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Fidelity SAI U.S. Value Index Fund (FSWCX) is an MF managed by Fidelity. Its largest position is MICRON TECHNOLOGY INC (MU), representing 4.81% of fund assets.

Fidelity SAI U.S. Value Index Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
FSWCX
Type:
MF
Manager:
Fidelity
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 203 holdings
Holding Weight Market Value Shares
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MICRON TECHNOLOGY INC
4.81% $387,335,256.56 748,966
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NVIDIA CORP
4.27% $343,462,763.98 1,721,014
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UNITEDHEALTH GROUP INC
3.60% $289,884,669.36 782,457
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BANK OF AMERICA CORP /DE/
3.58% $287,968,972.50 5,386,625
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CHEVRON CORP
3.28% $264,222,680.54 1,366,834
-
Apple Inc.
3.19% $256,428,734.85 945,011
-
WELLS FARGO & COMPANY/MN
2.77% $222,975,608.07 2,711,609
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Alphabet Inc.
2.54% $204,673,196.00 531,895
-
CITIGROUP INC
2.46% $197,810,111.34 1,545,633
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VERIZON COMMUNICATIONS INC
2.17% $174,933,329.04 3,642,168
-
QUALCOMM INC/DE
2.06% $166,133,049.60 925,120
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AT&T INC.
1.99% $160,018,186.38 6,123,926
-
Walt Disney Co
1.99% $159,986,131.25 1,542,035
-
Salesforce, Inc.
1.80% $145,170,857.74 822,358
-
CONOCOPHILLIPS
1.67% $134,280,463.96 1,067,582
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PFIZER INC
1.63% $131,116,998.30 4,910,749
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MICROSOFT CORP
1.57% $126,101,071.64 309,238
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BRISTOL MYERS SQUIBB CO
1.32% $106,538,668.86 1,758,354
-
NEWMONT Corp /DE/
1.30% $104,718,544.14 942,646
-
ALTRIA GROUP, INC.
1.29% $103,603,694.90 1,426,066
-
Chubb Ltd
1.27% $102,295,083.00 312,829
-
Accenture plc
1.19% $95,740,844.43 535,733
-
CVS HEALTH Corp
1.13% $91,315,990.98 1,096,362
-
ADOBE INC.
1.11% $88,986,806.80 361,588
-
Medtronic plc
1.10% $88,767,491.97 1,096,301
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COMCAST CORP
1.05% $84,887,996.96 3,139,349
-
US BANCORP DE
0.95% $76,077,948.60 1,342,710
-
PNC FINANCIAL SERVICES GROUP, INC.
0.94% $75,544,149.00 338,763
-
Elevance Health, Inc.
0.90% $72,251,560.48 191,944
-
SLB LIMITED/NV
0.89% $72,011,615.76 1,266,027
-
FEDEX CORP
0.89% $71,777,080.70 177,970
-
UNITED PARCEL SERVICE INC
0.86% $69,436,051.20 638,199
-
Cigna Group
0.83% $67,035,062.52 230,694
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VALERO ENERGY CORP/TX
0.83% $66,558,871.28 263,516
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EOG RESOURCES INC
0.82% $65,914,397.56 468,908
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Phillips 66
0.78% $62,367,847.80 348,132
-
General Motors Co
0.77% $61,952,733.48 805,732
-
REGENERON PHARMACEUTICALS, INC.
0.75% $60,554,739.58 85,643
-
TRAVELERS COMPANIES, INC.
0.73% $58,801,698.56 192,704
-
Warner Bros. Discovery, Inc.
0.72% $57,900,741.40 2,140,508
-
TRUIST FINANCIAL CORP
0.71% $56,905,491.50 1,104,961
-
Dell Technologies Inc.
0.68% $54,400,132.50 260,350
-
FIDELITY REVERE STREET TRUST
0.66% $53,398,663.36 53,393,324
-
TARGET CORP
0.63% $50,923,631.25 392,475
-
ALLSTATE CORP
0.61% $49,112,492.04 226,054
-
ONEOK INC /NEW/
0.52% $41,716,472.64 451,184
-
FORD MOTOR CO
0.51% $40,825,326.40 3,379,580
-
PayPal Holdings, Inc.
0.50% $40,516,880.50 808,075
-
METLIFE INC
0.48% $38,289,482.10 478,021
-
Strategy Inc
0.48% $38,259,319.80 231,244
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