Portfolio Holdings Listing Fidelity Advisor International Discovery 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 Roche Holding AG (participation certificate) $306,756,216 2.8% ASML Holding NV (Netherlands) $299,855,891 2.7% Nestle SA (Reg. S) $229,790,825 2.1% LVMH Moet Hennessy Louis Vuitton SE $220,913,733 2.0% HDFC Bank Ltd. $175,200,186 1.6% Deutsche Post AG $164,375,504 1.5% Hoya Corp. $162,833,399 1.5% AIA Group Ltd. $160,809,211 1.4% Recruit Holdings Co. Ltd. $160,624,117 1.4% Sony Group Corp. $149,111,609 1.3% Top Ten Holdings Total: $2,030,270,689 18.2%

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 Developed Markets Roche Holding AG (participation certificate) $306,756,216 2.752% *RHLD CH0012032048 7110388 ASML Holding NV (Netherlands) $299,855,891 2.690% *ASML NL0010273215 B929F46 Nestle SA (Reg. S) $229,790,825 2.061% *NERG CH0038863350 7123870 LVMH Moet Hennessy Louis Vuitton SE $220,913,733 1.982% *LVMH FR0000121014 4061412 Deutsche Post AG $164,375,504 1.475% *DPST DE0005552004 4617859 Hoya Corp. $162,833,399 1.461% *HOYA JP3837800006 6441506 AIA Group Ltd. $160,809,211 1.443% *AIAHK HK0000069689 B4TX8S1 Recruit Holdings Co. Ltd. $160,624,117 1.441% *RHCL JP3970300004 BQRRZ00 Sony Group Corp. $149,111,609 1.338% *SNY JP3435000009 6821506 Anglo American PLC (United Kingdom) $141,257,576 1.267% *ANGAUK GB00B1XZS820 B1XZS82 Capgemini SA $137,924,894 1.237% *CAPP FR0000125338 4163437 Daimler AG (Germany) $137,258,788 1.231% *DCXF DE0007100000 5529027 Keyence Corp. $136,719,121 1.227% *KYCE JP3236200006 6490995 Volkswagen AG $133,658,565 1.199% *VOW3+ DE0007664039 5497168 ORIX Corp. $131,143,697 1.176% *OL JP3200450009 6661144 Hitachi Ltd. $130,181,123 1.168% *HTCH JP3788600009 6429104 Airbus Group NV $130,041,242 1.167% *AIRNV NL0000235190 4012250 Partners Group Holding AG $129,774,163 1.164% *PGHD CH0024608827 B119QG0 KBC Groep NV $124,465,414 1.117% *KBCA BE0003565737 4497749 Siemens AG $122,951,165 1.103% *SIEGN DE0007236101 5727973 Minebea Mitsumi, Inc. $119,746,329 1.074% *MINE JP3906000009 6642406 Compass Group PLC $118,352,293 1.062% *CMPS GB00BD6K4575 BD6K457 CRH PLC $117,914,715 1.058% *CRHI IE0001827041 4182249 Allianz SE $115,703,041 1.038% *ALV DE0008404005 5231485 Diageo PLC $115,193,247 1.033% *DGE GB0002374006 0237400 Equinor ASA $110,454,449 0.991% *STLA NO0010096985 7133608 Indutrade AB $109,390,102 0.981% *INDTR SE0001515552 B0LDBX7 M&G PLC $108,696,761 0.975% *MGPLC GB00BKFB1C65 BKFB1C6 Vestas Wind Systems A/S $105,277,847 0.944% *VWS DK0061539921 BN4MYF5 Prudential PLC $104,323,562 0.936% *PRUL GB0007099541 0709954 Lonza Group AG $101,739,172 0.913% *LNZG CH0013841017 7333378 Swiss Re Ltd. $101,118,522 0.907% *SREN CH0126881561 B545MG5 Cellnex Telecom SA $100,701,861 0.903% *CELLNEX ES0105066007 BX90C05 Constellation Software, Inc. $92,830,245 0.833% CSU.TO 21037X100 CA21037X1006 B15C4L6 FANUC Corp. $89,488,102 0.803% *FAN JP3802400006 6356934

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 Amadeus IT Holding SA Class A $88,286,219 0.792% *AMDH ES0109067019 B3MSM28 FUJIFILM Holdings Corp. $87,697,672 0.787% *FUJH JP3814000000 6356525 BNP Paribas SA $84,036,223 0.754% *BNPPA FR0000131104 7309681 adidas AG $83,599,801 0.750% *ADSG DE000A1EWWW0 4031976 VINCI SA $81,960,262 0.735% *SGEF FR0000125486 B1XH026 JD Sports Fashion PLC $79,411,351 0.712% *JDSL GB00BYX91H57 BYX91H5 ORSTED A/S $77,524,532 0.695% *DONGAS DK0060094928 BYT16L4 Itochu Corp. $77,286,900 0.693% *ITC JP3143600009 6467803 Renesas Electronics Corp. $77,132,600 0.692% *RENC JP3164720009 6635677 Sika AG $75,875,593 0.681% *SIKA CH0418792922 BF2DSG3 SR Teleperformance SA $75,635,053 0.679% *RCFFP FR0000051807 5999330 ASSA ABLOY AB (B Shares) $75,631,634 0.678% *ASAB SE0007100581 BYPC1T4 Hong Kong Exchanges and Clearing Ltd. $75,454,881 0.677% *HKEX HK0388045442 6267359 Erste Group Bank AG $69,999,120 0.628% *EBO AT0000652011 5289837 Neste Oyj $69,611,897 0.624% *NESTE FI0009013296 B06YV46 AXA SA $69,609,845 0.624% *AXASA FR0000120628 7088429 Brenntag AG $64,124,105 0.575% *BREN DE000A1DAHH0 B4YVF56 Schibsted ASA (A Shares) $63,617,730 0.571% *SCHIB NO0003028904 4790534 Lynas Rare Earths Ltd. $63,012,349 0.565% *LYC AU000000LYC6 6121176 National Storage REIT unit $62,808,981 0.563% *NSRS AU000000NSR2 BGP6479 Techtronic Industries Co. Ltd. $62,397,659 0.560% *TECHT HK0669013440 B0190C7 Z Holdings Corp. $62,213,908 0.558% *YHOO JP3933800009 6084848 Dalata Hotel Group PLC $61,015,701 0.547% *DAHTGRL IE00BJMZDW83 BJMZDW8 PLC $60,120,517 0.539% *DECHRA GB0009633180 0963318 Wienerberger AG $59,957,369 0.538% *WBSV AT0000831706 5699373 AerCap Holdings NV $58,181,333 0.522% AER NL0000687663 B1HHKD3 Eurofins Scientific SA $57,633,017 0.517% *ESFC FR0014000MR3 BNDPYV1 Experian PLC $57,148,019 0.513% *EXPG GB00B19NLV48 B19NLV4 Svenska Handelsbanken AB (A Shares) $56,188,959 0.504% *SVE SE0007100599 BXDZ9Q1 Societe Generale Series A $55,296,474 0.496% *SOCG FR0000130809 5966516 EQT AB $54,555,791 0.489% *EQTAB SE0012853455 BJ7W9K4 Adyen BV $54,472,038 0.489% *ADYN NL0012969182 BZ1HM42 Ryman Healthcare Group Ltd. $54,169,522 0.486% *RYM NZRYME0001S4 6161525 JEOL Ltd. $53,810,841 0.483% *IEOL JP3735000006 6470544 UCB SA $53,371,183 0.479% *UCB BE0003739530 5596991 Sea Ltd. ADR $49,523,220 0.444% SE 81141R100 US81141R1005 BYWD7L4 Fujitsu Ltd. $49,252,751 0.442% *FUJITS JP3818000006 6356945 Daiichi Sankyo Kabushiki Kaisha $49,142,412 0.441% *DACHI JP3475350009 B0J7D91 ZOZO, Inc. $48,849,332 0.438% *STTO JP3399310006 B292RC1

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 Suncor Energy, Inc. $48,025,450 0.431% SU.TO 867224107 CA8672241079 B3NB1P2 Persol Holdings Co. Ltd. $47,782,532 0.429% *TEMPHLD JP3547670004 B3CY709 Schindler Holding AG (participation certificate) $46,792,241 0.420% *SCPC CH0024638196 B11TCY0 Nexus AG $45,993,035 0.413% *NEXUS DE0005220909 4100553 Ryanair Holdings PLC sponsored ADR $45,753,620 0.410% RYAAY 783513203 US7835132033 BYYN585 PLC $45,510,628 0.408% *BOV GB0001859296 0185929 Evolution AB $45,466,707 0.408% *EVOGA SE0012673267 BJXSCH4 Zur Rose Group AG $45,079,540 0.404% *ZURO CH0042615283 B92M6T7 PLC $45,072,290 0.404% *BYG GB0002869419 0286941 SMC Corp. $44,520,946 0.399% *SMCC JP3162600005 6763965 Lloyds Banking Group PLC $43,600,525 0.391% *LLBG GB0008706128 0870612 Intesa Sanpaolo SpA $43,297,567 0.388% *ISP IT0000072618 4076836 Nibe Industrier AB (B Shares) $42,523,415 0.381% *NIBE SE0015988019 BN7BZM3 Flutter Entertainment PLC $40,375,762 0.362% *PAPP IE00BWT6H894 BWXC0Z1 Reply SpA $39,355,212 0.353% *RPLY IT0005282865 BZ1DZ96 JTC PLC $39,253,315 0.352% *JTCC JE00BF4X3P53 BF4X3P5 Ocado Group PLC $38,486,486 0.345% *OCGR GB00B3MBS747 B3MBS74 Cairn Homes PLC $38,259,736 0.343% *CAIRNH IE00BWY4ZF18 BWY4ZF1 ING Groep NV (Certificaten Van Aandelen) $38,054,757 0.341% *ING NL0011821202 BZ57390 Instone Real Estate Group BV $37,952,735 0.340% *INSTN DE000A2NBX80 BFYXP82 Zegona Communications PLC $37,493,477 0.336% *ZEGN GB00BVGBY890 BVGBY89 THK Co. Ltd. $37,127,058 0.333% *THK JP3539250005 6869131 SHIFT, Inc. $36,972,972 0.332% *SHFT JP3355400007 BRJQJX3 Mitsubishi Electric Corp. $36,707,623 0.329% *MITS JP3902400005 6597045 A.P. Moller - Maersk A/S Series B $35,531,185 0.319% *DSACB DK0010244508 4253048 Bapcor Ltd. $35,432,292 0.318% *BAPGLTD AU000000BAP9 BLD2CY7 Stillfront Group AB $35,268,397 0.316% *SFGAB SE0015346135 BMCFL47 BFF Bank SpA $35,007,725 0.314% *BCFRF IT0005244402 BD0TSX6 Worldline SA $34,660,047 0.311% *WLN FR0011981968 BNFWR44 Misumi Group, Inc. $34,484,693 0.309% *MISU JP3885400006 6595179 NICE Systems Ltd. sponsored ADR $34,273,950 0.307% NICE 653656108 US6536561086 2639736 Siemens Healthineers AG $33,313,973 0.299% *SIHAG DE000SHL1006 BD594Y4 Shiseido Co. Ltd. $33,244,556 0.298% *SHIS JP3351600006 6805265 WH Smith PLC $32,816,588 0.294% *SMITHS GB00B2PDGW16 B2PDGW1 Shop Apotheke Europe NV $32,751,782 0.294% *SHAPE NL0012044747 BYYH7G9 EBOS Group Ltd. $32,516,346 0.292% *EBONZ NZEBOE0001S6 6160038 Merck KGaA $32,452,545 0.291% *MER DE0006599905 4741844 Nordnet AB $32,401,728 0.291% *NOAB SE0015192067 BNDLH43 Mitsubishi UFJ Financial Group, Inc. $32,035,641 0.287% *MTBU JP3902900004 6335171

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 Jet2 PLC $31,051,959 0.279% *DTGL GB00B1722W11 B1722W1 TIS, Inc. $29,856,229 0.268% *ITHLG JP3104890003 B2Q4CR0 Dr. Martens Ltd. $26,997,535 0.242% *DOCS GB00BL6NGV24 BL6NGV2 B&M European Value Retail SA $25,960,961 0.233% *BMVARS LU1072616219 BMTRW10 IMCD NV $25,468,130 0.228% *IMCDGP NL0010801007 BNCBD46 Ericsson (B Shares) $24,073,586 0.216% *ERIC SE0000108656 5959378 Musti Group OYJ $23,584,903 0.212% *MUSTIG FI4000410758 BKT6105 RHI Magnesita NV $23,205,693 0.208% *RHIM NL0012650360 BYZ2JR8 Aena SME SA $22,826,776 0.205% *AENA ES0105046009 BVRZ8L1 Deliveroo PLC $18,675,333 0.168% *DEROO GB00BNC5T391 BNC5T39 Technology One Ltd. $18,259,821 0.164% *TNE AU000000TNE8 6302410 THG PLC $16,997,812 0.152% *HUTGRP GB00BMTV7393 BMTV739 PLC $16,893,645 0.152% *BYTEG GB00BMH18Q19 BMH18Q1 Dufry AG $15,819,111 0.142% *DUFRY CH0023405456 B0R80X9 Exasol AG $13,247,239 0.119% *EXSL DE000A0LR9G9 BMFYGF7 Lifenet Insurance Co. $12,039,297 0.108% *LNIC JP3966660007 B4KN6D1 SUSE SA $11,982,614 0.107% *SUSE LU2333210958 BL9YLY0 Starling Bank Ltd. Series D $11,196,269 0.100% *STARLGD Kry International AB Series E $10,790,162 0.097% *KRY+E HEXPOL AB (B Shares) $10,620,294 0.095% *HEXPOL SE0007074281 BXBZB01 GVS SpA $9,714,872 0.087% *GVSSP IT0005411209 BMVB793 Elior SA $9,480,098 0.085% *ESCIL FR0011950732 BN40H61 Topicus.Com, Inc. $8,123,511 0.073% TOI.CV 89072T102 CA89072T1021 BNGJNT1 Hydrogen Refueling Solutions $7,714,116 0.069% *ALHRS FR0014001PM5 BMFJMS7 Volue A/S $6,346,938 0.057% *VOLUEME NO0010894603 BLPJR07 Deliveroo PLC $4,357,650 0.039% ROO.TMP Kry International AB $1,774,590 0.016% *KRYITL Group PLC $1,292,859 0.012% *LSE GB00B0SWJX34 B0SWJX3 Rio Tinto Ltd. $437,267 0.004% *RIOA AU000000RIO1 6220103 Developed Markets Total: $9,435,431,637 84.6%

Emerging Markets Housing Development Finance Corp. Ltd. $146,567,672 1.315% *BHDFD INE001A01036 6171900 Samsung Electronics Co. Ltd. $118,380,582 1.062% *SAMSNG KR7005930003 6771720 HDFC Bank Ltd. sponsored ADR $115,150,974 1.033% HDB 40415F101 US40415F1012 2781648

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 Taiwan Semiconductor Manufacturing Co. Ltd. $103,949,978 0.933% *TWSMC TW0002330008 6889106 OTP Bank PLC $73,432,787 0.659% *OTP HU0000061726 7320154 Reliance Industries Ltd. $68,428,744 0.614% *RELID INE002A01018 6099626 HDFC Bank Ltd. $60,049,211 0.539% *HDRCBKD INE040A01034 BK1N461 MediaTek, Inc. $50,599,726 0.454% *MDTK TW0002454006 6372480 Samsung SDI Co. Ltd. $39,635,362 0.356% *SSDI KR7006400006 6771645 Zai Lab Ltd. $34,634,929 0.311% *ZAILAB KYG9887T1085 BMGWNM6 Axis Bank Ltd. $28,015,202 0.251% *AXSB INE238A01034 BPFJHC7 Kweichow Moutai Co. Ltd. (A Shares) $26,244,572 0.235% *KWMCLA CNE0000018R8 BP3R2F1 Richter Gedeon PLC $24,783,318 0.222% *GRTER HU0000123096 BC9ZH86 Avenue Supermarts Ltd. $23,797,067 0.213% *AVESUP INE192R01011 BYW1G33 Reliance Industries Ltd. sponsored GDR $23,243,420 0.209% *RELGDUK 759470107 US7594701077 B16CYP9 Rede D’Oregon Sao Luiz SA $22,217,251 0.199% *RDOR3 BRRDORACNOR8 BNDQ8P6 WuXi AppTec Co. Ltd. (H Shares) $22,027,315 0.198% *WUXIHK CNE100003F19 BGHH0L6 Eicher Motors Ltd. $20,274,401 0.182% *EIMD INE066A01021 BMW4CV8 Antengene Corp. $19,035,371 0.171% *ACHKL KYG039571008 BMW9BX8 Akeso, Inc. $18,925,112 0.170% *AKESO KYG0146B1032 BLFJ7Y1 Allegro.eu SA $18,407,559 0.165% *ALLEG LU2237380790 BMBQDF6 Zomato Ltd. $16,689,839 0.150% *ZMT.PP ByteDance Ltd. Series E1 $15,248,195 0.137% BY+E1PP Sunteck Realty Ltd. $14,147,834 0.127% *SRIN INE805D01034 BF0F7S6 Dlocal Ltd. $11,721,594 0.105% DLO KYG290181018 BKVF490 Hansoh Pharmaceutical Group Co. Ltd. $11,458,722 0.103% *HANSOH KYG549581067 BJYKB72 Alpha Bank AE $10,868,080 0.097% *CRBR GRS015003007 BZ1MXR7 dMed Biopharmaceutical Co. Ltd. Series C $10,064,838 0.090% *DME+CPP Fix Price Group Ltd. GDR (Reg. S) $8,935,453 0.080% *FIXPGDR 33835G205 US33835G2057 BN30342 Pine Labs Private Ltd. Series 1 0.00% $7,727,896 0.069% PNL+1PP Coupang, Inc. Class A $6,453,192 0.058% CPNG 22266T109 US22266T1097 BNYHDF3 Piraeus Financial Holdings SA $5,992,681 0.054% *TPEIR GRS014003032 BNC0DB0 Delhivery Pvt Ltd. Series H $4,895,737 0.044% *DLH+HPP INE148O03115 Pine Labs Private Ltd. $3,233,442 0.029% PNL.PP Pine Labs Private Ltd. Series C 0.00% $3,161,107 0.028% PNL+CPP Medlive Technology Co. Ltd. $2,816,661 0.025% *MEDLU Reliance Industries Ltd. $2,251,445 0.020% *RLIN IN9002A01032 BMFB937 Pine Labs Private Ltd. Series B 0.00% $2,101,066 0.019% PNL+BPP Pine Labs Private Ltd. Series A 0.00% $1,931,042 0.017% PNL+APP Pine Labs Private Ltd. Series B2 0.00% $1,699,496 0.015% PNL+B2PP Pine Labs Private Ltd. Series D 0.00% $712,163 0.006% PNL+DPP Medlive Technology Co. Ltd. $674,437 0.006% *MEDLI KYG5961B1041 BN7RMD1

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 Pine Labs Private Ltd. Series C1 0.00% $665,928 0.006% PNL+C1PP Emerging Markets Total: $1,201,251,404 10.8%

Domestic Equities NXP Semiconductors NV $104,210,852 0.935% NXPI NL0009538784 B505PN7 Linde PLC $50,719,416 0.455% *L6N IE00BZ12WP82 BYWD9S5 MercadoLibre, Inc. $41,766,638 0.375% MELI 58733R102 US58733R1023 B23X1H3 Domestic Equities Total: $196,696,906 1.8%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $361,488,012 3.243% CF.TAXMM 31635A105 US31635A1051 Jpy Spot Cc $39,831,990 0.357% Eur Spot Cc $20,376,181 0.183% Chf Spot Cc $7,045,915 0.063% Hkd Spot Cc $5,184,117 0.047% Gbp Spot Cc -$4,543,801 -0.041% Sek Spot Cc -$12,020,896 -0.108% Cash and Other Securities Total: $417,361,519 3.7%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

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