Titelia

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

Fidelity Salem Street Trust · Original filing · Compare with another fund · Report an error

Net assets
20.6B $ including 20.6B $ in equities, 99.8 %
Positions
184 in 3 countries
Top ten
37.6 % of net assets
Filed on
Apr 30, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1Apple Inc 5,018,3071.4B $6.60 %
2Microsoft Corp 3,138,5241.3B $6.20 %
3NVIDIA Corp 5,531,4231.1B $5.35 %
4Alphabet Inc 2,165,901833.4M $4.04 %
5Visa Inc 1,797,831593M $2.87 %
6Johnson & Johnson 2,541,168584.1M $2.83 %
7Cisco Systems, Inc. 6,359,941581.9M $2.82 %
8UnitedHealth Group Inc 1,409,833522.3M $2.53 %
9Procter & Gamble Co/The 3,387,262498.2M $2.41 %
10Home Depot Inc/The 1,236,303406.5M $1.97 %
11Texas Instruments Inc 1,436,384403.7M $1.96 %
12Philip Morris International Inc. 2,335,474385.5M $1.87 %
13RTX Corp 2,178,889383.6M $1.86 %
14Linde PLC 740,847371.3M $1.80 %
15Amazon.com Inc 1,392,535369.1M $1.79 %
16International Business Machines Corp. 1,519,012350.9M $1.70 %
17McDonald's Corp. 1,157,311339.8M $1.65 %
18Verizon Communications Inc 6,852,013329.1M $1.59 %
19Amgen Inc 875,078303M $1.47 %
20AT&T Inc 11,297,084295.2M $1.43 %
21TJX Cos Inc/The 1,808,626283.5M $1.37 %
22Analog Devices Inc 654,309263.2M $1.28 %
23Amphenol Corp 1,677,834247.1M $1.20 %
24Merck & Co Inc 2,261,215246.9M $1.20 %
25Eli Lilly & Co 264,122246.8M $1.20 %
26AbbVie Inc 1,119,023236.5M $1.15 %
27Honeywell International Inc 1,003,102215M $1.04 %
28Lowe's Cos Inc 885,453211.4M $1.02 %
29Chubb Ltd 594,785194.5M $0.94 %
30Progressive Corp/The 952,930191.8M $0.93 %
31PepsiCo Inc 1,135,052179.9M $0.87 %
32Southern Co/The 1,789,415173M $0.84 %
33Lockheed Martin Corp 330,918171.4M $0.83 %
34CME Group Inc 585,997168.7M $0.82 %
35Duke Energy Corp 1,263,789163.7M $0.79 %
36T-Mobile US Inc 781,604152.8M $0.74 %
37Williams Cos Inc/The 1,929,388147.2M $0.71 %
38Cadence Design Systems Inc 430,515141.9M $0.69 %
39General Dynamics Corp 412,017141.9M $0.69 %
40Waste Management Inc 602,322140.1M $0.68 %
41Automatic Data Processing Inc 657,262139.3M $0.68 %
42O'Reilly Automotive Inc 1,371,742136.4M $0.66 %
43Marsh & McLennan Cos Inc 796,139133.5M $0.65 %
44Northrop Grumman Corp 218,018126.3M $0.61 %
45American Electric Power Co Inc 844,976115.9M $0.56 %
46Motorola Solutions Inc 263,225115.6M $0.56 %
47Regeneron Pharmaceuticals, Inc. 160,947113.8M $0.55 %
48Colgate-Palmolive Co 1,309,913111.8M $0.54 %
49Travelers Cos Inc/The 362,498110.6M $0.54 %
50Aon PLC 340,678106.2M $0.51 %
51Kinder Morgan, Inc. 3,181,567104.6M $0.51 %
52AutoZone Inc 27,030100.1M $0.49 %
53Realty Income Corp 1,494,95596M $0.47 %
54L3Harris Technologies Inc 295,60494.8M $0.46 %
55Corteva Inc 1,072,91986.9M $0.42 %
56Arthur J Gallagher & Co 417,32686.1M $0.42 %
57Broadcom Inc 196,68782.1M $0.40 %
58Fastenal Co 1,813,18781.5M $0.39 %
59Xcel Energy Inc 961,33179.7M $0.39 %
60Exelon Corp 1,641,81575.5M $0.37 %
61Yum! Brands Inc 451,20872M $0.35 %
62Electronic Arts Inc 355,78472M $0.35 %
63Accenture PLC 393,77170.4M $0.34 %
64Becton Dickinson & Co 465,78969.4M $0.34 %
65Republic Services Inc 326,99268.4M $0.33 %
66Consolidated Edison Inc 586,52365.4M $0.32 %
67Nasdaq Inc 679,52262.5M $0.30 %
68WEC Energy Group Inc 528,63862.3M $0.30 %
69Roper Technologies Inc 174,91562.1M $0.30 %
70Hartford Insurance Group Inc/The 452,80861.9M $0.30 %
71Meta Platforms Inc 91,66756.1M $0.27 %
72Arch Capital Group Ltd 586,79555.4M $0.27 %
73M&T Bank Corp 249,72854.6M $0.26 %
74Union Pacific Corp 197,11153.1M $0.26 %
75Kimberly-Clark Corp 539,28153.1M $0.26 %
76DTE Energy Co 337,50651.2M $0.25 %
77Cboe Global Markets Inc 170,05551M $0.25 %
78VICI Properties Inc 1,736,84450.7M $0.25 %
79Ameren Corp 439,58750M $0.24 %
80Otis Worldwide Corp 620,09248.3M $0.23 %
81Teledyne Technologies Inc 74,08047.8M $0.23 %
82Paychex Inc 512,22547.4M $0.23 %
83Biogen Inc 231,63843.8M $0.21 %
84Hershey Co/The 233,98943.5M $0.21 %
85Coterra Energy Inc 1,205,68343.3M $0.21 %
86AvalonBay Communities, Inc. 229,82842.1M $0.20 %
87Cognizant Technology Solutions Corp. 784,24841.5M $0.20 %
88Verisk Analytics Inc 220,74040.7M $0.20 %
89Omnicom Group Inc 518,34939.8M $0.19 %
90CMS Energy Corp 494,55738M $0.18 %
91Darden Restaurants Inc 189,01537.9M $0.18 %
92Equity Residential 562,65936.8M $0.18 %
93VeriSign Inc 135,56936.4M $0.18 %
94Fox Corp 555,10735.2M $0.17 %
95Quest Diagnostics Inc 176,66934.3M $0.17 %
96W R Berkley Corp 487,85332.6M $0.16 %
97Snap-on Inc 84,51332.4M $0.16 %
98Loews Corp 275,35131M $0.15 %
99General Mills, Inc. 866,53030.6M $0.15 %
100Coca-Cola Co/The 388,43530.6M $0.15 %

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Sector breakdown

  • Technology 29.6 %
  • Health care 11.7 %
  • Consumer discretionary 9.7 %
  • Industrials 9.5 %
  • Financials 9.1 %
  • Communication 8.8 %
  • Consumer staples 6.5 %
  • Utilities 4.5 %
  • Materials 2.6 %
  • Energy 1.4 %
  • Real estate 1.2 %
  • Unattributed 5.4 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • United States 99.6 %
  • Bermuda 0.3 %
  • Guernsey 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States18120.5B $99.63 %
2Bermuda264.9M $0.32 %
3Guernsey111.6M $0.06 %
Cite this page

Titelia. "Holdings of Fidelity SAI U.S. Low Volatility Index Fund". https://titelia.com/en/funds/S000049309