0000878467-15-000189.txt : 20150410 0000878467-15-000189.hdr.sgml : 20150410 20150410144010 ACCESSION NUMBER: 0000878467-15-000189 CONFORMED SUBMISSION TYPE: DEFA14A PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20150410 DATE AS OF CHANGE: 20150410 EFFECTIVENESS DATE: 20150410 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY SALEM STREET TRUST CENTRAL INDEX KEY: 0000035315 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0430 FILING VALUES: FORM TYPE: DEFA14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-02105 FILM NUMBER: 15763754 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY FIXED INCOME TRUST DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY FLEXIBLE BOND FUND DATE OF NAME CHANGE: 19860904 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY CORPORATE BOND FUND INC DATE OF NAME CHANGE: 19851225 0000035315 S000007003 Fidelity Inflation-Protected Bond Fund C000019114 Fidelity Inflation-Protected Bond Fund FINPX C000019115 Fidelity Advisor Inflation-Protected Bond Fund: Class A FIPAX C000019116 Fidelity Advisor Inflation-Protected Bond Fund: Class B FBIPX C000019117 Fidelity Advisor Inflation-Protected Bond Fund: Class C FIPCX C000019118 Fidelity Advisor Inflation-Protected Bond Fund: Class T FIPTX C000019119 Fidelity Advisor Inflation-Protected Bond Fund: Institutional Class FIPIX 0000035315 S000007004 Fidelity Investment Grade Bond Fund C000019120 Fidelity Investment Grade Bond Fund FBNDX C000019121 Fidelity Advisor Investment Grade Bond Fund: Class A FGBAX C000019122 Fidelity Advisor Investment Grade Bond Fund: Class B FGBBX C000019123 Fidelity Advisor Investment Grade Bond Fund: Class C FGBCX C000019124 Fidelity Advisor Investment Grade Bond Fund: Class T FGBTX C000019125 Fidelity Advisor Investment Grade Bond Fund: Institutional Class FGBPX 0000035315 S000007007 Fidelity Short-Term Bond Fund C000019128 Fidelity Short-Term Bond Fund FSHBX C000076768 Class F FSBFX 0000035315 S000017674 Fidelity Intermediate Bond Fund C000048836 Fidelity Intermediate Bond Fund FTHRX 0000035315 S000017675 Fidelity Strategic Real Return Fund C000048837 Fidelity Strategic Real Return Fund FSRRX C000048838 Fidelity Advisor Strategic Real Return Fund: Class A FSRAX C000048839 Fidelity Advisor Strategic Real Return Fund: Class B FSBRX C000048840 Fidelity Advisor Strategic Real Return Fund: Class C FCSRX C000048841 Fidelity Advisor Strategic Real Return Fund: Class T FSRTX C000048842 Fidelity Advisor Strategic Real Return Fund: Institutional Class FSIRX 0000035315 S000017676 Spartan U.S. Bond Index Fund C000048843 Investor Class FBIDX C000079295 Class F FUBFX C000100041 Fidelity Advantage Class FSITX C000100042 Institutional Class FXSTX C000100043 Fidelity Advantage Institutional Class FXNAX 0000035315 S000017677 Spartan Intermediate Treasury Bond Index Fund C000048844 Investor Class FIBIX C000048845 Fidelity Advantage Class FIBAX 0000035315 S000017678 Spartan Long-Term Treasury Bond Index Fund C000048846 Fidelity Advantage Class FLBAX C000048847 Investor Class FLBIX 0000035315 S000017679 Spartan Short-Term Treasury Bond Index Fund C000048848 Fidelity Advantage Class FSBAX C000048849 Investor Class FSBIX 0000035315 S000017680 Fidelity Tax-Free Bond Fund C000048850 Fidelity Tax-Free Bond Fund FTABX 0000035315 S000017681 Fidelity Strategic Dividend & Income Fund C000048851 Fidelity Strategic Dividend & Income Fund FSDIX C000048852 Fidelity Advisor Strategic Dividend & Income Fund: Class A FASDX C000048853 Fidelity Advisor Strategic Dividend & Income Fund: Class B FBSDX C000048854 Fidelity Advisor Strategic Dividend & Income Fund: Class C FCSDX C000048855 Fidelity Advisor Strategic Dividend & Income Fund: Class T FTSDX C000048856 Fidelity Advisor Strategic Dividend & Income Fund: Institutional Class FSIDX 0000035315 S000017682 Money Market Portfolio C000048857 Money Market Portfolio FSLXX 0000035315 S000019396 Fidelity Global Strategies Fund C000053896 Fidelity Global Strategies Fund FDYSX C000053897 Fidelity Advisor Global Strategies Fund: Class A FDASX C000053898 Fidelity Advisor Global Strategies Fund: Class B FDBSX C000053899 Fidelity Advisor Global Strategies Fund: Class C FDCSX C000053900 Fidelity Advisor Global Strategies Fund: Class T FDTSX C000053901 Fidelity Advisor Global Strategies Fund: Institutional Class FDYIX 0000035315 S000023604 Fidelity Series Investment Grade Bond Fund C000069436 Fidelity Series Investment Grade Bond Fund FSIGX C000076770 Class F FIBFX 0000035315 S000026422 Fidelity Series Global ex U.S. Index Fund C000079292 Fidelity Series Global ex U.S. Index Fund FSGEX 0000035315 S000026423 Fidelity Series Inflation-Protected Bond Index Fund C000079293 Fidelity Series Inflation-Protected Bond Index Fund FSIPX C000079294 Class F FFIPX 0000035315 S000028761 Fidelity Corporate Bond Fund C000088096 Fidelity Corporate Bond Fund FCBFX C000088097 Fidelity Advisor Corporate Bond Fund: Class A FCBAX C000088099 Fidelity Advisor Corporate Bond Fund: Class C FCCCX C000088100 Fidelity Advisor Corporate Bond Fund: Class T FCBTX C000088101 Fidelity Advisor Corporate Bond Fund: Institutional Class FCBIX 0000035315 S000031520 Fidelity Conservative Income Bond Fund C000097999 Fidelity Conservative Income Bond Fund FCONX C000098000 Fidelity Conservative Income Bond Fund: Institutional Class FCNVX 0000035315 S000032619 Fidelity Municipal Income 2015 Fund C000100596 Fidelity Municipal Income 2015 Fund FMLCX C000100597 Fidelity Advisor Municipal Income 2015 Fund: Class A FAMPX C000100598 Fidelity Advisor Municipal Income 2015 Fund: Institutional Class FAMIX 0000035315 S000032620 Fidelity Municipal Income 2017 Fund C000100599 Fidelity Advisor Municipal Income 2017 Fund: Institutional Class FAVIX C000100600 Fidelity Municipal Income 2017 Fund FMIFX C000100601 Fidelity Advisor Municipal Income 2017 Fund: Class A FAMMX 0000035315 S000032621 Fidelity Municipal Income 2019 Fund C000100602 Fidelity Advisor Municipal Income 2019 Fund: Institutional Class FACIX C000100603 Fidelity Municipal Income 2019 Fund FMCFX C000100604 Fidelity Advisor Municipal Income 2019 Fund: Class A FAPAX 0000035315 S000032622 Fidelity Municipal Income 2021 Fund C000100605 Fidelity Advisor Municipal Income 2021 Fund: Institutional Class FOMIX C000100606 Fidelity Municipal Income 2021 Fund FOCFX C000100607 Fidelity Advisor Municipal Income 2021 Fund: Class A FOMAX 0000035315 S000033635 Spartan Emerging Markets Index Fund C000103360 Fidelity Advantage Class FPMAX C000103361 Fidelity Advantage Institutional Class FPADX C000103362 Institutional Class FPMIX C000103363 Investor Class FPEMX 0000035315 S000033636 Spartan Global ex U.S. Index Fund C000103364 Fidelity Advantage Class FSGDX C000103365 Fidelity Advantage Institutional Class FSGGX C000103366 Institutional Class FSGSX C000103367 Investor Class FSGUX 0000035315 S000033637 Spartan Mid Cap Index Fund C000103368 Fidelity Advantage Institutional Class FSMDX C000103369 Institutional Class FSTPX C000103370 Investor Class FSCLX C000103371 Fidelity Advantage Class FSCKX 0000035315 S000033638 Spartan Small Cap Index Fund C000103372 Fidelity Advantage Class FSSVX C000103373 Fidelity Advantage Institutional Class FSSNX C000103374 Institutional Class FSSSX C000103375 Investor Class FSSPX 0000035315 S000033639 Spartan Real Estate Index Fund C000103376 Fidelity Advantage Class FSRVX C000103377 Institutional Class FSRNX C000103378 Investor Class FRXIX 0000035315 S000037003 Spartan Inflation-Protected Bond Index Fund C000113279 Investor Class FSIQX C000113280 Fidelity Advantage Class FSIYX C000113281 Institutional Class FIPBX C000113282 Fidelity Advantage Institutional Class FIPDX 0000035315 S000040416 Fidelity Municipal Income 2023 Fund C000125570 Fidelity Municipal Income 2023 Fund FCHPX C000125571 Fidelity Advisor Municipal Income 2023 Fund: Class A FSODX C000125572 Fidelity Advisor Municipal Income 2023 Fund: Institutional Class FSWTX 0000035315 S000042625 Fidelity Series 1000 Value Index Fund C000131781 Fidelity Series 1000 Value Index Fund FSIOX C000131782 Class F FIOOX DEFA14A 1 Salem_St_main.htm

SCHEDULE 14A INFORMATION

 

PROXY STATEMENT PURSUANT TO SECTION 14(a)

OF THE SECURITIES EXCHANGE ACT OF 1934

 

 

Filed by the Registrant

[X]

 

Filed by a Party other than the Registrant

[ ]

 

Check the appropriate box:

 

[ ]

Preliminary Proxy Statement

[ ]

Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))

[ ]

Definitive Proxy Statement

[X]

Definitive Additional Materials

[ ]

Soliciting Material under Rule 14a-12

 

 

Fidelity Salem Street Trust

 

(Name of Registrant as Specified In Its Charter)

 

Payment of Filing Fee (Check the appropriate box):

 

[X]

No fee required.

[ ]

Fee computed on table below per Exchange Act Rules 14a-6(i)(1) and 0-11.

 

(1)

Title of each class of securities to which transaction applies:

 

(2)

Aggregate number of securities to which transaction applies:

 

(3)

Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11:

 

(4)

Proposed maximum aggregate value of transaction:

 

(5)

Total Fee Paid:

[ ]

Fee paid previously with preliminary materials.

[ ]

Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.

 

(1)

Amount Previously Paid:

 

(2)

Form, Schedule or Registration Statement No.:

 

(3)

Filing Party:

 

(4)

Date Filed:

November Plan Sponsor Notification (Cover Letter) (Draft).docx

To: Responsible Named Fiduciary or Plan Administrator

From: Fidelity Investments ("Fidelity")

Re: Merger of Fidelity® U.S. Government Reserves into the Fidelity® Government Money Market Fund,

Merger of Fidelity® Select Money Market Portfolio into the Fidelity® Money Market Fund and the

Merger of Prime Fund - Daily Money Class into the Fidelity® Government Money Market Fund

In July 2014, the U.S. Securities and Exchange Commission issued new regulations for money market mutual funds. Since the rules have been released, we have spent significant time reviewing the rules and listening to our customers' preferences. As part of Fidelity's continued efforts to address these new requirements, meet our customers' needs and simplify and strengthen our money market mutual fund product line, we are contacting you with information about the merger of Fidelity® U.S. Government Reserves, Fidelity® Select Money Market Portfolio and Prime Fund - Daily Money Class ("Merging Fund") into the Fidelity® Government Money Market Fund, Fidelity® Money Market Fund and Fidelity® Government Money Market Fund ("Successor Fund"), respectively.

[For clients with email addresses]

A special meeting of shareholders of the Fidelity funds mentioned above will be held on May 12, 2015, to seek shareholder approval to merge each Merging Fund into its corresponding Successor Fund (the "Merger").The Merging Fund is an investment in the plan(s) listed in the email transmittal (the "Plan"). Unless you provide alternative direction to Fidelity by July 2, 2015, the Merger will be reflected in the Plan as described below. For more information about the Merger please click here (provide hyperlink to supplemental information)

[For clients without email addresses]

A special meeting of shareholders of the Fidelity funds mentioned above will be held on May 12, 2015, to seek shareholder approval to merge each Merging Fund into its corresponding Successor Fund (the "Merger")..The Merging Fund is an investment in the plan(s) listed below (the "Plan"). Unless you provide alternative direction to Fidelity by July 2, 2015, the Merger will be reflected in the Plan as described below. For more information about the Merger please see the enclosed letter to Merging Fund shareholders.

Plan Name

Plan Number

 

 

 

 

Beginning on or about November 6, 2015, or as soon as administratively feasible thereafter (the "Merger Date"), subject to any required approval, the Merging Fund expects to merge into the Successor Fund as reflected below:

Merging Fund

Ticker

Successor Fund

Ticker

Merger Date (Appr)

Fidelity® Select Money Market Portfolio

FSLXX

Fidelity® Money Market Fund

TBD

November 6, 2015

Prime Fund - Daily Money

FDAXX

Fidelity® Government Money Market Fund

TBD

November 13, 2015

Fidelity® U.S. Government Reserves

FGRXX

Fidelity® Government Money Market Fund

TBD

November 20, 2015

As a result, after the close of trading on the New York Stock Exchange (normally 4 p.m., Eastern Time) on the Merger Date:

1. The Successor Fund will be added as an investment option in the Plan. If the Merging Fund was a frozen (i.e. closed to new monies) investment option in the Plan, the Successor Fund will also be frozen.

2. Participants' balances in the Merging Fund will be transferred to the Successor Fund.

3. Pending exchanges and future loan repayments and contributions otherwise directed to the Merging Fund will be redirected to the Successor Fund.

4. The Merging Fund will be eliminated as an investment option in the Plan; and

5. The applicable recordkeeping, services and/or trust agreement for the Plan is deemed to be amended to reflect the Merger.

If you wish to map balances in the Merging Fund to an existing investment option in the Plan in lieu of the Successor Fund, please contact your Managing Director for a sample direction letter and amendment. The completed and signed direction must be received by Fidelity by July 2, 2015.

Prospectus Delivery

An updated prospectus for the Merging Fund, which describes the merger, is electronically available through the Mutual Fund Investment Detail page for the Plan on Fidelity NetBenefits or http://www.fidelity.com/workplacedocuments.

If the prospectus cannot be accessed, it may be obtained by contacting Fidelity.

Notifying Participants about the Merger

Applies to Emerging / Mid / Advisor Plans  (plans that do not have participant communication support from Fidelity)

If the Plan is subject to the Employee Retirement Income Security Act of 1974 ("ERISA"), you may be required to notify all eligible employees and participants of these changes to the Plan's investment options under the ERISA section 404a-5 regulation and/or provide notification to meet other regulatory obligations, including under the ERISA section 404(c)(5) regulation. You are responsible for determining and meeting any applicable requirements.

Fidelity will not deliver participant notifications. However, once available, Fidelity will provide a sample communication that describes the Merger to help facilitate your participant communication efforts.  If the Sponsor delivers a participant communication, consider that employees who become eligible for the Plan on or after that communication date may need to get the communication until the Plan's participant disclosure notice has been updated to reflect this change.

Applies to Strategic / Large / TEM Plans (plans that have participant communication support from Fidelity)

If the Plan is subject to the Employee Retirement Income Security Act of 1974 ("ERISA"), you may be required to notify all eligible employees and participants of these changes to the Plan's investment options under ERISA section 404(a) and related Department of Labor ("DOL") regulations, and/or provide notification to meet other regulatory obligations including under ERISA section 404(c)(5).

If the Plan is subject to ERISA, Fidelity will notify all Plan participants on Fidelity's recordkeeping platform of the Merger, prior to the Merger Date (or as soon thereafter as administratively feasible). 

If the Plan is not subject to ERISA, at a minimum Fidelity will notify those Plan participants who are invested in the Merging Fund on the date that Fidelity generates the distribution list.

Employees who become eligible to participate in the Plan on or after Fidelity generates the distribution list for the notice but before the Plan's participant disclosure notice (if applicable) is updated to reflect these changes will not be notified by Fidelity of these changes. Such Participants may need to be informed of these changes by the Plan Sponsor in another manner.

Next Steps

If the changes to the Plan resulting from the Merger as described above are acceptable, no direction from you is required. If you wish to provide direction to Fidelity to process alternatively or if you have any questions, please contact your Managing Director.

Sincerely,

Fidelity Investments

For plan sponsor or investment professional use only

Fidelity Investments Institutional Operations Company, Inc.

IWS Flash Fidelity Proxy Mailings_v2.docx

Fidelity Flash Template for March 16, 2015

Category: Investment Products

Brief Title: Fidelity Money Market Proxy Mailing

Name: [Fidelity Rep Name]

----------------------------------------------------------------------------------

Full Article

Article: Fidelity Money Market Proxy Mailing

As communicated in the January 30, 2015 Flash Notice, Fidelity Investments announced the first set of proposed changes to their money market mutual funds, which are designed to align their product offerings to best meet investors' future cash investment needs. As a result, shareholders of several Fidelity Money Market funds (list below) will receive proxy statements that are mailing today, March 16, 2015.

Key Points:

[bullet] Fidelity proxies mailed to shareholders of record on March 16, 2015 as communicated in the January 30, 2015 Flash Notice

[bullet] List of impacted funds below and access proxy Q&A in early April, 2015

[bullet] New CUSIPs / symbols should be available

Conversion of Fidelity Prime Money Market Funds to Government Money Market Funds - - Shareholders of each applicable fund will receive a proxy statement asking for their approval of the proposed conversion of their fund from a "prime" fund to a government money market fund. Fidelity is proposing that the following funds be converted to government money market funds: Fidelity Cash Reserves, VIP Money Market Portfolio and FMMT Retirement Money Market Portfolio.

Current Fund Name

Current
Symbol

Proposed
New Name*

Eligible for Core Sweep

Record Date /
Customer Mailing

Meeting
Date

Anticipated
Effective Date

Fidelity Cash Reserves

FDRXX

Fidelity Government Cash Reserves

Yes

March 16, 2015

May 12, 2015

Q4 2015

FMMT
Retirement Money Market Portfolio

FRTXX

FMMT Retirement Government Money Market II Portfolio

Position Only

March 16, 2015

May 12, 2015

Q4 2015

VIP Money
Market Portfolio

FAVMM

VIP Government Money Market
Portfolio

Position Only

March 16, 2015

May 12, 2015

Q4 2015

* If approved, each of the funds' symbols and CUSIPs will remain the same.

Fund Merger Proposals - Shareholders of certain funds will receive a proxy statement asking for their approval of the merger of their fund into another Fidelity money market fund. Fidelity is proposing that the following funds be merged into other acquiring funds: Select Money Market Fund, Cash Management Funds (CMF): Prime Fund, and U.S. Government Reserves.

Current Fund Name

Current
Symbol

Acquiring

Fund*

Eligible for Core Sweep

Record Date / Customer Mailing

Meeting
Date

Anticipated
Merger
Date

Select

Money Market

FSLXX

Fidelity Money Market

Premium Class

Position Only

March 16, 2015

May 12,
2015

Nov 2015

CMF Prime Fund: Daily Money Class**

FDAXX

Fidelity

Government Money Market:
Daily Money Class

Core

March 16, 2015

May 12,
2015

Nov 2015

CMF Prime Fund: Capital Reserves Class**

FPRXX

Fidelity

Government Money Market:
Capital Reserves

Core

March 16, 2015

May 12,
2015

Nov 2015

U.S. Government Reserves

FGRXX

Fidelity

Government Money Market:
Premium Class

Position Only

March 16, 2015

May 12,
2015

Nov 2015

* If approved, impact will be name change, CUSIP/symbol change, and new investment objective.

** May be held as core for small number of accounts via exception.

To help advisors navigate such changes, Fidelity Institutional Wealth Services will provide ongoing communication and support. In addition, customer applications and online account opening tools will be updated to reflect such changes. We will communicate specific timelines for such work in the coming weeks. Please contact your IWS relationship manager if you have additional questions.

For investment professional use only. Not for distribution to the public.

Clearing, custody, or other brokerage services may be provided by National Financial Services LLC, or Fidelity Brokerage Services LLC, Members NYSE, SIPC.

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