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Portfolio Holdings Listing Fidelity Contrafund 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 Facebook, Inc. Class A $14,919,972,000 10.3% .com, Inc. $11,751,943,120 8.1% Corp. $8,110,795,657 5.6% Berkshire Hathaway, Inc. Class A $7,984,652,900 5.5% Apple, Inc. $4,795,042,335 3.3% Alphabet, Inc. Class A $4,542,150,359 3.1% UnitedHealth Group, Inc. $4,466,411,120 3.1% Alphabet, Inc. Class C $4,215,103,603 2.9% Salesforce.com, Inc. $3,753,289,440 2.6% Adobe, Inc. $3,519,321,569 2.4% Top Ten Holdings Total: $68,058,682,103 47.1%

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 Domestic Equities Facebook, Inc. Class A $14,919,972,000 10.317% FB 30303M102 US30303M1027 B7TL820 Amazon.com, Inc. $11,751,943,120 8.126% AMZN 023135106 US0231351067 2000019 Microsoft Corp. $8,110,795,657 5.608% MSFT 594918104 US5949181045 2588173 Berkshire Hathaway, Inc. Class A $7,984,652,900 5.521% BRK.A 084670108 US0846701086 2093666 Apple, Inc. $4,795,042,335 3.316% AAPL 037833100 US0378331005 2046251 Alphabet, Inc. Class A $4,542,150,359 3.141% GOOGL 02079K305 US02079K3059 BYVY8G0 UnitedHealth Group, Inc. $4,466,411,120 3.088% UNH 91324P102 US91324P1021 2917766 Alphabet, Inc. Class C $4,215,103,603 2.915% GOOG 02079K107 US02079K1079 BYY88Y7 Salesforce.com, Inc. $3,753,289,440 2.595% CRM 79466L302 US79466L3024 2310525 Adobe, Inc. $3,519,321,569 2.434% ADBE 00724F101 US00724F1012 2008154 Corp. $3,236,002,563 2.238% NVDA 67066G104 US67066G1040 2379504 Visa, Inc. Class A $3,119,970,537 2.157% V 92826C839 US92826C8394 B2PZN04 , Inc. $2,848,065,046 1.969% NFLX 64110L106 US64110L1061 2857817 PayPal Holdings, Inc. $2,008,551,706 1.389% PYPL 70450Y103 US70450Y1038 BYW36M8 , Inc. $1,935,805,031 1.339% QCOM 747525103 US7475251036 2714923 Amphenol Corp. Class A $1,594,963,690 1.103% APH 032095101 US0320951017 2145084 Estee Lauder Companies, Inc. Class A $1,576,571,263 1.090% EL 518439104 US5184391044 2320524 Eli Lilly & Co. $1,543,775,390 1.067% LLY 532457108 US5324571083 2516152 JPMorgan Chase & Co. $1,426,642,753 0.987% JPM 46625H100 US46625H1005 2190385 The Home Depot, Inc. $1,395,526,892 0.965% HD 437076102 US4370761029 2434209 MasterCard, Inc. Class A $1,315,679,494 0.910% MA 57636Q104 US57636Q1040 B121557 Bank of America Corp. $1,312,215,466 0.907% BAC 060505104 US0605051046 2295677 Wholesale Corp. $1,307,314,811 0.904% COST 22160K105 US22160K1051 2701271 Danaher Corp. $1,210,584,684 0.837% DHR 235851102 US2358511028 2250870 Regeneron Pharmaceuticals, Inc. $1,157,755,257 0.801% REGN 75886F107 US75886F1075 2730190 Accenture PLC Class A $1,066,394,578 0.737% ACN IE00B4BNMY34 B4BNMY3 Morgan Stanley $975,725,482 0.675% MS 617446448 US6174464486 2262314 Cloudflare, Inc. $952,387,264 0.659% NET 18915M107 US18915M1071 BJXC5M2 NIKE, Inc. Class B $947,126,499 0.655% NKE 654106103 US6541061031 2640147 The Walt Disney Co. $912,796,067 0.631% DIS 254687106 US2546871060 2270726 United Parcel Service, Inc. Class B $906,183,940 0.627% UPS 911312106 US9113121068 2517382 T-Mobile U.S., Inc. $898,964,055 0.622% TMUS 872590104 US8725901040 B94Q9V0 Sherwin-Williams Co. $875,680,749 0.606% SHW 824348106 US8243481061 2804211 , Inc. $850,236,464 0.588% AMD 007903107 US0079031078 2007849 Corp. $760,602,231 0.526% LRCX 512807108 US5128071082 2502247

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 Corp. PLC $700,445,030 0.484% TEAM GB00BZ09BD16 BZ09BD1 Mettler-Toledo International, Inc. $677,328,906 0.468% MTD 592688105 US5926881054 2126249 , Inc. $664,424,936 0.459% ISRG 46120E602 US46120E6023 2871301 eBay, Inc. $663,428,331 0.459% EBAY 278642103 US2786421030 2293819 Snap, Inc. Class A $629,128,670 0.435% SNAP 83304A106 US83304A1060 BD8DJ71 AbbVie, Inc. $622,032,062 0.430% ABBV 00287Y109 US00287Y1091 B92SR70 BlackRock, Inc. Class A $610,470,337 0.422% BLK 09247X101 US09247X1019 2494504 , Inc. $582,036,843 0.402% ATVI 00507V109 US00507V1098 2575818 General Electric Co. $546,854,633 0.378% GE 369604301 US3696043013 BL59CR9 , Inc. $541,852,987 0.375% INTU 461202103 US4612021034 2459020 Thermo Fisher Scientific, Inc. $521,217,652 0.360% TMO 883556102 US8835561023 2886907 Okta, Inc. $445,637,430 0.308% OKTA 679295105 US6792951054 BDFZSP1 Capital One Financial Corp. $440,772,209 0.305% COF 14040H105 US14040H1059 2654461 Horizon Therapeutics PLC $432,942,571 0.299% HZNP IE00BQPVQZ61 BQPVQZ6 Goldman Sachs Group, Inc. $422,933,993 0.292% GS 38141G104 US38141G1040 2407966 , Inc. $367,671,397 0.254% ADI 032654105 US0326541051 2032067 Corp. Class A $358,243,991 0.248% CMCSA 20030N101 US20030N1019 2044545 Deere & Co. $356,213,518 0.246% DE 244199105 US2441991054 2261203 Chubb Ltd. $350,155,918 0.242% CB CH0044328745 B3BQMF6 Fortune Brands Home & Security, Inc. $348,690,055 0.241% FBHS 34964C106 US34964C1062 B3MC7D6 General Motors Co. $344,204,624 0.238% GM 37045V100 US37045V1008 B665KZ5 Synaptics, Inc. $339,525,552 0.235% SYNA 87157D109 US87157D1090 2839268 Qorvo, Inc. $325,449,436 0.225% QRVO 74736K101 US74736K1016 BR9YYP4 , Inc. Class A $324,681,099 0.225% CHTR 16119P108 US16119P1084 BZ6VT82 , Inc. $301,419,575 0.208% AMAT 038222105 US0382221051 2046552 Progressive Corp. $294,852,213 0.204% PGR 743315103 US7433151039 2705024 Airbnb, Inc. Class A $288,400,618 0.199% ABNB 009066101 US0090661010 BMGYYH4 Edwards Lifesciences Corp. $287,779,782 0.199% EW 28176E108 US28176E1082 2567116 MSCI, Inc. $281,539,847 0.195% MSCI 55354G100 US55354G1004 B2972D2 Freeport-McMoRan, Inc. $277,703,890 0.192% FCX 35671D857 US35671D8570 2352118 TJX Companies, Inc. $265,385,995 0.184% TJX 872540109 US8725401090 2989301 HCA Holdings, Inc. $265,100,434 0.183% HCA 40412C101 US40412C1018 B4MGBG6 Zoetis, Inc. Class A $263,036,087 0.182% ZTS 98978V103 US98978V1035 B95WG16 , Inc. $251,901,724 0.174% SWKS 83088M102 US83088M1027 2961053 Corp. $250,718,189 0.173% CTAS 172908105 US1729081059 2197137 Trane Technologies PLC $247,288,214 0.171% TT IE00BK9ZQ967 BK9ZQ96 American Express Co. $244,817,984 0.169% AXP 025816109 US0258161092 2026082 Deckers Outdoor Corp. $242,855,078 0.168% DECK 243537107 US2435371073 2267278 , Inc. $237,975,471 0.165% VRTX 92532F100 US92532F1003 2931034

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 Space Exploration Technologies Corp. Series G $234,444,718 0.162% SPET+GPP Chipotle Mexican Grill, Inc. $233,697,737 0.162% CMG 169656105 US1696561059 B0X7DZ3 The Travelers Companies, Inc. $231,983,108 0.160% TRV 89417E109 US89417E1091 2769503 ServiceNow, Inc. $231,901,441 0.160% NOW 81762P102 US81762P1021 B80NXX8 Abbott Laboratories $231,040,950 0.160% ABT 002824100 US0028241000 2002305 American International Group, Inc. $220,164,858 0.152% AIG 026874784 US0268747849 2027342 TulCo LLC $213,498,929 0.148% CNTTC.PP Wells Fargo & Co. $212,002,166 0.147% WFC 949746101 US9497461015 2649100 IQVIA Holdings, Inc. $207,268,424 0.143% IQV 46266C105 US46266C1053 BDR73G1 MongoDB, Inc. Class A $207,224,616 0.143% MDB 60937P106 US60937P1066 BF2FJ99 Constellation Brands, Inc. Class A (sub. vtg.) $207,056,622 0.143% STZ 21036P108 US21036P1084 2170473 Medtronic PLC $206,607,750 0.143% MDT IE00BTN1Y115 BTN1Y11 Doordash, Inc. $201,032,535 0.139% DASH 25809K105 US25809K1051 BN13P03 Nucor Corp. $199,615,420 0.138% NUE 670346105 US6703461052 2651086 The Coca-Cola Co. $199,451,133 0.138% KO 191216100 US1912161007 2206657 D.R. Horton, Inc. $193,370,859 0.134% DHI 23331A109 US23331A1097 2250687 Jazz Pharmaceuticals PLC $192,369,262 0.133% JAZZ IE00B4Q5ZN47 B4Q5ZN4 Union Pacific Corp. $191,946,587 0.133% UNP 907818108 US9078181081 2914734 , Inc. $187,644,694 0.130% CDNS 127387108 US1273871087 2302232 Space Exploration Technologies Corp. Series N $179,948,075 0.124% SPET+NPP Dynatrace, Inc. $173,407,880 0.120% DT 268150109 US2681501092 BJV2RD9 Equifax, Inc. $172,078,871 0.119% EFX 294429105 US2944291051 2319146 Bristol-Myers Squibb Co. $168,761,334 0.117% BMY 110122108 US1101221083 2126335 Bio-Rad Laboratories, Inc. Class A $168,492,177 0.117% BIO 090572207 US0905722072 2098508 Hilton Worldwide Holdings, Inc. $168,064,477 0.116% HLT 43300A203 US43300A2033 BYVMW06 Lennar Corp. Class A $167,118,260 0.116% LEN 526057104 US5260571048 2511920 Royalty Pharma PLC $153,822,079 0.106% RPRX GB00BMVP7Y09 BMVP7Y0 Dell Technologies, Inc. $151,803,933 0.105% DELL 24703L202 US24703L2025 BHKD3S6 Waters Corp. $151,192,096 0.105% WAT 941848103 US9418481035 2937689 Garmin Ltd. $149,026,700 0.103% GRMN CH0114405324 B3Z5T14 Space Exploration Technologies Corp. Class A $146,008,684 0.101% SPET+PP Zebra Technologies Corp. Class A $145,731,517 0.101% ZBRA 989207105 US9892071054 2989356 , Inc. $137,806,442 0.095% TXN 882508104 US8825081040 2885409 Affirm Holdings, Inc. $132,069,443 0.091% AFF.TMP Carrier Global Corp. $131,859,540 0.091% CARR 14448C104 US14448C1045 BK4N0D7 Otis Worldwide Corp. $127,157,328 0.088% OTIS 68902V107 US68902V1070 BK531S8 , Inc. $127,140,055 0.088% ALGN 016255101 US0162551016 2679204 PepsiCo, Inc. $124,877,738 0.086% PEP 713448108 US7134481081 2681511 Maravai LifeSciences Holdings, Inc. $124,566,966 0.086% MRVI 56600D107 US56600D1072 BMCWKZ2

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 Dropbox, Inc. Class A $120,702,493 0.083% DBX 26210C104 US26210C1045 BG0T321 Twilio, Inc. Class A $119,515,924 0.083% TWLO 90138F102 US90138F1021 BD6P5Q0 Northrop Grumman Corp. $119,331,934 0.083% NOC 666807102 US6668071029 2648806 Marvell Technology, Inc. $119,102,317 0.082% MRVL 573874104 US5738741041 BNKJSM5 O’Reilly Automotive, Inc. $118,252,403 0.082% ORLY 67103H107 US67103H1077 B65LWX6 Best Buy Co., Inc. $115,878,239 0.080% BBY 086516101 US0865161014 2094670 Intellia Therapeutics, Inc. $110,572,075 0.076% NTLA 45826J105 US45826J1051 BYZM6C2 Crowdstrike Holdings, Inc. $110,419,004 0.076% CRWD 22788C105 US22788C1053 BJJP138 Epic Games, Inc. $109,474,500 0.076% EPG.PP Hess Corp. $108,947,715 0.075% HES 42809H107 US42809H1077 2023748 Williams-Sonoma, Inc. $108,632,522 0.075% WSM 969904101 US9699041011 2967589 Arthur J. Gallagher & Co. $108,137,994 0.075% AJG 363576109 US3635761097 2359506 Academy Sports & Outdoors, Inc. $107,560,744 0.074% ASO 00402L107 US00402L1070 BN7K304 Veeva Systems, Inc. Class A $106,326,131 0.074% VEEV 922475108 US9224751084 BFH3N85 Humana, Inc. $105,258,964 0.073% HUM 444859102 US4448591028 2445063 Envista Holdings Corp. $102,756,355 0.071% NVST 29415F104 US29415F1049 BK63SF3 Burlington Stores, Inc. $102,317,558 0.071% BURL 122017106 US1220171060 BF311Y5 FedEx Corp. $101,982,986 0.071% FDX 31428X106 US31428X1063 2142784 DocuSign, Inc. $95,874,103 0.066% DOCU 256163106 US2561631068 BFYT7B7 Oak Street Health, Inc. $89,261,992 0.062% OSH 67181A107 US67181A1079 BN2XDL9 Prologis (REIT), Inc. $87,452,600 0.060% PLD 74340W103 US74340W1036 B44WZD7 Affirm Holdings, Inc. $87,254,154 0.060% AFRM 00827B106 US00827B1061 BMF9NM8 Hologic, Inc. $86,999,650 0.060% HOLX 436440101 US4364401012 2433530 AmerisourceBergen Corp. $85,676,721 0.059% ABC 03073E105 US03073E1055 2795393 Mohawk Industries, Inc. $84,418,596 0.058% MHK 608190104 US6081901042 2598699 Wayfair LLC Class A $79,670,522 0.055% W 94419L101 US94419L1017 BQXZP64 Dick’s Sporting Goods, Inc. $79,660,539 0.055% DKS 253393102 US2533931026 2969637 Lithia Motors, Inc. Class A (sub. vtg.) $78,470,813 0.054% LAD 536797103 US5367971034 2515030 Hartford Financial Services Group, Inc. $77,300,463 0.053% HIG 416515104 US4165151048 2476193 23andMe Holding Co. Class B $77,277,740 0.053% MEB.TMP Cleveland-Cliffs, Inc. $77,256,800 0.053% CLF 185899101 US1858991011 BYVZ186 Tanium, Inc. Class B $75,855,949 0.052% TANM.PP Keurig Dr. Pepper, Inc. $75,782,237 0.052% KDP 49271V100 US49271V1008 BD3W133 ZenPayroll, Inc. Series D $74,047,188 0.051% ZENP+DPP Steel Dynamics, Inc. $73,832,567 0.051% STLD 858119100 US8581191009 2849472 , Inc. $73,219,505 0.051% LULU 550021109 US5500211090 B23FN39 Lattice Corp. $73,049,849 0.051% LSCC 518415104 US5184151042 2506658 Zscaler, Inc. $72,603,662 0.050% ZS 98980G102 US98980G1022 BZ00V34 Generac Holdings, Inc. $71,332,717 0.049% GNRC 368736104 US3687361044 B6197Q2

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 PPG Industries, Inc. $67,939,290 0.047% PPG 693506107 US6935061076 2698470 Corp. $65,641,721 0.045% MNST 61174X109 US61174X1090 BZ07BW4 Bumble, Inc. $65,484,239 0.045% BMBL 12047B105 US12047B1052 BMZ2WT7 , Inc. $65,135,720 0.045% DXCM 252131107 US2521311074 B0796X4 HEICO Corp. Class A $64,306,988 0.044% HEI.A 422806208 US4228062083 2237561 , Inc. $63,109,821 0.044% MRNA 60770K107 US60770K1079 BGSXTS3 Cano Health, Inc. $61,745,259 0.043% JWS.PIPE CDW Corp. $60,864,499 0.042% CDW 12514G108 US12514G1085 BBM5MD6 Silgan Holdings, Inc. $60,243,110 0.042% SLGN 827048109 US8270481091 2809324 Fanatics, Inc. Series E $58,366,173 0.040% FANC.EPP Whirlpool Corp. $58,025,314 0.040% WHR 963320106 US9633201069 2960384 Nuvation Bio, Inc. $57,587,336 0.040% NUL.TMP J.B. Hunt Transport Services, Inc. $57,224,318 0.040% JBHT 445658107 US4456581077 2445416 Patterson Companies, Inc. $56,322,918 0.039% PDCO 703395103 US7033951036 2672689 , Inc. $54,962,534 0.038% PCAR 693718108 US6937181088 2665861 Fortinet, Inc. $52,708,931 0.036% FTNT 34959E109 US34959E1091 B5B2106 Space Exploration Technologies Corp. Series H $50,517,237 0.035% SPET+HPP Oscar Health, Inc. Class A $50,125,305 0.035% MULB Stryker Corp. $49,105,978 0.034% SYK 863667101 US8636671013 2853688 Zipline International, Inc. Series E $47,417,976 0.033% ZIPL+EPP Keysight Technologies, Inc. $47,253,988 0.033% KEYS 49338L103 US49338L1035 BQZJ0Q9 AMETEK, Inc. $47,225,969 0.033% AME 031100100 US0311001004 2089212 Ingersoll Rand, Inc. $46,774,210 0.032% IR 45687V106 US45687V1061 BL5GZ82 Owens & Minor, Inc. $45,482,898 0.031% OMI 690732102 US6907321029 2665128 Equity Commonwealth $45,395,653 0.031% EQC 294628102 US2946281027 BPH3N63 AutoZone, Inc. $45,302,474 0.031% AZO 053332102 US0533321024 2065955 Zoom Video Communications, Inc. Class A $44,275,510 0.031% ZM 98980L101 US98980L1017 BGSP7M9 Henry Schein, Inc. $44,036,013 0.030% HSIC 806407102 US8064071025 2416962 West Pharmaceutical Services, Inc. $43,136,129 0.030% WST 955306105 US9553061055 2950482 Nuro, Inc. Series C $42,990,338 0.030% NURO+CPP Option Care Health, Inc. $41,163,844 0.028% OPCH 68404L201 US68404L2016 BKM5C62 Expeditors International of Washington, Inc. $39,398,015 0.027% EXPD 302130109 US3021301094 2325507 Honeywell International, Inc. $39,269,005 0.027% HON 438516106 US4385161066 2020459 Aurora Innovation, Inc. Series B $38,736,577 0.027% AUIN+BPP Moody’s Corp. $38,673,856 0.027% MCO 615369105 US6153691059 2252058 Relativity Space, Inc. Series D $38,205,063 0.026% RESP+DPP Gatos Silver, Inc. $37,561,450 0.026% GATO 368036109 US3680361090 BN44WZ7 Liberty Media Corp. Liberty Formula One Group Series C $37,440,003 0.026% FWONK 531229854 US5312298541 BD8QGD5

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

7 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Surgery Partners, Inc. $37,247,184 0.026% SGRY 86881A100 US86881A1007 BYTC1B2 Duck Creek Technologies, Inc. $36,792,473 0.025% DCT 264120106 US2641201064 BMFLXR9 Corp. $36,726,504 0.025% SBUX 855244109 US8552441094 2842255 Rivian Automotive, Inc. Series F $35,170,414 0.024% RIV+FPP Carbon, Inc. Series D $34,804,459 0.024% CAR+DPP Charles Schwab Corp. $32,820,326 0.023% SCHW 808513105 US8085131055 2779397 , Inc. $32,615,629 0.023% MTCH 57667L107 US57667L1070 BK80XH9 WeWork Companies, Inc. Series E $32,614,070 0.023% WEWC+EPP Charles River Laboratories International, Inc. $31,816,261 0.022% CRL 159864107 US1598641074 2604336 Nuvation Bio, Inc. $30,864,370 0.021% PNA.PIPE The Blackstone Group LP $30,857,779 0.021% BX 09260D107 US09260D1072 BKF2SL7 S&P Global, Inc. $29,281,576 0.020% SPGI 78409V104 US78409V1044 BYV2325 Spotify Technology SA $29,086,824 0.020% SPOT LU1778762911 BFZ1K46 Pentair PLC $28,893,300 0.020% PNR IE00BLS09M33 BLS09M3 Tesla, Inc. $28,629,439 0.020% TSLA 88160R101 US88160R1014 B616C79 National Vision Holdings, Inc. $27,908,146 0.019% EYE 63845R107 US63845R1077 BYP71H7 Qualtrics International, Inc. $27,860,158 0.019% XM 747601201 US7476012015 BM9PJH9 Mattel, Inc. $27,638,809 0.019% MAT 577081102 US5770811025 2572303 GoBrands, Inc. Series H $27,154,674 0.019% GBN+HPP Tempur Sealy International, Inc. $26,948,513 0.019% TPX 88023U101 US88023U1016 2216991 Vertiv Holdings Co. $26,647,534 0.018% VRT 92537N108 US92537N1081 BL3LWS8 Anthem, Inc. $26,617,269 0.018% ANTM 036752103 US0367521038 BSPHGL4 Roblox Corp. $26,461,413 0.018% RBLX 771049103 US7710491033 BMWBC20 LifeStance Health Group, Inc. $26,259,458 0.018% LFST 53228F101 US53228F1012 BN0TRB7 P3 Health Partners $24,273,620 0.017% FORE.TMP Illinois Tool Works, Inc. $24,222,183 0.017% ITW 452308109 US4523081093 2457552 Aurora Innovation, Inc. $24,218,965 0.017% RTPY.TMP Semtech Corp. $23,920,291 0.017% SMTC 816850101 US8168501018 2795542 TransDigm Group, Inc. $23,603,011 0.016% TDG 893641100 US8936411003 B11FJK3 Snowflake Computing, Inc. $23,491,242 0.016% SNOW 833445109 US8334451098 BN134B7 Lyra Health, Inc. Series E $23,212,674 0.016% LYRA+EPP Clarivate Analytics PLC $23,158,986 0.016% CLVT JE00BJJN4441 BJJN444 Doximity, Inc. $22,441,721 0.016% DOCS 26622P107 US26622P1075 BMD22Y4 Westlake Chemical Corp. $21,805,224 0.015% WLK 960413102 US9604131022 B01ZP20 GoBrands, Inc. Series G $21,567,799 0.015% GBN+GPP Delphix Corp. Series D $20,902,428 0.014% DPLX+DPP NXP NV $20,212,805 0.014% NXPI NL0009538784 B505PN7 Clear Secure, Inc. $19,770,665 0.014% YOU 18467V109 US18467V1098 BLD30T1 Acuity Brands, Inc. $19,410,532 0.013% AYI 00508Y102 US00508Y1029 2818461

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

8 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Arvinas Holding Co. LLC $18,875,370 0.013% ARVN 04335A105 US04335A1051 BDZ30Q0 Stripe, Inc. Class B $18,280,950 0.013% STRPE.PP Tapestry, Inc. $17,579,203 0.012% TPR 876030107 US8760301072 BF09HX3 Monday.com Ltd. $17,032,691 0.012% MNDY IL0011762130 BMHRYX8 Figs, Inc. Class A $16,897,936 0.012% FIGS 30260D103 US30260D1037 BMXXBD9 Asana, Inc. $16,564,086 0.011% ASAN 04342Y104 US04342Y1047 BLFDQC4 IDEX Corp. $16,526,834 0.011% IEX 45167R104 US45167R1041 2456612 Guardant Health, Inc. $16,294,869 0.011% GH 40131M109 US40131M1099 BFXC911 23andMe Holding Co. $15,904,783 0.011% VGA.PIPE Bruker Corp. $15,482,658 0.011% BRKR 116794108 US1167941087 2616137 Coinbase Global, Inc. $14,999,172 0.010% COIN 19260Q107 US19260Q1076 BMC9P69 HubSpot, Inc. $14,738,979 0.010% HUBS 443573100 US4435731009 BR4T3B3 Zoominfo Technologies, Inc. $14,437,250 0.010% ZI 98980F104 US98980F1049 BMWF095 NASDAQ, Inc. $14,340,864 0.010% NDAQ 631103108 US6311031081 2965107 SVB Financial Group $14,133,972 0.010% SIVB 78486Q101 US78486Q1013 2808053 Sealed Air Corp. $13,710,573 0.009% SEE 81211K100 US81211K1007 2232793 Bowery Farming, Inc. Series C1 $13,645,924 0.009% BWR+C1PP ElevateBio LLC Series C $13,528,456 0.009% ELB+CPP Etsy, Inc. $13,047,561 0.009% ETSY 29786A106 US29786A1060 BWTN5N1 Celanese Corp. Class A $13,030,939 0.009% CE 150870103 US1508701034 B05MZT4 The AES Corp. $12,878,272 0.009% AES 00130H105 US00130H1059 2002479 XPO Logistics, Inc. $12,561,015 0.009% XPO 983793100 US9837931008 B6Z1355 Rad Power Bikes, Inc. $12,486,307 0.009% RADP.TMP Joby Aviation $12,474,471 0.009% RTP.TMP Crocs, Inc. $12,438,159 0.009% CROX 227046109 US2270461096 B0T7Z62 Endeavor Group Holdings, Inc. $12,376,151 0.009% EDR 29260Y109 US29260Y1091 BJQ05Y5 Duolingo, Inc. $12,187,725 0.008% DUOL 26603R106 US26603R1068 BMCM6P4 Tenstorrent, Inc. Series C1 $11,902,751 0.008% TNS+C1PP Ivanhoe Electric, Inc. $11,747,891 0.008% IVNE.TMP Cerevel Therapeutics Holdings $11,144,672 0.008% CERE 15678U128 US15678U1280 BMVMJ12 Nordson Corp. $10,937,004 0.008% NDSN 655663102 US6556631025 2641838 Paymentus Holdings, Inc. $10,883,700 0.008% PAY 70439P108 US70439P1084 BMBP1P9 WestRock Co. $10,744,364 0.007% WRK 96145D105 US96145D1054 BYR0914 McKesson Corp. $10,275,274 0.007% MCK 58155Q103 US58155Q1031 2378534 Reddit, Inc. Series E $10,214,548 0.007% RED+E.PP Relativity Space, Inc. Series E $9,972,591 0.007% RESP+EPP Allbirds, Inc. $9,768,782 0.007% ABI.PP Freshpet, Inc. $9,719,740 0.007% FRPT 358039105 US3580391056 BS7K7M9 TechTarget, Inc. $8,748,261 0.006% TTGT 87874R100 US87874R1005 B1XH822

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

9 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL ASAPP, Inc. Series C $8,579,555 0.006% ASA+CPP Corp. $8,525,525 0.006% INTC 458140100 US4581401001 2463247 Stripe, Inc. Series H $7,635,788 0.005% STRP+HPP Bright Machines, Inc. $7,563,396 0.005% SCVX.TMP Acrisure Holdings, Inc. Series B $6,917,788 0.005% ACR+BPP ASAC II LP $6,635,076 0.005% ASAC.PP Allbirds, Inc. Series C $6,473,430 0.004% ABI+CPP Rad Power Bikes, Inc. Series C $6,405,476 0.004% RAD+CPP UiPath, Inc. Class A $6,227,160 0.004% PATH 90364P105 US90364P1057 BMD02L5 Space Exploration Technologies Corp. Class C $5,456,090 0.004% SPEC+PP Harley-Davidson, Inc. $5,138,595 0.004% HOG 412822108 US4128221086 2411053 ZenPayroll, Inc. Series E $5,079,029 0.004% ZENP+EPP Allovir, Inc. $5,012,077 0.003% ALVR 019818103 US0198181036 BL9XBL4 Allbirds, Inc. Series A $3,855,480 0.003% ABI+APP Alignment Healthcare, Inc. $3,428,743 0.002% ALHC 01625V104 US01625V1044 BNNLSZ1 Carbon, Inc. Series E $3,146,798 0.002% CAR+EPP Alnylam Pharmaceuticals, Inc. $3,005,476 0.002% ALNY 02043Q107 US02043Q1076 B00FWN1 Cullinan Oncology, Inc. $2,997,318 0.002% CGEM 230031106 US2300311063 BM90J52 23andMe Holding Co. Class A $2,700,102 0.002% ME.TMP WeWork Companies, Inc. Series F $2,114,717 0.001% WEWC+FPP Allbirds, Inc. Series Seed $2,071,502 0.001% ABI+PP Rad Power Bikes, Inc. Series A $1,627,868 0.001% RAD+APP Citigroup, Inc. $1,461,539 0.001% C 172967424 US1729674242 2297907 Get Heal, Inc. Series B $1,408,536 0.001% HEA+BPP Alector, Inc. $1,312,311 0.001% ALEC 014442107 US0144421072 BJ4LDC4 Lyra Health, Inc. Series F $1,091,770 0.001% LYRA+FPP Allbirds, Inc. Series B $677,345 0.000% ABI+BPP Oatly Group AB ADR $367,620 0.000% OTLY 67421J108 US67421J1088 BNNTQY0 Intarcia Therapeutics, Inc. Series CC $21 0.000% ITCA.PP Intarcia Therapeutics, Inc. warrants 12/31/24 $11 0.000% ITCA.WT Domestic Equities Total: $134,122,560,198 92.7%

Developed Markets Shopify, Inc. Class A $1,008,534,535 0.697% SHOP.TO 82509L107 CA82509L1076 BX865C7 Franco-Nevada Corp. $665,739,491 0.460% FNV.TO 351858105 CA3518581051 B29NF31

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

10 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL BV $447,982,377 0.310% *ADYN NL0012969182 BZ1HM42 Royal Bank of Canada $428,208,255 0.296% RY.TO 780087102 CA7800871021 2754383 The Toronto-Dominion Bank $337,033,842 0.233% TD.TO 891160509 CA8911605092 2897222 Canadian Pacific Railway Ltd. $315,489,693 0.218% CP.TO 13645T100 CA13645T1003 2793115 Ivanhoe Mines Ltd. $315,317,288 0.218% IVN.TO 46579R104 CA46579R1047 BD73C40 Admiral Group PLC $308,719,192 0.213% *ADML GB00B02J6398 B02J639 Toyota Motor Corp. $283,203,740 0.196% *TYMT JP3633400001 6900643 Vestas Wind Systems A/S $248,528,940 0.172% *VWS DK0061539921 BN4MYF5 B2Gold Corp. $189,338,618 0.131% BTO.TO 11777Q209 CA11777Q2099 B29VFC4 Deliveroo PLC $189,149,028 0.131% ROO.TMP Barrick Gold Corp. (Canada) $179,919,260 0.124% ABX.TO 067901108 CA0679011084 2024644 Toto Ltd. $167,378,418 0.116% *TOTO JP3596200000 6897466 ASML Holding NV $114,162,986 0.079% ASML USN070592100 B908F01 Eurofins Scientific SA $109,258,046 0.076% *ESFC FR0014000MR3 BNDPYV1 Sonova Holding AG Class B $94,879,950 0.066% *PHHLB CH0012549785 7156036 Ivanhoe Mines Ltd. $90,838,410 0.063% IVNA.TO 46579R203 US46579R2031 L’Oreal SA $89,250,180 0.062% *LRLTMP FR0014000RC4 L’Oreal SA $88,109,648 0.061% *LOTMP FR0011149590 B71JBK1 Canadian Natural Resources Ltd. $83,134,625 0.057% CNQ.TO 136385101 CA1363851017 2171573 Thomson Reuters Corp. $78,772,063 0.054% TRI.TO 884903709 CA8849037095 BFXPTB0 ArcelorMittal SA Class A unit $78,162,285 0.054% MT 03938L203 US03938L2034 BD4H9V1 Intact Financial Corp. $72,388,442 0.050% IFC.TO 45823T106 CA45823T1066 B04YJV1 Dr. Martens Ltd. $70,585,839 0.049% *DOCS GB00BL6NGV24 BL6NGV2 Idorsia Ltd. $68,657,571 0.047% *IDIA CH0363463438 BF0YK62 On Holding AG $68,547,291 0.047% ONHLD.PP High Power Exploration, Inc. Series A $62,844,137 0.043% HIEX+APP Brookfield Asset Management, Inc. (Canada) Class A $62,415,841 0.043% BAMA.TO 112585104 CA1125851040 2092599 AIA Group Ltd. $58,562,939 0.040% *AIAHK HK0000069689 B4TX8S1 GFL Environmental, Inc. $57,795,142 0.040% GFL 36168Q104 CA36168Q1046 BKDT650 BioNTech SE ADR $55,106,652 0.038% BNTX 09075V102 US09075V1026 BK6H543 UCB SA $54,258,417 0.038% *UCB BE0003739530 5596991 Novagold Resources, Inc. $53,254,624 0.037% NG.TO 66987E206 CA66987E2069 2135450 Evolution AB $52,341,412 0.036% *EVOGA SE0012673267 BJXSCH4 Nintendo Co. Ltd. $52,134,170 0.036% *NINT JP3756600007 6639550 Fairfax Financial Holdings Ltd. (sub. vtg.) $48,285,146 0.033% FFH.TO 303901102 CA3039011026 2566351 Deliveroo PLC $43,151,436 0.030% *DEROO GB00BNC5T391 BNC5T39 Diageo PLC $42,556,466 0.029% *DGE GB0002374006 0237400 LVMH Moet Hennessy Louis Vuitton SE $42,120,708 0.029% *LVMH FR0000121014 4061412 Starling Bank Ltd. Series D $41,879,602 0.029% *STARLGD

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

11 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Xero Ltd. $40,898,812 0.028% *XERO NZXROE0001S2 B8P4LP4 dentalcorp Holdings Ltd. $38,086,741 0.026% DNTL.TO 24874B108 CA24874B1085 BMGHLS3 Cazoo Holdings Ltd. Series D $36,360,140 0.025% CAZ+DPP ZOZO, Inc. $27,018,465 0.019% *STTO JP3399310006 B292RC1 Rapyd Financial Network 2016 Ltd. $24,999,987 0.017% *RPD.TMP First Quantum Minerals Ltd. $21,025,530 0.015% FM.TO 335934105 CA3359341052 2347608 Cazoo Holdings Ltd. $17,807,312 0.012% CAZOO.PP Wheaton Precious Metals Corp. $16,389,675 0.011% WPM.TO 962879102 CA9628791027 BF13KN5 Hermes International SCA $15,518,595 0.011% *RMS FR0000052292 5253973 Kornit Digital Ltd. $14,915,049 0.010% KRNT IL0011216723 BWFRFD7 Thule Group AB $14,654,263 0.010% *THULE SE0006422390 BSQXJ01 Cazoo Holdings Ltd. $14,517,198 0.010% AJAX.TMP Recruit Holdings Co. Ltd. $14,226,529 0.010% *RHCL JP3970300004 BQRRZ00 Direct Line Insurance Group PLC $13,761,325 0.010% *DLIG GB00BY9D0Y18 BY9D0Y1 Riskified Ltd. $13,544,465 0.009% RSKD IL0011786493 BMGTPT8 Global-e Online Ltd. $12,233,102 0.008% GLBE IL0011741688 BN770J3 Cazoo Holdings Ltd. Series B $10,178,147 0.007% CAZ+BPP Osisko Gold Royalties Ltd. $9,337,094 0.006% OR.TO 68827L101 CA68827L1013 BN60CQ4 Sunrise Energy Metals Ltd. $6,442,547 0.004% *CLQ AU0000143729 BN4MX14 Genmab A/S $3,546,576 0.002% *GNMB DK0010272202 4595739 Clean TeQ Water Pty Ltd. $1,479,823 0.001% *CNQ AU0000153280 BLNLT21 Cazoo Holdings Ltd. Series A $581,329 0.000% CAZ+APP Brookfield Asset Management Reinsurance Partners Ltd. $431,626 0.000% BAMR.TO BMG161691073 BM94WM2 Cazoo Holdings Ltd. Series C $206,622 0.000% CAZ+CPP Growmax Resources Corp. $126,082 0.000% BOEA.CV 39986E204 US39986E2046 Developed Markets Total: $7,286,283,738 5.0%

Emerging Markets Hyundai Motor Co. $123,224,956 0.085% *HYDM KR7005380001 6451055 Reliance Industries Ltd. $112,671,001 0.078% *RELID INE002A01018 6099626 Kotak Mahindra Bank Ltd. $101,826,754 0.070% *KMB INE237A01028 6135661 Coupang Corp. unit $85,887,736 0.059% COUPU.PP ByteDance Ltd. Series E1 $75,940,274 0.053% BY+E1PP Zai Lab Ltd. $74,731,090 0.052% *ZAILAB KYG9887T1085 BMGWNM6

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

12 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL XPeng, Inc. Class A $72,139,140 0.050% *XPENG KYG982AW1003 BP6FB33 Samsung SDI Co. Ltd. $69,624,791 0.048% *SSDI KR7006400006 6771645 Coupang, Inc. Class A $65,803,704 0.046% CPNG 22266T109 US22266T1097 BNYHDF3 Zomato Ltd. $54,988,520 0.038% *ZMT.PP Innovent Biologics, Inc. $53,723,977 0.037% *INNBLS KYG4818G1010 BGR6KX5 Zai Lab Ltd. ADR $47,409,665 0.033% ZLAB 98887Q104 US98887Q1040 BD9GVY0 Co. Ltd. $36,035,801 0.025% *SAMSNG KR7005930003 6771720 NAVER Corp. $29,997,451 0.021% *NHNC KR7035420009 6560393 Delhivery Pvt Ltd. Series H $26,832,074 0.019% *DLH+HPP INE148O03115 WuXi AppTec Co. Ltd. (H Shares) $21,813,382 0.015% *WUXIHK CNE100003F19 BGHH0L6 Tencent Holdings Ltd. $16,397,846 0.011% *TENCENT KYG875721634 BMMV2K8 Hansoh Pharmaceutical Group Co. Ltd. $16,160,555 0.011% *HANSOH KYG549581067 BJYKB72 Silergy Corp. $14,939,747 0.010% *SILG KYG8190F1028 BH4DMW9 POSCO sponsored ADR $12,303,008 0.009% PKX 693483109 US6934831099 2692795 Medlive Technology Co. Ltd. $11,826,309 0.008% *MEDLI KYG5961B1041 BN7RMD1 HDFC Bank Ltd. sponsored ADR $9,978,175 0.007% HDB 40415F101 US40415F1012 2781648 Emerging Markets Total: $1,134,255,955 0.8%

Bonds Rivian Automotive, Inc. 0% $42,219,335 0.029% %RIVAPP Circle Internet Financial Ltd. 0% $17,194,600 0.012% %CIFPP Intarcia Therapeutics, Inc. 6% 7/18/22 $11,795,555 0.008% %ITC21P Tenstorrent, Inc. 0% $11,130,000 0.008% %TNSPP Bonds Total: $82,339,490 0.1%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $2,150,957,173 1.487% CF.TAXMM 31635A105 US31635A1051 Cad Spot Cc $4,015,020 0.003% Hkd Spot Cc -$7,117,938 -0.005% Chf Spot Cc -$8,790,799 -0.006% Gbp Spot Cc -$13,393,098 -0.009%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

13 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Cash and Other Securities Total: $2,125,670,358 1.5%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

14