Fidelity SAI Intermediate Treasury Bond Index Fund is a registered fund series of Fidelity Salem Street Trust (series S000086561). Net assets $1.5B as of 2026-05-31. Index fund.
Showing 15 of 24 holdings by value.
| Holding | Ticker | Value | % of fund |
|---|---|---|---|
| UST NOTES | — | $256.3M | 1716.53% |
| UST NOTES | — | $155.9M | 1043.72% |
| UST NOTES | — | $131.5M | 880.88% |
| UST NOTES | — | $116.3M | 778.57% |
| UST NOTES | — | $111.0M | 743.43% |
| UST NOTES | — | $107.0M | 716.65% |
| UST NOTES | — | $105.6M | 707.06% |
| UST NOTES | — | $79.7M | 533.65% |
| UST NOTES | — | $65.4M | 437.83% |
| UST NOTES | — | $60.0M | 402.09% |
| UST NOTES | — | $52.7M | 352.88% |
| UST NOTES | — | $32.1M | 214.72% |
| UST NOTES | — | $31.5M | 210.79% |
| UST NOTES | — | $31.0M | 207.35% |
| UST NOTES | — | $29.7M | 199.22% |
| Report date | Net assets |
|---|---|
| 2026-05-31 | $1.5B |
| 2026-02-28 | $4.2B |
| 2025-11-30 | $4.0B |
| 2025-08-31 | $3.8B |
| 2025-05-31 | $3.2B |
| 2025-02-28 | $2.9B |
| 2024-11-30 | $2.8B |