Titelia

Holdings of Fidelity SAI U.S. Low Volatility Index Fund

Fidelity Salem Street Trust · 184 declared positions · as of Apr 30, 2026

Original filing · Net assets 20.6B $ · Ten largest lines: 37.7 % of the equity sleeve

Country breakdown

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US 18120.5B $99.63 %
BM 264.9M $0.32 %
GG 111.6M $0.06 %

Sector breakdown is published in no regulatory filing: neither Form N-PORT nor the LEI reference data carries an activity code. It is absent rather than estimated.

Positions

CompanySharesValue (USD)Weight
Apple Inc 5,018,3071.4B $6.60 %
Microsoft Corp 3,138,5241.3B $6.20 %
NVIDIA Corp 5,531,4231.1B $5.35 %
Alphabet Inc 2,165,901833.4M $4.04 %
Visa Inc 1,797,831593M $2.87 %
Johnson & Johnson 2,541,168584.1M $2.83 %
Cisco Systems, Inc. 6,359,941581.9M $2.82 %
UnitedHealth Group Inc 1,409,833522.3M $2.53 %
Procter & Gamble Co/The 3,387,262498.2M $2.41 %
Home Depot Inc/The 1,236,303406.5M $1.97 %
Texas Instruments Inc 1,436,384403.7M $1.96 %
Philip Morris International Inc. 2,335,474385.5M $1.87 %
RTX Corp 2,178,889383.6M $1.86 %
Linde PLC 740,847371.3M $1.80 %
Amazon.com Inc 1,392,535369.1M $1.79 %
International Business Machines Corp. 1,519,012350.9M $1.70 %
McDonald's Corp. 1,157,311339.8M $1.65 %
Verizon Communications Inc 6,852,013329.1M $1.59 %
Amgen Inc 875,078303M $1.47 %
AT&T Inc 11,297,084295.2M $1.43 %
TJX Cos Inc/The 1,808,626283.5M $1.37 %
Analog Devices Inc 654,309263.2M $1.28 %
Amphenol Corp 1,677,834247.1M $1.20 %
Merck & Co Inc 2,261,215246.9M $1.20 %
Eli Lilly & Co 264,122246.8M $1.20 %
AbbVie Inc 1,119,023236.5M $1.15 %
Honeywell International Inc 1,003,102215M $1.04 %
Lowe's Cos Inc 885,453211.4M $1.02 %
Chubb Ltd 594,785194.5M $0.94 %
Progressive Corp/The 952,930191.8M $0.93 %
PepsiCo Inc 1,135,052179.9M $0.87 %
Southern Co/The 1,789,415173M $0.84 %
Lockheed Martin Corp 330,918171.4M $0.83 %
CME Group Inc 585,997168.7M $0.82 %
Duke Energy Corp 1,263,789163.7M $0.79 %
T-Mobile US Inc 781,604152.8M $0.74 %
Williams Cos Inc/The 1,929,388147.2M $0.71 %
Cadence Design Systems Inc 430,515141.9M $0.69 %
General Dynamics Corp 412,017141.9M $0.69 %
Waste Management Inc 602,322140.1M $0.68 %
Automatic Data Processing Inc 657,262139.3M $0.68 %
O'Reilly Automotive Inc 1,371,742136.4M $0.66 %
Marsh & McLennan Cos Inc 796,139133.5M $0.65 %
Northrop Grumman Corp 218,018126.3M $0.61 %
American Electric Power Co Inc 844,976115.9M $0.56 %
Motorola Solutions Inc 263,225115.6M $0.56 %
Regeneron Pharmaceuticals, Inc. 160,947113.8M $0.55 %
Colgate-Palmolive Co 1,309,913111.8M $0.54 %
Travelers Cos Inc/The 362,498110.6M $0.54 %
Aon PLC 340,678106.2M $0.51 %
Kinder Morgan, Inc. 3,181,567104.6M $0.51 %
AutoZone Inc 27,030100.1M $0.49 %
Realty Income Corp 1,494,95596M $0.47 %
L3Harris Technologies Inc 295,60494.8M $0.46 %
Corteva Inc 1,072,91986.9M $0.42 %
Arthur J Gallagher & Co 417,32686.1M $0.42 %
Broadcom Inc 196,68782.1M $0.40 %
Fastenal Co 1,813,18781.5M $0.39 %
Xcel Energy Inc 961,33179.7M $0.39 %
Exelon Corp 1,641,81575.5M $0.37 %
Yum! Brands Inc 451,20872M $0.35 %
Electronic Arts Inc 355,78472M $0.35 %
Accenture PLC 393,77170.4M $0.34 %
Becton Dickinson & Co 465,78969.4M $0.34 %
Republic Services Inc 326,99268.4M $0.33 %
Consolidated Edison Inc 586,52365.4M $0.32 %
Nasdaq Inc 679,52262.5M $0.30 %
WEC Energy Group Inc 528,63862.3M $0.30 %
Roper Technologies Inc 174,91562.1M $0.30 %
Hartford Insurance Group Inc/The 452,80861.9M $0.30 %
Meta Platforms Inc 91,66756.1M $0.27 %
Arch Capital Group Ltd 586,79555.4M $0.27 %
M&T Bank Corp 249,72854.6M $0.26 %
Union Pacific Corp 197,11153.1M $0.26 %
Kimberly-Clark Corp 539,28153.1M $0.26 %
DTE Energy Co 337,50651.2M $0.25 %
Cboe Global Markets Inc 170,05551M $0.25 %
VICI Properties Inc 1,736,84450.7M $0.25 %
Ameren Corp 439,58750M $0.24 %
Otis Worldwide Corp 620,09248.3M $0.23 %
Teledyne Technologies Inc 74,08047.8M $0.23 %
Paychex Inc 512,22547.4M $0.23 %
Biogen Inc 231,63843.8M $0.21 %
Hershey Co/The 233,98943.5M $0.21 %
Coterra Energy Inc 1,205,68343.3M $0.21 %
AvalonBay Communities, Inc. 229,82842.1M $0.20 %
Cognizant Technology Solutions Corp. 784,24841.5M $0.20 %
Verisk Analytics Inc 220,74040.7M $0.20 %
Omnicom Group Inc 518,34939.8M $0.19 %
CMS Energy Corp 494,55738M $0.18 %
Darden Restaurants Inc 189,01537.9M $0.18 %
Equity Residential 562,65936.8M $0.18 %
VeriSign Inc 135,56936.4M $0.18 %
Fox Corp 555,10735.2M $0.17 %
Quest Diagnostics Inc 176,66934.3M $0.17 %
W R Berkley Corp 487,85332.6M $0.16 %
Snap-on Inc 84,51332.4M $0.16 %
Loews Corp 275,35131M $0.15 %
General Mills, Inc. 866,53030.6M $0.15 %
Coca-Cola Co/The 388,43530.6M $0.15 %
Leidos Holdings Inc 202,69630.2M $0.15 %
Tractor Supply Co 858,67730.1M $0.15 %
Packaging Corp of America 141,19130.1M $0.15 %
Amcor PLC 750,18928.5M $0.14 %
Broadridge Financial Solutions Inc 185,04828.5M $0.14 %
CDW Corp/DE 207,06128.3M $0.14 %
Brown & Brown Inc 462,89227.8M $0.13 %
Evergy Inc 334,35427.7M $0.13 %
Essex Property Trust Inc 101,75226.8M $0.13 %
Rollins Inc 476,96226.6M $0.13 %
IDEX Corp 118,94325.9M $0.13 %
Invitation Homes Inc 890,95625.6M $0.12 %
WP Carey Inc 345,96025.2M $0.12 %
Alliant Energy Corp 334,03024.5M $0.12 %
Nordson Corp 84,81324.5M $0.12 %
DT Midstream Inc 165,22424.5M $0.12 %
Jacobs Solutions Inc 188,85124.4M $0.12 %
Everest Group Ltd 68,20224.3M $0.12 %
Royal Gold Inc 104,00824.3M $0.12 %
Akamai Technologies Inc 233,76924.1M $0.12 %
Mid-America Apartment Communities, Inc. 184,94723.9M $0.12 %
Genuine Parts Co 219,73123.6M $0.11 %
Tyler Technologies Inc 68,34623.3M $0.11 %
Huntington Ingalls Industries, Inc. 63,77023.2M $0.11 %
Reinsurance Group of America Inc 106,77322.6M $0.11 %
Omega Healthcare Investors Inc 480,24122.6M $0.11 %
Gaming and Leisure Properties Inc 459,87322.3M $0.11 %
Graco Inc 261,75121M $0.10 %
Avery Dennison Corp 123,19420.2M $0.10 %
Unum Group 250,13220.1M $0.10 %
Globe Life Inc 129,35020M $0.10 %
Equity LifeStyle Properties Inc 314,99419.9M $0.10 %
Assurant Inc 81,37419.2M $0.09 %
Jack Henry & Associates Inc 117,57418.1M $0.09 %
CACI International Inc 34,74618.1M $0.09 %
Service Corp International/US 221,56018M $0.09 %
American Homes 4 Rent 514,73616.4M $0.08 %
Murphy USA Inc 27,70316.3M $0.08 %
Donaldson Co Inc 184,07316.2M $0.08 %
Popular Inc 106,73616M $0.08 %
Booz Allen Hamilton Holding Corp 197,10715.3M $0.07 %
Cullen/Frost Bankers Inc 103,86015.1M $0.07 %
American Financial Group Inc/OH 112,47115M $0.07 %
Toro Co/The 155,90914.8M $0.07 %
Agree Realty Corp 186,43614.4M $0.07 %
FactSet Research Systems Inc 60,86913.9M $0.07 %
NNN REIT Inc 308,70713.5M $0.07 %
SEI Investments Co 148,50113.5M $0.07 %
AptarGroup Inc 106,70213.2M $0.06 %
IDACORP Inc 87,81513M $0.06 %
Amdocs Ltd 179,25811.6M $0.06 %
Antero Midstream Corp 529,13511.6M $0.06 %
Commerce Bancshares Inc/MO 209,95810.9M $0.05 %
Hanover Insurance Group Inc/The 57,79810.8M $0.05 %
Prosperity Bancshares Inc 155,03310.8M $0.05 %
Landstar System Inc 54,74410.1M $0.05 %
Hormel Foods Corp 463,0189.9M $0.05 %
Chemed Corp 23,0159.8M $0.05 %
United Bankshares Inc/WV 222,9319.8M $0.05 %
Essent Group Ltd 156,5329.5M $0.05 %
Erie Indemnity Co 41,4939.1M $0.04 %
FTI Consulting Inc 49,1778.8M $0.04 %
Balchem Corp 51,2598.3M $0.04 %
Selective Insurance Group Inc 98,1428.2M $0.04 %
Gentex Corp 346,5998M $0.04 %
Mastercard Inc 15,8027.9M $0.04 %
RLI Corp 145,0247.5M $0.04 %
Science Applications International Corp 74,7757.2M $0.04 %
Dropbox Inc 283,4126.9M $0.03 %
First Financial Bankshares Inc 205,5536.6M $0.03 %
Campbell's Company/The 319,0386.6M $0.03 %
H&R Block Inc 205,4216.5M $0.03 %
Dolby Laboratories Inc 99,3746.4M $0.03 %
Maximus Inc 91,5566M $0.03 %
Silgan Holdings Inc 142,4675.8M $0.03 %
Exponent Inc 79,7725.3M $0.03 %
Qualys Inc 58,2585.1M $0.02 %
Western Union Co/The 516,0354.7M $0.02 %
Graphic Packaging Holding Co 467,8284.5M $0.02 %
SPS Commerce Inc 61,2553.4M $0.02 %
Lineage Inc 92,7003.4M $0.02 %
Flowers Foods Inc 322,1212.9M $0.01 %
Pinnacle West Capital Corp. 19,3532M $0.01 %
ASGN Inc 69,1121.5M $0.01 %