FKIDX Holdings — Fidelity Diversified International K6 Fund

All 152 reported holdings of Fidelity Diversified International K6 Fund (FKIDX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Asml Holding NV3.27%$168.24M
Fidelity Revere Street Trust2.76%$142.42M
Banco Santander SA2.44%$125.74M
Taiwan Semiconductor Mfg Co. Ltd.2.38%$122.54M
Rolls-Royce Holdings PLC2.03%$104.54M
Shell PLC1.91%$98.52M
Siemens Energy AG1.88%$96.59M
Schneider Elec SA1.85%$95.12M
Lloyds Banking Group PLC1.84%$94.59M
Sk Hynix, Inc.1.77%$91.09M
Caixabank SA1.73%$89.03M
Allianz SE1.61%$82.70M
Astrazeneca PLC1.57%$80.84M
Natwest Group PLC1.56%$80.58M
Sumitomo Mitsui Financial Group, Inc.1.53%$78.98M
Renesas Electronics Corp.1.53%$78.90M
Dsv A/s1.52%$78.27M
Hitachi Ltd.1.51%$77.80M
Hoya Corp.1.49%$76.65M
Advantest Corp.1.44%$74.02M
Mitsubishi Heavy Industries Ltd.1.42%$73.39M
Samsung Electronics Co. Ltd.1.39%$71.41M
British American Tobacco PLC1.39%$71.38M
Itochu Corporation1.32%$67.81M
Kbc Groupe Sa/nv1.30%$66.83M
Aia Group Ltd.1.22%$62.97M
Investor Ab1.17%$60.42M
Crh PLC1.17%$60.28M
Air Liquide SA1.13%$58.05M
Roche Holding AG1.11%$57.17M
Dbs Group Holdings Ltd.1.08%$55.80M
Imperial Oil Ltd.1.07%$54.90M
Antofagasta PLC1.05%$54.01M
Coca Cola Hbc AG1.04%$53.39M
Safran SA1.02%$52.49M
Sse PLC0.99%$51.25M
Franco Nevada Corp.0.98%$50.27M
Kingspan Group PLC0.97%$50.01M
Canadian Natural Resources Ltd.0.95%$49.15M
Bae Systems PLC0.94%$48.48M
Panasonic Holdings Corp.0.89%$45.82M
Deutsche Boerse AG0.88%$45.21M
Intesa Sanpaolo Spa0.82%$42.05M
Zurich Insurance Group AG0.81%$41.53M
Nokia Corp.0.81%$41.51M
Intercontinental Hotels Group PLC New0.80%$41.20M
Rio Tinto PLC0.78%$40.39M
Siemens AG0.77%$39.60M
Orix Corp.0.77%$39.42M
Ebara Corp.0.76%$39.33M
Unicredit Spa0.76%$38.89M
Compagnie Financiere Richemont AG Switz0.72%$37.33M
Shin Etsu Chem Co. Ltd.0.71%$36.76M
Compass Group PLC0.66%$34.05M
Prudential PLC0.66%$33.88M
Muenchener Rueckversicherungs-Gesellschaft AG In Muenchen0.65%$33.72M
FRESENIUS SE and CO KGAA0.64%$32.98M
Kawasaki Heavy Industries Ltd.0.63%$32.28M
Gsk PLC0.62%$31.85M
Ucb SA0.61%$31.42M
Prosus NV0.58%$29.76M
Marubeni Corp.0.57%$29.38M
Finecobank Spa0.56%$28.94M
Fast Retailing Co. Ltd.0.56%$28.78M
Hsbc Holdings PLC0.55%$28.39M
Heidelberg Materials AG0.55%$28.18M
Tokio Marine Holdings, Inc.0.54%$28.04M
Dollarama, Inc.0.54%$28.00M
Orange0.53%$27.41M
Rheinmetall0.53%$27.38M
Standard Chartered PLC0.53%$27.13M
Sap SE0.50%$25.59M
3i Group PLC0.49%$25.21M
Iberdrola SA0.49%$25.08M
Assa Abloy Ab0.48%$24.93M
Airtac International Group0.46%$23.84M
Atlas Copco Ab0.44%$22.70M
Toyota Motor Corp.0.42%$21.83M
Hannover Rueck SA0.42%$21.79M
Ryanair Holdings PLC0.42%$21.64M
Legrand SA0.41%$21.34M
Toyota Tsusho Corp.0.41%$21.12M
Sumitomo Corp.0.40%$20.59M
Holcim AG0.40%$20.45M
Lvmh Moet Hennessy Louis Vuitton SE0.40%$20.38M
National Grid PLC0.39%$20.17M
Rohm Co. Ltd.0.37%$19.23M
Mizuho Financial Group, Inc.0.35%$18.00M
Aristocrat Leisure Ltd.0.35%$17.84M
Asm Intl NV0.34%$17.68M
Prysmian Spa0.33%$16.91M
Chugai Pharmaceutical Co. Ltd.0.33%$16.75M
Industria De Diseno Textil Inditex SA0.32%$16.71M
Veolia Environnement SA0.32%$16.60M
London Stock Exchange Group PLC0.32%$16.32M
Lottomatica Group Spa0.32%$16.30M
Danone SA0.30%$15.67M
Sartorius AG0.30%$15.31M
Lasertec Corp.0.30%$15.26M
Nissan Chemical Corp.0.29%$14.87M
Be Semiconductor Industries NV0.28%$14.16M
Ferguson Enterprises, Inc.0.27%$14.11M
Takeda Pharmaceutical Co. Ltd.0.27%$13.95M
Amundi SA0.26%$13.51M
Daikin Industries Ltd.0.26%$13.41M
L'oreal SA0.25%$12.92M
Cemex Sab De Cv0.24%$12.60M
Nu Holdings Ltd/cayman Islands0.24%$12.28M
Games Workshop Group PLC0.23%$11.94M
Tokyo Electron Ltd.0.23%$11.92M
Fidelity Revere Street Trust0.23%$11.90M
Convatec Group PLC0.22%$11.52M
Teva Pharmaceutical Industries Ltd.0.20%$10.27M
Hexagon Ab0.20%$10.09M
Alcon, Inc.0.19%$9.97M
Argenx SE0.19%$9.72M
Admiral Group PLC0.19%$9.64M
Japan Steel Works Ltd.0.19%$9.54M
Fujikura Ltd.0.18%$9.45M
Wasabi Holdings, Inc.0.18%$9.39M
Rs Group PLC0.18%$9.23M
Novonesis (novozymes) B0.17%$9.01M
Epiroc Ab0.17%$8.96M
Linde PLC0.16%$8.36M
Furukawa Electric Co. Ltd.0.16%$8.17M
Cameco Corp.0.15%$7.93M
Indutrade Ab0.15%$7.85M
Vestas Wind Systems As0.15%$7.83M
Interpump Group Spa0.15%$7.81M
Starling Bank Ltd.0.14%$7.17M
Zegona Communications PLC0.13%$6.53M
Disco Corp.0.12%$6.40M
Wasabi Holdings, Inc.0.11%$5.76M
Suncorp Group Ltd.0.11%$5.64M
Airbus SE0.10%$5.16M
Taiwan Semiconductor Mfg Co. Ltd.0.10%$5.15M
Bizlink Holding, Inc.0.10%$5.04M
Financiere De Tubize SA0.10%$5.01M
Wolters Kluwer NV0.10%$4.97M
Bolt Technology Ou0.09%$4.50M
Allegro.eu0.08%$3.91M
Steadfast Group Ltd.0.05%$2.58M
Gaztransport Et Technigaz SA0.05%$2.46M
Viatris, Inc.0.05%$2.43M
G Mining Ventures Corp.0.05%$2.37M
Valsoft Corp.0.04%$2.06M
Valsoft Corp.0.02%$935.77K
Wasabi Holdings, Inc.0.02%$862.40K
Valsoft Corp.0.01%$730.79K
Kioxia Holdings Corporation0.01%$556.50K
Prudential PLC0.01%$426.50K
Kry International Ab0.00%$245.24K

FKIDX overview: performance, fees, allocation and SEC filings