
Fidelity Spartan L/T Tr Bd Idx Inv (FLBIX)
Issue |
Coupon |
Maturity Date |
Amount Owned |
% of Fund |
US Treasury Bond 4.625% |
4.62 |
2040-02-15 |
$14,706,000 |
6.6 |
US Treasury Bond 4.375% |
4.38 |
2040-05-15 |
$14,451,000 |
6.22 |
US Treasury Bond 4.25% |
4.25 |
2040-11-15 |
$14,590,000 |
6.14 |
US Treasury Bond 4.375% |
4.38 |
2039-11-15 |
$14,236,000 |
6.13 |
US Treasury Bond 3.875% |
3.88 |
2040-08-15 |
$14,649,000 |
5.77 |
US Treasury Bond 4.5% |
4.5 |
2039-08-15 |
$12,011,000 |
5.29 |
US Treasury Bond 4.25% |
4.25 |
2039-05-15 |
$10,926,000 |
4.61 |
US Treasury Bond 4.5% |
4.5 |
2036-02-15 |
$8,446,000 |
3.75 |
US Treasury Bond 8% |
8 |
2021-11-15 |
$6,022,000 |
3.7 |
US Treasury Bond 6.25% |
6.25 |
2023-08-15 |
$6,209,000 |
3.39 |
US Treasury Bond 3.5% |
3.5 |
2039-02-15 |
$8,501,000 |
3.14 |
US Treasury Bond 6.125% |
6.12 |
2027-11-15 |
$5,532,000 |
3.01 |
US Treasury Bond 4.5% |
4.5 |
2038-05-15 |
$6,482,000 |
2.86 |
US Treasury Bond 4.75% |
4.75 |
2041-02-15 |
$5,664,000 |
2.59 |
US Treasury Bond 6.25% |
6.25 |
2030-05-15 |
$4,416,000 |
2.45 |
US Treasury Bond 5.375% |
5.38 |
2031-02-15 |
$4,856,000 |
2.44 |
US Treasury Bond 5% |
5 |
2037-05-15 |
$4,858,000 |
2.32 |
US Treasury Bond 4.75% |
4.75 |
2037-02-15 |
$4,800,000 |
2.21 |
US Treasury Bond 4.375% |
4.38 |
2038-02-15 |
$5,029,000 |
2.18 |
US Treasury Bond 7.125% |
7.12 |
2023-02-15 |
$3,554,000 |
2.07 |
US Treasury Bond 6% |
6 |
2026-02-15 |
$3,732,000 |
2 |
US Treasury Bond 6.875% |
6.88 |
2025-08-15 |
$3,112,000 |
1.8 |
US Treasury Bond 7.25% |
7.25 |
2022-08-15 |
$2,827,000 |
1.66 |
US Treasury Bond 7.625% |
7.62 |
2025-02-15 |
$2,648,000 |
1.63 |
US Treasury Bond 5.25% |
5.25 |
2028-11-15 |
$3,225,000 |
1.6 |