Fidelity SAI International Low Volatility Index Fund
Open-end / ETFRegistrant
Fidelity Salem Street Trust
Class ticker
FSKLX
Net Assets
$7,921,179,094
Holdings
132
Latest Report
Jul 31, 2026
Net Assets Over Time
Holdings · 132
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Showing 1–50
of 132 holdings by value
· page 1 of 3
| Holding | Symbol | Balance | Value | % of Fund | Side | Category | Open |
|---|---|---|---|---|---|---|---|
|
OVERSEA-CHINESE BKG CORP LTD
|
— | 7,259,800 | $164,893,455 | 2.08% | Long | EC | |
|
TOKIO MARINE HOLDINGS INC
|
— | 3,133,900 | $159,723,601 | 2.02% | Long | EC | |
|
KYOCERA CORP
|
— | 6,981,000 | $159,214,242 | 2.01% | Long | EC | |
|
NOVARTIS AG
|
— | 1,009,707 | $157,909,991 | 1.99% | Long | EC | |
|
ZURICH INSURANCE GROUP AG
|
— | 204,800 | $156,001,932 | 1.97% | Long | EC | |
|
SHELL PLC
|
— | 3,380,318 | $154,722,921 | 1.95% | Long | EC | |
|
AIR LIQUIDE SA
|
— | 750,841 | $147,922,086 | 1.87% | Long | EC | |
|
ROCHE HOLDING AG
|
— | 332,369 | $145,371,610 | 1.84% | Long | EC | |
|
GSK PLC
|
— | 5,418,390 | $140,893,648 | 1.78% | Long | EC | |
|
ASTRAZENECA PLC
|
— | 806,061 | $137,230,096 | 1.73% | Long | EC | |
|
UNILEVER PLC
|
— | 2,092,403 | $133,134,550 | 1.68% | Long | EC | |
|
RELX PLC
|
— | 3,744,953 | $131,717,332 | 1.66% | Long | EC | |
|
SAMPO OYJ
|
— | 11,870,397 | $131,426,135 | 1.66% | Long | EC | |
|
DEUTSCHE BOERSE AG
|
— | 435,772 | $131,262,035 | 1.66% | Long | EC | |
|
EAST JAPAN RAILWAY CO
|
— | 5,637,600 | $129,712,967 | 1.64% | Long | EC | |
|
NATIONAL GRID PLC
|
— | 8,073,038 | $129,215,863 | 1.63% | Long | EC | |
|
JAPAN POST HOLDINGS CO LTD
|
— | 8,569,200 | $126,775,844 | 1.60% | Long | EC | |
|
KDDI CORP
|
— | 6,601,800 | $121,629,698 | 1.54% | Long | EC | |
|
CANON INC
|
— | 4,275,700 | $119,014,645 | 1.50% | Long | EC | |
|
BOC HONG KONG HOLDINGS LTD
|
— | 17,864,500 | $118,908,357 | 1.50% | Long | EC | |
|
ORANGE
|
— | 6,104,881 | $116,650,207 | 1.47% | Long | EC | |
|
HALEON PLC
|
— | 23,506,263 | $115,076,333 | 1.45% | Long | EC | |
|
SOFTBANK CORPO
|
— | 80,387,700 | $112,830,403 | 1.42% | Long | EC | |
|
RECKITT BENCKISER GROUP PLC
|
— | 1,551,381 | $109,492,410 | 1.38% | Long | EC | |
|
BRITISH AMERICAN TOBACCO PLC
|
— | 1,789,861 | $108,574,659 | 1.37% | Long | EC | |
|
KONINKLIJKE AHOLD DELHAIZE NV
|
— | 2,735,984 | $108,405,798 | 1.37% | Long | EC | |
|
ELBIT SYSTEMS LTD
|
— | 133,913 | $107,857,688 | 1.36% | Long | EC | |
|
BRIDGESTONE CORP
|
— | 4,275,100 | $105,575,452 | 1.33% | Long | EC | |
|
NESTLE SA
|
— | 1,034,041 | $103,353,503 | 1.30% | Long | EC | |
|
SANOFI
|
— | 1,196,503 | $103,032,888 | 1.30% | Long | EC | |
|
TOYOTA MOTOR CORP
|
— | 5,377,400 | $101,765,588 | 1.28% | Long | EC | |
|
SWISSCOM AG
|
— | 126,144 | $97,051,850 | 1.23% | Long | EC | |
|
SGS SA
|
— | 804,078 | $95,262,033 | 1.20% | Long | EC | |
|
ROYAL KPN NV (KONINKLIJKE KPN)
|
— | 19,021,106 | $89,814,640 | 1.13% | Long | EC | |
|
SECOM CO LTD
|
— | 2,040,540 | $87,898,442 | 1.11% | Long | EC | |
|
HANNOVER RUECK SA
|
— | 299,662 | $86,596,142 | 1.09% | Long | EC | |
|
WOLTERS KLUWER NV
|
— | 1,043,583 | $81,930,313 | 1.03% | Long | EC | |
|
ASTELLAS PHARMA INC
|
— | 5,929,200 | $81,436,410 | 1.03% | Long | EC | |
|
NTT INC
|
— | 84,240,100 | $80,745,304 | 1.02% | Long | EC | |
|
ASML HOLDING NV
|
— | 48,690 | $80,238,465 | 1.01% | Long | EC | |
|
CLP HOLDINGS LTD
|
— | 7,910,000 | $78,643,948 | 0.99% | Long | EC | |
|
COMPUTERSHARE LTD
|
— | 2,701,910 | $77,634,232 | 0.98% | Long | EC | |
|
SINGAPORE EXCHANGE LTD
|
— | 4,047,500 | $77,162,379 | 0.97% | Long | EC | |
|
BAE SYSTEMS PLC
|
— | 2,506,838 | $70,966,913 | 0.90% | Long | EC | |
|
INSURANCE AUSTRALIA GROUP LTD
|
— | 11,754,599 | $70,036,166 | 0.88% | Long | EC | |
|
TAKEDA PHARMACEUTICAL CO LTD
|
— | 1,989,200 | $68,300,459 | 0.86% | Long | EC | |
|
ADMIRAL GROUP PLC
|
— | 1,339,558 | $68,099,284 | 0.86% | Long | EC | |
|
JARDINE MATHESON HOLDINGS LTD
|
— | 1,023,676 | $67,987,401 | 0.86% | Long | EC | |
|
OSAKA GAS CO LTD
|
— | 1,977,360 | $67,841,070 | 0.86% | Long | EC | |
|
CHUBU ELECTRIC POWER CO INC
|
— | 3,767,000 | $65,225,893 | 0.82% | Long | EC |