Portfolio Holdings Listing Fidelity Series Emerging Markets Opportunities 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 Taiwan Semiconductor Manufacturing Co. Ltd. $2,079,603,745 7.4% Holdings Ltd. $1,517,434,885 5.4% Co. Ltd. $1,459,715,454 5.2% Holding Ltd. $1,374,707,449 4.9% Class B $471,230,699 1.7% HDFC Bank Ltd. $450,132,597 1.6% Reliance Industries Ltd. $386,740,592 1.4% Bilibili, Inc. Class Z $385,733,437 1.4% Group Co. of Ltd. (H Shares) $352,777,168 1.3% Corp. (H Shares) $330,872,969 1.2% Top Ten Holdings Total: $8,808,948,995 31.4%

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 Emerging Markets Taiwan Semiconductor Manufacturing Co. Ltd. $2,079,603,745 7.399% *TWSMC TW0002330008 6889106 Tencent Holdings Ltd. $1,517,434,885 5.399% *TENCENT KYG875721634 BMMV2K8 Samsung Electronics Co. Ltd. $1,459,715,454 5.194% *SAMSNG KR7005930003 6771720 Alibaba Group Holding Ltd. $1,374,707,449 4.891% *ALBGH KYG017191142 BK6YZP5 Meituan Class B $471,230,699 1.677% *MTND KYG596691041 BGJW376 HDFC Bank Ltd. $450,132,597 1.602% *HDRCBKD INE040A01034 BK1N461 Reliance Industries Ltd. $386,740,592 1.376% *RELID INE002A01018 6099626 Bilibili, Inc. ADR $362,904,130 1.291% BILI 090040106 US0900401060 BFNLRN6 Ping An Insurance Group Co. of China Ltd. (H Shares) $352,777,168 1.255% *PAIZ CNE1000003X6 B01FLR7 China Construction Bank Corp. (H Shares) $330,872,969 1.177% *CCBC CNE1000002H1 B0LMTQ3 POSCO $323,123,234 1.150% *PSCO KR7005490008 6693233 Pinduoduo, Inc. ADR $320,058,040 1.139% PDD 722304102 US7223041028 BYVW0F7 SK Hynix, Inc. $300,296,614 1.068% *SHILT KR7000660001 6450267 Impala Platinum Holdings Ltd. $297,162,260 1.057% *IPH ZAE000083648 B1FFT76 Tata Consultancy Services Ltd. $283,971,744 1.010% *TCS INE467B01029 B01NPJ1 CEMEX S.A.B. de CV sponsored ADR $282,729,376 1.006% CX 151290889 US1512908898 2488671 TCS Group Holding PLC GDR $282,528,423 1.005% TCSG 87238U203 US87238U2033 BF233S0 Yandex NV Series A $252,439,224 0.898% YNDX NL0009805522 B5BSZB3 Sberbank of Russia sponsored ADR $251,709,605 0.896% *SBERL 80585Y308 US80585Y3080 B5SC091 Li Auto, Inc. ADR $249,344,767 0.887% LI 50202M102 US50202M1027 BMXHCD8 Axis Bank Ltd. $241,977,859 0.861% *AXSB INE238A01034 BPFJHC7 Lukoil PJSC sponsored ADR $240,491,340 0.856% *LUKOY 69343P105 US69343P1057 BYZDW27 Co. Ltd. (H Shares) $229,589,821 0.817% *CMERZ CNE1000002M1 B1DYPZ5 Al Rajhi Bank $221,125,324 0.787% *RJHI SA0007879113 B12LZH9 Grupo Financiero Banorte S.A.B. de CV Series O $217,564,560 0.774% *GFNORTE MXP370711014 2421041 KB Financial Group, Inc. $216,444,546 0.770% *KBFI KR7105560007 B3DF0Y6 MediaTek, Inc. $209,686,343 0.746% *MDTK TW0002454006 6372480 Chailease Holding Co. Ltd. $207,058,101 0.737% *CHLHOL KYG202881093 B58J1S8 JD.com, Inc. sponsored ADR $204,108,104 0.726% JD 47215P106 US47215P1066 BMM27D9 Corp. $201,930,532 0.718% *DAUM KR7035720002 6194037 Shriram Transport Finance Co. Ltd. $197,104,301 0.701% *SHTF INE721A01013 6802608 XPeng, Inc. ADR $190,644,284 0.678% XPEV 98422D105 US98422D1054 BMXR2T4 Hon Hai Precision Industry Co. Ltd. (Foxconn) $188,988,437 0.672% *HONHAI TW0002317005 6438564 Corp. $188,316,404 0.670% *KIAM KR7000270009 6490928

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 Itau Unibanco Holding SA sponsored ADR $185,608,454 0.660% ITUB 465562106 US4655621062 2849739 JK Cement Ltd. $184,081,620 0.655% *JKCE INE823G01014 B0CJ800 Naspers Ltd. Class N $183,559,201 0.653% *NPNA ZAE000015889 6622691 Samsung SDI Co. Ltd. $183,511,212 0.653% *SSDI KR7006400006 6771645 Ambev SA sponsored ADR $182,970,181 0.651% ABEV 02319V103 US02319V1035 BG804F6 Natura & Co. Holding SA $172,743,062 0.615% *NTCO3 BRNTCOACNOR5 BJRFY31 Bajaj Finance Ltd. $170,512,977 0.607% *BAJAJ INE296A01024 BD2N0P2 Sociedad Quimica y Minera de Chile SA (PN-B) sponsored ADR $166,399,768 0.592% SQM 833635105 US8336351056 2771122 Larsen & Toubro Ltd. $166,077,324 0.591% *LSTBD INE018A01030 B0166K8 Novatek PJSC GDR (Reg. S) $163,900,380 0.583% *NOVTGDR 669888109 US6698881090 B0DK750 Li Ning Co. Ltd. $163,090,105 0.580% *LINING KYG5496K1242 B01JCK9 Suzano Papel e Celulose SA $156,277,431 0.556% *SUZB3 BRSUZBACNOR0 B02GKC7 Wal-Mart de Mexico SA de CV Series V $153,639,063 0.547% *WALMEXV MX01WA000038 BW1YVH8 Unified-President Enterprises Corp. $151,726,847 0.540% *PRET TW0001216000 6700393 Tsingtao Brewery Co. Ltd. (H Shares) $150,064,173 0.534% *TSING CNE1000004K1 6905808 Great Wall Motor Co. Ltd. (H Shares) $148,425,622 0.528% *GRWALL CNE100000338 6718255 Biologics (Cayman), Inc. $146,939,687 0.523% *WUXBI KYG970081173 BL6B9P1 FirstRand Ltd. $145,980,549 0.519% *FIRST ZAE000066304 6606996 PT Bank Rakyat Indonesia Tbk $142,618,000 0.507% *BRAKI ID1000118201 6709099 Vale SA sponsored ADR $142,470,827 0.507% VALE 91912E105 US91912E1055 2857334 PT Bank Central Asia Tbk $142,185,722 0.506% *BCA ID1000109507 B01C1P6 OTP Bank PLC $138,826,068 0.494% *OTP HU0000061726 7320154 Hana Financial Group, Inc. $134,345,330 0.478% *HANAF KR7086790003 B0RNRF5 Co. Ltd. $126,292,047 0.449% *SAMBIO KR7207940008 BYNJCV6 Shree Cement Ltd. $125,493,413 0.446% *SRCM INE070A01015 6100357 Metalurgica Gerdau SA (PN) $122,962,245 0.437% *GOAU4 BRGOAUACNPR8 2648862 Petroleo Brasileiro SA - Petrobras (PN) sponsored ADR (non-vtg.) $122,594,688 0.436% PBR.A 71654V101 US71654V1017 2683410 MMC Norilsk Nickel PJSC sponsored ADR $121,727,232 0.433% *MNOD 55315J102 US55315J1025 BYSW6D0 Adani Ports & Special Economic Zone Ltd. $117,325,602 0.417% *MSEZ INE742F01042 B28XXH2 Titan Cement International Trading SA $115,209,267 0.410% *TITCF BE0974338700 BJ8PD77 Capitec Bank Holdings Ltd. $114,913,254 0.409% *CPIJ ZAE000035861 6440859 WuXi AppTec Co. Ltd. (H Shares) $113,114,863 0.402% *WUXIHK CNE100003F19 BGHH0L6 Group Holdings Ltd. $111,950,656 0.398% *SINGR KYG8087W1015 B0MP1B0 Atacadao SA $111,225,085 0.396% *CRFB3 BRCRFBACNOR2 BF7LBH4 Pick ’n Pay Stores Ltd. $106,054,212 0.377% *PIKJ ZAE000005443 6688068 AIA Group Ltd. $104,963,685 0.373% *AIAHK HK0000069689 B4TX8S1 China Resources Beer Holdings Co. Ltd. $104,614,597 0.372% *CHRS HK0291001490 6972459

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 Rumo SA $104,115,769 0.370% *RAILN BRRAILACNOR9 BYXZ2W5 PagSeguro Digital Ltd. $103,635,877 0.369% PAGS KYG687071012 BFWK4R7 Shenzhen Mindray Bio-Medical Electronics Co. Ltd. (A Shares) $102,608,987 0.365% *SZMID CNE100003G67 BHQK864 LG Electronics, Inc. $101,224,450 0.360% *LGEL KR7066570003 6520739 Zai Lab Ltd. $101,115,903 0.360% *ZAILAB KYG9887T1085 BMGWNM6 Petroleo Brasileiro SA - Petrobras sponsored ADR $98,411,544 0.350% PBR 71654V408 US71654V4086 2616580 IndusInd Bank Ltd. $97,885,573 0.348% *IIB INE095A01012 6100454 Hyundai Motor Co. Series 2 $97,707,006 0.348% *HYDM2+ KR7005382007 6148272 Zhuzhou CRRC Times Electric Co. Ltd. (H Shares) $96,068,368 0.342% *ZCSR CNE1000004X4 B1L3XL6 Credicorp Ltd. (United States) $95,288,370 0.339% BAP BMG2519Y1084 2232878 China Petroleum & Chemical Corp. (H Shares) $93,962,722 0.334% *CHPC CNE1000002Q2 6291819 AngloGold Ashanti Ltd. $92,395,628 0.329% *ANGJ ZAE000043485 6565655 Pharmaron Co. Ltd. (H Shares) $90,588,551 0.322% *PHABJ CNE100003PG4 BK72QD3 ENN Energy Holdings Ltd. $88,531,620 0.315% *XGH KYG3066L1014 6333937 Manappuram General Finance & Leasing Ltd. $87,053,021 0.310% *MGFLTD INE522D01027 6570400 ASE Technology Holding Co. Ltd. $86,596,257 0.308% *ASEHLTD TW0003711008 BFXZDY1 Coway Co. Ltd. $84,744,656 0.302% *WCCL KR7021240007 6173401 AMOREPACIFIC Group, Inc. $84,618,625 0.301% *PCC KR7002790004 6665931 Indraprastha Gas Ltd. $82,735,729 0.294% *INRGAS INE203G01027 BD9PXD0 X5 Retail Group NV GDR (Reg. S) $81,895,496 0.291% *XFRGGDR 98387E205 US98387E2054 B07T3T9 Products Ltd. $81,846,484 0.291% *ANTAS KYG040111059 B1YVKN8 PTT Global Chemical PCL (For. Reg.) $81,521,910 0.290% *PTTGP TH1074010014 B736PF3 ITC Ltd. $75,779,283 0.270% *ITCD INE154A01025 B0JGGP5 LG Corp. $75,440,900 0.268% *LGCI KR7003550001 6537030 Bidvest Group Ltd./The $75,122,585 0.267% *BVT ZAE000117321 6100089 First Resources Ltd. $73,806,762 0.263% *FREL SG1W35938974 B2927P4 Innovent Biologics, Inc. $71,425,216 0.254% *INNBLS KYG4818G1010 BGR6KX5 Azul SA sponsored ADR $70,923,660 0.252% AZUL 05501U106 US05501U1060 BDCT500 Smart Home Co. Ltd. $70,464,905 0.251% *HSMCO CNE1000048K8 BLD4QD0 Aselsan A/S $69,058,004 0.246% *ASELS TRAASELS91H2 B03MP41 Sberbank of Russia $68,297,783 0.243% *SBER RU0009029540 4767981 NCSOFT Corp. $67,939,470 0.242% *NCSOFT KR7036570000 6264189 Grupo Aeroportuario del Pacifico S.A.B. de CV Series B $67,194,189 0.239% *GAPB MX01GA000004 B0ZV104 Haitian International Holdings Ltd. $67,106,825 0.239% *HAII KYG4232C1087 B1L2RC2 Holdings Ltd. $66,740,392 0.237% *CGHL BMG2109G1033 6460794 S-Oil Corp. $66,272,087 0.236% *SOR KR7010950004 6406055 DBAPPSecurity Ltd. (A Shares) $65,690,734 0.234% *DBAP CNE100003NT2 BKMPC62

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 Bafang Electric Co. Ltd. (A Shares) $64,551,128 0.230% *BAELC CNE100003PQ3 BL591D8 Hansoh Pharmaceutical Group Co. Ltd. $59,718,924 0.212% *HANSOH KYG549581067 BJYKB72 Pylon Technologies Co. Ltd. (A Shares) $59,348,488 0.211% *PYTEC BN45744 Equatorial Energia SA $58,495,859 0.208% *EQTL3 BREQTLACNOR0 B128R96 Power Grid Corp. of India Ltd. $58,140,873 0.207% *PWGR INE752E01010 B233HS6 Sea Ltd. ADR $58,072,858 0.207% SE 81141R100 US81141R1005 BYWD7L4 NTPC Ltd. $57,230,091 0.204% *NTLT INE733E01010 B037HF1 Uni-President China Holdings Ltd. $57,182,502 0.203% *UPCH KYG9222R1065 B29MKF5 Longfor Properties Co. Ltd. $56,553,135 0.201% *LPCL KYG5635P1090 B56KLY9 Copa Holdings SA Class A $56,070,522 0.199% CPA PAP310761054 B0TNJH9 NetEase, Inc. ADR $52,557,915 0.187% NTES 64110W102 US64110W1027 2606440 LG Chemical Ltd. $51,243,409 0.182% *LGCHM KR7051910008 6346913 CD Projekt RED SA $51,128,605 0.182% *OPTT PLOPTTC00011 7302215 Kingdee International Software Group Co. Ltd. $51,019,441 0.182% *KINGD KYG525681477 6327587 Torrent Pharmaceuticals Ltd. $50,985,791 0.181% *TORR INE685A01028 B0XPSB8 Compania de Minas Buenaventura SA sponsored ADR $50,914,244 0.181% BVN 204448104 US2044481040 2210476 Ltd. $50,880,593 0.181% *CRB KYG2108Y1052 6193766 Notre Dame Intermedica Participacoes SA $50,378,534 0.179% *GNDI3 BRGNDIACNOR2 BF4J7K6 Kunlun Energy Co. Ltd. $48,727,923 0.173% *CNPC BMG5320C1082 6340078 Beijing Enlight Media Co. Ltd. (A Shares) $48,600,982 0.173% *BEIENLM CNE100001617 BD5CN79 Jinjiang International Hotels Co. Ltd. (A Shares) $48,516,868 0.173% *SHJIIA CNE000000MK0 BP3RD03 Tatneft PAO $46,553,497 0.166% *TATN3 RU0009033591 B59BXN2 ByteDance Ltd. Series E1 $46,422,669 0.165% BY+E1PP Ltd. $45,540,832 0.162% *GDIV HK0270001396 6913168 Mahanagar Gas Ltd. $45,087,580 0.160% *MAHGL INE002S01010 BD04046 $44,983,839 0.160% *HYUP KR7012330007 6449544 Gazprom OAO sponsored ADR (Reg. S) $44,054,326 0.157% *OGZD 368287207 US3682872078 5140989 Hanon Systems $43,716,701 0.156% *HLLA KR7018880005 B00LR01 Mahindra & Mahindra Ltd. $43,595,856 0.155% *MMLD INE101A01026 6100186 Corp. Class B $42,948,736 0.153% *XIAOMI KYG9830T1067 BG0ZMJ9 Win Semiconductors Corp. $42,326,469 0.151% *WINSE TW0003105003 B56LHP5 Bajaj Auto Ltd. $42,123,771 0.150% *BJATA INE917I01010 B2QKXW0 Divi’s Laboratories Ltd. $42,030,508 0.150% *NDIVI INE361B01024 6602518 China Overseas Land and Investment Ltd. $42,022,187 0.150% *COLI HK0688002218 6192150 Antengene Corp. $41,082,080 0.146% *ACHKL KYG039571008 BMW9BX8 Localiza Rent A Car SA $40,359,762 0.144% *RENT3 BRRENTACNOR4 B08K3S0 BeiGene Ltd. ADR $39,795,363 0.142% BGNE 07725L102 US07725L1026 BYYWPW6 Hyundai Motor Co. $39,613,344 0.141% *HYDM KR7005380001 6451055

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 Oberoi Realty Ltd. $39,485,333 0.140% *OBERL INE093I01010 B4MXNL6 Pop Mart International Group Ltd. $39,300,506 0.140% *POPM KYG7170M1033 BN6PP37 AAC Technology Holdings, Inc. $38,998,293 0.139% *AACA KYG2953R1149 B85LKS1 Formosa Plastics Corp. $38,966,856 0.139% *FP TW0001301000 6348544 Co. Ltd. (H Shares) $38,788,390 0.138% *SIGCL CNE100000FN7 B3ZVDV0 Akeso, Inc. $38,637,177 0.137% *AKESO KYG0146B1032 BLFJ7Y1 Richter Gedeon PLC $37,728,037 0.134% *GRTER HU0000123096 BC9ZH86 Transmissora Alianca de Energia Eletrica SA unit $37,469,937 0.133% *TAEE11 BRTAEECDAM10 B1G8KX7 Shenzhen H&T Intelligent Control Co. Ltd. (A Shares) $37,217,895 0.132% *SHZHT CNE100000P51 BD73M73 ASM Pacific Technology Ltd. $37,103,904 0.132% *ASMP KYG0535Q1331 6002453 Jacobio Pharmaceuticals Group Co. Ltd. $36,611,118 0.130% *JABPHM KYG4987A1094 BMQC6Q1 ShenZhen Topband Co. Ltd. (A Shares) $36,294,175 0.129% *SZTOPB CNE1000005H4 BD73L43 Parade Technologies Ltd. $35,724,617 0.127% *PRDTECH KYG6892A1085 B6RV676 Samsung Electronics Co. Ltd. $35,634,197 0.127% *SAMS+ KR7005931001 6773812 Dlocal Ltd. $35,509,246 0.126% DLO KYG290181018 BKVF490 Grupo Aeroportuario del Sureste S.A.B. de CV Series B sponsored ADR $35,157,767 0.125% ASR 40051E202 US40051E2028 2639361 China Communications Services Corp. Ltd. (H Shares) $34,618,305 0.123% *CHCS CNE1000002G3 B1HVJ16 Corporacion Inmobiliaria Vesta S.A.B. de CV $33,606,376 0.120% *VESTA MX01VE0M0003 B8F6ZF8 Infosys Ltd. $33,426,627 0.119% *INFOSD INE009A01021 6205122 ESR Cayman Ltd. $33,258,213 0.118% *ESRCAY KYG319891092 BHNCRK0 Petronet LNG Ltd. $33,006,571 0.117% *PLNG INE347G01014 B00KT68 Venus MedTech , Inc. (H Shares) $32,287,967 0.115% *VEMED CNE100003PJ8 BL6V047 Beijing Sinohytec Co. Ltd. (A Shares) $30,250,328 0.108% *BEISINO BMX3731 ENGIE Brasil Energia SA $28,391,514 0.101% *TBLE3 BREGIEACNOR9 BD1WX84 Apollo Hospitals Enterprise Ltd. $27,381,782 0.097% *APHS INE437A01024 6273583 Thunder Software Technology Co. Ltd. (A Shares) $26,970,689 0.096% *THST CNE1000021D0 BD5CG03 Chindata Group Holdings Ltd. ADR $26,786,423 0.095% CD 16955F107 US16955F1075 BMC5RM7 Ayala Land, Inc. $26,677,703 0.095% *AYLI PHY0488F1004 6055112 Grupo Aeroportuario Norte S.A.B. de CV $26,596,584 0.095% *OMA MX01OM000018 B1KFX13 TravelSky Technology Ltd. (H Shares) $26,506,502 0.094% *TRSKY CNE1000004J3 6321954 StoneCo Ltd. Class A $26,378,855 0.094% STNE KYG851581069 BGKG6M3 Fix Price Group Ltd. GDR (Reg. S) $25,911,367 0.092% *FIXPGDR 33835G205 US33835G2057 BN30342 Corp. $25,770,426 0.092% *SODNC KR7253450001 BDRY726 JD.com, Inc. Class A $25,768,672 0.092% *JDCM KYG8208B1014 BKPQZT6 Medlive Technology Co. Ltd. $24,440,760 0.087% *MEDLI KYG5961B1041 BN7RMD1 Huanxi Media Group Ltd. $24,066,489 0.086% *HLDT BMG4643J1062 BYRMJ10

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 Ming Yuan Cloud Group Holdings Ltd. $23,329,417 0.083% *MNGYUAN KYG6142R1092 BMC5QM0 PT United Tractors Tbk $23,108,945 0.082% *UTR ID1000058407 6230845 Sungrow Power Supply Co. Ltd. (A Shares) $23,056,156 0.082% *SUNPWRA CNE1000018M7 BD5CGB4 Bilibili, Inc. Class Z $22,829,307 0.081% *BILBINC KYG1098A1013 BLF8533 JD Health International, Inc. $21,971,464 0.078% *JDHEAL KYG5074A1004 BMW8R04 Sun Pharmaceutical Industries Ltd. $21,826,570 0.078% *SUNDEM INE044A01036 6582483 Glodon Co. Ltd. (A Shares) $21,061,430 0.075% *GLODONA CNE100000PH8 BD5CK01 Silergy Corp. $20,999,852 0.075% *SILG KYG8190F1028 BH4DMW9 Embassy Office Parks (REIT) $19,891,187 0.071% *EMBOPK INE041025011 BJH4V15 Engineering Group Co. Ltd. (H Shares) $19,790,497 0.070% *SEGHK CNE100001NV2 B92NYC9 LOG Commercial Properties e Participacoes SA $19,574,622 0.070% *LOGG3 BRLOGGACNOR7 BGYQQL8 Adecoagro SA $19,423,224 0.069% AGRO LU0584671464 B65BNQ6 Power Grid Corporation of India Ltd. $19,380,289 0.069% *PWGRIN IN8752E01019 Beijing Shiji Information Technology Co. Ltd. (A Shares) $18,074,599 0.064% *BSITA CNE100000668 BD5CMX8 Companhia de Transmissao de Energia Eletrica Paulista (PN) $17,990,072 0.064% *TRPL4 BRTRPLACNPR1 2440972 CIFI Holdings Group Co. Ltd. $17,290,340 0.062% *CIHGC KYG2140A1076 B8Z00N3 Tencent Music Entertainment Group ADR $17,216,754 0.061% TME 88034P109 US88034P1093 BFZYWR2 Mail.Ru Group Ltd. GDR (Reg. S) $17,183,546 0.061% *MIL.GDR 560317208 US5603172082 B53NQB3 YDUQS Participacoes SA $17,149,437 0.061% *ESTC3 BRYDUQACNOR3 BJGV3C2 Kerry Properties Ltd. $16,927,874 0.060% *KP BMG524401079 6486314 Kingsoft Corp. Ltd. $16,880,585 0.060% *KINGT KYG5264Y1089 B27WRM3 Gemdale Corp. (A Shares) $15,963,682 0.057% *GEMCOA CNE000001790 BP3R3Q9 Piraeus Financial Holdings SA $15,930,015 0.057% *TPEIR GRS014003032 BNC0DB0 Ant International Co. Ltd. Class C $15,899,620 0.057% ANT.TMP Estun Automation Co. Ltd. (A Shares) $15,464,806 0.055% *ESTUNA CNE100001X35 BFCCQJ9 Telefonica Brasil SA $14,895,402 0.053% *VIVT3 BRVIVTACNOR0 B6XFBX3 Corp. Ltd. (H Shares) $14,626,911 0.052% *CHTWR CNE100003688 BFZ2PK0 Kanzhun Ltd. ADR $14,043,301 0.050% BZ 48553T106 US48553T1060 BM91SH0 Tongdao Liepin Group $13,880,798 0.049% *LIEPWT KYG8919T1022 BLD9KX3 KE Holdings, Inc. ADR $13,035,672 0.046% BEKE 482497104 US4824971042 BMBX7M2 iQIYI, Inc. ADR $12,988,611 0.046% IQ 46267X108 US46267X1081 BYWT1W1 Shimao Property Holdings Ltd. $12,953,046 0.046% *SPHK KYG810431042 B16YNS1 CK Asset Holdings Ltd. $12,945,960 0.046% *CKPH KYG2177B1014 BYZQ077 Corp. $12,838,247 0.046% *NETGM KR7251270005 BF2S426 Advanced Wireless Semiconductor Co. $12,375,227 0.044% *ADEIR TW0008086000 B1LJ518 Six of October Development & Investment Co. $12,060,324 0.043% *OCDI EGS65851C015 6651996 ZTE Corp. (H Shares) $11,214,523 0.040% *ZTEH CNE1000004Y2 B04KP88

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 dMed Co. Ltd. Series C $10,645,117 0.038% *DME+CPP KWG Property Holding Ltd. $10,485,066 0.037% *KWGZ KYG532241042 B1YBF00 Max Healthcare Institute Ltd. $10,355,854 0.037% *MAXHEAL INE027H01010 BMB2291 Sunteck Realty Ltd. $9,662,130 0.034% *SRIN INE805D01034 BF0F7S6 Helios Towers PLC $9,257,162 0.033% *HELWRS GB00BJVQC708 BJVQC70 XPeng, Inc. Class A $9,192,585 0.033% *XPENG KYG982AW1003 BP6FB33 Housing Development Finance Corp. Ltd. $9,161,270 0.033% *BHDFD INE001A01036 6171900 Cipla Ltd. $9,023,095 0.032% *CIPLA INE059A01026 B011108 Indus Towers Ltd. $8,605,148 0.031% *BHIN INE121J01017 B92P9G4 Land & House PCL (For. Reg.) $8,603,025 0.031% *LNDHF TH0143010Z16 6581930 Pine Labs Private Ltd. Series 1 0.00% $8,560,493 0.030% PNL+1PP Medlive Technology Co. Ltd. $8,077,269 0.029% *MEDLU Joinn Laboratories China Co. Ltd. (H Shares) $7,993,901 0.028% *JOILABH CNE100004BP3 BNK9Q76 Tatneft PAO $7,439,325 0.026% *TATNP+ RU0006944147 B5B1TJ8 Shangri-La Asia Ltd. $7,298,534 0.026% *SHLA BMG8063F1068 6771032 Zomato Ltd. $6,830,443 0.024% *ZOM.TMP PT Bukalapak.com Tbk $6,082,333 0.022% *BUKA ID1000162001 BMV87R2 KakaoBank Corp. $4,813,595 0.017% *KAOBNK KR7323410001 BNXKTM2 Haier Smart Home Co. Ltd. (A Shares) $4,527,877 0.016% *QINHAI CNE000000CG9 BP3R3G9 Macquarie Mexican (REIT) $4,481,198 0.016% *FIBRAMQ MXCFFI0U0002 B80RZK1 Robinsons Land Corp. $4,452,694 0.016% *ROBB PHY731961264 6744722 LSR Group OJSC $4,108,067 0.015% *LSR RU000A0JPFP0 B59F840 LX Holdings Corp. $4,058,408 0.014% *LXHCL KR7383800000 BN2RBY0 Proya Cosmetics Co. Ltd. (A Shares) $3,879,495 0.014% *PROYAC CNE100002TP9 BKM3FN4 Pine Labs Private Ltd. $3,581,693 0.013% PNL.PP Pine Labs Private Ltd. Series C 0.00% $3,501,528 0.012% PNL+CPP Mindspace Business Parks (REIT) $3,173,942 0.011% *MNDSPC INE0CCU25019 BMF5XN7 Zhaoke Ophthalmology Ltd. $3,080,625 0.011% *ZHOPH KYG989M51017 BMD0BJ6 KRAFTON, Inc. $2,920,365 0.010% *KRAFTON KR7259960003 BMBP900 Archosaur Games, Inc. $2,695,946 0.010% *ARCHSR KYG0512W1033 BMQ69B9 Pine Labs Private Ltd. Series B 0.00% $2,327,392 0.008% PNL+BPP Pine Labs Private Ltd. Series A 0.00% $2,139,098 0.008% PNL+APP Pine Labs Private Ltd. Series B2 0.00% $1,882,570 0.007% PNL+B2PP AGTech Holdings Ltd. $917,227 0.003% *AGTE BMG0135Z1032 B1G2FL2 Zomato Ltd. $810,982 0.003% *ZOMAL INE758T01015 BL6P210 Pine Labs Private Ltd. Series D 0.00% $788,972 0.003% PNL+DPP Pine Labs Private Ltd. Series C1 0.00% $737,517 0.003% PNL+C1PP Emerging Markets Total: $26,850,252,783 95.5%

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

Developed Markets Mondi PLC $223,121,120 0.794% *MNPJS GB00B1CRLC47 B1YCDP4 Prudential PLC $120,489,638 0.429% *PRUL GB0007099541 0709954 ASML Holding NV (Netherlands) $46,337,765 0.165% *ASML NL0010273215 B929F46 Delivery Hero AG $38,212,736 0.136% *DVRT DE000A2E4K43 BZCNB42 Dufry AG $34,053,515 0.121% *DUFRY CH0023405456 B0R80X9 Adyen BV $33,333,635 0.119% *ADYN NL0012969182 BZ1HM42 Money Forward, Inc. $32,953,204 0.117% *MNFR JP3869960009 BD5ZWW6 Square Enix Holdings Co. Ltd. $27,618,257 0.098% *SQENX JP3164630000 6309262 Capcom Co. Ltd. $25,974,617 0.092% *CAPC JP3218900003 6173694 Renesas Electronics Corp. $24,623,837 0.088% *RENC JP3164720009 6635677 Ubisoft Entertainment SA $22,969,236 0.082% *UBI FR0000054470 B1L3CS6 Ibiden Co. Ltd. $20,731,291 0.074% *IBDN JP3148800000 6456102 Recruit Holdings Co. Ltd. $19,467,333 0.069% *RHCL JP3970300004 BQRRZ00 CTP BV $15,489,697 0.055% *CTPB NL00150006R6 BLF7T27 JTOWER, Inc. $13,569,361 0.048% *JTOWER JP3386700003 BK7C5R0 Aena SME SA $6,128,998 0.022% *AENA ES0105046009 BVRZ8L1 VGP NV $2,924,249 0.010% *VGPNV BE0003878957 B29L881 Developed Markets Total: $707,998,489 2.5%

Tax-Advantaged Domiciles Jumo World Ltd. $15,189,290 0.054% JUM.TMP Tax-Advantaged Domiciles Total: $15,189,290 0.1%

Domestic Equities Activision Blizzard, Inc. $90,335,355 0.321% ATVI 00507V109 US00507V1098 2575818 First Cash Financial Services, Inc. $90,327,046 0.321% FCFS 33767D105 US33767D1054 BZCG9B4

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 MercadoLibre, Inc. $80,799,031 0.287% MELI 58733R102 US58733R1023 B23X1H3 ON Semiconductor Corp. $70,182,930 0.250% ON 682189105 US6821891057 2583576 Lam Research Corp. $63,330,508 0.225% LRCX 512807108 US5128071082 2502247 NVIDIA Corp. $56,522,921 0.201% NVDA 67066G104 US67066G1040 2379504 Marvell Technology, Inc. $51,468,717 0.183% MRVL 573874104 US5738741041 BNKJSM5 NXP Semiconductors NV $45,817,342 0.163% NXPI NL0009538784 B505PN7 Snap, Inc. Class A $25,553,521 0.091% SNAP 83304A106 US83304A1060 BD8DJ71 Micron Technology, Inc. $24,128,078 0.086% MU 595112103 US5951121038 2588184 Gupshup, Inc. $12,944,653 0.046% GUPS+FPP Airbnb, Inc. Class A $1,929,734 0.007% ABNB 009066101 US0090661010 BMGYYH4 Domestic Equities Total: $613,339,835 2.2%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $540,028,558 1.921% CF.TAXMM 31635A105 US31635A1051 Hkd Spot Cc $308,259,285 1.097% Zar Spot Cc $16,409,970 0.058% Gbp Spot Cc $13,522,888 0.048% U.S. Treasury Bill 0.04% 8/26/21 $12,109,697 0.043% 912796D55 US912796D555 BLKH0T6 Jpy Spot Cc $6,715,371 0.024% Mxn Spot Cc $5,156,543 0.018% U.S. Treasury Bill 0.05% 10/7/21 $5,089,533 0.018% 9127964V8 US9127964V80 BMD3R53 Try Spot Cc $4,366,053 0.016% Eur Spot Cc $3,674,989 0.013% Pln Spot Cc $3,104,942 0.011% U.S. Treasury Bill 0.04% 9/2/21 $2,629,898 0.009% 912796D63 US912796D639 BMZ9YV4 U.S. Treasury Bill 0.05% 10/21/21 $2,039,773 0.007% 912796G60 US912796G608 BMG87F5 Huf Spot Cc $580,985 0.002% Ngn Spot Cc -$9,744 -0.000% Cash and Other Securities Total: $923,678,742 3.3%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

11