FSTB ETF largest sector is Financials at 40.6% as of Aug 6, 2026

FSTB ETF largest sector is Financials at 40.6% as of Aug 6, 2026
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Financials is FSTB's largest sector at 40.6% of the fund as of Aug 6, 2026. FSTB is Fidelity Short-Term Bond Fund ETF.

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Sector Concentration AnalysisPRO

Top 3 Sectors
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of total portfolio
Concentration Level
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concentration risk
Largest Sector
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Sector AllocationPRO

Sector BreakdownPRO

SectorHoldingsWeight
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Industry BreakdownPRO

Top 15 industries by allocation

FSTB ETF Sector Allocation

FSTB sector allocation breaks down across Financials (40.6%), Energy (1.0%), Utilities (0.9%), Industrials (0.8%), Consumer Staples (0.8%). Across 421 holdings, this breakdown reveals the ETF's investment focus and diversification.

FSTB sector exposure is important for understanding concentration risk. With Financials at 40.6%, the fund has significant sector concentration.

FSTB by country shows geographic exposure. FSTB overlap reveals how sector exposure compares with other funds.

FSTB ETF Sector Allocation

Sector Concentration Analysis

Top 3 Sectors

42.4%

of total portfolio

Concentration Level

Low

concentration risk

Largest Sector

40.6%

Financials

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Sector Breakdown

  • 1Financials
    40.58%
  • 2Energy
    0.98%
  • 3Utilities
    0.87%
  • 4Industrials
    0.79%
  • 5Consumer Staples
    0.76%
  • 6Information Technology
    0.67%
  • 7Communication Services
    0.64%
  • 8Real Estate
    0.46%
  • 9Health Care
    0.42%
  • 10Materials
    0.27%
  • 11Consumer Discretionary
    0.11%

Industry Breakdown (Top 15)

Diversified Banks
15.5%
60 holdings
Specialized Finance
10.2%
90 holdings
Diversified Capital Markets
7.1%
5 holdings
Consumer Finance
2.1%
17 holdings
Life & Health Insurance
1.3%
9 holdings
Mortgage REITs
1.1%
17 holdings
Investment Banking & Brokerage
1.1%
5 holdings
Electric Utilities
0.8%
6 holdings
Asset Management & Custody Banks
0.8%
5 holdings
Oil & Gas Storage & Transportation
0.8%
6 holdings
Aerospace & Defense
0.6%
4 holdings
Cable & Satellite
0.4%
2 holdings
Regional Banks
0.4%
2 holdings
Tobacco
0.4%
2 holdings
Reinsurance
0.3%
2 holdings