Fidelity SAI Total Bond Fund (FSMTX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
8.98
-0.01 (-0.11%)
Mar 28, 2025, 5:00 PM EST
0.11%
Fund Assets 20.31B
Expense Ratio 0.29%
Min. Investment $0.00
Turnover n/a
Dividend (ttm) 0.42
Dividend Yield 4.63%
Dividend Growth 6.74%
Payout Frequency Monthly
Ex-Dividend Date Feb 28, 2025
Previous Close 8.99
YTD Return 1.16%
1-Year Return 4.52%
5-Year Return 6.42%
52-Week Low n/a
52-Week High n/a
Beta (5Y) 0.28
Holdings 6266
Inception Date Oct 25, 2018

About FSMTX

FSMTX was founded on 2018-10-25. The Fund's investment strategy focuses on Core Bond with 0.31% total expense ratio. Fidelity Salem Street Trust: Fidelity SAI Total Bond Fund seeks a high level of current income. The Adviser normally invests at least 80% of the fund's assets in debt securities of all types and repurchase agreements for those securities. The Adviser allocates the fund's assets across investment-grade, high yield, and emerging market debt securities.

Fund Family Fidelity
Category Intermediate Core-Plus Bond
Performance Rating Above Average
Risk Rating Average
Stock Exchange NASDAQ
Ticker Symbol FSMTX
Index Bloomberg U.S. Aggregate Bond TR

Performance

FSMTX had a total return of 4.52% in the past year. Since the fund's inception, the average annual return has been 2.39%, including dividends.

Top 10 Holdings

18.92% of assets
Name Symbol Weight
United States Treasury Notes 2.75% T 2.75 08.15.32 3.14%
United States Treasury Notes 3.75% T 3.75 08.31.31 2.86%
United States Treasury Notes 3.375% T 3.375 05.15.33 2.85%
United States Treasury Notes 3.5% T 3.5 09.30.29 2.20%
United States Treasury Notes 3.625% T 3.625 09.30.31 1.72%
Fidelity Cash Central Fund n/a 1.43%
United States Treasury Notes 4.375% T 4.375 05.15.34 1.28%
United States Treasury Bonds 4.125% T 4.125 08.15.53 1.19%
United States Treasury Notes 3.625% T 3.625 08.31.29 1.13%
Federal National Mortgage Association 2% FNCL 2 1.14 1.12%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Feb 28, 2025 $0.03106 Mar 3, 2025
Jan 31, 2025 $0.0331 Feb 3, 2025
Dec 31, 2024 $0.03336 Jan 2, 2025
Dec 18, 2024 $0.016 Dec 19, 2024
Nov 29, 2024 $0.03286 Dec 2, 2024
Oct 31, 2024 $0.03471 Nov 1, 2024
Full Dividend History