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Fidelity SAI International Value Index Fund

S000059762Fidelity Salem Street TrustCIK 0000035315

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Report period

1 period filed. Holdings below describe the selected month only.

Filing

NPORT-P · filed 2026-06-26

Report date
2026-04-30
Net assets
$12,843,870,712.83
Total assets
$13,034,198,182.88
Total liabilities
$190,327,470.05
Assets invested
$0
Cash not reported in C or D
$7,876,910.73
Amendment
No

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