Fidelity Series International Developed Markets Bond Index Fund
Holdings
634
positions in the fund
Top 10
8%
of fund assets
Expense ratio
0.00%
net, per year
Fund size
$16B
total net assets
Top 20 holdings
Rank
Logo
Ticker / Name
Weight
1
?
—Fidelity Revere Street Trust
1.01%
2
?
—BANK OF AMERICA, N.A.
1.00%
3
U
UKT 4.5 06.07.28UNITED KINGDOM GILT
0.92%
4
B
BTPS 2.1 08.26.27 2YBUONI POLIENNALI DEL TES
0.85%
5
U
UKT 4.5 03.07.35UNITED KINGDOM GILT
0.82%
6
J
JGB 0.9 09.20.34 376JAPAN (10 YEAR ISSUE)
0.82%
7
F
FRTR 2.5 05.25.43 OATFRANCE (GOVT OF)
0.74%
8
P
PGB 1.95 06.15.29 10YOBRIGACOES DO TESOURO
0.69%
9
O
OBL 2.4 10.19.28 188BUNDESOBLIGATION
0.68%
10
F
FRTR 2 11.25.32 OATFRANCE (GOVT OF)
0.67%
11
P
PGB 2.875 10.20.34 11YOBRIGACOES DO TESOURO
0.65%
12
F
FRTR 2.5 09.24.27 OATFRANCE (GOVT OF)
0.58%
13
U
UKT 3.5 01.22.45UNITED KINGDOM GILT
0.57%
14
R
RAGB 0 02.20.30REPUBLIC OF AUSTRIA
0.57%
15
A
ACGB 2.75 11.21.29 154AUSTRALIAN GOVERNMENT
0.56%
16
A
ACGB 2.75 11.21.27 148AUSTRALIAN GOVERNMENT
0.56%
17
R
RAGB 2.9 02.20.34REPUBLIC OF AUSTRIA
0.55%
18
G
GGB 3.9 01.30.33HELLENIC REPUBLIC
0.55%
19
F
FRTR 2.75 02.25.29 OATFRANCE (GOVT OF)
0.53%
20
B
BTPS 2.7 10.01.30 5YBUONI POLIENNALI DEL TES
0.53%
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 2026-03-31); 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.