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Fidelity SAI International Low Volatility Index Fund

Fidelity Salem Street Trust

Assets: $6.7B Net: $6.7B Series: S000049310 EDGAR ↗
+124
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124
Positions
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# Name Ticker Since Shares Value % Port Cat
1 ASTRAZENECA PLC N/A Apr 2024 1,015,625 $153.6M 2.29% EC
2 TOYOTA MOTOR CORP N/A Apr 2024 6,672,000 $152.2M 2.27% EC
3 NOVO-NORDISK AS N/A Apr 2024 1,175,734 $150.8M 2.25% EC
4 TOKIO MARINE HOLDINGS INC N/A Apr 2024 4,578,200 $144.7M 2.16% EC
5 UNILEVER PLC N/A Apr 2024 2,746,752 $142.1M 2.12% EC
6 AIR LIQUIDE SA N/A Apr 2024 709,975 $138.9M 2.07% EC
7 GSK PLC N/A Apr 2024 6,611,892 $137.2M 2.04% EC
8 SANOFI N/A Apr 2024 1,385,650 $136.9M 2.04% EC
9 RELX PLC N/A Apr 2024 3,173,631 $130.4M 1.94% EC
10 CSL LTD N/A Apr 2024 691,555 $122.9M 1.83% EC
11 NOVARTIS AG N/A Apr 2024 1,248,375 $121.2M 1.81% EC
12 KONINKLIJKE AHOLD DELHAIZE NV N/A Apr 2024 3,981,747 $120.9M 1.80% EC
13 ROCHE HOLDING AG N/A Apr 2024 495,431 $118.7M 1.77% EC
14 NATIONAL GRID PLC N/A Apr 2024 9,005,011 $118.1M 1.76% EC
15 GIVAUDAN SA N/A Apr 2024 27,111 $116.4M 1.73% EC
16 WOLTERS KLUWER NV N/A Apr 2024 771,247 $115.8M 1.73% EC
17 FUJIFILM HLDGS CORP N/A Apr 2024 5,216,230 $111.0M 1.65% EC
18 DEUTSCHE BOERSE AG N/A Apr 2024 574,623 $110.8M 1.65% EC
19 JAPAN POST HOLDINGS CO LTD N/A Apr 2024 11,209,900 $107.7M 1.60% EC
20 SOFTBANK CORPO N/A Apr 2024 8,566,700 $103.3M 1.54% EC
21 ORANGE N/A Apr 2024 9,220,526 $102.6M 1.53% EC
22 NESTLE SA N/A Apr 2024 1,011,519 $101.6M 1.51% EC
23 RECKITT BENCKISER GROUP PLC N/A Apr 2024 1,684,262 $94.2M 1.40% EC
24 LINDT and SPRUENGLI AG CHOCOLAD N/A Apr 2024 811 $93.9M 1.40% EC
25 NIPPON TELEGRAPH and TELEPHONE CORP N/A Apr 2024 86,592,600 $93.5M 1.39% EC
26 DIAGEO PLC N/A Apr 2024 2,600,176 $89.9M 1.34% EC
27 COLOPLAST AS N/A Apr 2024 728,023 $87.8M 1.31% EC
28 BEIERSDORF AG N/A Apr 2024 576,425 $86.5M 1.29% EC
29 SECOM CO LTD N/A Apr 2024 1,232,470 $85.6M 1.28% EC
30 HANNOVER RUECK SA N/A Apr 2024 342,278 $84.9M 1.26% EC
31 ORIENTAL LAND CO LTD N/A Apr 2024 3,050,500 $84.2M 1.25% EC
32 JAPAN POST BANK CO LTD N/A Apr 2024 8,283,500 $84.1M 1.25% EC
33 SYMRISE AG N/A Apr 2024 779,518 $83.8M 1.25% EC
34 SWISSCOM AG N/A Apr 2024 145,340 $79.6M 1.19% EC
35 CLP HOLDINGS LTD N/A Apr 2024 9,821,500 $77.3M 1.15% EC
36 BUNZL PLC N/A Apr 2024 1,983,865 $76.2M 1.14% EC
37 AJINOMOTO CO INC N/A Apr 2024 2,005,600 $74.6M 1.11% EC
38 PAN PACIFIC INTERNATIONAL HOLDINGS LTD N/A Apr 2024 3,130,600 $73.5M 1.10% EC
39 KANSAI ELECTRIC POWER CO INC N/A Apr 2024 4,690,900 $70.3M 1.05% EC
40 Fidelity Revere Street Trust 31635A105 Apr 2024 68,917,069 $68.9M 1.03% STIV
41 ZURICH INSURANCE GROUP AG N/A Apr 2024 138,967 $67.2M 1.00% EC
42 EXOR NV N/A Apr 2024 598,345 $65.6M 0.98% EC
43 ROYAL KPN NV (KONINKLIJKE KPN) N/A Apr 2024 17,818,567 $64.8M 0.96% EC
44 INSURANCE AUSTRALIA GROUP LTD N/A Apr 2024 14,256,425 $59.1M 0.88% EC
45 CANON INC N/A Apr 2024 2,148,700 $58.2M 0.87% EC
46 SGS SA N/A Apr 2024 658,833 $58.1M 0.87% EC
47 CHUBU ELECTRIC POWER CO INC N/A Apr 2024 4,450,300 $57.1M 0.85% EC
48 HANG SENG BANK LTD N/A Apr 2024 4,263,700 $56.2M 0.84% EC
49 OSAKA GAS CO LTD N/A Apr 2024 2,446,560 $54.4M 0.81% EC
50 ADMIRAL GROUP PLC N/A Apr 2024 1,546,381 $52.7M 0.79% EC
51 PEARSON PLC N/A Apr 2024 4,101,949 $49.8M 0.74% EC
52 HONG KONG and CHINA GAS CO LTD N/A Apr 2024 63,504,015 $48.3M 0.72% EC
53 KYOCERA CORP N/A Apr 2024 3,825,400 $46.6M 0.69% EC
54 JARDINE MATHESON HOLDINGS LTD N/A Apr 2024 1,207,576 $46.2M 0.69% EC
55 POWER ASSETS HLDGS LTD N/A Apr 2024 8,010,500 $45.9M 0.68% EC
56 ASX LTD N/A Apr 2024 1,099,131 $44.9M 0.67% EC
57 TOKYU CORP N/A Apr 2024 3,668,400 $43.4M 0.65% EC
58 BOC HONG KONG HOLDINGS LTD N/A Apr 2024 13,753,500 $42.2M 0.63% EC
59 LINK REIT N/A Apr 2024 9,535,129 $40.9M 0.61% EC
60 TRYG AS N/A Apr 2024 2,054,131 $40.7M 0.61% EC
61 SWISS PRIME SITE AG N/A Apr 2024 437,911 $40.5M 0.60% EC
62 ELISA CORP N/A Apr 2024 883,505 $39.9M 0.59% EC
63 REDEIA CORP SA N/A Apr 2024 2,379,972 $39.7M 0.59% EC
64 CAPLAND ASCENDAS REIT N/A Apr 2024 20,872,699 $39.5M 0.59% EC
65 HANKYU HANSHIN HOLDINGS INC N/A Apr 2024 1,492,840 $39.1M 0.58% EC
66 ASML HOLDING NV N/A Apr 2024 43,260 $38.4M 0.57% EC
67 MEDIBANK PRIVATE LIMITED N/A Apr 2024 16,170,094 $37.1M 0.55% EC
68 NIPPON BUILDING FUND INC N/A Apr 2024 9,598 $36.7M 0.55% EC
69 TOKYO GAS CO LTD N/A Apr 2024 1,526,700 $34.2M 0.51% EC
70 NOVONESIS (NOVOZYMES) B N/A Apr 2024 615,335 $34.2M 0.51% EC
71 SINGAPORE EXCHANGE LTD N/A Apr 2024 4,840,800 $33.0M 0.49% EC
72 PSP SWISS PROPERTY AG N/A Apr 2024 262,525 $32.5M 0.48% EC
73 KDDI CORP N/A Apr 2024 1,150,900 $31.9M 0.48% EC
74 RECORDATI INDUSTRIA CHIMICA E FARMACEUTICA SPA N/A Apr 2024 587,865 $31.4M 0.47% EC
75 TELIA CO AB N/A Apr 2024 13,619,129 $31.2M 0.47% EC
76 MTR CORP LTD N/A Apr 2024 9,115,083 $30.0M 0.45% EC
77 ELBIT SYSTEMS LTD N/A Apr 2024 145,777 $29.8M 0.44% EC
78 KINTETSU GROUP HOLDINGS CO LTD N/A Apr 2024 1,119,500 $28.8M 0.43% EC
79 BIOMERIEUX N/A Apr 2024 257,843 $27.5M 0.41% EC
80 CAPITALAND INTEGRATED COMMERCIAL TRUST N/A Apr 2024 18,710,400 $26.7M 0.40% EC
81 JAPAN REAL ESTATE INVEST CORP N/A Apr 2024 7,865 $26.7M 0.40% EC
82 SINGAPORE TECH ENGINEERING LTD N/A Apr 2024 8,982,200 $26.4M 0.39% EC
83 ORKLA ASA N/A Apr 2024 3,627,922 $24.8M 0.37% EC
84 NIPPON PROLOGIS INC N/A Apr 2024 14,338 $24.7M 0.37% EC
85 TOBU RAILWAY CO LTD N/A Apr 2024 1,231,500 $24.4M 0.36% EC
86 SEVEN and I HOLDINGS CO LTD N/A Apr 2024 1,793,300 $23.2M 0.35% EC
87 Fidelity Revere Street Trust 31635A303 Apr 2024 22,945,985 $22.9M 0.34% STIV
88 GALENICA AG N/A Apr 2024 292,751 $22.4M 0.33% EC
89 MCDONALDS HLDGS CO (JAPAN) LTD N/A Apr 2024 499,300 $22.0M 0.33% EC
90 DAIWA HOUSE REIT INVESTMENT CO N/A Apr 2024 12,535 $21.1M 0.31% EC
91 SINO LAND LTD N/A Apr 2024 19,650,500 $21.0M 0.31% EC
92 RINGKJOBING LANDBOBANK N/A Apr 2024 122,911 $20.7M 0.31% EC
93 MAPLETREE INDUSTRIAL REIT N/A Apr 2024 12,142,310 $20.1M 0.30% EC
94 ZENSHO HOLDINGS CO LTD N/A Apr 2024 514,600 $19.9M 0.30% EC
95 KYUSHU RAILWAY COMPANY N/A Apr 2024 923,200 $19.9M 0.30% EC
96 HACHIJUNI BK LTD N/A Apr 2024 2,959,400 $19.7M 0.29% EC
97 HONGKONG LAND HOLDINGS LTD N/A Apr 2024 6,090,300 $19.5M 0.29% EC
98 MEDIPAL HLDGS CORP N/A Apr 2024 1,231,800 $19.3M 0.29% EC
99 SKYLARK HOLDINGS CO LTD N/A Apr 2024 1,335,400 $19.0M 0.28% EC
100 WAREHOUSES DE PAUW CVA N/A Apr 2024 692,952 $18.4M 0.27% EC
101 ADVANCE RESIDENCE INVESTMENT CORP N/A Apr 2024 8,418 $18.2M 0.27% EC
102 ALFRESA HOLDINGS CORP N/A Apr 2024 1,191,300 $17.7M 0.26% EC
103 LOTTERY CORP/THE N/A Apr 2024 5,631,743 $17.6M 0.26% EC
104 BANQUE CANTONALE VAUDOISE N/A Apr 2024 165,993 $17.4M 0.26% EC
105 GJENSIDIGE FORSIKRING ASA N/A Apr 2024 1,077,324 $17.3M 0.26% EC
106 OTSUKA HOLDINGS CO LTD N/A Apr 2024 402,760 $17.2M 0.26% EC
107 COMSYS HOLDINGS CORP N/A Apr 2024 694,600 $16.3M 0.24% EC
108 AXFOOD AB N/A Apr 2024 614,807 $15.9M 0.24% EC
109 NAGOYA RAILROAD CO LTD N/A Apr 2024 1,154,900 $15.1M 0.22% EC
110 KERRY GROUP PLC N/A Apr 2024 170,101 $14.7M 0.22% EC
111 ALLREAL HOLDING AG N/A Apr 2024 88,415 $14.3M 0.21% EC
112 SHIMAMURA CO LTD N/A Apr 2024 286,000 $14.1M 0.21% EC
113 TELENOR ASA N/A Apr 2024 1,143,460 $13.2M 0.20% EC
114 INFRONEER HOLDINGS INC N/A Apr 2024 1,387,300 $12.3M 0.18% EC
115 BRIDGESTONE CORP N/A Apr 2024 255,100 $11.3M 0.17% EC
116 BKW AG N/A Apr 2024 72,586 $10.8M 0.16% EC
117 SUNTORY BEVERAGE and FOOD LTD N/A Apr 2024 203,000 $6.6M 0.10% EC
118 UST BILLS 912797HR1 Apr 2024 2,900,000 $2.9M 0.04% DBT
119 KEIKYU CORP N/A Apr 2024 278,900 $2.2M 0.03% EC
120 ELIA GROUP N/A Apr 2024 20,309 $2.0M 0.03% EC
121 HERMES INTL SCA N/A Apr 2024 677 $1.6M 0.02% EC
122 WAREHOUSES DE PAUW CVA N/A Apr 2024 692,952 $828K 0.01% EC
123 CHINA HUISHAN DAIRY HLD CO LTD N/A Apr 2024 5,145,000 $7 0.00% EC
124 ICE FUTURES US MFSM4 Apr 2024 1,226 $-2909978 -0.04% DE