FSIWX Holdings — Fidelity SAI Intermediate Treasury Bond Index Fund

All 24 reported holdings of Fidelity SAI Intermediate Treasury Bond Index Fund (FSIWX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Ust Notes17.17%$256.33M
Ust Notes10.44%$155.86M
Ust Notes8.81%$131.54M
Ust Notes7.79%$116.26M
Ust Notes7.43%$111.02M
Ust Notes7.17%$107.02M
Ust Notes7.07%$105.58M
Ust Notes5.34%$79.69M
Ust Notes4.38%$65.38M
Ust Notes4.02%$60.04M
Ust Notes3.53%$52.70M
Ust Notes2.15%$32.06M
Ust Notes2.11%$31.48M
Ust Notes2.07%$30.96M
Ust Notes1.99%$29.75M
Ust Notes1.57%$23.47M
Ust Notes1.19%$17.80M
Ust Notes1.13%$16.84M
Fidelity Revere Street Trust0.98%$14.67M
Ust Notes0.89%$13.30M
Ust Notes0.84%$12.53M
Ust Notes0.63%$9.36M
Ust Notes0.46%$6.91M
Ust Notes0.28%$4.19M

FSIWX overview: performance, fees, allocation and SEC filings