Fidelity Series International Developed Markets Bond Index Fund
Holdings
657
positions in the fund
Top 10
7%
of fund assets
Expense ratio
0.00%
net, per year
Fund size
$18B
total net assets
Top 20 holdings
Rank
Logo
Ticker / Name
Weight
1
?
—BANK OF AMERICA, N.A.
1.27%
2
BOND
United Kingdom Gilt4.5% · Jun 2028
0.84%
3
BOND
United Kingdom Gilt4.5% · Mar 2035
0.76%
4
BOND
Japan (10 Year Issue)0.9% · Sep 2034
0.72%
5
BOND
France (govt Of)2.5% · May 2043
0.68%
6
BOND
France (govt Of)3.5% · Nov 2035
0.63%
7
BOND
Obrigacoes Do Tesouro1.95% · Jun 2029
0.63%
8
BOND
Bundesobligation2.4% · Oct 2028
0.61%
9
BOND
France (govt Of)2% · Nov 2032
0.61%
10
BOND
Obrigacoes Do Tesouro2.875% · Oct 2034
0.59%
11
BOND
United Kingdom Gilt3.5% · Jan 2045
0.53%
12
BOND
Bonos Y Oblig Del Estado3.45% · Jul 2043
0.53%
13
BOND
France (govt Of)2.5% · Sep 2027
0.53%
14
BOND
Australian Government2.75% · Nov 2029
0.52%
15
BOND
Republic Of Austria0% · Feb 2030
0.52%
16
BOND
Australian Government2.75% · Nov 2027
0.51%
17
BOND
Hellenic Republic3.9% · Jan 2033
0.51%
18
BOND
Republic Of Austria2.9% · Feb 2034
0.50%
19
BOND
BNP Paribas (floating)3.739% · Apr 2034
0.50%
20
BOND
United Kingdom Gilt4.25% · Jul 2034
0.48%
Geography reflects each issuer's registered business address per SEC EDGAR filings where available, falling back to the exchange or listing where no SEC filing exists — not necessarily where a company's stock is primarily listed (e.g. TSMC is classified as Taiwan even though its ADR trades on the NYSE).
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Data source: official SEC Form N-PORT filings (as of 2026-06-30); expense ratio from SEC prospectus (risk/return) filings. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay. Informational and educational only — not investment advice.