FSWCX Holdings — Fidelity SAI U.S. Value Index Fund

All 204 reported holdings of Fidelity SAI U.S. Value Index Fund (FSWCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Micron Technology, Inc.4.81%$387.34M
NVIDIA Corp.4.27%$343.46M
Unitedhealth Group, Inc.3.60%$289.88M
Bank Of America Corporation3.58%$287.97M
Chevron Corp. New3.28%$264.22M
Apple, Inc.3.19%$256.43M
WELLS FARGO and CO2.77%$222.98M
Alphabet, Inc.2.54%$204.67M
Citigroup, Inc.2.46%$197.81M
Verizon Communications, Inc.2.17%$174.93M
Qualcomm, Inc.2.06%$166.13M
AT and T INC1.99%$160.02M
Walt Disney Co/the1.99%$159.99M
Salesforce, Inc.1.80%$145.17M
Conocophillips, Inc.1.67%$134.28M
Pfizer, Inc.1.63%$131.12M
Microsoft Corp.1.57%$126.10M
Bristol-Myers Squibb Co.1.32%$106.54M
Newmont Corp.1.30%$104.72M
Altria Group, Inc.1.29%$103.60M
Chubb Ltd.1.27%$102.30M
Accenture PLC1.19%$95.74M
Cvs Health Corp.1.13%$91.32M
Adobe, Inc.1.11%$88.99M
Medtronic PLC1.10%$88.77M
Comcast Corp.1.05%$84.89M
US Bancorp Del0.95%$76.08M
Pnc Financial Services Grp, Inc.0.94%$75.54M
Elevance Health, Inc.0.90%$72.25M
Slb Ltd.0.89%$72.01M
Fedex Corp.0.89%$71.78M
United Parcel Service, Inc.0.86%$69.44M
Cigna Group (the)0.83%$67.04M
Valero Energy Corp.0.83%$66.56M
Eog Resources, Inc.0.82%$65.91M
Phillips 660.78%$62.37M
General Motors Co.0.77%$61.95M
Regeneron Pharmaceuticals, Inc.0.75%$60.55M
Travelers Cos, Inc.0.73%$58.80M
Warner Bros Discovery, Inc.0.72%$57.90M
Truist Financial Corp.0.71%$56.91M
Dell Technologies, Inc.0.68%$54.40M
Fidelity Revere Street Trust0.66%$53.40M
Target Corp.0.63%$50.92M
Allstate Corp.0.61%$49.11M
Oneok, Inc.0.52%$41.72M
Ford Motor Co.0.51%$40.83M
Paypal Holdings, Inc.0.50%$40.52M
Metlife, Inc.0.48%$38.29M
Strategy, Inc.0.48%$38.26M
Delta Air Lines, Inc.0.47%$38.08M
Occidental Petroleum Corp.0.47%$37.65M
BECTON DICKINSON and CO0.46%$36.89M
State Street Corp.0.46%$36.87M
Dr Horton, Inc.0.45%$36.38M
Kroger Co.0.45%$35.84M
Amazon.com, Inc.0.44%$35.53M
American International Group, Inc.0.43%$34.86M
Keurig Dr Pepper, Inc.0.43%$34.50M
Anglogold Ashanti PLC0.43%$34.33M
Roper Technologies, Inc.0.41%$32.99M
Hartford Insurance Group Inc/the0.41%$32.93M
Hewlett Packard Enterprise Co.0.41%$32.79M
Eqt Corp.0.40%$32.39M
PG and E CORP0.39%$31.55M
Archer Daniels Midland Co.0.38%$30.95M
Prudential Finl, Inc.0.37%$29.66M
Arch Capital Group Ltd.0.37%$29.47M
Fiserv, Inc.0.36%$29.11M
M and T BANK CORP0.36%$29.03M
Devon Energy Corp. New0.35%$27.86M
Vici Pptys, Inc.0.34%$26.97M
United Airlines Holdings, Inc.0.31%$25.18M
Expedia Group, Inc.0.31%$25.11M
Carnival Corp.0.31%$24.87M
Humana, Inc.0.31%$24.59M
Citizens Financial Grp, Inc.0.30%$24.15M
Biogen, Inc.0.30%$24.01M
Synchrony Financial0.29%$23.72M
Coterra Energy, Inc.0.29%$23.65M
Edison International0.29%$23.12M
Huntington Bancshares Inc/oh0.28%$22.78M
Zoom Communications, Inc.0.28%$22.39M
Cognizant Technology Solutions Corp.0.27%$22.07M
Centene Corp. Del0.27%$21.71M
Regions Finl Corp. New0.27%$21.65M
Omnicom Group, Inc.0.26%$21.16M
Expand Energy Corp.0.26%$21.05M
Pulte Group, Inc.0.26%$20.62M
Price (t Rowe) Group, Inc.0.24%$19.43M
Constellation Brands, Inc.0.24%$19.10M
Fox Corporation0.23%$18.82M
First Solar, Inc.0.23%$18.75M
Keycorp0.22%$17.78M
Lennar Corp.0.22%$17.55M
Smurfit Westrock PLC0.22%$17.34M
First Citizens Bancshares Inc/nc0.21%$17.27M
Hp, Inc.0.21%$16.88M
Cf Industries Holdings, Inc.0.21%$16.78M
Kraft Heinz Co.0.21%$16.72M
Dupont De Nemours, Inc.0.21%$16.56M
Flutter Entertainment PLC0.20%$16.38M
General Mills, Inc.0.20%$16.31M
Royalty Pharma PLC0.20%$16.31M
Tyson Foods, Inc.0.20%$15.70M
Amcor PLC0.19%$15.20M
East West Bancorp, Inc.0.19%$15.08M
Td Synnex Corp.0.19%$14.97M
Viatris, Inc.0.19%$14.90M
Global Payments, Inc.0.18%$14.76M
Zimmer Biomet Hldgs, Inc.0.18%$14.14M
International Paper Co.0.17%$13.90M
Tenet Healthcare Corp.0.17%$13.48M
Annaly Capital Management, Inc.0.17%$13.48M
Ovintiv, Inc.0.17%$13.43M
Everest Group Ltd.0.16%$12.98M
Permian Resources Corp.0.16%$12.94M
Lululemon Athletica, Inc.0.16%$12.87M
SS and C TECHNOLOGIES HLDGS INC0.16%$12.61M
Charter Communications, Inc.0.16%$12.58M
Apa Corp.0.15%$12.45M
Renaissancere Holdings Ltd.0.15%$12.20M
Reinsurance Group Of America, Inc.0.15%$12.05M
Toll Bros, Inc.0.15%$11.88M
Super Micro Computer, Inc.0.15%$11.84M
Aptiv PLC0.14%$11.30M
Ally Financial, Inc.0.13%$10.80M
Unum Group0.13%$10.66M
Jazz Pharmaceuticals PLC0.13%$10.63M
Globe Life, Inc.0.13%$10.58M
Borgwarner, Inc.0.13%$10.58M
STANLEY BLACK and DECKER INC0.13%$10.43M
Best Buy Co., Inc.0.13%$10.18M
Agnc Investment Corp.0.13%$10.19M
Webster Financial Corp.0.12%$10.06M
Antero Resources Corporation0.12%$9.91M
Crown Holdings, Inc.0.12%$9.66M
Gen Digital, Inc.0.12%$9.33M
Hf Sinclair Corp.0.11%$9.05M
Jm Smucker Co/the0.11%$9.01M
Skyworks Solutions, Inc.0.11%$8.99M
Biomarin Pharmaceutical, Inc.0.11%$8.92M
Owens Corning New0.11%$8.73M
Popular, Inc.0.11%$8.64M
Oshkosh Corp.0.11%$8.52M
Southstate Bank Corp.0.11%$8.46M
Arrow Electronics, Inc.0.10%$8.34M
Zions Bancorporation Na0.10%$8.07M
Universal Health Services, Inc.0.10%$8.01M
Baxter International Inc.0.10%$7.79M
Western Alliance Bancorporatn0.09%$7.25M
Old National Bancorp (ind)0.09%$7.18M
Eastman Chemical Co.0.09%$7.18M
Chord Energy Corp.0.09%$7.13M
Autoliv, Inc.0.09%$6.98M
Lkq Corp.0.09%$6.96M
Voya Financial, Inc.0.08%$6.72M
Axis Capital Holdings Ltd.0.08%$6.67M
Commercial Metals Co.0.08%$6.59M
Pinnacle Financial Partners, Inc.0.08%$6.56M
National Oilwell Varco, Inc.0.08%$6.43M
Celanese Corp. Del0.08%$6.39M
Matador Resources Company0.08%$6.39M
Mosaic Co.0.08%$6.36M
Molson Coors Beverage Co.0.08%$6.23M
Amdocs Limited0.08%$6.13M
Ingredion, Inc.0.08%$6.12M
Lithia Motors, Inc.0.08%$6.06M
Onemain Hldgs, Inc.0.07%$5.96M
Conagra Brands, Inc.0.07%$5.91M
Albertsons Cos, Inc.0.07%$5.74M
Prosperity Bancshares, Inc.0.07%$5.70M
Lear Corp.0.07%$5.68M
Lincoln National Corp. Ind0.07%$5.51M
Epam Systems, Inc.0.07%$5.42M
Nexstar Media Group, Inc.0.06%$5.11M
Mgic Investment Corp.0.06%$5.10M
Essent Group Ltd.0.06%$5.04M
Fidelity Revere Street Trust0.06%$5.02M
Carmax, Inc.0.06%$4.97M
Murphy Oil Corp.0.06%$4.83M
Genpact Ltd.0.06%$4.80M
Avantor, Inc.0.06%$4.76M
Mohawk Industries, Inc.0.06%$4.72M
Rithm Capital Corp.0.06%$4.67M
Crocs, Inc.0.06%$4.56M
Macys, Inc.0.06%$4.52M
Bank Ozk0.05%$4.39M
Bio-Rad Laboratories, Inc.0.05%$4.39M
Sirius Xm Holdings, Inc.0.05%$4.37M
Sonoco Products Co.0.05%$4.25M
Slm Corp.0.05%$4.04M
Pvh Corp.0.05%$3.79M
Dropbox, Inc.0.05%$3.65M
H and R BLOCK INC0.04%$3.46M
BATH and BODY WORKS INC0.04%$3.45M
Sm Energy Co.0.04%$3.06M
Assured Guaranty Ltd.0.04%$3.06M
Kyndryl Holdings, Inc.0.03%$2.72M
Harley-Davidson, Inc.0.03%$2.43M
Versigent Ltd.0.03%$2.17M
Dxc Technology Co.0.02%$1.70M
Chicago Mercantile Exch, Inc.0.01%$1.17M
Ust Bills0.01%$1.13M

FSWCX overview: performance, fees, allocation and SEC filings