FSUVX Holdings — Fidelity SAI U.S. Minimum Volatility Index Fund

All 189 reported holdings of Fidelity SAI U.S. Minimum Volatility Index Fund (FSUVX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple, Inc.6.60%$1.36B
Microsoft Corp.6.20%$1.28B
NVIDIA Corp.5.35%$1.10B
Alphabet, Inc.4.04%$833.44M
Visa, Inc.2.87%$593.00M
JOHNSON and JOHNSON2.83%$584.09M
Cisco Systems, Inc.2.82%$581.93M
Unitedhealth Group, Inc.2.53%$522.31M
PROCTER and GAMBLE CO2.41%$498.23M
Fidelity Revere Street Trust2.05%$422.20M
Home Depot, Inc.1.97%$406.50M
Texas Instruments Inc.1.96%$403.74M
Philip Morris International, Inc.1.87%$385.52M
Rtx Corp.1.86%$383.64M
Linde PLC1.80%$371.27M
Amazon.com, Inc.1.79%$369.11M
IBM Corporation1.70%$350.86M
Mcdonalds Corp.1.65%$339.77M
Verizon Communications, Inc.1.59%$329.10M
Amgen, Inc.1.47%$303.00M
AT and T INC1.43%$295.19M
Tjx Companies, Inc.1.37%$283.50M
Analog Devices, Inc.1.28%$263.20M
Amphenol Corporation New1.20%$247.09M
MERCK and CO INC1.20%$246.88M
ELI LILLY and CO1.20%$246.85M
Abbvie, Inc.1.15%$236.47M
Honeywell International, Inc.1.04%$214.99M
Lowes Cos, Inc.1.02%$211.44M
Chubb Ltd.0.94%$194.49M
Progressive Corp. Ohio0.93%$191.81M
Pepsico, Inc.0.87%$179.89M
Southern Company0.84%$173.04M
Lockheed Martin Corp.0.83%$171.41M
Cme Group, Inc.0.82%$168.66M
Duke Energy Corp. New0.79%$163.72M
T-Mobile US, Inc.0.74%$152.80M
Williams Cos, Inc.0.71%$147.23M
Cadence Design Systems, Inc.0.69%$141.89M
General Dynamics Corp.0.69%$141.86M
Waste Management, Inc. Del0.68%$140.07M
Automatic Data Processing, Inc.0.68%$139.30M
Oreilly Automotive, Inc.0.66%$136.35M
MARSH and MCLENNAN COS INC0.65%$133.52M
Northrop Grumman Corp.0.61%$126.34M
American Electric Power Co., Inc.0.56%$115.85M
Motorola Solutions, Inc.0.56%$115.56M
Regeneron Pharmaceuticals, Inc.0.55%$113.80M
Colgate-Palmolive Co.0.54%$111.81M
Travelers Cos, Inc.0.54%$110.61M
Aon PLC0.51%$106.17M
Kinder Morgan, Inc. Del0.51%$104.58M
Autozone, Inc.0.49%$100.12M
Realty Income Corp.0.47%$96.04M
L3harris Technologies, Inc.0.46%$94.76M
Corteva, Inc.0.42%$86.92M
GALLAGHER (ARTHUR J.) and CO0.42%$86.14M
Broadcom, Inc.0.40%$82.10M
Fastenal Co.0.39%$81.47M
Xcel Energy, Inc.0.39%$79.74M
Exelon Corp.0.37%$75.51M
Yum Brands, Inc.0.35%$72.04M
Electronic Arts, Inc.0.35%$72.00M
Accenture PLC0.34%$70.37M
BECTON DICKINSON and CO0.34%$69.42M
Republic Services, Inc.0.33%$68.41M
Consolidated Edison, Inc.0.32%$65.39M
NASDAQ, Inc.0.30%$62.45M
Wec Energy Group, Inc.0.30%$62.35M
Roper Technologies, Inc.0.30%$62.06M
Hartford Insurance Group Inc/the0.30%$61.95M
Meta Platforms, Inc.0.27%$56.09M
Arch Capital Group Ltd.0.27%$55.43M
M and T BANK CORP0.26%$54.60M
Union Pacific Corp.0.26%$53.12M
Kimberly-Clark Corp.0.26%$53.08M
Dte Energy Co.0.25%$51.20M
Cboe Global Markets, Inc.0.25%$51.03M
Vici Pptys, Inc.0.25%$50.72M
Ameren Corp.0.24%$49.96M
Otis Worldwide Corp.0.23%$48.29M
Teledyne Technologies, Inc.0.23%$47.84M
Paychex, Inc.0.23%$47.45M
Biogen, Inc.0.21%$43.84M
Hershey Co.0.21%$43.46M
Coterra Energy, Inc.0.21%$43.30M
Avalonbay Communities, Inc.0.20%$42.06M
Cognizant Technology Solutions Corp.0.20%$41.49M
Verisk Analytics, Inc.0.20%$40.72M
Omnicom Group, Inc.0.19%$39.77M
Cms Energy Corp.0.18%$37.95M
Darden Restaurants, Inc.0.18%$37.91M
Equity Residential0.18%$36.79M
Verisign, Inc.0.18%$36.42M
Fox Corporation0.17%$35.24M
Quest Diagnostics, Inc.0.17%$34.31M
Berkley Wr Corp.0.16%$32.60M
Snap-On Tools Corp.0.16%$32.40M
Loews Corp.0.15%$31.01M
General Mills, Inc.0.15%$30.60M
Coca Cola Co.0.15%$30.59M
Leidos Hldgs, Inc.0.15%$30.25M
Packaging Corp. Of America0.15%$30.14M
Tractor Supply Co.0.15%$30.14M
Fidelity Revere Street Trust0.14%$28.79M
Amcor PLC0.14%$28.54M
Broadridge Finl Solutions, Inc.0.14%$28.49M
Cdw Corp.0.14%$28.35M
BROWN and BROWN INC0.13%$27.84M
Evergy, Inc.0.13%$27.70M
Essex Property Trust, Inc.0.13%$26.78M
Rollins, Inc.0.13%$26.58M
Idex Corporation0.13%$25.91M
Invitation Homes, Inc.0.12%$25.63M
Wp Carey, Inc.0.12%$25.23M
Alliant Energy Corp.0.12%$24.53M
Nordson Corp.0.12%$24.46M
Dt Midstream, Inc.0.12%$24.45M
Jacobs Solutions, Inc.0.12%$24.44M
Everest Group Ltd.0.12%$24.33M
Royal Gold, Inc.0.12%$24.27M
Akamai Technologies, Inc.0.12%$24.07M
Mid-America Apt Cmntys, Inc.0.12%$23.89M
Genuine Parts Co.0.11%$23.56M
Tyler Technologies, Inc.0.11%$23.32M
Huntington Ingalls Industries, Inc.0.11%$23.23M
Reinsurance Group Of America, Inc.0.11%$22.58M
Omega Healthcare Investors, Inc.0.11%$22.56M
Gaming And Leisure Properties, Inc.0.11%$22.29M
Graco, Inc.0.10%$21.01M
Avery Dennison Corp.0.10%$20.20M
Unum Group0.10%$20.11M
Globe Life, Inc.0.10%$19.96M
Equity Lifestyle Properties, Inc.0.10%$19.94M
Assurant, Inc.0.09%$19.23M
HENRY (JACK) and ASSOCIATES0.09%$18.08M
Caci International, Inc.0.09%$18.05M
Service Corp. International, Inc.0.09%$17.95M
American Homes 4 Rent0.08%$16.39M
Murphy USA, Inc.0.08%$16.29M
Donaldson, Inc.0.08%$16.23M
Popular, Inc.0.08%$16.05M
Booz Allen Hamilton Holding Corp.0.07%$15.33M
Cullen/frost Bankers, Inc.0.07%$15.05M
American Finl Group, Inc. Ohio0.07%$14.99M
Toro Co.0.07%$14.84M
Agree Realty Corp.0.07%$14.38M
Factset Research Systems, Inc.0.07%$13.85M
Nnn REIT, Inc.0.07%$13.52M
Sei Investments Co.0.07%$13.47M
Aptargroup, Inc.0.06%$13.20M
Idacorp, Inc.0.06%$12.97M
Amdocs Limited0.06%$11.59M
Antero Midstream Corp.0.06%$11.57M
Commerce Bancshares Inc/mo0.05%$10.92M
Hanover Ins Group, Inc.0.05%$10.85M
Prosperity Bancshares, Inc.0.05%$10.80M
Landstar System, Inc.0.05%$10.08M
Hormel Foods Corp.0.05%$9.94M
Chemed Corp.0.05%$9.78M
United Bancshares Inc.w Va.0.05%$9.77M
Essent Group Ltd.0.05%$9.47M
Erie Indemnity Co.0.04%$9.08M
Fti Consulting, Inc.0.04%$8.82M
Balchem Corp.0.04%$8.28M
Selective Insurance Group, Inc.0.04%$8.24M
Gentex Corp.0.04%$8.01M
Mastercard, Inc.0.04%$7.95M
Rli Corp.0.04%$7.51M
Science Applications International Corp.0.04%$7.24M
Dropbox, Inc.0.03%$6.88M
First Financial Bankshares, Inc.0.03%$6.63M
The Campbell's Company0.03%$6.63M
H and R BLOCK INC0.03%$6.52M
Dolby Laboratories, Inc.0.03%$6.37M
Maximus, Inc.0.03%$6.01M
Silgan Holdings, Inc.0.03%$5.78M
Exponent, Inc.0.03%$5.34M
Qualys, Inc.0.02%$5.06M
Western Union Co/the0.02%$4.69M
Graphic Packaging Holding Co.0.02%$4.46M
Sps Comm, Inc.0.02%$3.44M
Lineage, Inc.0.02%$3.42M
Flowers Foods, Inc.0.01%$2.92M
Chicago Mercantile Exch, Inc.0.01%$2.74M
Ust Bills0.01%$2.17M
Pinnacle West Capital Corp.0.01%$2.01M
Everforth, Inc.0.01%$1.46M
Chicago Mercantile Exch, Inc.0.00%$772.72K

FSUVX overview: performance, fees, allocation and SEC filings