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N23C3A

Fidelity Multi-Strategy Credit Fund Redemptions Due July 3

Fidelity Multi-Strategy Credit Fund will distribute repurchase proceeds to shareholders on July 3, 2026. The fund processed redemption requests submitted through June 26, 2026, with repurchases capped at 5.0% of net asset value, or $2.83 million. As of the offering date of May 28, 2026, the fund's NAV stood at $56.55 million.

More updates for Fidelity Multi-Strategy Credit Fund