Titelia

Holdings of Fidelity Flex Mid Cap Focused Index Fund

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

Net assets
14M $ including 14M $ in equities, 99.7 %
Positions
415 in 10 countries
Top ten
6.0 % of net assets
Filed on
Apr 30, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
101Lantheus Holdings Inc 57748.8K $0.35 %
102Primerica Inc 17148.1K $0.34 %
103American Financial Group Inc/OH 36048K $0.34 %
104Core & Main Inc 95248K $0.34 %
105Brixmor Property Group Inc 1,59347.9K $0.34 %
106Toro Co/The 50147.7K $0.34 %
107CNH Industrial NV 4,44647.6K $0.34 %
108BXP Inc 81447.6K $0.34 %
109Wynn Resorts Ltd 44247.3K $0.34 %
110Old Republic International Corp 1,17546.9K $0.34 %
111CareTrust REIT Inc 1,18846.9K $0.33 %
112GLOBALFOUNDRIES Inc 72346.7K $0.33 %
113Qorvo Inc 49546.6K $0.33 %
114Columbia Banking System Inc 1,57546.6K $0.33 %
115Universal Health Services Inc 27746.6K $0.33 %
116Western Alliance Bancorp 57046.5K $0.33 %
117Docusign Inc 1,01046.4K $0.33 %
118Loews Corp 41246.4K $0.33 %
119MDU Resources Group Inc 2,05346.3K $0.33 %
120SLM Corp 2,00146.2K $0.33 %
121Houlihan Lokey Inc 29846.1K $0.33 %
122Crane Co 25845.9K $0.33 %
123Voya Financial Inc 55945.8K $0.33 %
124Weatherford International PLC 41445.7K $0.33 %
125Reddit Inc 31045.6K $0.33 %
126Kirby Corp 30345.6K $0.33 %
127Tetra Tech Inc 1,40545.4K $0.32 %
128Chord Energy Corp 31045.1K $0.32 %
129Alaska Air Group Inc 1,15145K $0.32 %
130Rubrik Inc 84544.9K $0.32 %
131First Industrial Realty Trust Inc 72244.8K $0.32 %
132LKQ Corp 1,41544.7K $0.32 %
133Simpson Manufacturing Co Inc 23444.6K $0.32 %
134MKS Inc 15644.3K $0.32 %
135Brown-Forman Corp 1,71644.2K $0.32 %
136Masimo Corp 24543.7K $0.31 %
137Praxis Precision Medicines Inc 13743.7K $0.31 %
138ITT Inc 20343.5K $0.31 %
139Cousins Properties Inc 1,68743.2K $0.31 %
140American Airlines Group Inc 3,67943.1K $0.31 %
141Charles River Laboratories International Inc 25843.1K $0.31 %
142Dutch Bros Inc 74943.1K $0.31 %
143Nextpower Inc 36143K $0.31 %
144Snap Inc 7,03542.7K $0.31 %
145Dropbox Inc 1,75142.5K $0.30 %
146Axis Capital Holdings Ltd 42242.4K $0.30 %
147Etsy Inc 65842.3K $0.30 %
148MGM Resorts International 1,08742.3K $0.30 %
149UGI Corp 1,17242.3K $0.30 %
150Celanese Corp 62442.3K $0.30 %
151Corebridge Financial Inc 1,53242.2K $0.30 %
152STAG Industrial Inc 1,09142.1K $0.30 %
153Matador Resources Co 66141.9K $0.30 %
154IRhythm Holdings Inc 32441.8K $0.30 %
155Henry Schein Inc 55941.7K $0.30 %
156National Fuel Gas Co 49441.7K $0.30 %
157Timken Co/The 37241.3K $0.29 %
158ONE Gas Inc 46141.1K $0.29 %
159Churchill Downs Inc 40540.9K $0.29 %
160Bruker Corp 1,11440.9K $0.29 %
161Alcoa Corp 64040.8K $0.29 %
162Ryman Hospitality Properties Inc 38840.8K $0.29 %
163SM Energy Co 1,31240.7K $0.29 %
164Molson Coors Beverage Co 94840.5K $0.29 %
165Prosperity Bancshares Inc 58140.5K $0.29 %
166Ingredion Inc 35840K $0.29 %
167Hanover Insurance Group Inc/The 21340K $0.29 %
168Ryan Specialty Holdings Inc 1,14539.8K $0.28 %
169Sensata Technologies Holding PLC 95239.6K $0.28 %
170GXO Logistics Inc 68939.4K $0.28 %
171East West Bancorp Inc 31139.3K $0.28 %
172Mosaic Co/The 1,67939.1K $0.28 %
173Middleby Corp/The 27839K $0.28 %
174Morningstar Inc 23139K $0.28 %
175Starwood Property Trust Inc 2,12239K $0.28 %
176Lincoln National Corp 1,03038.9K $0.28 %
177Nexstar Media Group Inc 18738.9K $0.28 %
178Procore Technologies Inc 68638.8K $0.28 %
179Moderna Inc 83738.5K $0.27 %
180TALEN ENERGY CORP 10338.4K $0.27 %
181Conagra Brands Inc 2,65538.1K $0.27 %
182Paycom Software Inc 29937.9K $0.27 %
183Rollins Inc 67737.7K $0.27 %
184Janus Henderson Group PLC 73137.7K $0.27 %
185TD SYNNEX Corp 16337.2K $0.27 %
186Axalta Coating Systems Ltd 1,30537.1K $0.27 %
187Albertsons Cos Inc 2,20037.1K $0.26 %
188Wyndham Hotels & Resorts Inc 45436.9K $0.26 %
189Incyte Corp 38636.8K $0.26 %
190Wayfair Inc 57536.8K $0.26 %
191Somnigroup International Inc 48136.5K $0.26 %
192Permian Resources Corp 1,68536.4K $0.26 %
193Essent Group Ltd 60036.3K $0.26 %
194Lyft Inc 2,56336.3K $0.26 %
195PBF Energy Inc 83436.2K $0.26 %
196Kimco Realty Corp 1,52936.1K $0.26 %
197Iridium Communications Inc 92536.1K $0.26 %
198Caesars Entertainment Inc 1,29936.1K $0.26 %
199Knife River Corp 38936K $0.26 %
200Maximus Inc 54836K $0.26 %

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Sector breakdown

  • Technology 2.6 %
  • Industrials 1.8 %
  • Health care 1.3 %
  • Consumer staples 0.9 %
  • Energy 0.7 %
  • Materials 0.7 %
  • Consumer discretionary 0.5 %
  • Financials 0.3 %
  • Unattributed 91.1 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 95.1 %
  • Bermuda 1.9 %
  • Ireland 1.1 %
  • Cayman Islands 0.8 %
  • Switzerland 0.4 %
  • Netherlands 0.3 %
  • Jersey 0.3 %
  • British Virgin Islands 0.2 %
  • Guernsey 0.1 %
  • United Kingdom 0.0 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States39913.3M $95.06 %
2Bermuda5262.8K $1.88 %
3Ireland3151.1K $1.08 %
4Cayman Islands2107.5K $0.77 %
5Switzerland150.5K $0.36 %
6Netherlands147.6K $0.34 %
7Jersey137.7K $0.27 %
8British Virgin Islands123.4K $0.17 %
9Guernsey17.1K $0.05 %
10United Kingdom11.6K $0.01 %
Cite this page

Titelia. "Holdings of Fidelity Flex Mid Cap Focused Index Fund". https://titelia.com/en/funds/S000093537