FIWCX Holdings — Fidelity SAI International Value Index Fund

All 206 reported holdings of Fidelity SAI International Value Index Fund (FIWCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Novo-Nordisk As2.81%$360.67M
Totalenergies SE2.74%$351.92M
Mitsubishi Corp.2.34%$300.25M
Rio Tinto PLC2.27%$291.45M
Bnp Paribas2.25%$288.39M
Sanofi2.17%$278.14M
Deutsche Telekom AG2.11%$271.54M
Gsk PLC2.03%$260.30M
Shell PLC1.83%$234.61M
Banco Santander SA1.81%$232.14M
Barclays PLC1.75%$224.92M
Vinci SA1.63%$209.55M
Anheuser Busch Inbev SA NV1.55%$198.54M
Investor Ab1.48%$190.54M
Fidelity Revere Street Trust1.45%$185.98M
Axa SA1.44%$185.42M
Natwest Group PLC1.37%$176.35M
Oversea-Chinese Bkg Corp. Ltd.1.37%$176.00M
Deutsche Bank AG1.28%$164.60M
Toyota Motor Corp.1.24%$158.83M
Volvo Ab1.21%$155.59M
Bhp Group Ltd.1.20%$154.43M
Dhl Group1.17%$150.89M
Societe Generale1.16%$149.56M
Nokia Corp.1.09%$140.44M
Panasonic Holdings Corp.1.06%$136.26M
Standard Chartered PLC1.01%$130.36M
Marubeni Corp.0.99%$127.74M
Rio Tinto Ltd.0.98%$126.15M
Sumitomo Corp.0.97%$124.75M
Bayer AG0.93%$119.06M
Kioxia Holdings Corporation0.93%$118.97M
Mercedes-Benz Group AG0.91%$116.58M
Compagnie De St Gobain0.91%$116.52M
Koninklijke Ahold Delhaize NV0.90%$115.92M
United Overseas Bank Ltd.0.86%$110.92M
Komatsu Ltd.0.84%$108.25M
Renesas Electronics Corp.0.80%$102.66M
Bank Leumi Le-Israel0.78%$100.09M
3i Group PLC0.77%$98.71M
Ericsson0.75%$96.57M
Tdk Corp.0.75%$96.46M
Equinor Asa0.73%$93.18M
British American Tobacco PLC0.72%$92.87M
Stmicroelectronics NV0.72%$92.86M
Honda Motor Co. Ltd.0.71%$91.37M
Hsbc Holdings PLC0.71%$91.14M
Vodafone Grp PLC0.67%$86.20M
MS and AD INSURANCE GROUP HOLDINGS INC0.67%$86.11M
Ntt, Inc.0.63%$80.61M
Bayerische Motoren Werke (bmw) AG0.63%$80.60M
Daiichi Life Group, Inc.0.63%$80.49M
Imperial Brands PLC0.61%$78.27M
Sun Hung Kai Properties Ltd.0.57%$72.96M
Michelin Compagnie Generale Des Etablissements0.54%$68.99M
Arcelormittal SA Luxembourg0.53%$68.23M
Veolia Environnement SA0.53%$68.09M
Bridgestone Corp.0.53%$67.57M
Qbe Ins Group Ltd.0.53%$67.55M
Daimler Truck Holding AG0.52%$67.39M
Aib Group PLC0.52%$66.67M
Fortescue Ltd.0.52%$66.38M
Nomura Holdings, Inc.0.51%$65.28M
Inpex Corporation0.51%$65.03M
Canon, Inc.0.50%$64.64M
Denso Corp.0.50%$64.54M
Central Japan Railway Co.0.50%$64.33M
Nn Group NV0.49%$63.52M
Banca Monte Dei Paschi Di Siena Spa0.49%$63.48M
Ck Hutchison Holdings Ltd.0.49%$62.89M
Vonovia SE0.49%$62.76M
Fujifilm Hldgs Corp.0.48%$62.14M
Suzuki Mtr Corp.0.47%$60.85M
Credit Agricole SA0.47%$60.57M
Banco Bpm Spa0.47%$59.78M
Publicis Groupe SA0.46%$58.59M
Boc Hong Kong Holdings Ltd.0.45%$57.26M
Japan Post Holdings Co. Ltd.0.43%$55.39M
FRESENIUS SE and CO KGAA0.43%$55.15M
Nippon Steel Corp.0.43%$54.80M
Abn Amro Bank NV0.42%$54.18M
Hexagon Ab0.41%$53.05M
Banco De Sabadell SA0.41%$52.78M
Dsm Firmenich AG0.40%$51.68M
Asml Holding NV0.40%$51.66M
Capgemini SA0.40%$51.52M
Daiwa House Industry Co. Ltd.0.40%$51.29M
Telefonica SA0.39%$49.61M
Bt Group PLC0.36%$46.38M
Merck Kgaa0.36%$46.24M
Ap Moller Maersk As0.36%$45.64M
Kansai Electric Power Co., Inc.0.35%$45.53M
Nidec Corp.0.35%$44.78M
Nippon Yusen Kk0.34%$43.21M
Industrivarden Ab0.34%$43.05M
Asahi Group Holdings Ltd.0.32%$41.47M
Pernod Ricard SA0.32%$41.04M
Stellantis NV0.31%$40.09M
Jardine Matheson Holdings Ltd.0.30%$38.89M
Orange0.30%$38.84M
Ryanair Holdings PLC0.30%$38.14M
Mitsui Osk Lines Ltd.0.30%$37.97M
Asahi Kasei Corp.0.29%$37.23M
Israel Discount Bank Ltd.0.29%$36.95M
Chubu Electric Power Co., Inc.0.28%$36.12M
Ck Asset Holdings Ltd.0.27%$34.20M
International Consolidated Airlines Group SA0.25%$31.99M
Eiffage SA0.25%$31.86M
Endeavour Mining PLC0.24%$31.30M
Carrefour SA0.24%$30.85M
Bouygues SA0.24%$30.67M
Naturgy Energy Group SA0.24%$30.40M
Bunzl PLC0.23%$29.62M
Kawasaki Kisen Kaisha Ltd.0.22%$28.88M
Evolution Ab0.22%$28.36M
Omv AG0.22%$28.18M
Yara International Asa0.20%$26.30M
Fresenius Medical Care AG0.20%$26.13M
Skanska Ab0.20%$25.94M
MARKS and SPENCER GROUP PLC0.20%$25.61M
Rexel SA0.20%$25.57M
Klepierre SA0.19%$24.77M
Aisin Corp.0.19%$24.71M
Brenntag SE0.19%$24.31M
Subaru Corp.0.18%$23.41M
Dai Nippon Printing Ltd. Japan0.18%$22.88M
Fresnillo PLC0.18%$22.49M
Mitsubishi Chemical Group Corp.0.17%$22.27M
Heineken Holding NV0.17%$22.09M
Agc, Inc.0.17%$21.64M
Sainsbury (j) PLC0.16%$20.80M
Wilmar International Ltd.0.16%$20.78M
Ssab Ab (swd Stl)0.16%$20.61M
Isuzu Motors Ltd.0.16%$20.54M
Rakuten Group, Inc.0.16%$20.52M
Singapore Airlines Ltd.0.16%$19.96M
Yamaha Motor Co. Ltd.0.15%$19.85M
Sonic Healthcare Ltd.0.15%$19.63M
Associated British Foods PLC0.15%$19.63M
Jfe Holdings, Inc.0.15%$19.50M
Raiffeisen Bank International AG0.15%$19.40M
ACKERMANS and VAN HAAREN NV0.15%$19.29M
Alstom SA0.14%$18.57M
Kingfisher PLC0.14%$18.53M
Ly Corporation0.14%$18.10M
Renault SA0.14%$17.89M
Elis SA0.14%$17.55M
Verbund AG0.14%$17.33M
Nice Ltd.0.13%$17.32M
Sekisui Chemical Co. Ltd.0.13%$16.87M
Pandora A/s0.13%$16.68M
Land Securities Group PLC0.13%$16.66M
Yokohama Rubber Co. Ltd.0.13%$16.45M
Seibu Holdings, Inc.0.13%$16.20M
Thyssenkrupp AG0.13%$16.07M
Nippon Express Holdings, Inc.0.12%$15.85M
Sumitomo Forestry Co. Ltd.0.12%$15.43M
Avolta AG0.12%$15.23M
Voestalpine AG0.12%$14.98M
Sumitomo Chem Co. Ltd.0.12%$14.93M
Zalando SE0.12%$14.94M
Leg Immobilien Gmbh0.11%$14.60M
British Land Co. PLC0.11%$14.53M
Evonik Industries AG0.11%$14.41M
Deutsche Lufthansa A G0.11%$14.28M
Kyushu Electric Power Co., Inc.0.11%$14.15M
Tritax Big Box REIT PLC0.11%$14.10M
Investec PLC0.11%$13.87M
Brother Industries Ltd.0.11%$13.51M
Kobe Steel Ltd.0.10%$13.48M
Fidelity Revere Street Trust0.10%$13.45M
Barratt Redrow PLC0.10%$13.37M
Swire Pacific Ltd.0.10%$13.27M
Ricoh Co. Ltd.0.10%$13.26M
Buzzi Spa0.10%$13.06M
Ayvens SA0.10%$12.83M
Mitsui Chemicals, Inc.0.10%$12.58M
Qantas Airways Ltd.0.10%$12.51M
Arkema SA0.10%$12.51M
A2a Spa0.10%$12.31M
Gecina SA0.09%$12.15M
Seiko Epson Corp.0.09%$11.65M
Electric Power Develop Co. Ltd.0.09%$11.38M
Berkeley Group Holdings PLC0.09%$11.37M
Credit Saison Co. Ltd.0.09%$11.34M
Drax Group PLC0.09%$11.24M
Inchcape PLC0.09%$11.12M
Itv PLC0.08%$10.83M
Wpp PLC0.08%$10.78M
Adecco Group AG0.08%$10.66M
Mazda Motor Corp.0.08%$10.66M
Medipal Hldgs Corp.0.08%$10.01M
Kion Group AG0.08%$9.98M
Covivio0.08%$9.96M
Teleperformance0.08%$9.93M
Tohoku Electric Power, Inc.0.08%$9.69M
Randstad NV0.07%$9.46M
Tui AG0.07%$9.29M
Kuraray Co. Ltd.0.07%$8.93M
Iveco Group NV0.07%$8.59M
Easyjet PLC0.07%$8.51M
Zealand Pharma A/s0.07%$8.35M
Ice Futures US0.05%$6.29M
Ust Bills0.02%$2.90M
Abn Amro Bank NV0.01%$1.28M
Adecco Group AG0.00%$594.96K

FIWCX overview: performance, fees, allocation and SEC filings