M
More holdings · Pro
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FSTFX Mutual Fund All Holdings

FSTFX holdings total 987 positions. The top 10 holdings account for 10.3% of the fund, led by Fidelity Municipal Cash Central Fund at 2.0%, Main Street Natural Gas Inc Ga Regd N/C V/R B/E 4.00000000 at 1.4%, Southeast Energy Auth Coop Dis 5% Oct 01, 2030 at 1.3%.

FSTFX portfolio concentration is well-diversified, with the top 10 representing 10.3% of total assets. The largest sector exposure is Financials at 14.6%.

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