Portfolio Holdings Listing Fidelity Series Emerging Markets Fund DUMMY as of July 30, 2021

The portfolio holdings listing (listing) provides information on a fund’s investments as of the date indicated. Top 10 holdings information (top 10 holdings) is also provided for certain equity and high income funds. The listing and top 10 holdings are not part of a fund’s annual/semiannual report or Form N-Q and have not been audited.

The information provided in this listing and top 10 holdings may differ from a fund’s holdings disclosed in its annual/semiannual report and Form N-Q as follows, where applicable: With certain exceptions, the listing and top 10 holdings provide information on the direct holdings of a fund as well as a fund’s pro rata share of any securities and other investments held indirectly through investment in underlying non- money market Fidelity Central Funds. A fund’s pro rata share of the underlying holdings of any investment in high income and floating rate central funds is provided at a fund’s fiscal quarter end. For certain funds, direct holdings in high income or convertible securities are presented at a fund’s fiscal quarter end and are presented collectively for other periods.

For the annual/semiannual report, a fund’s investments include trades executed through the end of the last business day of the period. This listing and the top 10 holdings include trades executed through the end of the prior business day. The listing includes any investment in derivative instruments, and excludes the value of any cash collateral held for securities on loan and a fund’s net other assets. Therefore, the holdings as a percent of fund net assets may not total to 100%.

The presentation of investment holdings by category is similar to that used in other marketing materials.

The fund’s holdings are consistent across all share classes.

The top 10 holdings is presented to illustrate examples of the securities that the fund has bought and the diversity of the areas in which the fund may invest, may not be representative of the fund’s current or future investments, and may change at any time. The top 10 holdings do not include cash, cash equivalents, money market instruments, options, interest rate swaps, fixed income total return swaps and/or futures contracts. Depositary receipts, credit default swaps and equity total return swaps are normally combined with the underlying security.

The most recent annual/semiannual report can be viewed at www.fidelity.com or www.institutional.fidelity.com. Forms N-Q are available on the SEC’s web site at www.sec.gov. Before investing, consider the fund’s investment objectives, risks, charges and expenses. Contact Fidelity for a prospectus containing this information. Read it carefully.

466719.7.0 TOP TEN HOLDINGS % of Net Security Name Market Value Assets Taiwan Semiconductor Manufacturing Co. Ltd. $219,719,586 7.1% Alibaba Group Holding Ltd. sponsored ADR $183,316,592 5.9% Samsung Electronics Co. Ltd. $155,129,568 5.0% Tencent Holdings Ltd. $148,642,998 4.8% Reliance Industries Ltd. $65,600,703 2.1% POSCO $53,637,747 1.7% MediaTek, Inc. $53,512,646 1.7% Meituan Class B $50,884,987 1.6% SK Hynix, Inc. $47,931,952 1.6% NAVER Corp. $46,649,498 1.5% Top Ten Holdings Total: $1,025,026,277 33.1%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

2 FULL HOLDINGS LISTING % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Emerging Markets Taiwan Semiconductor Manufacturing Co. Ltd. $219,719,586 7.101% *TWSMC TW0002330008 6889106 Alibaba Group Holding Ltd. sponsored ADR $183,316,592 5.924% BABA 01609W102 US01609W1027 BP41ZD1 Samsung Electronics Co. Ltd. $155,129,568 5.013% *SAMSNG KR7005930003 6771720 Tencent Holdings Ltd. $148,642,998 4.804% *TENCENT KYG875721634 BMMV2K8 Reliance Industries Ltd. $65,600,703 2.120% *RELID INE002A01018 6099626 POSCO $53,637,747 1.733% *PSCO KR7005490008 6693233 MediaTek, Inc. $53,512,646 1.729% *MDTK TW0002454006 6372480 Meituan Class B $50,884,987 1.644% *MTND KYG596691041 BGJW376 SK Hynix, Inc. $47,931,952 1.549% *SHILT KR7000660001 6450267 NAVER Corp. $46,649,498 1.508% *NHNC KR7035420009 6560393 Lukoil PJSC $45,427,146 1.468% *LKORU RU0009024277 B59SNS8 Li Ning Co. Ltd. $44,869,710 1.450% *LINING KYG5496K1242 B01JCK9 Axis Bank Ltd. $42,628,458 1.378% *AXSB INE238A01034 BPFJHC7 ICICI Bank Ltd. $39,354,500 1.272% *ICBK INE090A01021 BSZ2BY7 Natura & Co. Holding SA $38,891,191 1.257% *NTCO3 BRNTCOACNOR5 BJRFY31 Impala Platinum Holdings Ltd. $38,169,991 1.234% *IPH ZAE000083648 B1FFT76 Itau Unibanco Holding SA $37,760,319 1.220% *ITUB4 BRITUBACNPR1 B037HR3 China Construction Bank Corp. (H Shares) $35,782,713 1.156% *CCBC CNE1000002H1 B0LMTQ3 XPeng, Inc. ADR $35,779,884 1.156% XPEV 98422D105 US98422D1054 BMXR2T4 Naspers Ltd. Class N $33,670,625 1.088% *NPNA ZAE000015889 6622691 Pinduoduo, Inc. ADR $33,648,353 1.087% PDD 722304102 US7223041028 BYVW0F7 JD.com, Inc. sponsored ADR $33,130,871 1.071% JD 47215P106 US47215P1066 BMM27D9 Shenzhen Mindray Bio-Medical Electronics Co. Ltd. (A Shares) $32,931,622 1.064% *SZMID CNE100003G67 BHQK864 eMemory Technology, Inc. $32,673,391 1.056% *EMTE TW0003529004 B2PXYH2 Hansol Chemical Co. Ltd. $30,886,787 0.998% *HNSL KR7014680003 6988155 Sberbank of Russia $30,094,503 0.973% *SBER RU0009029540 4767981 Hon Hai Precision Industry Co. Ltd. (Foxconn) $29,381,756 0.950% *HONHAI TW0002317005 6438564 Zai Lab Ltd. $28,502,417 0.921% *ZAILAB KYG9887T1085 BMGWNM6 Larsen & Toubro Ltd. $28,027,610 0.906% *LSTBD INE018A01030 B0166K8 Rent A Car SA $27,853,987 0.900% *RENT3 BRRENTACNOR4 B08K3S0 Bilibili, Inc. ADR $27,668,014 0.894% BILI 090040106 US0900401060 BFNLRN6 Li Auto, Inc. ADR $27,292,986 0.882% LI 50202M102 US50202M1027 BMXHCD8 NetEase, Inc. ADR $26,860,788 0.868% NTES 64110W102 US64110W1027 2606440 Ping An Insurance Group Co. of China Ltd. (H

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

3 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Shares) $25,772,987 0.833% *PAIZ CNE1000003X6 B01FLR7 Shriram Transport Finance Co. Ltd. $24,630,874 0.796% *SHTF INE721A01013 6802608 Novatek PJSC GDR (Reg. S) $23,861,830 0.771% *NOVTGDR 669888109 US6698881090 B0DK750 Unimicron Technology Corp. $23,656,591 0.765% *UNIMIC TW0003037008 6137720 Grupo Financiero Banorte S.A.B. de CV Series O $23,560,710 0.761% *GFNORTE MXP370711014 2421041 Vale SA $23,150,067 0.748% *VALE3 BRVALEACNOR0 2196286 Silergy Corp. $23,088,701 0.746% *SILG KYG8190F1028 BH4DMW9 Infosys Ltd. $22,510,202 0.727% *INFOSD INE009A01021 6205122 PT Bank Central Asia Tbk $22,209,638 0.718% *BCA ID1000109507 B01C1P6 Al Rajhi Bank $22,028,309 0.712% *RJHI SA0007879113 B12LZH9 Bharti Airtel Ltd. $21,989,927 0.711% *BHRT INE397D01024 6442327 HDFC Bank Ltd. $21,930,590 0.709% *HDRCBKD INE040A01034 BK1N461 China Petroleum & Chemical Corp. (H Shares) $21,610,612 0.698% *CHPC CNE1000002Q2 6291819 KB Financial Group, Inc. $21,438,127 0.693% *KBFI KR7105560007 B3DF0Y6 Housing Development Finance Corp. Ltd. $21,244,754 0.687% *BHDFD INE001A01036 6171900 Shenzhou International Group Holdings Ltd. $21,196,803 0.685% *SINGR KYG8087W1015 B0MP1B0 Yandex NV Series A $21,172,558 0.684% YNDX NL0009805522 B5BSZB3 Samsung SDI Co. Ltd. $20,946,447 0.677% *SSDI KR7006400006 6771645 China Merchants Bank Co. Ltd. (H Shares) $20,735,979 0.670% *CMERZ CNE1000002M1 B1DYPZ5 Azul SA $20,233,318 0.654% *AZUL4 BRAZULACNPR4 BD97PR4 Thai Beverage PCL $18,351,832 0.593% *THBE TH0902010014 B15F664 CP ALL PCL (For. Reg.) $18,050,122 0.583% *CPSEF TH0737010Y16 B08YDF9 SA (PN) $17,906,201 0.579% *BBDC4 BRBBDCACNPR8 B00FM53 Shinhan Financial Group Co. Ltd. $17,538,798 0.567% *SHFG KR7055550008 6397502 Bilibili, Inc. Class Z $17,466,167 0.564% *BILBINC KYG1098A1013 BLF8533 Angel Yeast Co. Ltd. (A Shares) $17,032,055 0.550% *ANYLA CNE0000014G0 BP3RH12 LG Chemical Ltd. $16,652,866 0.538% *LGCHM KR7051910008 6346913 Ayala Land, Inc. $16,305,021 0.527% *AYLI PHY0488F1004 6055112 Zhejiang Sanhua Intelligent Controls Co. Ltd. (A Shares) $15,535,802 0.502% *ZSCLA CNE000001M22 BD5CDC4 Realtek Semiconductor Corp. $15,491,379 0.501% *REALT TW0002379005 6051422 Kia Corp. $14,895,429 0.481% *KIAM KR7000270009 6490928 Yantai Jereh Oilfield Services (A Shares) $14,850,950 0.480% *YANTAIJ CNE100000L55 BD5CMC7 PT Bank Mandiri (Persero) Tbk $14,834,378 0.479% *BMZ ID1000095003 6651048 AngloGold Ashanti Ltd. $14,716,281 0.476% *ANGJ ZAE000043485 6565655 Grupo Mexico SA de CV Series B $14,667,828 0.474% *GMEXICO MXP370841019 2643674 Hana Financial Group, Inc. $14,556,670 0.470% *HANAF KR7086790003 B0RNRF5 TCS Group Holding PLC GDR $14,301,295 0.462% TCSG 87238U203 US87238U2033 BF233S0 Industrial & Commercial Bank of China Ltd. (H

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

4 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Shares) $14,057,808 0.454% *ICBCZ CNE1000003G1 B1G1QD8 Kotak Mahindra Bank Ltd. $13,793,268 0.446% *KMB INE237A01028 6135661 OTP Bank PLC $13,615,148 0.440% *OTP HU0000061726 7320154 WuXi AppTec Co. Ltd. (H Shares) $13,528,409 0.437% *WUXIHK CNE100003F19 BGHH0L6 Siam Commercial Bank PCL (For. Reg.) $13,453,643 0.435% *SCBFR TH0015010018 6889935 Coupang, Inc. Class A $13,409,344 0.433% CPNG 22266T109 US22266T1097 BNYHDF3 Xiaomi Corp. Class B $13,017,598 0.421% *XIAOMI KYG9830T1067 BG0ZMJ9 China Gas Holdings Ltd. $12,115,581 0.392% *CGHL BMG2109G1033 6460794 Pharmaron Beijing Co. Ltd. (H Shares) $12,091,292 0.391% *PHABJ CNE100003PG4 BK72QD3 Absa Group Ltd. $11,767,271 0.380% *ASAJ ZAE000255915 BFX05H3 Kweichow Moutai Co. Ltd. (A Shares) $11,456,405 0.370% *KWMCLA CNE0000018R8 BP3R2F1 Hyundai Motor Co. $11,446,154 0.370% *HYDM KR7005380001 6451055 Atacadao SA $11,210,417 0.362% *CRFB3 BRCRFBACNOR2 BF7LBH4 Indraprastha Gas Ltd. $10,759,702 0.348% *INRGAS INE203G01027 BD9PXD0 LG Household & Health Care Ltd. $10,192,344 0.329% *LGHH KR7051900009 6344456 Petroleo Brasileiro SA - sponsored ADR $9,660,618 0.312% PBR 71654V408 US71654V4086 2616580 Petroleo Brasileiro SA - Petrobras (PN) sponsored ADR (non-vtg.) $9,643,066 0.312% PBR.A 71654V101 US71654V1017 2683410 Fomento Economico Mexicano S.A.B. de CV sponsored ADR $9,593,226 0.310% FMX 344419106 US3444191064 2246039 Haier Smart Home Co. Ltd. (A Shares) $9,392,460 0.304% *QINHAI CNE000000CG9 BP3R3G9 China Yongda Automobiles Services Holdings Ltd. $9,386,384 0.303% *CYASHL KYG2162W1024 B8F2T65 International Games Systems Co. Ltd. $9,308,370 0.301% *INGASY TW0003293007 6744807 Petronet LNG Ltd. $8,918,748 0.288% *PLNG INE347G01014 B00KT68 Grupo Aeroportuario del Sureste S.A.B. de CV Series B $8,758,932 0.283% *ASURB MXP001661018 2639349 Trip.com Group Ltd. ADR $8,655,434 0.280% TCOM 89677Q107 US89677Q1076 BK1K3N2 Wal-Mart de Mexico SA de CV Series V $8,368,373 0.270% *WALMEXV MX01WA000038 BW1YVH8 Rumo SA $8,311,205 0.269% *RAILN BRRAILACNOR9 BYXZ2W5 YDUQS Participacoes SA $8,047,311 0.260% *ESTC3 BRYDUQACNOR3 BJGV3C2 LG Innotek Co. Ltd. $8,029,557 0.259% *LGIT KR7011070000 B39Z8G8 SA $7,943,866 0.257% *GGBR4 BRGGBRACNPR8 2645517 Sociedad Quimica y Minera de Chile SA (PN-B) sponsored ADR $7,530,840 0.243% SQM 833635105 US8336351056 2771122 SA $7,388,589 0.239% *SUZB3 BRSUZBACNOR0 B02GKC7 Grupo Aeroportuario Norte S.A.B. de CV $7,378,486 0.238% *OMA MX01OM000018 B1KFX13 Longfor Properties Co. Ltd. $7,328,227 0.237% *LPCL KYG5635P1090 B56KLY9 Midea Group Co. Ltd. (A Shares) $7,186,657 0.232% *MIDGC CNE100001QQ5 BD5CPP1 Samsung Life Insurance Co. Ltd. $6,920,846 0.224% *SMSL KR7032830002 B12C0T9

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

5 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Richter Gedeon PLC $6,899,523 0.223% *GRTER HU0000123096 BC9ZH86 Baidu.com, Inc. sponsored ADR $6,840,037 0.221% BIDU 056752108 US0567521085 B0FXT17 Reliance Industries Ltd. sponsored GDR $6,768,720 0.219% *RELGDUK 759470107 US7594701077 B16CYP9 E.SUN Financial Holdings Co. Ltd. $6,565,109 0.212% *ESUN TW0002884004 6433912 China Life Insurance Co. Ltd. (H Shares) $6,503,638 0.210% *CLIC CNE1000002L3 6718976 JD Health International, Inc. $6,214,333 0.201% *JDHEAL KYG5074A1004 BMW8R04 Kakao Corp. $6,151,184 0.199% *DAUM KR7035720002 6194037 Tata Consultancy Services Ltd. $6,139,766 0.198% *TCS INE467B01029 B01NPJ1 Shenzhen Inovance Technology Co. Ltd. (A Shares) $5,985,078 0.193% *SHENZH CNE100000V46 BD5CMN8 Hansoh Pharmaceutical Group Co. Ltd. $5,950,220 0.192% *HANSOH KYG549581067 BJYKB72 XPeng, Inc. Class A $5,830,802 0.188% *XPENG KYG982AW1003 BP6FB33 New Oriental Education & Technology Group, Inc. sponsored ADR $5,099,283 0.165% EDU 647581107 US6475811070 B1CN1G6 PT Bank Rakyat Indonesia Tbk $5,068,846 0.164% *BRAKI ID1000118201 6709099 CNOOC Ltd. $5,025,562 0.162% *CNO HK0883013259 B00G0S5 Azul SA sponsored ADR $4,808,095 0.155% AZUL 05501U106 US05501U1060 BDCT500 Capitec Bank Holdings Ltd. $4,681,642 0.151% *CPIJ ZAE000035861 6440859 KakaoBank Corp. $531,160 0.017% *KAOBNK KR7323410001 BNXKTM2 Emerging Markets Total: $2,975,164,572 96.2%

Domestic Equities ICE E-mini MSCI Emerging Markets Index Contracts $92,952,675 3.004% MESU1 Domestic Equities Total: $92,952,675 3.0%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $122,633,105 3.963% CF.TAXMM 31635A105 US31635A1051 U.S. Treasury Bill 0.04% 8/26/21 $2,679,933 0.087% 912796D55 US912796D555 BLKH0T6 U.S. Treasury Bill 0.04% 9/2/21 $2,399,907 0.078% 912796D63 US912796D639 BMZ9YV4 U.S. Treasury Bill 0.05% 10/7/21 $1,259,884 0.041% 9127964V8 US9127964V80 BMD3R53 Hkd Spot Cc $319,336 0.010%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

6 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Cash and Other Securities Total: $129,292,165 4.2%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

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