Portfolio Holdings Listing Fidelity International Small Cap Fund DUMMY as of June 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 RHI Magnesita NV $46,331,054 1.4% Persol Holdings Co. Ltd. $37,451,033 1.1% Renesas Electronics Corp. $35,301,908 1.1% Open Text Corp. $33,932,670 1.0% Talanx AG $33,315,560 1.0% Holdings PLC $31,879,704 1.0% Dustin Group AB $30,869,040 0.9% Isuzu Motors Ltd. $30,671,055 0.9% Dexerials Corp. $27,903,506 0.9% Ltd. $27,455,688 0.8% Top Ten Holdings Total: $335,111,219 10.2%

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 RHI Magnesita NV $46,331,054 1.413% *RHIM NL0012650360 BYZ2JR8 Persol Holdings Co. Ltd. $37,451,033 1.142% *TEMPHLD JP3547670004 B3CY709 Renesas Electronics Corp. $35,301,908 1.076% *RENC JP3164720009 6635677 Open Text Corp. $33,932,670 1.035% OTEX.TO 683715106 CA6837151068 2260824 Talanx AG $33,315,560 1.016% *TALANX DE000TLX1005 B8F0TD6 Ultra Electronics Holdings PLC $31,879,704 0.972% *ULE GB0009123323 0912332 Dustin Group AB $30,869,040 0.941% *DUSTGA SE0006625471 BVFB413 Isuzu Motors Ltd. $30,671,055 0.935% *ISUZ JP3137200006 6467104 Dexerials Corp. $27,903,506 0.851% *DEXCO JP3548770001 BYP97J7 Hiscox Ltd. $27,455,688 0.837% *HISL BMG4593F1389 BVZHXQ9 JOST Werke AG $26,640,959 0.812% *JOSTW DE000JST4000 BDC3R17 Arata Corp. $26,322,832 0.803% *ARATA JP3125100002 6517515 Takkt AG $25,101,102 0.765% *TAKT DE0007446007 5769470 AG $24,544,136 0.748% *WBSV AT0000831706 5699373 BFF Bank SpA $24,531,958 0.748% *BCFRF IT0005244402 BD0TSX6 Rheinmetall AG $24,448,781 0.746% *RHE DE0007030009 5334588 Amsterdam Commodities NV $24,122,049 0.736% *ACOMO NL0000313286 4031459 Alliance Pharma PLC $24,064,852 0.734% *ALLPH GB0031030819 3103081 Arcland Sakamoto Co. Ltd. $23,785,610 0.725% *ARCL JP3100100001 6048004 Western Forest Products, Inc. $23,685,371 0.722% WEF.TO 958211203 CA9582112038 B02F2N9 MARR SpA $23,495,782 0.716% *MARRS IT0003428445 B0B87F6 Inghams Group Ltd. $23,322,157 0.711% *INGHAM AU000000ING6 BZCNHW2 Irish Residential Properties REIT PLC $22,944,922 0.700% *IRES IE00BJ34P519 BJ34P51 Roland Corp. $22,723,723 0.693% *ROLNDC JP3983400007 6747516 Lassonde Industries, Inc. Class A (sub. vtg.) $22,636,679 0.690% LASA.TO 517907101 CA5179071017 2506670 Mayr-Melnhof Karton AG $22,509,946 0.686% *MAYR AT0000938204 4563640 Maisons du Monde SA $22,460,259 0.685% *MAISM FR0013153541 BYY8LS2 S Foods, Inc. $22,273,592 0.679% *STAM JP3399300007 6838584 Minebea Mitsumi, Inc. $22,272,326 0.679% *MINE JP3906000009 6642406 PLC $22,166,053 0.676% *JWGP GB00B5N0P849 B5N0P84 Thermador Groupe SA $21,981,126 0.670% *THEH FR0013333432 BFMGL63 The Vicat Group $21,864,102 0.667% *VICA FR0000031775 5763201 TIS, Inc. $21,841,542 0.666% *ITHLG JP3104890003 B2Q4CR0 Sugi Holdings Co. Ltd. $21,304,469 0.650% *SUGIH JP3397060009 6259011 San-Ai Oil Co. Ltd. $20,852,427 0.636% *SAO JP3323600001 6772808

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 HEXPOL AB (B Shares) $20,847,037 0.636% *HEXPOL SE0007074281 BXBZB01 Arcadis NV $20,815,441 0.635% *ARC NL0006237562 5769209 Prosegur Compania de Seguridad SA (Reg.) $20,675,204 0.630% *PROS ES0175438003 B8CLHY9 Dip Corp. $20,607,836 0.628% *DPCP JP3548640006 6714071 Mears Group PLC $20,382,079 0.621% *MERS GB0005630420 0563042 AerCap Holdings NV $20,369,904 0.621% AER NL0000687663 B1HHKD3 Econocom Group SA $20,315,665 0.619% *ECONB BE0974313455 BYTPCY1 Altarea SCA $20,298,780 0.619% *ALTAR FR0000033219 4821638 Fagron NV $20,202,078 0.616% *RCUS BE0003874915 B281L72 PLC $20,129,259 0.614% *BOV GB0001859296 0185929 ASM Pacific Technology Ltd. $19,999,964 0.610% *ASMP KYG0535Q1331 6002453 Cie Automotive SA $19,983,435 0.609% *CIEAUT ES0105630315 B15CL93 Stabilus SA $19,703,039 0.601% *STBGM LU1066226637 BMM1PP4 Nihon Parkerizing Co. Ltd. $19,642,462 0.599% *NPK JP3744600002 6640529 Spar Nord Bank A/S $19,435,627 0.593% *SNH DK0060036564 B14LS01 CCL Industries, Inc. Class B $19,386,125 0.591% CCLB.TO 124900309 CA1249003098 2159795 Grainger Trust PLC $19,301,621 0.589% *GRAI GB00B04V1276 B04V127 DIC Asset AG $19,244,157 0.587% *DAZ DE000A1X3XX4 BD1NML3 Compania de Distribucion Integral Logista Holdings SA $18,891,360 0.576% *CIADEBI ES0105027009 BP3QYZ2 J.D. Weatherspoon PLC $18,656,459 0.569% *JDW GB0001638955 0163895 Maruwa Ceramic Co. Ltd. $18,301,661 0.558% *MRWC JP3879250003 6570660 LIXIL Group Corp. $18,255,103 0.557% *TOY JP3626800001 6900212 Ten Entertainment Group PLC $18,244,186 0.556% *TENEN GB00BF020D33 BF020D3 North West Co., Inc. $18,171,280 0.554% NWC.TO 663278208 CA6632782083 BZ3FZR8 Mincon Group PLC $17,913,831 0.546% *MINCON IE00BD64C665 BGY6S89 NSD Co. Ltd. $17,894,249 0.546% *NPON JP3712600000 6639602 Elior SA $17,833,668 0.544% *ESCIL FR0011950732 BN40H61 PLC $17,806,330 0.543% *BIFFAN GB00BD8DR117 BD8DR11 Aeon Delight Co. Ltd. $17,635,960 0.538% *JPM JP3389700000 6476218 PLC $17,549,650 0.535% *SVS GB00B135BJ46 B135BJ4 Park24 Co. Ltd. $17,514,340 0.534% *PARK24 JP3780100008 6667733 National Storage REIT unit $17,353,959 0.529% *NSRS AU000000NSR2 BGP6479 Recordati SpA $17,340,894 0.529% *RECI IT0003828271 B07DRZ5 WH Smith PLC $17,330,821 0.528% *SMITHS GB00B2PDGW16 B2PDGW1 Mapletree Industrial (REIT) $17,238,347 0.526% *MREIT SG2C32962814 B4LR5Q8 ECN Capital Corp. $17,050,750 0.520% ECN.TO 26829L107 CA26829L1076 BYVZ982 Servcorp Ltd. $16,742,927 0.511% *SRVA AU000000SRV5 6196895 Amano Corp. $16,533,199 0.504% *AMAN JP3124400007 6027304

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 Anhui Heli Co. Ltd. ELS (UBS AG Branch Bank Warrant Programme) Class A warrants 1/21/22 $16,514,764 0.504% *ANHEWT CH0520499721 BKRD2S3 Sino Land Ltd. $16,473,828 0.502% *SINO HK0083000502 6810429 Grupo Catalana Occidente SA $16,373,341 0.499% *CAOC ES0116920333 B188XC5 Ship Healthcare Holdings, Inc. $16,251,910 0.496% *GRNH JP3274150006 B05MTR0 Banca Generali SpA $16,207,782 0.494% *BCGN IT0001031084 B1HKSV6 Granges AB $16,140,438 0.492% *GRANGE SE0006288015 BRJ3BP0 GUD Holdings Ltd. $16,006,419 0.488% *GUD AU000000GUD2 6358004 Informa PLC $15,912,269 0.485% *TFIP GB00BMJ6DW54 BMJ6DW5 Tsuruha Holdings, Inc. $15,769,270 0.481% *TSURU JP3536150000 B0MKZN5 Daiwa Industries Ltd. $15,666,376 0.478% *DIND JP3505800007 6251772 Hour Glass Ltd. $15,632,659 0.477% *HGLS SG1AE9000009 BSNM5D6 EBOS Group Ltd. $15,628,510 0.477% *EBONZ NZEBOE0001S6 6160038 PALTAC Corp. $15,626,842 0.477% *PALT JP3782200004 B61BG94 Daiichikosho Co. Ltd. $15,621,122 0.476% *DAKO JP3475200006 6253132 DaikyoNishikawa Corp. $15,355,210 0.468% *DAIHK JP3481300006 BJVSF22 Lectra $15,241,906 0.465% *LECS FR0000065484 4508663 Indra Sistemas SA $15,219,200 0.464% *INDR ES0118594417 4476210 Flight Centre Travel Group Ltd. $15,135,878 0.462% *FLT AU000000FLT9 6352147 PLC $15,026,014 0.458% *BOY GB00B3FLWH99 B3FLWH9 GMO Internet, Inc. $14,760,664 0.450% *GLBM JP3152750000 6170167 Shinsei Bank Ltd. $14,448,687 0.441% *SHSBK JP3729000004 6730936 Jet2 PLC $14,390,421 0.439% *DTGL GB00B1722W11 B1722W1 Kamux Corp. $13,946,156 0.425% *KMUX FI4000206750 BD6S901 Nishimoto Co. Ltd. $13,763,384 0.420% *NSHM JP3659350007 BF93VL2 Europris ASA $13,700,458 0.418% *EUROPR NO0010735343 BZ07696 Imdex Ltd. $13,637,215 0.416% *IMD AU000000IMD5 6462154 Intertrust NV $13,566,363 0.414% *INTRT NL0010937058 BZ24134 HRnetgroup Ltd. $13,518,910 0.412% *HRNET SG1DH2000003 BF03P64 Kogan.Com Ltd. $13,516,146 0.412% *KGN AU000000KGN2 BYYY339 B&M European Value Retail SA $13,275,651 0.405% *BMVARS LU1072616219 BMTRW10 Meitec Corp. $13,243,152 0.404% *MEIT JP3919200000 6576356 Hyve Group PLC $13,237,233 0.404% *ITEL GB00BKP36R26 BKP36R2 DWS Group GmbH & Co. KGaA $13,011,190 0.397% *DWSGP DE000DWS1007 BFMHVQ6 Dalata Hotel Group PLC $13,008,194 0.397% *DAHTGRL IE00BJMZDW83 BJMZDW8 John Mattson Fastighetsforetag $12,968,000 0.395% *JMATT SE0012481364 BJSB5Z7 Mitani Shoji Co. Ltd. $12,956,083 0.395% *MTSH JP3886800006 6596473 Reach PLC $12,632,953 0.385% *TNI GB0009039941 0903994 Wing Tai Holdings Ltd. $12,596,520 0.384% *WTHS SG1K66001688 6972385

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 Inaba Denki Sangyo Co. Ltd. $12,199,672 0.372% *INAB JP3146200005 6459219 Value Partners Group Ltd. $12,181,044 0.371% *VALP KYG931751005 B28XTQ3 TFI International, Inc. (Canada) $12,032,757 0.367% TFII.TO 87241L109 CA87241L1094 BDRXBF4 Central Automotive Products Ltd. $11,920,554 0.363% *CNAU JP3515400004 6183927 On The Beach Group PLC $11,736,298 0.358% *OTBGP GB00BYM1K758 BYM1K75 Stock Spirits Group PLC $10,979,318 0.335% *STSGP GB00BF5SDZ96 BF5SDZ9 Paramount Bed Holdings Co. Ltd. $10,926,852 0.333% *PBHCL JP3781620004 B5W8JJ8 Boustead Singapore Ltd. $10,596,137 0.323% *BOCS SG1X13940751 6207076 Fjordkraft Holding ASA $10,096,751 0.308% *FJORDK NO0010815673 BG0SKQ1 Pico Far East Holdings Ltd. $9,817,271 0.299% *PICO KYG7082H1276 B0Z1B71 Richelieu Hardware Ltd. $9,402,114 0.287% RCH.TO 76329W103 CA76329W1032 2736273 NOF Corp. $9,073,667 0.277% *NOF JP3753400005 6640488 PLC $8,698,382 0.265% *FANLN GB00BN3ZZ526 BN3ZZ52 TKC Corp. $8,686,998 0.265% *TKCC JP3539400006 6892665 Nanosonics Ltd. $8,310,838 0.253% *NANSN AU000000NAN9 B1WF979 PLC $8,203,753 0.250% *BYTEG GB00BMH18Q19 BMH18Q1 PLC $7,719,965 0.235% *VIC GB0009292243 0929224 Computer Modelling Group Ltd. $7,063,610 0.215% CMG.TO 205249105 CA2052491057 2223355 Genesis Land Development Corp. $6,612,159 0.202% GDC.TO 37183V102 CA37183V1022 2284028 Nanoform Finland PLC $6,577,707 0.201% *NANF FI4000330972 BMBM5J2 SomnoMed Ltd. $6,461,492 0.197% *SOMN AU000000SOM1 B02J6D9 Nordnet AB $6,346,409 0.194% *NOAB SE0015192067 BNDLH43 Dah Sing Banking Group Ltd. $6,234,975 0.190% *DSBL HK2356013600 B01G0P1 VerticalScope Holdings, Inc. $5,863,141 0.179% FORA.TO 92537Y104 CA92537Y1043 BMH7D42 Poletowin Pitcrew Holdings, Inc. $4,796,805 0.146% *POPIT JP3855950006 B7434Z6 Magnificent Hotel Investment Ltd. $4,727,251 0.144% *MGNE HK0201008726 6555087 Van Lanschot NV (Bearer) $4,429,161 0.135% *LANS NL0000302636 5716302 Jm Holdings Co. Ltd. $4,364,553 0.133% *JMEAT JP3389690003 BYM6DQ0 Total Energy Services, Inc. $2,215,876 0.068% TOT.TO 89154B102 CA89154B1022 B4YSN64 McCoy Global, Inc. $964,596 0.029% MCB.TO 57980Q106 CA57980Q1063 BP455M2 Plus Alpha Consulting Co. Ltd. $939,862 0.029% *PLUAL JP3832700003 BMYGJG6 Perseus Proteomics, Inc. $241,565 0.007% *PERPRO JP3836800007 BHNC9S2 BCC Co. Ltd. $8,191 0.000% *BCCCO JP3799790005 BN2QLM5 Developed Markets Total: $2,429,017,502 74.1%

Emerging Markets

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 Mytilineos SA $26,778,733 0.817% *MYTIL GRS393503008 5898664 YDUQS Participacoes SA $26,479,057 0.807% *ESTC3 BRYDUQACNOR3 BJGV3C2 IndusInd Bank Ltd. $24,730,523 0.754% *IIB INE095A01012 6100454 International Games Systems Co. Ltd. $23,980,657 0.731% *INGASY TW0003293007 6744807 Hypermarcas SA $22,182,552 0.676% *HYPE3 BRHYPEACNOR0 B2QY968 Star Petroleum Refining PCL $20,476,412 0.624% *SPRCF TH6838010010 BD4DC98 Grupo Cementos de Chihuahua S.A.B. de CV $20,155,487 0.615% *GCC* MX01GC2M0006 2946663 Embassy Office Parks (REIT) $19,874,577 0.606% *EMBOPK INE041025011 BJH4V15 Century Pacific Food, Inc. $19,652,312 0.599% *CNPFPM PHY1249R1024 BLRL853 Oberoi Realty Ltd. $18,678,038 0.570% *OBERL INE093I01010 B4MXNL6 Robinsons Land Corp. $18,165,326 0.554% *ROBB PHY731961264 6744722 Tripod Technology Corp. $17,921,017 0.546% *TRPD TW0003044004 6305721 Soulbrain Co. Ltd. $17,889,425 0.545% *357780 KR7357780006 BKPN4N4 Shenzhen YUTO Packaging Technology Co. Ltd. (A Shares) $17,069,759 0.520% *SYPT CNE100002H00 BD6QWS4 Test Research, Inc. $16,417,086 0.501% *TESTR TW0003030003 6338921 TravelSky Technology Ltd. (H Shares) $16,256,399 0.496% *TRSKY CNE1000004J3 6321954 Xingda International Holdings Ltd. $16,031,127 0.489% *XIZ KYG9827V1068 B1L3WW0 Banca Transilvania SA $16,022,024 0.489% *TLV ROTLVAACNOR1 5393307 Qingdao Port International Co. Ltd. (H Shares) $16,015,203 0.488% *QPICL CNE100001SG2 BN320D6 Genomma Lab Internacional SA de CV $15,917,705 0.485% *LAB MX01LA010006 B3B1C73 Cyient Ltd. $15,890,041 0.485% *INFTC INE136B01020 B19HGC2 Hyundai Fire & Marine Insurance Co. Ltd. $15,621,932 0.476% *HFMI KR7001450006 B01LXY6 Yageo Corp. $15,566,043 0.475% *YAGE TW0002327004 6984380 Intercorp Financial Services, Inc. $15,433,728 0.471% IFS PAL2400671A3 BK8WRM8 Far East Horizon Ltd. $15,296,050 0.466% *FARESH HK0000077468 B63DLB5 Shriram Transport Finance Co. Ltd. $15,083,973 0.460% *SHTF INE721A01013 6802608 Gruma S.A.B. de CV Series B $14,304,818 0.436% *GRUMAB MXP4948K1056 2392545 Weifu High-Technology Group Co. Ltd. (B Shares) $14,015,470 0.427% *WFUB CNE000000J36 6944953 Qualitas Controladora S.A.B. de CV $13,696,008 0.418% *QCS MX01Q0000008 BYMXF65 Lumax International Corp. Ltd. $12,958,371 0.395% *LXINT TW0006192008 6553456 Jollibee Food Corp. $12,909,554 0.394% *JFC PHY4466S1007 6474494 PT Selamat Sempurna Tbk $11,266,479 0.344% *SMSM ID1000095409 6653334 Barbeque Nation Hospitality Ltd. $11,203,974 0.342% *BBNH INE382M01027 BFM70L4 Sporton International, Inc. $11,064,131 0.337% *SPON TW0006146004 6431381 Precision Tsugami China Corp. Ltd. $10,694,633 0.326% *PRTSG KYG7215M1006 BYX8473 L&T Technology Services Ltd. $10,364,338 0.316% *LTTECH INE010V01017 BD3RVD8 PT ACE Hardware Indonesia Tbk $8,466,810 0.258% *ACEHA ID1000125503 B7JW351 Yung Chi Paint & Varnish Manufacturing Co. Ltd. $6,927,397 0.211% *YCPV TW0001726008 6121079

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 Best Pacific International Holdings Ltd. $6,918,115 0.211% *BPIH KYG106891008 BMN2GZ3 Impro Precision Industries Ltd. $5,372,552 0.164% *IMPRO KYG4723A1085 BFZL5G3 Dlocal Ltd. $4,018,545 0.123% DLO KYG290181018 BKVF490 Max Healthcare Institute Ltd. $1,524,981 0.047% *MAXHEAL INE027H01010 BMB2291 China Metal Recycling (Holdings) Ltd. $1 0.000% *CNMER KYG211311009 B54DPL5 Emerging Markets Total: $639,291,363 19.5%

Domestic Equities Luxfer Holdings PLC sponsored $23,995,713 0.732% LXFR GB00BNK03D49 BF5GRT5 Adtalem Global Education, Inc. $18,112,248 0.552% ATGE 00737L103 US00737L1035 BZ12TX5 Adient PLC $17,447,200 0.532% ADNT IE00BD845X29 BD845X2 Domestic Equities Total: $59,555,161 1.8%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $148,317,674 4.523% CF.TAXMM 31635A105 US31635A1051 Eur Spot Cc $216,516 0.007% Jpy 7/6/2021 Forward Cc $8,191 0.000% Jpy Spot Cc -$371,759 -0.011% Cash and Other Securities Total: $148,170,622 4.5%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

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