Portfolio Holdings Listing Fidelity Growth Strategies K6 Fund As Of

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Portfolio Holdings Listing Fidelity Growth Strategies K6 Fund As Of Portfolio Holdings Listing Fidelity Growth Strategies K6 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 EPAM Systems, Inc. $4,422,420 2.8% Charles River Laboratories International, Inc. $4,109,892 2.6% MSCI, Inc. $4,052,528 2.6% ResMed, Inc. $4,049,820 2.6% Mettler-Toledo International, Inc. $3,828,699 2.4% Cadence Design Systems, Inc. $3,661,720 2.3% IDEXX Laboratories, Inc. $3,528,356 2.2% Fortinet, Inc. $3,430,224 2.2% West Pharmaceutical Services, Inc. $3,335,013 2.1% KLA Corp. $3,237,888 2.1% Top Ten Holdings Total: $37,656,560 23.9% 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 EPAM Systems, Inc. $4,422,420 2.810% EPAM 29414B104 US29414B1044 B44Z3T8 Charles River Laboratories International, Inc. $4,109,892 2.611% CRL 159864107 US1598641074 2604336 MSCI, Inc. $4,052,528 2.575% MSCI 55354G100 US55354G1004 B2972D2 ResMed, Inc. $4,049,820 2.573% RMD 761152107 US7611521078 2732903 Mettler-Toledo International, Inc. $3,828,699 2.433% MTD 592688105 US5926881054 2126249 Cadence Design Systems, Inc. $3,661,720 2.327% CDNS 127387108 US1273871087 2302232 IDEXX Laboratories, Inc. $3,528,356 2.242% IDXX 45168D104 US45168D1046 2459202 Fortinet, Inc. $3,430,224 2.179% FTNT 34959E109 US34959E1091 B5B2106 West Pharmaceutical Services, Inc. $3,335,013 2.119% WST 955306105 US9553061055 2950482 KLA Corp. $3,237,888 2.057% KLAC 482480100 US4824801009 2480138 Entegris, Inc. $3,148,704 2.001% ENTG 29362U104 US29362U1043 2599700 DexCom, Inc. $3,144,611 1.998% DXCM 252131107 US2521311074 B0796X4 The Trade Desk, Inc. $3,112,580 1.978% TTD 88339J105 US88339J1051 BD8FDD1 Veeva Systems, Inc. Class A $3,094,203 1.966% VEEV 922475108 US9224751084 BFH3N85 Synopsys, Inc. $2,793,503 1.775% SNPS 871607107 US8716071076 2867719 Copart, Inc. $2,572,500 1.634% CPRT 217204106 US2172041061 2208073 Zebra Technologies Corp. Class A $2,448,591 1.556% ZBRA 989207105 US9892071054 2989356 ANSYS, Inc. $2,431,836 1.545% ANSS 03662Q105 US03662Q1058 2045623 Generac Holdings, Inc. $2,348,416 1.492% GNRC 368736104 US3687361044 B6197Q2 Pool Corp. $2,341,318 1.488% POOL 73278L105 US73278L1052 2781585 Old Dominion Freight Lines, Inc. $2,260,860 1.436% ODFL 679580100 US6795801009 2656423 Carrier Global Corp. $2,154,750 1.369% CARR 14448C104 US14448C1045 BK4N0D7 Match Group, Inc. $2,134,218 1.356% MTCH 57667L107 US57667L1070 BK80XH9 Okta, Inc. $2,081,436 1.322% OKTA 679295105 US6792951054 BDFZSP1 Cintas Corp. $2,049,736 1.302% CTAS 172908105 US1729081059 2197137 RingCentral, Inc. $2,031,252 1.291% RNG 76680R206 US76680R2067 BDZCRX3 MarketAxess Holdings, Inc. $1,758,129 1.117% MKTX 57060D108 US57060D1081 B03Q9D0 Take-Two Interactive Software, Inc. $1,699,516 1.080% TTWO 874054109 US8740541094 2122117 TransDigm Group, Inc. $1,666,834 1.059% TDG 893641100 US8936411003 B11FJK3 Five9, Inc. $1,590,191 1.010% FIVN 338307101 US3383071012 BKY7X18 SolarEdge Technologies, Inc. $1,556,880 0.989% SEDG 83417M104 US83417M1045 BWC52Q6 Amphenol Corp. Class A $1,515,041 0.963% APH 032095101 US0320951017 2145084 Otis Worldwide Corp. $1,513,395 0.962% OTIS 68902V107 US68902V1070 BK531S8 Tempur Sealy International, Inc. $1,462,613 0.929% TPX 88023U101 US88023U1016 2216991 DocuSign, Inc. $1,400,788 0.890% DOCU 256163106 US2561631068 BFYT7B7 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 Paycom Software, Inc. $1,400,000 0.890% PAYC 70432V102 US70432V1026 BL95MY0 Atlassian Corp. PLC $1,398,016 0.888% TEAM GB00BZ09BD16 BZ09BD1 Etsy, Inc. $1,394,676 0.886% ETSY 29786A106 US29786A1060 BWTN5N1 Horizon Therapeutics PLC $1,350,270 0.858% HZNP IE00BQPVQZ61 BQPVQZ6 Toro Co. $1,342,132 0.853% TTC 891092108 US8910921084 2897040 Waters Corp. $1,325,354 0.842% WAT 941848103 US9418481035 2937689 Keysight Technologies, Inc. $1,316,400 0.836% KEYS 49338L103 US49338L1035 BQZJ0Q9 Best Buy Co., Inc. $1,303,260 0.828% BBY 086516101 US0865161014 2094670 Marvell Technology, Inc. $1,289,468 0.819% MRVL 573874104 US5738741041 BNKJSM5 Domino’s Pizza, Inc. $1,261,176 0.801% DPZ 25754A201 US25754A2015 B01SD70 Twilio, Inc. Class A $1,232,847 0.783% TWLO 90138F102 US90138F1021 BD6P5Q0 Qorvo, Inc. $1,213,376 0.771% QRVO 74736K101 US74736K1016 BR9YYP4 Rockwell Automation, Inc. $1,198,938 0.762% ROK 773903109 US7739031091 2754060 Churchill Downs, Inc. $1,151,960 0.732% CHDN 171484108 US1714841087 2194105 AMETEK, Inc. $1,140,210 0.724% AME 031100100 US0311001004 2089212 Masimo Corp. $1,138,590 0.723% MASI 574795100 US5747951003 B1YWR63 Dynatrace, Inc. $1,136,886 0.722% DT 268150109 US2681501092 BJV2RD9 AutoZone, Inc. $1,136,499 0.722% AZO 053332102 US0533321024 2065955 Laboratory Corp. of America Holdings $1,125,370 0.715% LH 50540R409 US50540R4092 2586122 Lennar Corp. Class A $1,104,075 0.701% LEN 526057104 US5260571048 2511920 Ameriprise Financial, Inc. $1,081,752 0.687% AMP 03076C106 US03076C1062 B0J7D57 Royalty Pharma PLC $1,073,420 0.682% RPRX GB00BMVP7Y09 BMVP7Y0 CoStar Group, Inc. $1,066,200 0.677% CSGP 22160N109 US22160N1090 2262864 RH $1,062,528 0.675% RH 74967X103 US74967X1037 BYXR425 Dollar General Corp. $1,023,849 0.651% DG 256677105 US2566771059 B5B1S13 Darling Ingredients, Inc. $1,015,329 0.645% DAR 237266101 US2372661015 2250289 MKS Instruments, Inc. $985,572 0.626% MKSI 55306N104 US55306N1046 2404871 Arthur J. Gallagher & Co. $961,239 0.611% AJG 363576109 US3635761097 2359506 Atkore, Inc. $878,787 0.558% ATKR 047649108 US0476491081 BDHF495 Elastic NV $858,748 0.546% ESTC NL0013056914 BFXCLC6 Trane Technologies PLC $855,162 0.543% TT IE00BK9ZQ967 BK9ZQ96 Crowdstrike Holdings, Inc. $786,191 0.500% CRWD 22788C105 US22788C1053 BJJP138 IDEX Corp. $770,746 0.490% IEX 45167R104 US45167R1041 2456612 Lam Research Corp. $764,892 0.486% LRCX 512807108 US5128071082 2502247 Bio-Rad Laboratories, Inc. Class A $739,510 0.470% BIO 090572207 US0905722072 2098508 Brown-Forman Corp. Class B (non-vtg.) $723,384 0.460% BF.B 115637209 US1156372096 2146838 eBay, Inc. $723,026 0.459% EBAY 278642103 US2786421030 2293819 NXP Semiconductors NV $722,365 0.459% NXPI NL0009538784 B505PN7 Natera, Inc. $721,476 0.458% NTRA 632307104 US6323071042 BYQRG48 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 Quanta Services, Inc. $718,110 0.456% PWR 74762E102 US74762E1029 2150204 Trex Co., Inc. $708,830 0.450% TREX 89531P105 US89531P1057 2483074 The AZEK Co., Inc. $683,756 0.434% AZEK 05478C105 US05478C1053 BKPVG43 Skyworks Solutions, Inc. $682,687 0.434% SWKS 83088M102 US83088M1027 2961053 PDC Energy, Inc. $676,305 0.430% PDCE 69327R101 US69327R1014 B89M5F2 HubSpot, Inc. $655,622 0.417% HUBS 443573100 US4435731009 BR4T3B3 Fortune Brands Home & Security, Inc.
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