| Name | Dividend | Payment Date | Record Date | Declaration Date |
|---|---|---|---|---|
| FBII FBIIX Fidelity International Bond Index Fund 3 Oct 2025 | $0.04 | 6 Oct 2025 | 3 Oct 2025 | - |
| FBII FBIIX Fidelity International Bond Index Fund 11 Jul 2025 | $0.04 | - | - | - |
| FBII FBIIX Fidelity International Bond Index Fund 4 Apr 2025 | $0.07 | 7 Apr 2025 | 4 Apr 2025 | - |
| FBII FBIIX Fidelity International Bond Index Fund 18 Dec 2024 | $0.15 | 19 Dec 2024 | 18 Dec 2024 | - |
| FBII FBIIX Fidelity International Bond Index Fund 4 Oct 2024 | $0.04 | 7 Oct 2024 | 4 Oct 2024 | 4 Oct 2024 |
| FBII FBIIX Fidelity International Bond Index Fund 5 Jul 2024 | $0.04 | 8 Jul 2024 | 5 Jul 2024 | 5 Jul 2024 |
| FBII FBIIX Fidelity International Bond Index Fund 5 Apr 2024 | $0.03 | 8 Apr 2024 | 5 Apr 2024 | 5 Apr 2024 |
| FBII FBIIX Fidelity International Bond Index Fund 9 Feb 2024 | $0.06 | 12 Feb 2024 | 9 Feb 2024 | 9 Feb 2024 |
| FBII FBIIX Fidelity International Bond Index Fund 20 Dec 2023 | $0.12 | 21 Dec 2023 | 20 Dec 2023 | 20 Dec 2023 |
| FBII FBIIX Fidelity International Bond Index Fund 6 Oct 2023 | $0.04 | 9 Oct 2023 | 6 Oct 2023 | 6 Oct 2023 |
| FBII FBIIX Fidelity International Bond Index Fund 7 Jul 2023 | $0.03 | 10 Jul 2023 | 7 Jul 2023 | 7 Jul 2023 |
| FBII FBIIX Fidelity International Bond Index Fund 5 Apr 2023 | $0.08 | 6 Apr 2023 | 5 Apr 2023 | 5 Apr 2023 |
| FBII FBIIX Fidelity International Bond Index Fund 21 Dec 2022 | $0.02 | 22 Dec 2022 | 21 Dec 2022 | 21 Dec 2022 |
| FBII FBIIX Fidelity International Bond Index Fund 7 Oct 2022 | $0.03 | 10 Oct 2022 | 7 Oct 2022 | 7 Oct 2022 |
| FBII FBIIX Fidelity International Bond Index Fund 1 Jul 2022 | $0.02 | 5 Jul 2022 | 1 Jul 2022 | 1 Jul 2022 |
| FBII FBIIX Fidelity International Bond Index Fund 1 Apr 2022 | $0.02 | 4 Apr 2022 | 1 Apr 2022 | 1 Apr 2022 |
| FBII FBIIX Fidelity International Bond Index Fund 28 Dec 2021 | $0.01 | 29 Dec 2021 | 28 Dec 2021 | 28 Dec 2021 |
| FBII FBIIX Fidelity International Bond Index Fund 1 Oct 2021 | $0.02 | 4 Oct 2021 | 1 Oct 2021 | 1 Oct 2021 |
| FBII FBIIX Fidelity International Bond Index Fund 2 Jul 2021 | $0.02 | 6 Jul 2021 | 2 Jul 2021 | 2 Jul 2021 |
| FBII FBIIX Fidelity International Bond Index Fund 5 Apr 2021 | $0.01 | 6 Apr 2021 | 5 Apr 2021 | 5 Apr 2021 |
| FBII FBIIX Fidelity International Bond Index Fund 29 Dec 2020 | $0.03 | 30 Dec 2020 | 29 Dec 2020 | 29 Dec 2020 |
| FBII FBIIX Fidelity International Bond Index Fund 2 Oct 2020 | $0.01 | 5 Oct 2020 | 2 Oct 2020 | 2 Oct 2020 |
| FBII FBIIX Fidelity International Bond Index Fund 10 Jul 2020 | $0.01 | 13 Jul 2020 | 10 Jul 2020 | 10 Jul 2020 |
| FBII FBIIX Fidelity International Bond Index Fund 3 Apr 2020 | $0.01 | 6 Apr 2020 | 3 Apr 2020 | 3 Apr 2020 |
| FBII FBIIX Fidelity International Bond Index Fund 14 Feb 2020 | $0.02 | 18 Feb 2020 | 14 Feb 2020 | 14 Feb 2020 |
| FBII FBIIX Fidelity International Bond Index Fund 27 Dec 2019 | $0.02 | 30 Dec 2019 | 27 Dec 2019 | 27 Dec 2019 |