Strategic Advisers Fidelity International Fund (FUSIX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
13.10
+0.05 (0.38%)
Apr 25, 2025, 8:04 PM EDT
8.18%
Fund Assets 45.83B
Expense Ratio 0.32%
Min. Investment $0.00
Turnover n/a
Dividend (ttm) 0.42
Dividend Yield 3.18%
Dividend Growth 33.89%
Payout Frequency Semi-Annual
Ex-Dividend Date Apr 11, 2025
Previous Close 13.05
YTD Return 10.83%
1-Year Return 11.85%
5-Year Return 75.23%
52-Week Low 11.42
52-Week High 13.36
Beta (5Y) 0.83
Holdings 294
Inception Date Mar 8, 2007

About FUSIX

The fund invests primarily in non-U.S. securities, including securities of issuers located in emerging markets. It invests primarily in common stocks. It invests directly in securities through one or more managers (sub-advisers) or indirectly in securities through one or more other funds, referred to as underlying funds, which in turn invest directly in securities. The fund allocates assets among underlying Fidelity® international funds (underlying funds) and sub-advisers.

Fund Family Fidelity
Category Foreign Large Blend
Performance Rating Above Average
Risk Rating Below Average
Stock Exchange NASDAQ
Ticker Symbol FUSIX
Index MSCI EAFE NR USD

Performance

FUSIX had a total return of 11.85% in the past year, including dividends. Since the fund's inception, the average annual return has been 3.95%.

Top 10 Holdings

52.87% of assets
Name Symbol Weight
Fidelity SAI International Value Index Fund FIWCX 13.91%
Fidelity SAI International Index Fund FIONX 8.95%
Fidelity Advisor International Discovery Fund - Class Z FZAIX 7.68%
Fidelity Diversified International Fund FDIVX 7.31%
Fidelity SAI International Low Volatility Index Fund FSKLX 5.94%
State Street U.S. Government Money Market Portfolio GVMXX 3.19%
Fidelity SAI International Qly Idx FQITX 2.05%
Fidelity Advisor International Growth Fund - Class Z FZAJX 1.79%
Fidelity SAI International Sm Cp Idx FSISX 1.11%
Fidelity SAI International Mtm Idx FITMX 0.95%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Apr 11, 2025 $0.014 Apr 14, 2025
Dec 30, 2024 $0.385 Dec 31, 2024
Apr 26, 2024 $0.017 Apr 29, 2024
Dec 28, 2023 $0.281 Dec 29, 2023
Dec 29, 2022 $0.208 Dec 30, 2022
Apr 8, 2022 $0.264 Apr 11, 2022
Full Dividend History