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Core data
| Name | Fidelity International Bond Index Fund |
| Issuer | Fidelity International Bond Index Fund |
| Fund domicile | USA |
| Inception date | 10/10/2019 |
Composition
| Holdings | Share |
|---|---|
Eur 9/1/2026 Forward Cc | 30.25% |
Jpy 9/1/2026 Forward Cc | 5.55% |
Gbp 9/1/2026 Forward Cc | 4.80% |
Cad 9/1/2026 Forward Cc | 3.67% |
Aud 9/1/2026 Forward Cc | 2.14% |
Aud Spot Cc | 2.14% |
Aud 8/4/2026 Forward Cc | 2.14% |
Chf 9/1/2026 Forward Cc | 0.65% |
| 0.56% | |
Sek 9/1/2026 Forward Cc | 0.49% |
As of 09/01/2026
