FQITX Holdings — Fidelity SAI International Quality Index Fund

All 182 reported holdings of Fidelity SAI International Quality Index Fund (FQITX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Asml Holding NV4.42%$75.40M
Roche Holding AG3.02%$51.52M
Novartis AG2.98%$50.89M
Abb Ltd.2.96%$50.49M
Allianz SE2.91%$49.57M
Advantest Corp.2.83%$48.34M
Tokyo Electron Ltd.2.74%$46.74M
Novo-Nordisk As2.71%$46.18M
Sap SE2.37%$40.35M
Lvmh Moet Hennessy Louis Vuitton SE2.32%$39.59M
Unilever PLC2.21%$37.74M
Zurich Insurance Group AG2.17%$37.05M
Sanofi2.15%$36.70M
Compagnie Financiere Richemont AG Switz2.14%$36.57M
Fast Retailing Co. Ltd.2.11%$35.92M
L'oreal SA2.10%$35.84M
Keyence Corp.1.95%$33.21M
Tokio Marine Holdings, Inc.1.89%$32.16M
Atlas Copco Ab1.56%$26.60M
Recruit Holdings Co. Ltd.1.54%$26.30M
Hermes Intl Sca1.42%$24.20M
Industria De Diseno Textil Inditex SA1.42%$24.18M
Relx PLC1.42%$24.16M
Hoya Corp.1.36%$23.27M
HONG KONG EXCHANGES and CLEARING LTD1.35%$23.05M
Wesfarmers Ltd.1.28%$21.89M
Deutsche Boerse AG1.23%$20.98M
Fidelity Revere Street Trust1.15%$19.62M
Asm Intl NV0.96%$16.41M
Disco Corp.0.96%$16.32M
Ferrari NV0.90%$15.27M
Haleon PLC0.88%$14.93M
Fanuc Corporation0.87%$14.81M
Anheuser Busch Inbev SA NV0.81%$13.74M
Adyen NV0.76%$12.91M
3i Group PLC0.74%$12.54M
Chugai Pharmaceutical Co. Ltd.0.72%$12.36M
Experian PLC0.71%$12.19M
MS and AD INSURANCE GROUP HOLDINGS INC0.71%$12.16M
Ucb SA0.70%$11.88M
Ntt, Inc.0.62%$10.57M
Givaudan SA0.62%$10.51M
Imperial Brands PLC0.61%$10.40M
Amadeus It Group SA0.55%$9.44M
Kone Oyj0.53%$9.00M
Qbe Ins Group Ltd.0.52%$8.88M
Muenchener Rueckversicherungs-Gesellschaft AG In Muenchen0.51%$8.74M
Partners Group Holding0.50%$8.52M
Bank Leumi Le-Israel0.48%$8.27M
Lasertec Corp.0.47%$8.04M
Universal Music Group NV0.47%$7.96M
Intercontinental Hotels Group PLC New0.46%$7.89M
Geberit AG0.45%$7.73M
Aristocrat Leisure Ltd.0.45%$7.71M
Schindler Holding AG0.45%$7.70M
Fidelity Revere Street Trust0.45%$7.64M
Asics Corp.0.44%$7.57M
Techtronic Industries Co. Ltd.0.44%$7.52M
Wartsila Oyj0.43%$7.39M
Next PLC0.43%$7.36M
Vat Group AG0.43%$7.31M
Aena Sme SA0.43%$7.28M
Terumo Corp.0.40%$6.84M
Hannover Rueck SA0.39%$6.62M
Wolters Kluwer NV0.39%$6.59M
Sgs SA0.38%$6.51M
SHIONOGI and CO LTD0.34%$5.87M
Telstra Group Ltd.0.32%$5.53M
Finecobank Spa0.32%$5.49M
Bandai Namco Holdings, Inc.0.32%$5.42M
Dassault Systemes SA0.32%$5.39M
Kongsberg Gruppen Asa0.31%$5.34M
Ageas0.30%$5.09M
Singapore Exchange Ltd.0.30%$5.06M
Moncler Spa0.28%$4.86M
Nitto Denko Corp.0.27%$4.69M
FISHER and PAYKEL HEALTHCARE CORP0.27%$4.60M
Admiral Group PLC0.26%$4.50M
Japan Exchange Group, Inc.0.26%$4.46M
Straumann Holding AG0.26%$4.46M
Screen Holdings Co. Ltd.0.26%$4.41M
Mizrahi Tefahot Bank Ltd.0.26%$4.38M
Nomura Resh Inst Ltd.0.25%$4.27M
International Consolidated Airlines Group SA0.25%$4.21M
The Sage Group PLC0.24%$4.17M
Coca Cola Hbc AG0.24%$4.15M
Tele2 Ab0.24%$4.13M
Power Assets Hldgs Ltd.0.24%$4.09M
Sonova Hldg AG0.23%$3.94M
Beazley Plc/uk0.22%$3.78M
Swedish Orphan Biovitrum Ab0.22%$3.73M
Evolution Ab0.22%$3.71M
Accelleron Industries Ltd.0.22%$3.67M
Wise PLC0.21%$3.62M
Intertek Group PLC0.21%$3.61M
Addtech Ab0.20%$3.41M
Imi PLC0.20%$3.41M
Medibank Private Limited0.20%$3.40M
Gaztransport Et Technigaz SA0.19%$3.27M
Belimo Holding AG0.19%$3.26M
Niterra Co. Ltd.0.19%$3.24M
Orion Oyj0.19%$3.20M
Games Workshop Group PLC0.19%$3.18M
Obic Co. Ltd.0.19%$3.17M
Asx Ltd.0.18%$3.09M
Yokogawa Electric Corp.0.18%$3.06M
Next Vision Stabilized Systems Ltd.0.17%$2.95M
Bezeq The Israeli Tel Corp. Ltd.0.16%$2.74M
Italgas Spa0.16%$2.71M
Beiersdorf AG0.16%$2.70M
Exor NV0.16%$2.66M
Capcom Co. Ltd.0.15%$2.62M
Ig Group Holdings PLC0.15%$2.55M
Elisa Corp.0.15%$2.54M
Konecranes Oyj0.15%$2.52M
Dbs Group Holdings Ltd.0.15%$2.51M
Daito Trust Construction Co. Ltd.0.15%$2.51M
Nexon Co. Ltd.0.15%$2.48M
Wisetech Global Ltd.0.14%$2.42M
Misumi Group, Inc.0.14%$2.38M
Ringkjobing Landbobank0.14%$2.32M
Verbund AG0.13%$2.28M
Technology One Limited0.13%$2.28M
Scout24 SE0.13%$2.27M
Rea Group Ltd.0.13%$2.26M
Sanrio Co. Ltd.0.13%$2.24M
Seibu Holdings, Inc.0.13%$2.24M
Technip Energies NV0.13%$2.24M
Jb Hi-Fi Ltd.0.13%$2.22M
Andritz AG0.13%$2.21M
Pandora A/s0.13%$2.18M
Nissan Chemical Corp.0.12%$2.13M
Auto Trader Group PLC0.12%$2.10M
Ems-Chemie Holding AG0.12%$2.10M
Swissquote Group Holding SA0.12%$2.00M
Pro Medicus Ltd.0.12%$1.97M
Perseus Mining Ltd.0.12%$1.97M
Gjensidige Forsikring Asa0.11%$1.93M
Temenos AG0.11%$1.90M
Asahi Intecc Co. Ltd.0.11%$1.85M
Yakult Honsha Co. Ltd.0.11%$1.85M
Ck Infrastructure Holdings Ltd.0.11%$1.85M
Sanwa Holdings Corp.0.11%$1.83M
Hub24 Ltd.0.11%$1.82M
Alk-Abello A/s0.10%$1.79M
Ramelius Resources Ltd.0.10%$1.73M
Azimut Holdings Spa0.10%$1.72M
Banca Mediolanum Spa0.10%$1.72M
Mycronic Ab0.10%$1.71M
Rightmove PLC0.10%$1.65M
Uss Co. Ltd.0.09%$1.62M
Cochlear Ltd.0.09%$1.62M
Tel Aviv Stock Exchange Ltd.0.09%$1.59M
First International Bank Of Israel Ltd.0.09%$1.58M
Trend Micro, Inc.0.09%$1.58M
Baycurrent, Inc.0.09%$1.56M
Avanza Bank Holding Ab0.09%$1.56M
Nordnet Ab0.09%$1.55M
Hirose Electric Co. Ltd.0.09%$1.54M
Plus500 Ltd.0.09%$1.54M
Sysmex Corporation0.09%$1.53M
Fischer (georg) AG0.09%$1.53M
D'ieteren Group0.09%$1.53M
Azbil Corp.0.09%$1.52M
Ice Futures US0.08%$1.43M
Maruwa Co. Ltd/aichi0.08%$1.42M
Freenet AG0.08%$1.38M
Banca Generali Spa0.08%$1.36M
Rational AG0.08%$1.36M
Seek Ltd.0.08%$1.30M
Santen Pharmaceutical Co. Ltd.0.07%$1.28M
Rotork PLC0.07%$1.27M
Nichias Corp.0.07%$1.25M
Steadfast Group Ltd.0.07%$1.24M
Ventia Services Group Pty Ltd.0.07%$1.16M
Flatexdegiro SE0.07%$1.12M
Zealand Pharma A/s0.06%$1.10M
Chow Tai Fook Jewellery Co. Ltd.0.06%$1.08M
Kongsberg Maritime As0.06%$1.05M
Bucher Industries AG0.06%$958.19K
Kobe Bussan Co. Ltd.0.06%$938.34K
Ust Bills0.04%$668.13K

FQITX overview: performance, fees, allocation and SEC filings