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FIWCX

Fidelity SAI International Value Index Fund

Mutual fund

$14.42+0.10 (+0.70%)Close Oct 2, 2026

Dec 19, 2017 – Oct 2, 2026, Dividends reinvested

Final balance
$20,913
CAGR
+8.76%
Max drawdown
−42.73%
Sharpe ratio
0.56

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Growth of $10,000

Trailing returns

Annualized from 3Y
1M
−5.01%
3M
+0.14%
6M
+7.69%
YTD
+14.54%
1Y
+23.20%
3Y
+23.17%
5Y
+14.47%
Since 2017
+8.76%

Metrics

Since 2017
Volatility18.03%
Sortino ratio0.77
Calmar ratio0.21
Best year, 2025+43.38%
Worst year, 2018−16.13%
Positive years5 of 8
Longest drawdown3.2 years

Worst drawdowns

Since 2017
DeclinePeakBottomRecoveredLength
−42.7%Jan 2018Mar 2020Apr 20213.2 years
−28.5%Feb 2022Sep 2022Jul 20231.4 years
−14.8%Mar 2025Apr 2025May 20252 months
−11.1%Feb 2026Mar 2026May 20263 months
−10.2%Jul 2023Oct 2023Dec 20235 months

Annual returns

2017 from Dec 19 · 2026 through Oct 2