DUMMY Portfolio Holdings Listing Fidelity International Index Fund as of October 31, 2018

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 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.

466719.5.0 TOP TEN HOLDINGS % of Net Security Name Market Value Assets Nestle SA (Reg. S) $415,424,000 2.0% Novartis AG $300,191,507 1.4% Roche Holding AG (participation certificate) $270,336,213 1.3% HSBC Holdings PLC (United Kingdom) $260,882,609 1.2% PLC Class A (United Kingdom) $231,590,235 1.1% BP PLC $231,076,505 1.1% Total SA $224,659,047 1.1% Motor Corp. $211,563,009 1.0% Royal Dutch Shell PLC Class B (United Kingdom) $193,114,221 0.9% SAP SE $166,382,572 0.8% Top Ten Holdings Total: $2,505,219,916 11.8%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

2 FULL HOLDINGS LISTING % of Net Security Name Market Value Assets Developed Markets ICE E-mini MSCI EAFE Index Contracts $468,621,875 2.197% Nestle SA (Reg. S) $415,424,000 1.947% Novartis AG $300,191,507 1.407% Roche Holding AG (participation certificate) $270,336,213 1.267% HSBC Holdings PLC (United Kingdom) $260,882,609 1.223% Royal Dutch Shell PLC Class A (United Kingdom) $231,590,235 1.086% BP PLC $231,076,505 1.083% Total SA $224,659,047 1.053% Toyota Motor Corp. $211,563,009 0.992% Royal Dutch Shell PLC Class B (United Kingdom) $193,114,221 0.905% SAP SE $166,382,572 0.780% Sanofi SA $158,824,387 0.744% British American Tobacco PLC (United Kingdom) $157,200,342 0.737% AstraZeneca PLC (United Kingdom) $153,184,863 0.718% GlaxoSmithKline PLC $151,866,627 0.712% Allianz SE $144,997,778 0.680% AIA Group Ltd. $144,507,046 0.677% Siemens AG $139,037,360 0.652% Commonwealth Bank of Australia $136,411,118 0.639% Diageo PLC $134,508,735 0.630% LVMH Moet Hennessy - Louis Vuitton SA $133,430,729 0.625% Unilever NV (Certificaten Van Aandelen) (Bearer) $131,099,162 0.615% Novo Nordisk A/S Series B $124,064,395 0.582% Banco Santander SA (Spain) $121,394,067 0.569% BHP Billiton Ltd. $117,173,949 0.549% Mitsubishi UFJ Financial Group, Inc. $113,060,748 0.530% Bayer AG $113,022,672 0.530% ASML Holding NV (Netherlands) $111,621,604 0.523% BASF AG $111,446,794 0.522% Corp. $108,519,512 0.509% SoftBank Corp. $103,294,361 0.484% Westpac Banking Corp. $102,815,168 0.482% Unilever PLC $102,265,300 0.479% Airbus Group NV $101,731,708 0.477% CSL Ltd. $95,227,199 0.446% BNP Paribas SA $92,849,342 0.435% Rio Tinto PLC $91,176,361 0.427% Anheuser-Busch InBev SA NV $89,105,756 0.418% Shire PLC $87,208,074 0.409% Deutsche Telekom AG $86,457,095 0.405% Reckitt Benckiser Group PLC $85,577,765 0.401% Daimler AG (Germany) $85,275,041 0.400% UBS Group AG $85,260,190 0.400% Australia & New Zealand Banking Group Ltd. $84,026,222 0.394% Lloyds Banking Group PLC $83,184,080 0.390% Sumitomo Financial Group, Inc. $82,709,830 0.388% Prudential PLC $82,051,307 0.385% Vodafone Group PLC $79,155,906 0.371% Australia Bank Ltd. $77,100,214 0.361% AXA SA $76,786,916 0.360%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

3 % of Net Security Name Market Value Assets Corp. $75,388,551 0.353% Glencore Xstrata PLC $74,365,287 0.349% Zurich Insurance Group AG $74,279,263 0.348% Motor Co. Ltd. $73,577,818 0.345% ING Groep NV (Certificaten Van Aandelen) $72,777,435 0.341% Eni SpA $71,434,355 0.335% VINCI SA $71,327,032 0.334% adidas AG $70,134,558 0.329% Danone SA $68,943,349 0.323% Safran SA $68,164,445 0.320% KDDI Corp. $67,817,662 0.318% Iberdrola SA $66,781,686 0.313% BHP Billiton PLC $66,621,467 0.312% , Inc. $65,477,064 0.307% Enel SpA $63,058,127 0.296% Schneider Electric SA $62,450,112 0.293% Telefonica SA $60,628,517 0.284% Compagnie Financiere Richemont SA Series A $60,316,371 0.283% Mitsubishi Corp. $60,146,589 0.282% Barclays PLC $59,588,007 0.279% Wesfarmers Ltd. $59,167,474 0.277% ABB Ltd. (Reg.) $58,638,579 0.275% Banco Bilbao Vizcaya Argentaria SA $58,187,126 0.273% National Grid PLC $56,243,372 0.264% Co. Ltd. $55,945,508 0.262% Amadeus IT Holding SA Class A $55,936,772 0.262% Koninklijke Philips Electronics NV $55,480,162 0.260% Kering SA $53,402,813 0.250% Fanuc Corp. $53,316,034 0.250% Credit Suisse Group AG $52,834,925 0.248% Intesa Sanpaolo SpA $52,116,077 0.244% Kao Corp. $52,063,621 0.244% NTT DOCOMO, Inc. $51,906,461 0.243% Seven & i Holdings Co. Ltd. $51,578,959 0.242% Pernod Ricard SA $51,249,894 0.240% Imperial Tobacco Group PLC $51,119,756 0.240% Muenchener Rueckversicherungs AG $50,856,847 0.238% Nokia Corp. $50,293,590 0.236% Holdings, Inc. $50,136,739 0.235% Volkswagen AG $49,414,452 0.232% Kong Exchanges and Clearing Ltd. $49,403,365 0.232% Deutsche Post AG $49,288,776 0.231% Compass Group PLC $49,285,185 0.231% Orange SA $49,243,387 0.231% Inditex SA $48,697,977 0.228% Equinor ASA $48,053,152 0.225% DBS Group Holdings Ltd. $48,051,513 0.225% Shin-Etsu Chemical Co. Ltd. $48,019,056 0.225% Takeda Pharmaceutical Co. Ltd. $46,884,200 0.220% Recruit Holdings Co. Ltd. $46,776,041 0.219% Ltd. $46,719,023 0.219% Co. Ltd. $46,423,197 0.218% , Inc. $45,939,642 0.215% Industries Ltd. $45,657,012 0.214%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

4 % of Net Security Name Market Value Assets L'Oreal SA $45,494,769 0.213% Corp. $45,406,409 0.213% Bayerische Motoren Werke AG (BMW) $45,234,699 0.212% Koninklijke Ahold Delhaize NV $45,152,606 0.212% Nippon Telegraph & Telephone Corp. $45,110,923 0.211% Canon, Inc. $45,042,071 0.211% Essilor International SA $45,015,377 0.211% Swiss Re Ltd. $44,894,493 0.210% Tobacco, Inc. $44,676,466 0.209% L'Oreal SA $44,552,856 0.209% Societe Generale Series A $44,481,799 0.208% Central Japan Railway Co. $43,755,184 0.205% Mitsui & Co. Ltd. $43,728,487 0.205% Co. Ltd. $43,348,566 0.203% Air Liquide SA $43,292,760 0.203% CK Hutchison Holdings Ltd. $42,988,106 0.201% East Japan Railway Co. $42,594,617 0.200% Macquarie Group Ltd. $42,430,705 0.199% Telefonaktiebolaget LM Ericsson (B Shares) $42,293,898 0.198% Tesco PLC $42,122,060 0.197% Fresenius SE & Co. KGaA $41,822,087 0.196% Woolworths Group Ltd. $41,789,334 0.196% Nordea Bank ABP $41,759,287 0.196% Corp. $41,448,125 0.194% BT Group PLC $40,834,973 0.191% NXP Semiconductors NV $40,743,867 0.191% UniCredit SpA $40,675,053 0.191% Unibail-Rodamco SE & WFD Unibail-Rodamco NV unit $39,697,238 0.186% Vivendi SA $39,664,326 0.186% CRH PLC $39,626,471 0.186% Oversea-Chinese Banking Corp. Ltd. $39,298,227 0.184% Air Liquide SA $38,865,802 0.182% Deutsche Borse AG $38,561,582 0.181% ENGIE $38,515,575 0.181% Repsol SA $38,479,359 0.180% Komatsu Ltd. $38,020,554 0.178% Co. Ltd. $37,904,622 0.178% Corp. $37,461,077 0.176% Ltd. $37,207,772 0.174% Corp. $37,151,075 0.174% Lonza Group AG $37,021,339 0.174% Volvo AB (B Shares) $37,012,995 0.173% Heineken NV (Bearer) $36,933,790 0.173% Corp. $36,533,960 0.171% Woodside Petroleum Ltd. $36,526,022 0.171% Infineon Technologies AG $36,001,769 0.169% Anglo American PLC (United Kingdom) $35,672,641 0.167% Lafargeholcim Ltd. (Reg.) $35,555,855 0.167% Givaudan SA $35,426,655 0.166% Rio Tinto Ltd. $35,278,992 0.165% Vonovia SE $35,141,081 0.165% JX Holdings, Inc. $34,778,864 0.163% Wirecard AG $34,768,301 0.163% Aviva PLC $34,564,658 0.162%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

5 % of Net Security Name Market Value Assets Hoya Corp. $34,283,565 0.161% Kabushiki Kaisha $34,277,425 0.161% ORIX Corp. $34,165,083 0.160% BAE Systems PLC $33,848,201 0.159% E.ON AG $33,652,243 0.158% Akzo Nobel NV $33,592,048 0.157% Electron Ltd. $33,483,202 0.157% Motor Co. Ltd. $33,390,136 0.157% Experian PLC $33,374,072 0.156% Transurban Group unit $33,199,118 0.156% Co. Ltd. $33,193,748 0.156% Sun Hung Kai Properties Ltd. $32,739,679 0.153% RELX PLC $32,453,111 0.152% Sampo Oyj (A Shares) $32,256,366 0.151% Swedbank AB (A Shares) $32,232,737 0.151% Dai-ichi Mutual Life Insurance Co. $31,987,392 0.150% Co. Ltd. $31,771,616 0.149% ASSA ABLOY AB (B Shares) $31,518,964 0.148% Investor AB (B Shares) $31,206,223 0.146% PLC (United Kingdom) $31,179,804 0.146% Kirin Holdings Co. Ltd. $31,034,568 0.145% Capgemini SA $31,014,829 0.145% Corp. $30,883,497 0.145% Henkel AG & Co. KGaA $30,854,920 0.145% Corp. $30,806,440 0.144% Teva Pharmaceutical Industries Ltd. sponsored ADR $30,558,811 0.143% Deutsche Bank AG $30,418,791 0.143% Legal & General Group PLC $30,268,773 0.142% Link (REIT) $30,131,110 0.141% Assicurazioni Generali SpA $30,005,402 0.141% Co. Ltd. $29,875,148 0.140% Oriental Land Co. Ltd. $29,748,906 0.139% RELX PLC $29,690,552 0.139% Compagnie de St. Gobain $29,676,455 0.139% Otsuka Holdings Co. Ltd. $29,528,990 0.138% Japan Post Holdings Co. Ltd. $29,521,705 0.138% Telecommunications Ltd. $29,455,144 0.138% CLP Holdings Ltd. $29,105,790 0.136% SMC Corp. $29,017,075 0.136% Continental AG $28,753,903 0.135% Hermes International SCA $28,631,444 0.134% Rolls-Royce Holdings PLC $28,380,588 0.133% Hang Seng Bank Ltd. $28,308,130 0.133% Sandvik AB $28,258,869 0.132% DNB ASA $27,953,433 0.131% & China Gas Co. Ltd. $27,880,633 0.131% & Co. Ltd. $27,853,305 0.131% Michelin CGDE Series B $27,609,394 0.129% Legrand SA $27,594,543 0.129% Corp. $27,462,174 0.129% KBC Groep NV $27,387,109 0.128% Group PLC $27,311,652 0.128% Co. Ltd. $27,162,290 0.127% UPM-Kymmene Corp. $27,145,984 0.127%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

6 % of Net Security Name Market Value Assets Motor Corp. $27,097,575 0.127% Industry Co. Ltd. $27,032,508 0.127% Sumitomo Corp. $26,988,223 0.127% Fresenius Medical Care AG & Co. KGaA $26,779,311 0.126% Skandinaviska Enskilda Banken AB (A Shares) $26,635,314 0.125% Cheung Kong Property Holdings Ltd. $26,566,081 0.125% Fujifilm Holdings Corp. $26,387,274 0.124% Atlas Copco AB (A Shares) $26,293,217 0.123% , Inc. $26,278,947 0.123% Sika AG $26,275,263 0.123% Subaru Corp. $26,243,682 0.123% Svenska Handelsbanken AB (A Shares) $26,236,375 0.123% ArcelorMittal SA (Netherlands) $26,220,449 0.123% Kone Oyj (B Shares) $26,107,568 0.122% Wolters Kluwer NV $26,043,013 0.122% Fiat Chrysler Automobiles NV $25,967,815 0.122% Corp. $25,928,819 0.122% Dassault Systemes SA $25,852,374 0.121% Deutsche Wohnen AG (Bearer) $25,725,198 0.121% Kerry Group PLC Class A $25,712,515 0.121% Asahi Group Holdings $25,198,237 0.118% Koninklijke DSM NV $25,121,443 0.118% Ferguson PLC $24,806,156 0.116% Corp. $24,644,198 0.116% Scottish & Southern Energy PLC $24,625,659 0.115% H&M Hennes & Mauritz AB (B Shares) $24,473,095 0.115% Corp. $23,946,838 0.112% DSV de Sammensluttede Vognmaend A/S $23,896,040 0.112% Scentre Group unit $23,725,721 0.111% Credit Agricole SA $23,103,642 0.108% CaixaBank SA $22,962,961 0.108% Geberit AG (Reg.) $22,927,068 0.107% Royal Bank of Scotland Group PLC $22,897,705 0.107% Renault SA $22,743,905 0.107% Ferrari NV $22,729,115 0.107% WPP PLC $22,599,373 0.106% MS&AD Insurance Group Holdings, Inc. $22,533,455 0.106% Smith & Nephew PLC $22,475,688 0.105% Check Point Software Technologies Ltd. $22,328,982 0.105% & Sumitomo Metal Corp. $22,177,148 0.104% Peugeot Citroen SA $22,150,064 0.104% AEON Co. Ltd. $22,141,949 0.104% Merck KGaA $21,899,071 0.103% Essity AB Class B $21,879,788 0.103% BOC Hong Kong (Holdings) Ltd. $21,859,561 0.102% Telenor ASA $21,778,209 0.102% Danske Bank A/S $21,737,556 0.102% NKSJ Holdings, Inc. $21,662,281 0.102% Thales SA $21,512,467 0.101% NN Group NV $20,956,129 0.098% Sumitomo Mitsui Trust Holdings, Inc. $20,831,168 0.098% South32 Ltd. $20,788,497 0.097% Chugai Pharmaceutical Co. Ltd. $20,721,167 0.097% Swiss Life Holding AG $20,390,332 0.096%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

7 % of Net Security Name Market Value Assets Suncorp Group Ltd. $20,357,699 0.095% Galaxy Entertainment Group Ltd. $20,302,603 0.095% Holdings Ltd. $20,135,019 0.094% TeliaSonera AB $20,064,173 0.094% Corp. $20,052,337 0.094% SGS SA (Reg.) $20,042,782 0.094% Hexagon AB (B Shares) $20,028,968 0.094% Covestro AG $19,676,677 0.092% Partners Group Holding AG $19,544,867 0.092% Erste Group Bank AG $19,391,435 0.091% Sumitomo Realty & Development Co. Ltd. $19,379,080 0.091% Vestas Wind Systems A/S $19,377,927 0.091% Ashtead Group PLC $19,171,106 0.090% Publicis Groupe SA $19,068,864 0.089% DONG Energy A/S $19,002,361 0.089% Brambles Ltd. $18,924,945 0.089% Ltd. $18,915,084 0.089% Goodman Group unit $18,836,824 0.088% Swisscom AG $18,770,731 0.088% Carlsberg A/S Series B $18,647,440 0.087% Sysmex Corp. $18,560,847 0.087% Corp. $18,428,095 0.086% Informa PLC $18,039,888 0.085% Carrefour SA $17,969,805 0.084% AEGON NV $17,755,469 0.083% Newcrest Mining Ltd. $17,719,084 0.083% Insurance Australia Group Ltd. $17,665,511 0.083% TDK Corp. $17,662,075 0.083% Coloplast A/S Series B $17,535,376 0.082% West Japan Railway Co. $17,507,167 0.082% MTU Aero Engines Holdings AG $17,479,794 0.082% , Inc. $17,390,728 0.082% Unicharm Corp. $17,368,296 0.081% 3i Group PLC $17,264,745 0.081% Amcor Ltd. $17,248,076 0.081% QBE Insurance Group Ltd. $17,183,322 0.081% Associated British Foods PLC $17,179,867 0.081% Novozymes A/S Series B $17,103,068 0.080% Aena Sme SA $17,063,304 0.080% Aristocrat Leisure Ltd. $17,047,894 0.080% Kansai Electric Power Co., Inc. $17,037,103 0.080% Mitsubishi Heavy Industries Ltd. $16,918,192 0.079% Veolia Environnement SA $16,885,945 0.079% Luxottica Group SpA $16,869,394 0.079% UCB SA $16,789,040 0.079% CNH Industrial NV $16,750,595 0.079% Neste Oyj $16,702,444 0.078% Centrica PLC $16,689,545 0.078% Nitori Holdings Co. Ltd. $16,532,556 0.077% Swatch Group AG (Bearer) $16,520,078 0.077% Melrose Industries PLC $16,510,692 0.077% Beiersdorf AG $16,493,995 0.077% ABN AMRO Group NV GDR $16,427,585 0.077% STMicroelectronics NV (France) $16,413,285 0.077%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

8 % of Net Security Name Market Value Assets Symrise AG $16,377,462 0.077% Whitbread PLC $16,324,230 0.077% Corp. $16,305,623 0.076% Sumitomo Electric Industries Ltd. $16,265,637 0.076% Julius Baer Group Ltd. $16,134,972 0.076% Henkel AG & Co. KGaA $16,072,616 0.075% SHIMANO, Inc. $16,037,293 0.075% HeidelbergCement Finance AG $15,989,801 0.075% RWE AG $15,977,926 0.075% Marine Harvest ASA $15,937,618 0.075% , Inc. $15,861,902 0.074% Christian Hansen Holding A/S $15,802,250 0.074% Mitsubishi Chemical Holdings Corp. $15,780,025 0.074% Heineken Holding NV $15,770,319 0.074% Atlantia SpA $15,759,231 0.074% Coca-Cola European Partners PLC $15,693,231 0.074% Bunzl PLC $15,692,140 0.074% Umicore SA $15,598,559 0.073% , Inc. $15,553,347 0.073% Carnival PLC $15,528,946 0.073% Porsche Automobil Holding SE (Germany) $15,394,437 0.072% Ferrovial SA $15,360,745 0.072% Olympus Corp. $15,350,260 0.072% ACS Actividades de Construccion y Servicios SA $15,311,521 0.072% Burberry Group PLC $15,302,790 0.072% Intertek Group PLC $15,281,972 0.072% Co. Ltd. $15,133,956 0.071% Sands China Ltd. $15,100,984 0.071% SR Teleperformance SA $15,053,005 0.071% InterContinental Hotel Group PLC $15,040,280 0.070% Commerzbank AG $14,960,608 0.070% Daito Trust Construction Co. Ltd. $14,956,518 0.070% Bank Leumi le-Israel BM $14,869,664 0.070% Next PLC $14,807,134 0.069% Fortum Corp. $14,788,906 0.069% Snam Rete Gas SpA $14,755,284 0.069% Power Assets Holdings Ltd. $14,647,519 0.069% , Inc. $14,633,172 0.069% JFE Holdings, Inc. $14,604,344 0.068% Ageas $14,542,974 0.068% Thyssenkrupp AG $14,498,567 0.068% Japan Exchange Group, Inc. $14,463,092 0.068% Persimmon PLC $14,431,070 0.068% Ltd. $14,422,628 0.068% Taisei Corp. $14,422,303 0.068% Telstra Corp. Ltd. $14,357,549 0.067% Origin Energy Ltd. $14,357,235 0.067% Sonova Holding AG Class B $14,345,414 0.067% Swedish Match Co. AB $14,292,159 0.067% Energias de Portugal SA $14,232,311 0.067% Pearson PLC $14,177,435 0.066% Red Electrica Corporacion SA $14,173,902 0.066% Atlas Copco AB (B Shares) $14,138,468 0.066% Edenred SA $14,131,864 0.066%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

9 % of Net Security Name Market Value Assets T&D Holdings, Inc. $14,067,428 0.066% Yahoo! Japan Corp. $14,049,078 0.066% Koninklijke KPN NV $14,024,342 0.066% Co., Inc. $13,824,593 0.065% Galp Energia SGPS SA Class B $13,824,222 0.065% Ono Pharmaceutical Co. Ltd. $13,706,240 0.064% Mondi PLC $13,685,392 0.064% Gas Natural SDG SA $13,620,554 0.064% Accor SA $13,609,896 0.064% Schindler Holding AG (participation certificate) $13,573,650 0.064% Grifols SA $13,457,630 0.063% Solvay SA Class A $13,358,435 0.063% Yamato Holdings Co. Ltd. $13,331,083 0.062% Genmab A/S $13,307,965 0.062% AGL Energy Ltd. $13,216,569 0.062% Santos Ltd. $13,162,417 0.062% Stora Enso Oyj (R Shares) $13,127,171 0.062% Temenos Group AG $13,126,662 0.062% Tokyu Corp. $13,052,446 0.061% A.P. Moller - Maersk A/S Series B $13,042,421 0.061% QIAGEN NV (Germany) $13,008,454 0.061% OMV AG $12,957,871 0.061% Atos Origin SA $12,897,750 0.060% Lindt & Spruengli AG $12,852,505 0.060% Hannover Reuck SE $12,843,158 0.060% Standard Life PLC $12,827,378 0.060% ASX Ltd. $12,818,803 0.060% Croda International PLC $12,817,926 0.060% Co. Ltd. $12,815,980 0.060% NTT Data Corp. $12,810,249 0.060% Land Securities Group PLC $12,787,026 0.060% Brenntag AG $12,775,587 0.060% APA Group unit $12,680,383 0.059% Bouygues SA $12,652,321 0.059% Corp. $12,592,807 0.059% Adecco SA (Reg.) $12,580,120 0.059% Segro PLC $12,560,108 0.059% Yakult Honsha Co. Ltd. $12,477,384 0.058% SES SA (France) (depositary receipt) $12,379,046 0.058% Eiffage SA $12,368,671 0.058% Corp. $12,349,987 0.058% New World Development Co. Ltd. $12,280,964 0.058% Makita Corp. $12,258,173 0.057% Valeo SA $12,223,983 0.057% Treasury Wine Estates Ltd. $12,164,760 0.057% Nippon Building Fund, Inc. $12,124,297 0.057% Corp. $12,122,169 0.057% DCC PLC (United Kingdom) $12,121,330 0.057% Yara International ASA $12,079,530 0.057% EDF SA $12,054,328 0.057% Wartsila Corp. $11,963,869 0.056% Oil Search Ltd. ADR $11,926,307 0.056% Hankyu Hanshin Holdings, Inc. $11,924,704 0.056% Sage Group PLC $11,919,403 0.056%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

10 % of Net Security Name Market Value Assets SCOR SE $11,909,217 0.056% Wharf Real Estate Investment Co. Ltd. $11,890,461 0.056% Kuehne & Nagel International AG $11,887,113 0.056% Groupe Bruxelles Lambert SA $11,863,754 0.056% Alfa Laval AB $11,853,205 0.056% NEC Corp. $11,810,882 0.055% Co. Ltd. $11,798,787 0.055% Randgold Resources Ltd. $11,740,089 0.055% Banco de Sabadell SA $11,739,192 0.055% Jardine Strategic Holdings Ltd. $11,738,400 0.055% Tokyo Electric Power Co., Inc. $11,699,734 0.055% RSA Insurance Group PLC $11,697,264 0.055% Co., Inc. $11,683,081 0.055% Johnson Matthey PLC $11,627,435 0.055% DEXUS Property Group unit $11,615,566 0.054% Smurfit Kappa Group PLC $11,614,614 0.054% Lindt & Spruengli AG (participation certificate) $11,606,911 0.054% FamilyMart Co. Ltd. $11,602,585 0.054% Sumitomo Metal Mining Co. Ltd. $11,581,578 0.054% MTR Corp. Ltd. $11,580,271 0.054% Paddy Power Betfair PLC (Ireland) $11,550,849 0.054% Terna SpA $11,503,066 0.054% Cochlear Ltd. $11,440,656 0.054% Bank Hapoalim BM (Reg.) $11,437,298 0.054% Arkema SA $11,434,966 0.054% Motors Ltd. $11,431,088 0.054% Toyota Industries Corp. $11,405,746 0.053% Lendlease Group unit $11,393,616 0.053% , Inc. $11,235,310 0.053% Don Quijote Holdings Co. Ltd. $11,227,226 0.053% WM Morrison Supermarkets PLC $11,206,091 0.053% Smiths Group PLC $11,175,621 0.052% British Land Co. PLC $11,171,359 0.052% Straumann Holding AG $11,137,616 0.052% Ubisoft Entertainment SA $11,118,390 0.052% Orkla ASA $11,117,369 0.052% J Sainsbury PLC $11,046,450 0.052% Norsk Hydro ASA $11,039,254 0.052% Baloise Holdings AG $11,027,008 0.052% Kingfisher PLC $11,004,422 0.052% Tenaris SA $10,994,141 0.052% Klepierre SA $10,979,456 0.051% Yaskawa Electric Corp. $10,966,059 0.051% Holdings Ltd. $10,953,184 0.051% ITV PLC $10,907,042 0.051% Bank Ireland Group PLC $10,891,156 0.051% Pandora A/S $10,875,676 0.051% , Inc. $10,851,156 0.051% Co. Ltd. $10,836,375 0.051% St. James's Place Capital PLC $10,835,606 0.051% Alstom SA $10,773,938 0.051% Hargreaves Lansdown PLC $10,741,588 0.050% Japan Real Estate Investment Corp. $10,733,744 0.050% M3, Inc. $10,724,162 0.050%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

11 % of Net Security Name Market Value Assets Taylor Wimpey PLC $10,694,408 0.050% Micro Focus International PLC $10,693,444 0.050% Telecom Italia SpA $10,620,119 0.050% Co. Ltd. $10,577,921 0.050% Endesa SA $10,522,996 0.049% Barratt Developments PLC $10,518,375 0.049% Co. Ltd. $10,516,111 0.049% Gecina SA $10,468,429 0.049% Yamaha Motor Co. Ltd. $10,467,408 0.049% The GPT Group unit $10,427,018 0.049% Kintetsu Group Holdings Co. Ltd. $10,403,743 0.049% Galenica AG $10,393,352 0.049% Gaming VC Holdings SA $10,392,895 0.049% Keppel Corp. Ltd. $10,292,676 0.048% Kinnevik AB (B Shares) $10,286,208 0.048% Computershare Ltd. $10,209,298 0.048% Sonic Healthcare Ltd. $10,183,899 0.048% Techtronic Industries Co. Ltd. $10,178,910 0.048% Aisin Seiki Co. Ltd. $10,073,918 0.047% United Utilities Group PLC $10,013,379 0.047% Ryohin Keikaku Co. Ltd. $9,960,004 0.047% AerCap Holdings NV $9,892,202 0.046% Tabcorp Holdings Ltd. $9,889,916 0.046% Boliden AB $9,883,598 0.046% Co. Ltd. $9,849,454 0.046% Stockland Corp. Ltd. unit $9,839,758 0.046% Moncler SpA $9,832,509 0.046% Siemens Healthineers AG $9,829,981 0.046% Aeroports de Paris $9,826,105 0.046% John Wood Group PLC $9,784,771 0.046% Vicinity Centres unit $9,763,663 0.046% Idemitsu Kosan Co. Ltd. $9,758,231 0.046% WH Group Ltd. $9,747,227 0.046% Swiss Prime Site AG $9,735,106 0.046% EXOR NV $9,719,564 0.046% Henderson Land Development Co. Ltd. $9,715,462 0.046% Marks & Spencer Group PLC $9,699,052 0.045% innogy SE $9,698,082 0.045% Oji Holdings Corp. $9,681,335 0.045% Agc, Inc. $9,614,572 0.045% SKF AB (B Shares) $9,602,761 0.045% Yamaha Corp. $9,590,554 0.045% Motor Corp. $9,570,006 0.045% Enagas SA $9,519,284 0.045% Nissan Chemical Corp. $9,505,699 0.045% Randstad NV $9,484,732 0.044% Bureau Veritas SA $9,460,873 0.044% Coca-Cola HBC AG $9,445,000 0.044% NICE Systems Ltd. $9,380,843 0.044% Aurizon Holdings Ltd. $9,356,047 0.044% OBIC Co. Ltd. $9,320,193 0.044% SBI Holdings, Inc. Japan $9,314,810 0.044% Groupe Eurotunnel SA $9,298,031 0.044% Minebea Mitsumi, Inc. $9,296,610 0.044%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

12 % of Net Security Name Market Value Assets James Hardie Industries PLC CDI $9,287,206 0.044% Epiroc AB Class A $9,283,970 0.044% K.K. $9,274,790 0.043% Rakuten, Inc. $9,204,432 0.043% Uniper SE $9,193,722 0.043% Sekisui Chemical Co. Ltd. $9,192,118 0.043% CapitaLand Ltd. $9,187,160 0.043% Direct Line Insurance Group PLC $9,148,137 0.043% Eurofins Scientific SA $9,146,069 0.043% Corp. $9,144,375 0.043% Obayashi Corp. $9,063,088 0.042% Lundin Petroleum AB $9,034,141 0.042% Mirvac Group unit $9,016,344 0.042% Berkeley Group Holdings PLC $9,016,007 0.042% Misumi Group, Inc. $9,000,941 0.042% Suntory Beverage & Food Ltd. $8,970,435 0.042% Elisa Corp. (A Shares) $8,953,944 0.042% Severn Trent PLC $8,908,536 0.042% Ramsay Health Care Ltd. $8,905,749 0.042% Corp. $8,869,875 0.042% Keio Corp. $8,852,218 0.041% BlueScope Steel Ltd. $8,850,860 0.041% Corp. $8,839,014 0.041% Bankinter SA $8,743,340 0.041% Natixis SA $8,711,283 0.041% ISS Holdings A/S $8,678,502 0.041% Sodexo SA $8,645,295 0.041% Co. Ltd. $8,625,450 0.040% Mediobanca SpA $8,610,641 0.040% Medibank Private Ltd. $8,596,687 0.040% Santen Pharmaceutical Co. Ltd. $8,592,104 0.040% Suez Environnement SA $8,583,890 0.040% Tohoku Electric Power Co., Inc. $8,553,826 0.040% Lanxess AG $8,525,311 0.040% ProSiebenSat.1 Media AG $8,508,290 0.040% IHI Corp. $8,506,082 0.040% Volkswagen AG $8,504,399 0.040% Securitas AB (B Shares) $8,478,591 0.040% Skanska AB (B Shares) $8,462,165 0.040% Co. Ltd. $8,398,277 0.039% GEA Group AG $8,333,584 0.039% Meggitt PLC $8,316,534 0.039% Ipsen SA $8,274,145 0.039% Caltex Australia Ltd. $8,250,319 0.039% Admiral Group PLC $8,209,415 0.038% HKT Trust/HKT Ltd. unit $8,202,323 0.038% Sino Land Ltd. $8,188,242 0.038% Swire Pacific Ltd. (A Shares) $8,162,895 0.038% Sartorius AG (non-vtg.) $8,152,035 0.038% AMP Ltd. $8,071,212 0.038% United Internet AG $8,056,021 0.038% Toto Ltd. $8,020,752 0.038% Fisher & Paykel Healthcare Corp. $8,017,164 0.038% Co. Ltd. $8,012,213 0.038%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

13 % of Net Security Name Market Value Assets Evonik Industries AG $8,002,429 0.038% Co., Ltd. $7,975,056 0.037% Nomura Real Estate Master Fund, Inc. $7,972,692 0.037% Sydney Airport unit $7,958,801 0.037% Alfresa Holdings Corp. $7,941,313 0.037% Nomura Research Institute Ltd. $7,912,217 0.037% Electrolux AB (B Shares) $7,910,099 0.037% Koito Manufacturing Co. Ltd. $7,881,544 0.037% Auto Trader Group PLC $7,859,827 0.037% The a2 Milk Co. Ltd. $7,847,657 0.037% Concordia Financial Group Ltd. $7,822,986 0.037% Kyushu Railway Co. $7,794,851 0.037% The Weir Group PLC $7,722,066 0.036% Zozo, Inc. $7,718,312 0.036% Cheung Kong Infrastructure Holdings Ltd. $7,675,487 0.036% Japan Retail Fund Investment Corp. $7,642,657 0.036% Ascendas Real Estate Investment Trust $7,593,353 0.036% Spark New Zealand Ltd. $7,503,355 0.035% Deutsche Lufthansa AG $7,495,996 0.035% Co. Ltd. $7,488,079 0.035% Japan Post Bank Co. Ltd. $7,467,688 0.035% NMC Health PLC $7,463,270 0.035% K.K. $7,447,104 0.035% Prysmian SpA $7,405,434 0.035% Boral Ltd. $7,363,447 0.035% Orica Ltd. $7,311,637 0.034% Disco Corp. $7,278,141 0.034% Nippon Paint Holdings Co. Ltd. $7,252,648 0.034% Incitec Pivot Ltd. $7,252,152 0.034% Hugo Boss AG $7,176,120 0.034% Corp. $7,166,283 0.034% Kose Corp. $7,161,546 0.034% TUI AG (GB) $7,156,163 0.034% Ems-Chemie Holding AG $7,141,186 0.033% SHIMIZU Corp. $7,097,947 0.033% A.P. Moller - Maersk A/S Series A $7,095,028 0.033% Corp. $7,083,976 0.033% Auckland International Airport Ltd. $7,075,869 0.033% , Inc. $7,075,370 0.033% Davide Campari-Milano SpA $7,065,163 0.033% Hammerson PLC $7,056,029 0.033% Alps Electric Co. Ltd. $7,036,484 0.033% United Urban Investment Corp. $6,989,650 0.033% Alumina Ltd. $6,989,097 0.033% Corp. $6,985,102 0.033% Kyushu Electric Power Co., Inc. $6,979,857 0.033% Leonardo SpA $6,950,254 0.033% Hoshizaki Corp. $6,943,413 0.033% Ltd. $6,925,240 0.032% Fortescue Metals Group Ltd. $6,918,059 0.032% Wheelock and Co. Ltd. $6,905,668 0.032% Nagoya Railroad Co. Ltd. $6,902,275 0.032% Co. Ltd. $6,896,412 0.032% Daifuku Co. Ltd. $6,852,714 0.032%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

14 % of Net Security Name Market Value Assets Zalando SE $6,833,142 0.032% Clariant AG (Reg.) $6,814,524 0.032% CyberAgent, Inc. $6,804,253 0.032% Barry Callebaut AG $6,785,880 0.032% G4S PLC (United Kingdom) $6,758,265 0.032% Schroders PLC $6,751,605 0.032% Puma AG $6,742,493 0.032% Corp. of Japan $6,692,691 0.031% Ingenico SA $6,673,907 0.031% SEEK Ltd. $6,670,904 0.031% Lion Corp. $6,662,401 0.031% Group Co. Ltd. $6,660,837 0.031% LIXIL Group Corp. $6,642,310 0.031% Schindler Holding AG (Reg.) $6,611,563 0.031% Bank of East Asia Ltd. $6,587,523 0.031% KION Group AG $6,582,622 0.031% Dassault Aviation SA $6,564,318 0.031% Bayerische Motoren Werke AG (BMW) (non-vtg.) $6,552,030 0.031% Investec PLC $6,551,565 0.031% Royal Mail PLC $6,527,865 0.031% , Inc. $6,521,755 0.031% Crown Entertainment Ltd. sponsored ADR $6,499,071 0.030% Tele2 AB (B Shares) $6,497,001 0.030% Nissin Food Holdings Co. Ltd. $6,475,169 0.030% Israel Chemicals Ltd. $6,464,134 0.030% Ltd. $6,462,526 0.030% Japan Airlines Co. Ltd. $6,461,519 0.030% Voestalpine AG $6,452,781 0.030% Ltd. $6,397,487 0.030% Raiffeisen International Bank-Holding AG $6,387,330 0.030% OSRAM Licht AG $6,346,887 0.030% Sony Financial Holdings, Inc. $6,344,102 0.030% Seibu Holdings, Inc. $6,344,094 0.030% JGC Corp. $6,341,632 0.030% Singapore Technologies Engineering Ltd. $6,336,925 0.030% Electric Power Development Co. Ltd. $6,324,686 0.030% Swire Properties Ltd. $6,309,929 0.030% Co. $6,296,134 0.030% Challenger Ltd. $6,270,440 0.029% USS Co. Ltd. $6,260,749 0.029% Ltd. $6,255,577 0.029% AIB Group PLC $6,227,943 0.029% , Inc. $6,224,555 0.029% Isetan Mitsukoshi Holdings Ltd. $6,217,490 0.029% Antofagasta PLC $6,207,216 0.029% Co. Ltd. $6,175,806 0.029% Bankia SA $6,141,516 0.029% Ltd. $6,138,953 0.029% Hakuhodo DY Holdings, Inc. $6,120,913 0.029% Ltd. $6,113,882 0.029% Proximus $6,104,565 0.029% Tsuruha Holdings, Inc. $6,097,044 0.029% Rexel SA $6,091,186 0.029% Taisho Pharmaceutical Holdings Co. Ltd. $6,088,238 0.029%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

15 % of Net Security Name Market Value Assets Ltd. $6,069,421 0.028% Ltd. $6,057,326 0.028% CapitaMall Trust $5,992,665 0.028% CNP Assurances $5,992,546 0.028% Daiwa House REIT Investment Corp. $5,965,126 0.028% Andritz AG $5,964,293 0.028% Sodexo SA $5,960,023 0.028% Fonciere des Regions $5,959,085 0.028% Hikari Tsushin, Inc. $5,942,128 0.028% Poste Italiane SpA $5,936,180 0.028% Millicom International Cellular SA (depository receipt) $5,930,120 0.028% Nokian Tyres PLC $5,908,539 0.028% Delivery Hero AG $5,906,432 0.028% Mitsubishi Tanabe Pharma Corp. $5,904,189 0.028% Co. Ltd. $5,884,121 0.028% Bollore SA $5,869,761 0.028% Swatch Group AG (Bearer) (Reg.) $5,861,497 0.027% Faurecia SA $5,851,925 0.027% Ltd. $5,847,021 0.027% Hang Lung Properties Ltd. $5,835,080 0.027% NGK Insulators Ltd. $5,828,199 0.027% Suzuken Co. Ltd. $5,769,730 0.027% Keihan Electric Railway Co., Ltd. $5,769,380 0.027% Co. Ltd. $5,764,125 0.027% Dufry AG $5,761,663 0.027% Medipal Holdings Corp. $5,759,282 0.027% MAN SE $5,728,917 0.027% Wendel SA $5,696,088 0.027% Amundi SA $5,693,433 0.027% Orion Oyj (B Shares) $5,691,771 0.027% , Inc. $5,687,142 0.027% Showa Shell Sekiyu K.K. $5,685,769 0.027% Aker Bp ASA $5,670,543 0.027% Coca-Cola Amatil Ltd. $5,660,004 0.027% Chugoku Electric Power Co., Inc. $5,654,352 0.027% Travis Perkins PLC $5,641,376 0.026% Recordati SpA $5,627,352 0.026% Holdings Corp. $5,623,343 0.026% International Consolidated Airlines Group SA CDI $5,616,998 0.026% Eutelsat Communications $5,612,522 0.026% K&S AG $5,612,392 0.026% NSK Ltd. $5,607,615 0.026% Corp. $5,585,185 0.026% Nippon Prologis REIT, Inc. $5,583,346 0.026% Bendigo & Adelaide Bank Ltd. $5,570,373 0.026% ComfortDelgro Corp. Ltd. $5,519,430 0.026% Sumitomo Heavy Industries Ltd. $5,518,477 0.026% Coca-Cola West Co. Ltd. $5,512,718 0.026% Colruyt NV $5,512,531 0.026% Industrivarden AB (C Shares) $5,499,893 0.026% Otsuka Corp. $5,490,318 0.026% Printing Co. Ltd. $5,478,338 0.026% Corp. $5,412,458 0.025%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

16 % of Net Security Name Market Value Assets Eurazeo SA $5,407,770 0.025% Temp Holdings Co., Ltd. $5,351,201 0.025% Crown Ltd. $5,329,548 0.025% Fletcher Building Ltd. $5,325,993 0.025% Kawasaki Heavy Industries Ltd. $5,320,154 0.025% William Demant Holding A/S $5,295,898 0.025% Metso Corp. $5,295,591 0.025% Dainippon Sumitomo Pharma Co. Ltd. $5,290,291 0.025% Keihin Electric Express Railway Co. Ltd. $5,191,081 0.024% CapitaCommercial Trust (REIT) $5,180,262 0.024% Cimic Group Ltd. $5,150,752 0.024% SEB SA $5,132,376 0.024% Fuchs Petrolub AG $5,128,135 0.024% NGK Spark Plug Co. Ltd. $5,118,837 0.024% H Lundbeck A/S $5,117,436 0.024% Kobayashi Pharmaceutical Co. Ltd. $5,115,434 0.024% Epiroc AB Class B $5,108,895 0.024% Amada Holdings Co. Ltd. $5,100,441 0.024% Fraport AG Frankfurt Airport Services Worldwide $5,097,869 0.024% MAPFRE SA (Reg.) $5,097,531 0.024% Axel Springer Verlag AG $5,081,368 0.024% Hisamitsu Pharmaceutical Co., Inc. $5,069,579 0.024% Lawson, Inc. $5,056,944 0.024% Wynn Macau Ltd. $5,050,866 0.024% Sohgo Security Services Co., Ltd. $5,001,693 0.023% Vopak NV $4,998,611 0.023% Sumco Corp. $4,975,008 0.023% Ryman Healthcare Group Ltd. $4,961,447 0.023% bioMerieux SA $4,956,872 0.023% New Hampshire Foods Ltd. $4,951,136 0.023% Husqvarna AB (B Shares) $4,940,560 0.023% Schibsted ASA (B Shares) $4,931,319 0.023% Group Holdings Ltd. $4,910,717 0.023% NWS Holdings Ltd. $4,906,394 0.023% Gjensidige Forsikring ASA $4,864,539 0.023% Iliad SA $4,858,259 0.023% Ltd. $4,853,723 0.023% Jeronimo Martins SGPS SA $4,850,819 0.023% Toyo Suisan Kaisha Ltd. $4,850,649 0.023% Ltd. $4,841,649 0.023% Wharf Holdings Ltd. $4,830,381 0.023% Park24 Co. Ltd. $4,829,011 0.023% Hirose Electric Co. Ltd. $4,809,600 0.023% Telecom Italia SpA (Risparmio Shares) $4,809,180 0.023% Venture Corp. Ltd. $4,805,646 0.023% Dairy Farm International Holdings Ltd. $4,800,655 0.023% Japan Prime Realty Investment Corp. $4,735,924 0.022% Yamada Denki Co. Ltd. $4,722,157 0.022% J. Front Retailing Co. Ltd. $4,718,863 0.022% Computer Co. Ltd. $4,669,822 0.022% McDonald's Holdings Co. (Japan) Ltd. $4,651,323 0.022% Hysan Development Co. Ltd. $4,647,330 0.022% Merlin Entertainments PLC $4,633,299 0.022% Tryg A/S $4,631,710 0.022%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

17 % of Net Security Name Market Value Assets Pirelli & C. S.p.A. $4,607,338 0.022% Corp. $4,606,574 0.022% Telefonica Deutschland Holding AG $4,587,667 0.022% ICA Gruppen AB $4,546,383 0.021% Hochtief AG $4,536,335 0.021% Tokyu Fudosan Holdings Corp. $4,533,390 0.021% JSR Corp. $4,518,752 0.021% ConvaTec Group PLC $4,494,339 0.021% Elbit Systems Ltd. (Israel) $4,491,092 0.021% Hitachi Construction Machinery Co. Ltd. $4,473,746 0.021% Pargesa Holding SA $4,469,307 0.021% ICADE $4,443,513 0.021% Mitsui OSK Lines Ltd. $4,392,516 0.021% TUI AG $4,389,643 0.021% Daicel Chemical Industries Ltd. $4,380,308 0.021% Mitsubishi Gas Chemical Co., Inc. $4,340,500 0.020% Remy Cointreau SA $4,329,262 0.020% Hulic Co. Ltd. $4,324,921 0.020% Bank of Queensland Ltd. $4,297,975 0.020% Suntec (REIT) $4,297,504 0.020% Sundrug Co. Ltd. $4,284,043 0.020% Metro Wholesale & Food Specialist AG $4,249,548 0.020% realestate.com.au Ltd. $4,234,675 0.020% Calbee, Inc. $4,234,059 0.020% Sharp Corp. $4,231,044 0.020% THK Co. Ltd. $4,206,938 0.020% Iida Group Holdings Co. Ltd. $4,186,821 0.020% Kansai Paint Co. Ltd. $4,174,723 0.020% Healthscope Ltd. $4,144,309 0.019% Meridian Energy Ltd. $4,143,221 0.019% Siemens Gamesa Renewable Energy SA $4,140,558 0.019% ASM Pacific Technology Ltd. $4,129,441 0.019% Hitachi High-Technologies Corp. $4,121,695 0.019% Oracle Corp. Japan $4,100,359 0.019% Toho Gas Co. Ltd. $4,075,065 0.019% Telenet Group Holding NV $4,072,672 0.019% JTEKT Corp. $4,042,289 0.019% Hitachi Metals Ltd. $4,012,468 0.019% HK Electric Investments & HK Electric Investments Ltd. unit $3,990,203 0.019% Mebuki Financial Group, Inc. $3,983,116 0.019% Ltd. $3,951,009 0.019% Ltd. $3,931,336 0.018% Co. Ltd. $3,923,193 0.018% Nabtesco Corp. $3,918,266 0.018% RTL Group SA $3,915,955 0.018% BIC SA $3,908,395 0.018% Pola Orbis Holdings, Inc. $3,896,947 0.018% KK $3,890,491 0.018% Ltd. $3,887,461 0.018% Kakaku.com, Inc. $3,882,288 0.018% Rinnai Corp. $3,875,606 0.018% Sumitomo Rubber Industries Ltd. $3,871,139 0.018% SG Holdings Co. Ltd. $3,866,439 0.018%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

18 % of Net Security Name Market Value Assets easyJet PLC $3,855,798 0.018% Air Water, Inc. $3,849,100 0.018% JCDecaux SA $3,845,668 0.018% Kurita Water Industries Ltd. $3,842,703 0.018% Casino Guichard Perrachon SA $3,824,573 0.018% Minth Group Ltd. $3,815,531 0.018% Singapore Airport Terminal Service Ltd. $3,814,950 0.018% Bank of Kyoto Ltd. $3,802,783 0.018% Fresnillo PLC $3,781,847 0.018% Lundbergfoeretagen AB $3,741,654 0.018% Bezeq The Israel Telecommunication Corp. Ltd. $3,728,626 0.017% City Developments Ltd. $3,722,151 0.017% Drillisch AG $3,720,797 0.017% Nomura Real Estate Holdings, Inc. $3,720,245 0.017% Dominos Pizza Enterprises Ltd. $3,684,389 0.017% Asics Corp. $3,678,681 0.017% Mizrahi Tefahot Bank Ltd. $3,676,768 0.017% LINE Corp. $3,663,233 0.017% Tokyo Century Corp. $3,640,670 0.017% PCCW Ltd. $3,633,728 0.017% Rubber Co. Ltd. $3,587,587 0.017% Co. Ltd. $3,574,031 0.017% Kamigumi Co. Ltd. $3,546,062 0.017% AEON Financial Service Co. Ltd. $3,537,037 0.017% Sammy Holdings, Inc. $3,519,342 0.016% Imerys SA $3,497,836 0.016% UOL Group Ltd. $3,480,261 0.016% Hang Lung Group Ltd. $3,459,211 0.016% Yamazaki Baking Co. Ltd. $3,459,044 0.016% Jardine Cycle & Carriage Ltd. $3,457,836 0.016% SP AusNet $3,421,823 0.016% Co. Ltd. $3,403,910 0.016% Yangzijiang Shipbuilding Holdings Ltd. $3,342,356 0.016% EDF SA $3,337,765 0.016% Co. Ltd. $3,330,871 0.016% Taiyo Nippon Sanso Corp. $3,323,692 0.016% Mitsubishi UFJ Lease & Finance Co. Ltd. $3,300,066 0.015% Yamaguchi Financial Group, Inc. $3,255,415 0.015% Azrieli Group $3,240,833 0.015% Ryanair Holdings PLC $3,237,451 0.015% Kerry Properties Ltd. $3,231,934 0.015% Yue Yuen Industrial (Holdings) Ltd. $3,208,494 0.015% Kaneka Corp. $3,192,165 0.015% Benesse Holdings, Inc. $3,183,046 0.015% Industries Ltd. $3,138,575 0.015% Babcock International Group PLC $3,137,295 0.015% ABC-MART, Inc. $3,000,665 0.014% Shimamura Co. Ltd. $2,977,321 0.014% TPG Telecom Ltd. $2,970,721 0.014% AEON MALL Co. Ltd. $2,957,388 0.014% Flight Centre Travel Group Ltd. $2,923,851 0.014% Seven Bank Ltd. $2,914,788 0.014% Japan Airport Terminal Co. Ltd. $2,819,356 0.013% Mediclinic International PLC $2,791,027 0.013%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

19 % of Net Security Name Market Value Assets DeNA Co. Ltd. $2,782,838 0.013% Schaeffler AG $2,777,820 0.013% Sankyo Co. Ltd. (Gunma) $2,747,020 0.013% Shangri-La Asia Ltd. $2,706,236 0.013% Co. Ltd. $2,698,479 0.013% Hitachi Chemical Co. Ltd. $2,602,800 0.012% Maruichi Steel Tube Ltd. $2,588,700 0.012% SJM Holdings Ltd. $2,527,334 0.012% ACOM Co. Ltd. $2,293,158 0.011% Toyoda Gosei Co. Ltd. $2,190,389 0.010% MGM China Holdings Ltd. $2,080,374 0.010% Harvey Norman Holdings Ltd. $1,981,564 0.009% Li & Fung Ltd. $1,877,177 0.009% Golden Agri-Resources Ltd. $1,871,604 0.009% International Consolidated Airlines Group SA $1,857,004 0.009% NOK Corp. $1,764,545 0.008% CYBERDYNE, Inc. $1,231,283 0.006% Banco Santander SA rights 12/31/99 $991,213 0.005% NICE Systems Ltd. sponsored ADR $880,679 0.004% Vodafone Group PLC sponsored ADR $166,111 0.001% Rolls-Royce Holdings PLC Series C $155,601 0.001% BGP Holdings PLC $66 0.000% Banco Espirito Santo SA (Reg.) $29 0.000% Old Mutual Ltd. $3 0.000%

Developed Markets Total: $21,331,377,376 100.0%

Cash and Other Securities Fidelity Cash Central Fund, 2.23% $288,501,053 1.352% U.S. Treasury Bill 2.12% 11/8/18 $9,995,914 0.047% U.S. Treasury Bill 2.18% 12/11/18 $9,975,972 0.047% Cash and Other Securities Total: $308,472,939 1.4%

466719.5.0 Fidelity Distributors Corporation 82 Devonshire Street Not Part of Annual or Semiannual Report Boston, MA 02109

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