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Portfolio Holdings Listing Fidelity U.S. Sustainability Index 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 Corp. $141,104,242 10.2% Alphabet, Inc. Class A $56,008,501 4.1% Alphabet, Inc. Class C $55,110,671 4.0% Tesla, Inc. $36,474,514 2.6% Corp. $33,371,369 2.4% Johnson & Johnson $31,288,223 2.3% Visa, Inc. Class A $28,886,024 2.1% The Home Depot, Inc. $24,422,587 1.8% Procter & Gamble Co. $24,208,968 1.8% MasterCard, Inc. Class A $23,652,333 1.7% Top Ten Holdings Total: $454,527,432 32.9%

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 Microsoft Corp. $141,104,242 10.198% MSFT 594918104 US5949181045 2588173 Alphabet, Inc. Class A $56,008,501 4.048% GOOGL 02079K305 US02079K3059 BYVY8G0 Alphabet, Inc. Class C $55,110,671 3.983% GOOG 02079K107 US02079K1079 BYY88Y7 Tesla, Inc. $36,474,514 2.636% TSLA 88160R101 US88160R1014 B616C79 NVIDIA Corp. $33,371,369 2.412% NVDA 67066G104 US67066G1040 2379504 Johnson & Johnson $31,288,223 2.261% JNJ 478160104 US4781601046 2475833 Visa, Inc. Class A $28,886,024 2.088% V 92826C839 US92826C8394 B2PZN04 The Home Depot, Inc. $24,422,587 1.765% HD 437076102 US4370761029 2434209 Procter & Gamble Co. $24,208,968 1.750% PG 742718109 US7427181091 2704407 MasterCard, Inc. Class A $23,652,333 1.709% MA 57636Q104 US57636Q1040 B121557 The Walt Disney Co. $22,085,581 1.596% DIS 254687106 US2546871060 2270726 Adobe, Inc. $20,568,493 1.487% ADBE 00724F101 US00724F1012 2008154 Salesforce.com, Inc. $16,246,325 1.174% CRM 79466L302 US79466L3024 2310525 , Inc. $16,157,852 1.168% CSCO 17275R102 US17275R1023 2198163 The Coca-Cola Co. $16,137,836 1.166% KO 191216100 US1912161007 2206657 Verizon Communications, Inc. $15,954,865 1.153% VZ 92343V104 US92343V1044 2090571 Corp. $15,086,671 1.090% INTC 458140100 US4581401001 2463247 PepsiCo, Inc. $14,966,909 1.082% PEP 713448108 US7134481081 2681511 NIKE, Inc. Class B $14,721,784 1.064% NKE 654106103 US6541061031 2640147 Thermo Fisher Scientific, Inc. $14,698,532 1.062% TMO 883556102 US8835561023 2886907 Accenture PLC Class A $13,927,091 1.007% ACN IE00B4BNMY34 B4BNMY3 Eli Lilly & Co. $13,711,485 0.991% LLY 532457108 US5324571083 2516152 Merck & Co., Inc. $13,444,409 0.972% MRK 58933Y105 US58933Y1055 2778844 McDonald’s Corp. $12,507,817 0.904% MCD 580135101 US5801351017 2550707 , Inc. $12,124,957 0.876% TXN 882508104 US8825081040 2885409 Linde PLC $11,119,526 0.804% LIN IE00BZ12WP82 BZ12WP8 CME E-mini S&P 500 Index Contracts $10,534,800 0.761% ESU1 Bristol-Myers Squibb Co. $10,510,552 0.760% BMY 110122108 US1101221083 2126335 Union Pacific Corp. $10,128,150 0.732% UNP 907818108 US9078181081 2914734 , Inc. $10,031,272 0.725% INTU 461202103 US4612021034 2459020 Corp. $9,881,245 0.714% SBUX 855244109 US8552441094 2842255 Lowe’s Companies, Inc. $9,736,240 0.704% LOW 548661107 US5486611073 2536763 , Inc. $9,642,760 0.697% AMGN 031162100 US0311621009 2023607 United Parcel Service, Inc. Class B $9,516,716 0.688% UPS 911312106 US9113121068 2517382 Morgan Stanley $9,364,577 0.677% MS 617446448 US6174464486 2262314

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 BlackRock, Inc. Class A $9,148,644 0.661% BLK 09247X101 US09247X1019 2494504 Target Corp. $9,035,985 0.653% TGT 87612E106 US87612E1064 2259101 , Inc. $8,875,760 0.641% AMAT 038222105 US0382221051 2046552 IBM Corp. $8,706,535 0.629% IBM 459200101 US4592001014 2005973 American Tower Corp. $8,686,485 0.628% AMT 03027X100 US03027X1000 B7FBFL2 American Express Co. $8,071,185 0.583% AXP 025816109 US0258161092 2026082 3M Co. $7,922,944 0.573% MMM 88579Y101 US88579Y1010 2595708 Caterpillar, Inc. $7,792,821 0.563% CAT 149123101 US1491231015 2180201 Deere & Co. $7,442,245 0.538% DE 244199105 US2441991054 2261203 S&P Global, Inc. $7,132,615 0.516% SPGI 78409V104 US78409V1044 BYV2325 Charles Schwab Corp. $6,774,819 0.490% SCHW 808513105 US8085131055 2779397 Zoetis, Inc. Class A $6,657,276 0.481% ZTS 98978V103 US98978V1035 B95WG16 Prologis (REIT), Inc. $6,544,765 0.473% PLD 74340W103 US74340W1036 B44WZD7 Lam Research Corp. $6,296,336 0.455% LRCX 512807108 US5128071082 2502247 Automatic Data Processing, Inc. $6,200,855 0.448% ADP 053015103 US0530151036 2065308 , Inc. $6,166,654 0.446% BKNG 09857L108 US09857L1089 BDRXDB4 , Inc. $5,931,465 0.429% GILD 375558103 US3755581036 2369174 Crown Castle International Corp. $5,756,592 0.416% CCI 22822V101 US22822V1017 BTGQCX1 TJX Companies, Inc. $5,710,404 0.413% TJX 872540109 US8725401090 2989301 Cigna Corp. $5,581,197 0.403% CI 125523100 US1255231003 BHJ0775 U.S. Bancorp $5,478,299 0.396% USB 902973304 US9029733048 2736035 PNC Financial Services Group, Inc. $5,342,242 0.386% PNC 693475105 US6934751057 2692665 Estee Lauder Companies, Inc. Class A $5,301,220 0.383% EL 518439104 US5184391044 2320524 CME Group, Inc. $5,263,582 0.380% CME 12572Q105 US12572Q1058 2965839 Chubb Ltd. $5,251,020 0.380% CB CH0044328745 B3BQMF6 Marsh & McLennan Companies, Inc. $5,171,103 0.374% MMC 571748102 US5717481023 2567741 Sherwin-Williams Co. $5,136,971 0.371% SHW 824348106 US8243481061 2804211 CSX Corp. $5,109,921 0.369% CSX 126408103 US1264081035 2160753 Truist Financial Corp. $5,068,467 0.366% TFC 89832Q109 US89832Q1094 BKP7287 Equinix, Inc. $5,063,571 0.366% EQIX 29444U700 US29444U7000 BVLZX12 Illumina, Inc. $4,999,639 0.361% ILMN 452327109 US4523271090 2613990 Illinois Tool Works, Inc. $4,961,353 0.359% ITW 452308109 US4523081093 2457552 , Inc. $4,880,855 0.353% ADSK 052769106 US0527691069 2065159 MercadoLibre, Inc. $4,866,107 0.352% MELI 58733R102 US58733R1023 B23X1H3 Edwards Lifesciences Corp. $4,846,359 0.350% EW 28176E108 US28176E1082 2567116 HCA Holdings, Inc. $4,665,167 0.337% HCA 40412C101 US40412C1018 B4MGBG6 Intercontinental Exchange, Inc. $4,652,400 0.336% ICE 45866F104 US45866F1049 BFSSDS9 Norfolk Southern Corp. $4,489,078 0.324% NSC 655844108 US6558441084 2641894 , Inc. $4,478,018 0.324% ATVI 00507V109 US00507V1098 2575818

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 Colgate-Palmolive Co. $4,429,899 0.320% CL 194162103 US1941621039 2209106 Moody’s Corp. $4,376,264 0.316% MCO 615369105 US6153691059 2252058 Eaton Corp. PLC $4,349,062 0.314% ETN IE00B8KQN827 B8KQN82 Waste Management, Inc. $4,336,308 0.313% WM 94106L109 US94106L1098 2937667 Aon PLC $4,061,669 0.294% AON IE00BLP1HW54 BLP1HW5 , Inc. $4,006,720 0.290% IDXX 45168D104 US45168D1046 2459202 Ecolab, Inc. $3,921,278 0.283% ECL 278865100 US2788651006 2304227 Progressive Corp. $3,852,362 0.278% PGR 743315103 US7433151039 2705024 Humana, Inc. $3,793,135 0.274% HUM 444859102 US4448591028 2445063 , Inc. $3,622,191 0.262% VRTX 92532F100 US92532F1003 2931034 , Inc. $3,602,852 0.260% ALGN 016255101 US0162551016 2679204 Roper Technologies, Inc. $3,563,689 0.258% ROP 776696106 US7766961061 2749602 Johnson Controls International PLC $3,555,788 0.257% JCI IE00BY7QL619 BY7QL61 Newmont Corp. $3,475,077 0.251% NEM 651639106 US6516391066 2636607 , Inc. $3,440,467 0.249% BIIB 09062X103 US09062X1037 2455965 , Inc. $3,427,110 0.248% DXCM 252131107 US2521311074 B0796X4 , Inc. $3,425,055 0.248% LULU 550021109 US5500211090 B23FN39 Trane Technologies PLC $3,355,493 0.243% TT IE00BK9ZQ967 BK9ZQ96 Agilent Technologies, Inc. $3,230,395 0.233% A 00846U101 US00846U1016 2520153 T. Rowe Price Group, Inc. $3,216,745 0.232% TROW 74144T108 US74144T1088 2702337 eBay, Inc. $3,208,053 0.232% EBAY 278642103 US2786421030 2293819 Kimberly-Clark Corp. $3,174,219 0.229% KMB 494368103 US4943681035 2491839 Aptiv PLC $3,114,088 0.225% APTV JE00B783TY65 B783TY6 IHS Markit Ltd. $3,042,747 0.220% INFO BMG475671050 BD0Q558 Bank of New York Mellon Corp. $2,961,792 0.214% BK 064058100 US0640581007 B1Z77F6 Workday, Inc. Class A $2,916,405 0.211% WDAY 98138H101 US98138H1014 B8K6ZD1 , Inc. $2,862,069 0.207% EA 285512109 US2855121099 2310194 Sempra Energy $2,860,451 0.207% SRE 816851109 US8168511090 2138158 , Inc. $2,847,135 0.206% CDNS 127387108 US1273871087 2302232 American International Group, Inc. $2,830,110 0.205% AIG 026874784 US0268747849 2027342 DuPont de Nemours, Inc. $2,791,335 0.202% DD 26614N102 US26614N1028 BK0VN47 Schlumberger Ltd. $2,786,448 0.201% SLB 806857108 AN8068571086 2779201 Centene Corp. $2,758,122 0.199% CNC 15135B101 US15135B1017 2807061 Prudential Financial, Inc. $2,751,483 0.199% PRU 744320102 US7443201022 2819118 ResMed, Inc. $2,733,764 0.198% RMD 761152107 US7611521078 2732903 Allstate Corp. $2,722,467 0.197% ALL 020002101 US0200021014 2019952 Baxter International, Inc. $2,700,521 0.195% BAX 071813109 US0718131099 2085102 PPG Industries, Inc. $2,676,332 0.193% PPG 693506107 US6935061076 2698470 Discover Financial Services $2,635,335 0.190% DFS 254709108 US2547091080 B1YLC43

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 Motorola Solutions, Inc. $2,616,057 0.189% MSI 620076307 US6200763075 B5BKPQ4 The Travelers Companies, Inc. $2,595,973 0.188% TRV 89417E109 US89417E1091 2769503 International Flavors & Fragrances, Inc. $2,589,803 0.187% IFF 459506101 US4595061015 2464165 Hilton Worldwide Holdings, Inc. $2,522,131 0.182% HLT 43300A203 US43300A2033 BYVMW06 Welltower, Inc. $2,505,824 0.181% WELL 95040Q104 US95040Q1040 BYVYHH4 HP, Inc. $2,487,555 0.180% HPQ 40434L105 US40434L1052 BYX4D52 General Mills, Inc. $2,487,541 0.180% GIS 370334104 US3703341046 2367026 AFLAC, Inc. $2,486,550 0.180% AFL 001055102 US0010551028 2026361 Marathon Petroleum Corp. $2,484,790 0.180% MPC 56585A102 US56585A1025 B3K3L40 Rockwell Automation, Inc. $2,468,275 0.178% ROK 773903109 US7739031091 2754060 Mettler-Toledo International, Inc. $2,384,463 0.172% MTD 592688105 US5926881054 2126249 Cummins, Inc. $2,368,813 0.171% CMI 231021106 US2310211063 2240202 First Republic Bank $2,348,626 0.170% FRC 33616C100 US33616C1009 B4WHY15 CBRE Group, Inc. $2,237,486 0.162% CBRE 12504L109 US12504L1098 B6WVMH3 Phillips 66 Co. $2,217,659 0.160% PSX 718546104 US7185461040 B78C4Y8 , Inc. $2,209,286 0.160% ANSS 03662Q105 US03662Q1058 2045623 Stanley Black & Decker, Inc. $2,191,393 0.158% SWK 854502101 US8545021011 B3Q2FJ4 Co. $2,174,259 0.157% FAST 311900104 US3119001044 2332262 , Inc. $2,161,047 0.156% CPRT 217204106 US2172041061 2208073 American Water Works Co., Inc. $2,133,350 0.154% AWK 030420103 US0304201033 B2R3PV1 SVB Financial Group $2,123,396 0.153% SIVB 78486Q101 US78486Q1013 2808053 State Street Corp. $2,118,809 0.153% STT 857477103 US8574771031 2842040 Keysight Technologies, Inc. $2,116,607 0.153% KEYS 49338L103 US49338L1035 BQZJ0Q9 West Pharmaceutical Services, Inc. $2,108,881 0.152% WST 955306105 US9553061055 2950482 The Williams Companies, Inc. $2,101,720 0.152% WMB 969457100 US9694571004 2967181 Ameriprise Financial, Inc. $2,078,509 0.150% AMP 03076C106 US03076C1062 B0J7D57 Okta, Inc. $2,075,985 0.150% OKTA 679295105 US6792951054 BDFZSP1 Equity Residential (SBI) $2,058,745 0.149% EQR 29476L107 US29476L1070 2319157 Eversource Energy $2,045,289 0.148% ES 30040W108 US30040W1080 BVVN4Q8 Zebra Technologies Corp. Class A $2,041,966 0.148% ZBRA 989207105 US9892071054 2989356 Kroger Co. $2,034,756 0.147% KR 501044101 US5010441013 2497406 Laboratory Corp. of America Holdings $1,997,828 0.144% LH 50540R409 US50540R4092 2586122 , Inc. $1,990,100 0.144% PCAR 693718108 US6937181088 2665861 Valero Energy Corp. $1,891,233 0.137% VLO 91913Y100 US91913Y1001 2041364 Arthur J. Gallagher & Co. $1,865,361 0.135% AJG 363576109 US3635761097 2359506 VF Corp. $1,845,723 0.133% VFC 918204108 US9182041080 2928683 Willis Towers Watson PLC $1,836,997 0.133% WLTW IE00BDB6Q211 BDB6Q21 LyondellBasell Industries NV Class A $1,835,221 0.133% LYB NL0009434992 B3SPXZ3 Generac Holdings, Inc. $1,822,119 0.132% 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 Ball Corp. $1,821,256 0.132% BLL 058498106 US0584981064 2073022 Best Buy Co., Inc. $1,809,846 0.131% BBY 086516101 US0865161014 2094670 Consolidated Edison, Inc. $1,745,988 0.126% ED 209115104 US2091151041 2216850 Weyerhaeuser Co. $1,743,369 0.126% WY 962166104 US9621661043 2958936 Keurig Dr. Pepper, Inc. $1,712,474 0.124% KDP 49271V100 US49271V1008 BD3W133 Corp. $1,702,017 0.123% CERN 156782104 US1567821046 2185284 Kansas City Southern $1,681,516 0.122% KSU 485170302 US4851703029 2607647 Waters Corp. $1,675,403 0.121% WAT 941848103 US9418481035 2937689 Garmin Ltd. $1,665,220 0.120% GRMN CH0114405324 B3Z5T14 Dover Corp. $1,659,334 0.120% DOV 260003108 US2600031080 2278407 United Rentals, Inc. $1,644,455 0.119% URI 911363109 US9113631090 2134781 Fortive Corp. $1,612,180 0.117% FTV 34959J108 US34959J1088 BYT3MK1 ONEOK, Inc. $1,598,493 0.116% OKE 682680103 US6826801036 2130109 The Clorox Co. $1,572,839 0.114% CLX 189054109 US1890541097 2204026 Hartford Financial Services Group, Inc. $1,572,050 0.114% HIG 416515104 US4165151048 2476193 Xylem, Inc. $1,569,224 0.113% XYL 98419M100 US98419M1009 B3P2CN8 Northern Trust Corp. $1,543,562 0.112% NTRS 665859104 US6658591044 2648668 Burlington Stores, Inc. $1,532,714 0.111% BURL 122017106 US1220171060 BF311Y5 CarMax, Inc. $1,504,928 0.109% KMX 143130102 US1431301027 2983563 Expeditors International of Washington, Inc. $1,501,295 0.109% EXPD 302130109 US3021301094 2325507 STERIS PLC $1,501,022 0.108% STE IE00BFY8C754 BFY8C75 International Paper Co. $1,491,132 0.108% IP 460146103 US4601461035 2465254 NASDAQ, Inc. $1,488,798 0.108% NDAQ 631103108 US6311031081 2965107 Trimble, Inc. $1,478,466 0.107% TRMB 896239100 US8962391004 2903958 Horizon Therapeutics PLC $1,471,494 0.106% HZNP IE00BQPVQZ61 BQPVQZ6 Tractor Supply Co. $1,454,496 0.105% TSCO 892356106 US8923561067 2900335 Teledyne Technologies, Inc. $1,451,128 0.105% TDY 879360105 US8793601050 2503477 McCormick & Co., Inc. (non-vtg.) $1,448,229 0.105% MKC 579780206 US5797802064 2550161 Huntington Bancshares, Inc./Ohio $1,435,907 0.104% HBAN 446150104 US4461501045 2445966 Edison International $1,428,772 0.103% EIX 281020107 US2810201077 2829515 Cheniere Energy, Inc. $1,413,915 0.102% LNG 16411R208 US16411R2085 2654364 Catalent, Inc. $1,409,565 0.102% CTLT 148806102 US1488061029 BP96PQ4 Domino’s Pizza, Inc. $1,409,364 0.102% DPZ 25754A201 US25754A2015 B01SD70 Teladoc Health, Inc. $1,387,711 0.100% TDOC 87918A105 US87918A1051 BYQRFY1 Take-Two Interactive Software, Inc. $1,380,597 0.100% TTWO 874054109 US8740541094 2122117 Healthpeak Properties, Inc. $1,376,467 0.099% PEAK 42250P103 US42250P1030 BJBLRK3 W.W. Grainger, Inc. $1,367,973 0.099% GWW 384802104 US3848021040 2380863 Hologic, Inc. $1,336,462 0.097% HOLX 436440101 US4364401012 2433530 Pool Corp. $1,328,817 0.096% POOL 73278L105 US73278L1052 2781585

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 Ally Financial, Inc. $1,327,707 0.096% ALLY 02005N100 US02005N1000 B72XK05 KeyCorp $1,316,473 0.095% KEY 493267108 US4932671088 2490911 Darden Restaurants, Inc. $1,313,941 0.095% DRI 237194105 US2371941053 2289874 Quest Diagnostics, Inc. $1,307,963 0.095% DGX 74834L100 US74834L1008 2702791 Hewlett Packard Enterprise Co. $1,303,666 0.094% HPE 42824C109 US42824C1099 BYVYWS0 AmerisourceBergen Corp. $1,296,346 0.094% ABC 03073E105 US03073E1055 2795393 Bio-Techne Corp. $1,293,368 0.093% TECH 09073M104 US09073M1045 BSHZ3Q0 Teleflex, Inc. $1,282,507 0.093% TFX 879369106 US8793691069 2881407 Regions Financial Corp. $1,278,162 0.092% RF 7591EP100 US7591EP1005 B01R311 Insulet Corp. $1,277,344 0.092% PODD 45784P101 US45784P1012 B1XGNW4 Genuine Parts Co. $1,266,789 0.092% GPC 372460105 US3724601055 2367480 NVR, Inc. $1,263,869 0.091% NVR 62944T105 US62944T1051 2637785 Amcor PLC $1,248,087 0.090% AMCR JE00BJ1F3079 BJ1F307 MarketAxess Holdings, Inc. $1,247,796 0.090% MKTX 57060D108 US57060D1081 B03Q9D0 Citizens Financial Group, Inc. $1,238,787 0.090% CFG 174610105 US1746101054 BQRX1X3 Cardinal Health, Inc. $1,205,355 0.087% CAH 14149Y108 US14149Y1082 2175672 Boston Properties, Inc. $1,200,093 0.087% BXP 101121101 US1011211018 2019479 M&T Bank Corp. $1,190,060 0.086% MTB 55261F104 US55261F1049 2340168 IDEX Corp. $1,188,989 0.086% IEX 45167R104 US45167R1041 2456612 Principal Financial Group, Inc. $1,170,405 0.085% PFG 74251V102 US74251V1026 2803014 Conagra Brands, Inc. $1,130,890 0.082% CAG 205887102 US2058871029 2215460 Kellogg Co. $1,129,645 0.082% K 487836108 US4878361082 2486813 Raymond James Financial, Inc. $1,109,126 0.080% RJF 754730109 US7547301090 2718992 Cognex Corp. $1,099,928 0.079% CGNX 192422103 US1924221039 2208288 Arch Capital Group Ltd. $1,096,134 0.079% ACGL BMG0450A1053 2740542 Omnicom Group, Inc. $1,082,032 0.078% OMC 681919106 US6819191064 2279303 Baker Hughes Co. Class A $1,070,220 0.077% BKR 05722G100 US05722G1004 BDHLTQ5 Masco Corp. $1,061,226 0.077% MAS 574599106 US5745991068 2570200 Abiomed, Inc. $1,022,640 0.074% ABMD 003654100 US0036541003 2003698 LKQ Corp. $1,011,498 0.073% LKQ 501889208 US5018892084 2971029 Dentsply Sirona, Inc. $997,666 0.072% XRAY 24906P109 US24906P1093 BYNPPC6 The J.M. Smucker Co. $993,027 0.072% SJM 832696405 US8326964058 2951452 Novocure Ltd. $981,198 0.071% NVCR JE00BYSS4X48 BYSS4X4 CenterPoint Energy, Inc. $970,688 0.070% CNP 15189T107 US15189T1079 2440637 BioMarin Pharmaceutical, Inc. $963,882 0.070% BMRN 09061G101 US09061G1013 2437071 Advance Auto Parts, Inc. $960,420 0.069% AAP 00751Y106 US00751Y1064 2822019 Interpublic Group of Companies, Inc. $954,685 0.069% IPG 460690100 US4606901001 2466321 Hormel Foods Corp. $951,950 0.069% HRL 440452100 US4404521001 2437264 FactSet Research Systems, Inc. $937,860 0.068% FDS 303075105 US3030751057 2329770

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 Steel Dynamics, Inc. $937,103 0.068% STLD 858119100 US8581191009 2849472 Fortune Brands Home & Security, Inc. $934,152 0.068% FBHS 34964C106 US34964C1062 B3MC7D6 Hasbro, Inc. $896,849 0.065% HAS 418056107 US4180561072 2414580 VMware, Inc. Class A $893,229 0.065% VMW 928563402 US9285634021 B23SN61 Howmet Aerospace, Inc. $885,090 0.064% HWM 443201108 US4432011082 BKLJ8V2 Cboe Global Markets, Inc. $877,863 0.063% CBOE 12503M108 US12503M1080 B5834C5 Atmos Energy Corp. $873,409 0.063% ATO 049560105 US0495601058 2315359 Allegion PLC $856,619 0.062% ALLE IE00BFRT3W74 BFRT3W7 Citrix Systems, Inc. $856,274 0.062% CTXS 177376100 US1773761002 2182553 Vail Resorts, Inc. $849,066 0.061% MTN 91879Q109 US91879Q1094 2954194 Pentair PLC $845,511 0.061% PNR IE00BLS09M33 BLS09M3 Loews Corp. $841,187 0.061% L 540424108 US5404241086 2523022 Equitable Holdings, Inc. $836,052 0.060% EQH 29452E101 US29452E1010 BKRMR96 C.H. Robinson Worldwide, Inc. $824,644 0.060% CHRW 12541W209 US12541W2098 2116228 Annaly Capital Management, Inc. $820,686 0.059% NLY 035710409 US0357104092 2113456 Snap-On, Inc. $816,553 0.059% SNA 833034101 US8330341012 2818740 BorgWarner, Inc. $809,150 0.058% BWA 099724106 US0997241064 2111955 Mohawk Industries, Inc. $804,157 0.058% MHK 608190104 US6081901042 2598699 Essential Utilities, Inc. $791,028 0.057% WTRG 29670G102 US29670G1022 BLCF3J9 The Mosaic Co. $777,408 0.056% MOS 61945C103 US61945C1036 B3NPHP6 Host Hotels & Resorts, Inc. $776,619 0.056% HST 44107P104 US44107P1049 2567503 Lincoln National Corp. $776,474 0.056% LNC 534187109 US5341871094 2516378 Lennox International, Inc. $773,172 0.056% LII 526107107 US5261071071 2442053 Robert Half International, Inc. $767,904 0.055% RHI 770323103 US7703231032 2110703 Bunge Ltd. $752,079 0.054% BG BMG169621056 2788713 Jazz Pharmaceuticals PLC $711,136 0.051% JAZZ IE00B4Q5ZN47 B4Q5ZN4 Cable One, Inc. $707,996 0.051% CABO 12685J105 US12685J1051 BZ07DS4 Owens Corning $697,448 0.050% OC 690742101 US6907421019 B1FW7Q2 Lamb Weston Holdings, Inc. $675,379 0.049% LW 513272104 US5132721045 BDQZFJ3 UGI Corp. $662,992 0.048% UGI 902681105 US9026811052 2910118 The Western Union Co. $659,187 0.048% WU 959802109 US9598021098 B1F76F9 Invesco Ltd. $657,529 0.048% IVZ BMG491BT1088 B28XP76 Newell Brands, Inc. $653,747 0.047% NWL 651229106 US6512291062 2635701 American Financial Group, Inc. $642,190 0.046% AFG 025932104 US0259321042 2134532 Assurant, Inc. $631,871 0.046% AIZ 04621X108 US04621X1081 2331430 Franklin Resources, Inc. $619,693 0.045% BEN 354613101 US3546131018 2350684 Campbell Soup Co. $595,423 0.043% CPB 134429109 US1344291091 2162845 DaVita HealthCare Partners, Inc. $591,510 0.043% DVA 23918K108 US23918K1088 2898087 Discovery Communications, Inc. Class C (non-vtg.) $569,039 0.041% DISCK 25470F302 US25470F3029 B3D7KG4

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 Carlyle Group LP $557,189 0.040% CG 14316J108 US14316J1088 BKRTG56 Voya Financial, Inc. $552,874 0.040% VOYA 929089100 US9290891004 BKWQ2N2 Reinsurance Group of America, Inc. $518,727 0.037% RGA 759351604 US7593516047 2731193 Sirius XM Holdings, Inc. $464,352 0.034% SIRI 82968B103 US82968B1035 BGLDK10 Delta Air Lines, Inc. $441,573 0.032% DAL 247361702 US2473617023 B1W9D46 AMERCO $400,401 0.029% UHAL 023586100 US0235861004 2028174 Erie Indemnity Co. Class A $327,070 0.024% ERIE 29530P102 US29530P1021 2311711 Discovery Communications, Inc. Class A $323,345 0.023% DISCA 25470F104 US25470F1049 B3D7K31 Domestic Equities Total: $1,380,073,242 99.7%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $12,718,688 0.919% CF.TAXMM 31635A105 US31635A1051 Unknown Security $528,000 0.038% Cash and Other Securities Total: $13,246,688 1.0%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

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