Portfolio Holdings Listing Fidelity International Enhanced 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 ASML Holding NV (Netherlands) $38,281,151 2.3% Nestle SA (Reg. S) $31,420,369 1.9% LVMH Moet Hennessy Louis Vuitton SE $27,446,076 1.7% Roche Holding AG (participation certificate) $25,197,599 1.5% Novartis AG $22,165,968 1.3% AstraZeneca PLC (United Kingdom) $21,659,923 1.3% SAP SE $21,528,891 1.3% SE $16,859,934 1.0% L’Oreal SA $16,703,099 1.0% BHP Group Ltd. $15,882,117 1.0% Top Ten Holdings Total: $237,145,126 14.3%

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 ASML Holding NV (Netherlands) $38,281,151 2.313% *ASML NL0010273215 B929F46 Nestle SA (Reg. S) $31,420,369 1.899% *NERG CH0038863350 7123870 LVMH Moet Hennessy Louis Vuitton SE $27,446,076 1.659% *LVMH FR0000121014 4061412 Roche Holding AG (participation certificate) $25,197,599 1.523% *RHLD CH0012032048 7110388 Novartis AG $22,165,968 1.339% *NOV CH0012005267 7103065 SAP SE $18,248,770 1.103% *SAPG DE0007164600 4846288 Allianz SE $16,859,934 1.019% *ALV DE0008404005 5231485 L’Oreal SA $16,703,099 1.009% *OREAF.E FR0000120321 4057808 BHP Group Ltd. $15,882,117 0.960% *BHPL AU000000BHP4 6144690 Total SA $15,389,645 0.930% *TLFN FR0000120271 B15C557 Daimler AG () $14,324,490 0.866% *DCXF DE0007100000 5529027 Compagnie Financiere Richemont SA Series A $14,306,575 0.865% *RICHA CH0210483332 BCRWZ18 AstraZeneca PLC (United Kingdom) $14,036,357 0.848% *AZN GB0009895292 0989529 BNP Paribas SA $14,007,165 0.846% *BNPPA FR0000131104 7309681 ABB Ltd. (Reg.) $13,934,949 0.842% *ABBSZ CH0012221716 7108899 Rio Tinto PLC $13,801,618 0.834% *RTP GB0007188757 0718875 Nordea Bank ABP (Stockholm Stock Exchange) $11,534,100 0.697% *NORDAB FI4000297767 BYZF9J9 Nintendo Co. Ltd. $11,413,090 0.690% *NINT JP3756600007 6639550 AG $11,155,591 0.674% *SIEGN DE0007236101 5727973 Partners Group Holding AG $11,084,036 0.670% *PGHD CH0024608827 B119QG0 Wolters Kluwer NV $11,072,320 0.669% *KLUW NL0000395903 5671519 SA $11,041,848 0.667% *SU FR0000121972 4834108 Compagnie de St. Gobain $10,915,101 0.660% *SGORD FR0000125007 7380482 Royal Dutch Shell PLC Class B (United Kingdom) $10,798,980 0.653% *RDSB GB00B03MM408 B03MM40 AIA Group Ltd. $10,609,230 0.641% *AIAHK HK0000069689 B4TX8S1 Bayerische Motoren Werke AG (BMW) $10,451,758 0.632% *BMW DE0005190003 5756029 Hoya Corp. $10,431,111 0.630% *HOYA JP3837800006 6441506 Olympus Corp. $10,411,093 0.629% *OLMC JP3201200007 6658801 Telefonica SA $10,390,837 0.628% *TEFE 879382109 ES0178430E18 5732524 Australia & New Zealand Banking Group Ltd. $10,174,934 0.615% *AUST AU000000ANZ3 6065586 BAE Systems PLC $10,097,211 0.610% *BAES GB0002634946 0263494 Koninklijke Electronics NV $10,054,545 0.608% *PHG NL0000009538 5986622 BHP Group PLC $9,772,055 0.591% *BHPB GB00BH0P3Z91 BH0P3Z9 Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen $9,770,048 0.590% *MUVGN DE0008430026 5294121

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 SoftBank Corp. $9,644,398 0.583% *SOFTBK JP3732000009 BF5M0K5 Eurofins Scientific SA $9,569,716 0.578% *ESFC FR0014000MR3 BNDPYV1 Vodafone Group PLC $9,549,270 0.577% *VOD GB00BH4HKS39 BH4HKS3 HSBC Holdings PLC sponsored ADR $9,531,804 0.576% HSBC 404280406 US4042804066 2400341 Kesko Oyj $9,312,587 0.563% *KESK FI0009000202 4490005 SA (Spain) $9,292,187 0.562% *BSCH ES0113900J37 5705946 Toyota Motor Corp. $9,252,171 0.559% *TYMT JP3633400001 6900643 Goodman Group unit $9,142,569 0.552% *MGQ AU000000GMG2 B03FYZ4 Fujitsu Ltd. $9,060,295 0.548% *FUJITS JP3818000006 6356945 CK Asset Holdings Ltd. $9,023,525 0.545% *CKPH KYG2177B1014 BYZQ077 Sumitomo Chemical Co. Ltd. $8,879,573 0.537% *SUCH JP3401400001 6858560 BP PLC sponsored ADR $8,861,366 0.535% BP 055622104 US0556221044 2142621 Nippon Telegraph & Telephone Corp. $8,842,484 0.534% *NTTC JP3735400008 6641373 Coca-Cola HBC AG $8,840,002 0.534% *COCAHBC CH0198251305 B9895B7 Hermes International SCA $8,827,357 0.533% *RMS FR0000052292 5253973 Kone OYJ (B Shares) $8,690,140 0.525% *KNEBV FI0009013403 B09M9D2 Genmab A/S $8,641,981 0.522% *GNMB DK0010272202 4595739 SA $8,586,545 0.519% *IBE ES0144580Y14 B288C92 PLC $8,570,690 0.518% *UNPLC GB00B10RZP78 B10RZP7 Aurizon Holdings Ltd. $8,455,227 0.511% *QRN AU000000AZJ1 B87CVM3 Carlsberg A/S Series B $8,432,677 0.510% *CARLSB DK0010181759 4169219 Deutsche Bank AG $8,368,234 0.506% *DEUT DE0005140008 5750355 Honda Motor Co. Ltd. $8,308,893 0.502% *HOMO JP3854600008 6435145 Koninklijke NV $8,302,552 0.502% *AHOLD NL0011794037 BD0Q398 British American Tobacco PLC (United Kingdom) $8,152,494 0.493% *BRTT GB0002875804 0287580 A.P. Moller - Maersk A/S Series B $8,103,652 0.490% *DSACB DK0010244508 4253048 Brenntag AG $7,862,131 0.475% *BREN DE000A1DAHH0 B4YVF56 AstraZeneca PLC sponsored ADR $7,623,567 0.461% AZN 046353108 US0463531089 2989044 Shin-Etsu Chemical Co. Ltd. $7,569,198 0.457% *SHN JP3371200001 6804585 Novo Nordisk A/S Series B $7,511,610 0.454% *NOVB DK0060534915 BHC8X90 Sumitomo Corp. $7,402,429 0.447% *SUM JP3404600003 6858946 Sun Hung Kai Properties Ltd. $7,332,969 0.443% *SHUK HK0016000132 6859927 Panasonic Corp. $7,305,414 0.441% *PSNC JP3866800000 6572707 Rio Tinto Ltd. $7,253,682 0.438% *RIOA AU000000RIO1 6220103 SA $7,223,276 0.436% *SASYN FR0000120578 5671735 Burberry Group PLC $7,185,569 0.434% *BURBY GB0031743007 3174300 Royal Dutch Shell PLC Class A (United Kingdom) $7,080,838 0.428% *RDSA GB00B03MLX29 B03MLX2 Tokyo Electron Ltd. $7,052,475 0.426% *TTEL JP3571400005 6895675 HelloFresh AG $7,037,619 0.425% *HEFRH DE000A161408 BYWH8S0

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 LIXIL Group Corp. $6,942,632 0.420% *TOY JP3626800001 6900212 United Overseas Bank Ltd. $6,837,998 0.413% *UOB SG1M31001969 6916781 DBS Group Holdings Ltd. $6,828,857 0.413% *DBSH SG1L01001701 6175203 BASF AG $6,817,316 0.412% *BASF DE000BASF111 5086577 Fortescue Metals Group Ltd. $6,790,474 0.410% *FMGL AU000000FMG4 6086253 BP PLC $6,787,136 0.410% *BP GB0007980591 0798059 Societe Generale Series A $6,738,120 0.407% *SOCG FR0000130809 5966516 Japan Post Bank Co. Ltd. $6,702,138 0.405% *YUCHOZ JP3946750001 BYT8165 Banco Bilbao Vizcaya Argentaria SA $6,681,166 0.404% *BBVA ES0113211835 5501906 Zalando SE $6,506,423 0.393% *ZALAN DE000ZAL1111 BQV0SV7 UBS Group AG $6,467,865 0.391% *UBSG CH0244767585 BRJL176 GlaxoSmithKline PLC $6,456,230 0.390% *GSKO GB0009252882 0925288 Nitto Denko Corp. $6,449,103 0.390% *NEI JP3684000007 6641801 Medibank Private Ltd. $6,123,752 0.370% *MEDIBNK AU000000MPL3 BRTNNQ5 Atlas Copco AB (A Shares) $6,071,706 0.367% *ATC SE0011166610 BD97BN2 National Australia Bank Ltd. $6,049,652 0.366% *NATI AU000000NAB4 6624608 NV (Italy) $6,049,121 0.366% *FCAIM NL00150001Q9 BMD8KX7 Sartorius Stedim Biotech $5,986,328 0.362% *STED FR0013154002 BYZ2QP5 Marubeni Corp. $5,960,968 0.360% *MARU JP3877600001 6569464 INPEX Corp. $5,943,569 0.359% *IPXH JP3294460005 B10RB15 SoftBank Group Corp. $5,886,097 0.356% *SOFT JP3436100006 6770620 Commonwealth Bank of Australia $5,863,635 0.354% *CBAA AU000000CBA7 6215035 Holcim Ltd. $5,788,096 0.350% *HOLNRG CH0012214059 7110753 Red Electrica Corporacion SA $5,777,159 0.349% *REE ES0173093024 BD6FXN3 Barclays PLC $5,754,312 0.348% *BARC GB0031348658 3134865 Astellas Pharma, Inc. $5,696,030 0.344% *ASTLS JP3942400007 6985383 Swatch Group AG (Bearer) $5,693,106 0.344% *SMHZP CH0012255151 7184725 Yamato Holdings Co. Ltd. $5,686,214 0.344% *YTP JP3940000007 6985565 Imperial Brands PLC $5,646,649 0.341% *IMPT GB0004544929 0454492 ORIX Corp. $5,605,024 0.339% *OL JP3200450009 6661144 Vonovia SE $5,581,329 0.337% *DAIAG DE000A1ML7J1 BBJPFY1 Nomura Holdings, Inc. $5,553,414 0.336% *NMRA JP3762600009 6643108 Wesfarmers Ltd. $5,519,252 0.334% *WES AU000000WES1 6948836 Diageo PLC $5,503,777 0.333% *DGE GB0002374006 0237400 Mitsubishi Electric Corp. $5,456,179 0.330% *MITS JP3902400005 6597045 Trend Micro, Inc. $5,409,356 0.327% *TRND JP3637300009 6125286 KDDI Corp. $5,364,975 0.324% *DDI JP3496400007 6248990 Japan Post Holdings Co. Ltd. $5,281,313 0.319% *POSTZ JP3752900005 BYT8143 Sandvik AB $5,239,772 0.317% *SVIKAB SE0000667891 B1VQ252

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 Air Liquide SA $5,214,301 0.315% *AL FR0000120073 B1YXBJ7 Mazda Motor Corp. $5,198,805 0.314% *MZDA JP3868400007 6900308 Geberit AG (Reg.) $5,170,512 0.312% *GEBN CH0030170408 B1WGG93 Nippon Express Co. Ltd. $5,164,619 0.312% *NPN JP3729400006 6642127 SA $5,065,345 0.306% *LEG FR0010307819 B11ZRK9 Pandora A/S $5,064,026 0.306% *PANDOR DK0060252690 B44XTX8 Nidec Corp. $5,028,510 0.304% *NIDEC JP3734800000 6640682 Kamigumi Co. Ltd. $5,015,068 0.303% *KAMI JP3219000001 6482668 Nomura Research Institute Ltd. $4,947,669 0.299% *NMRI JP3762800005 6390921 Medipal Holdings Corp. $4,928,644 0.298% *KRSI JP3268950007 6782090 Eiffage SA $4,882,617 0.295% *FOUG FR0000130452 B13X013 DCC PLC (United Kingdom) $4,866,537 0.294% *DCCF IE0002424939 0242493 CK Hutchison Holdings Ltd. $4,831,306 0.292% *CKHHSL KYG217651051 BW9P816 Swedish Match Co. AB $4,813,799 0.291% *SWMA SE0015812219 BP09MR2 SpA $4,733,653 0.286% *ENI IT0003132476 7145056 Barratt Developments PLC $4,707,583 0.284% *BARR GB0000811801 0081180 Aristocrat Leisure Ltd. $4,663,199 0.282% *ALL AU000000ALL7 6253983 Sonova Holding AG Class B $4,654,968 0.281% *PHHLB CH0012549785 7156036 Corp. $4,621,622 0.279% *NOK1V FI0009000681 5902941 Evolution AB $4,574,195 0.276% *EVOGA SE0012673267 BJXSCH4 Dai Nippon Printing Co. Ltd. $4,552,351 0.275% *DANP JP3493800001 6250906 Bridgestone Corp. $4,374,650 0.264% *BRDG JP3830800003 6132101 GlaxoSmithKline PLC sponsored ADR $4,332,912 0.262% GSK 37733W105 US37733W1053 2374112 GN Store Nord A/S $4,326,336 0.261% *GNHC100 DK0010272632 4501093 Westpac Banking Corp. $4,320,381 0.261% *WPBC AU000000WBC1 6076146 Novozymes A/S Series B $4,310,555 0.260% *NOVOZ DK0060336014 B798FW0 Dexus unit $4,298,566 0.260% *DXSDB AU000000DXS1 B033YN6 Voestalpine AG $4,263,212 0.258% *VAST AT0000937503 4943402 Chugai Pharmaceutical Co. Ltd. $4,241,497 0.256% *CHUGA JP3519400000 6196408 AGC, Inc. $4,229,274 0.256% *AHG JP3112000009 6055208 Skandinaviska Enskilda Banken AB (A Shares) $4,180,157 0.253% *SEBSFA SE0000148884 4813345 SA $4,163,869 0.252% *CARR FR0000120172 5641567 STMicroelectronics NV () $4,149,864 0.251% *STMP NL0000226223 5962332 Sonic Healthcare Ltd. $4,133,494 0.250% *SHL AU000000SHL7 6821120 Nippon Yusen KK $4,095,630 0.247% *NYKK JP3753000003 6643960 Arkema SA $4,055,816 0.245% *ARKM FR0010313833 B0Z5YZ2 La Francaise des Jeux SAEM $4,039,936 0.244% *FRANCDJ FR0013451333 BG0SC10 Dentsu Group, Inc. $3,944,579 0.238% *DENTS JP3551520004 6416281 Atlas Copco AB (B Shares) $3,944,299 0.238% *ATCB SE0011166628 BD97BS7

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 Genting Singapore Ltd. $3,926,858 0.237% *GILSG SGXE21576413 BDRTVP2 SKF AB (B Shares) $3,854,628 0.233% *SKF SE0000108227 B1Q3J35 Henderson Land Development Co. Ltd. $3,816,944 0.231% *HEND HK0012000102 6420538 Renesas Electronics Corp. $3,800,128 0.230% *RENC JP3164720009 6635677 Svenska Handelsbanken AB (A Shares) $3,791,199 0.229% *SVE SE0007100599 BXDZ9Q1 SA $3,643,786 0.220% *KERFP FR0000121485 5505072 Poste Italiane SpA $3,639,385 0.220% *POST IT0003796171 BYYN701 Orange SA $3,618,963 0.219% *FRTE FR0000133308 5176177 Grifols SA $3,607,369 0.218% *GRIFO ES0171996087 BYY3DX6 Essilor International SA $3,606,337 0.218% *ESS FR0000121667 7212477 Hong Kong Exchanges and Clearing Ltd. $3,593,394 0.217% *HKEX HK0388045442 6267359 Mitsui Chemicals, Inc. $3,571,559 0.216% *MCHM JP3888300005 6597368 Yamaha Motor Co. Ltd. $3,563,290 0.215% *YA JP3942800008 6985264 Heineken Holding NV $3,542,577 0.214% *HEINH NL0000008977 B0CCH46 Evraz PLC $3,529,532 0.213% *EVRU GB00B71N6K86 B71N6K8 Japan Post Insurance Co. Ltd. $3,513,679 0.212% *KANPOZ JP3233250004 BYT8154 Suncorp Group Ltd. $3,505,995 0.212% *SUNDC AU000000SUN6 6585084 HSBC Holdings PLC (United Kingdom) $3,424,097 0.207% *HSBCUK GB0005405286 0540528 Dai-ichi Mutual Life Insurance Co. $3,409,847 0.206% *DIML JP3476480003 B601QS4 Telstra Corp. Ltd. $3,376,916 0.204% *TLSA AU000000TLS2 6087289 Admiral Group PLC $3,338,683 0.202% *ADML GB00B02J6398 B02J639 Japan Real Estate Investment Corp. $3,312,730 0.200% *JREI JP3027680002 6397580 Telefonica Deutschland Holding AG $3,301,613 0.200% *TDHA DE000A1J5RX9 B7VG6L8 SAP SE sponsored ADR $3,280,122 0.198% SAP 803054204 US8030542042 2775135 InterContinental Hotel Group PLC $3,275,565 0.198% *ICHG GB00BHJYC057 BHJYC05 SGS SA (Reg.) $3,215,178 0.194% *SGSZR CH0002497458 4824778 CNH Industrial NV $3,181,557 0.192% *CNHI NL0010545661 BDSV2V0 FANUC Corp. $3,180,342 0.192% *FAN JP3802400006 6356934 Hitachi Ltd. $3,146,301 0.190% *HTCH JP3788600009 6429104 CyberAgent, Inc. $3,137,129 0.190% *CYBA JP3311400000 6220501 Tate & Lyle PLC $3,128,465 0.189% *TATE GB0008754136 0875413 SE & Co. KGaA $3,103,742 0.188% *FRE DE0005785604 4352097 Smith & Nephew PLC $3,065,607 0.185% *SMU GB0009223206 0922320 APA Group unit $3,042,638 0.184% *APA AU000000APA1 6247306 UCB SA $3,018,498 0.182% *UCB BE0003739530 5596991 Equinor ASA $3,011,139 0.182% *STLA NO0010096985 7133608 Isuzu Motors Ltd. $3,008,100 0.182% *ISUZ JP3137200006 6467104 ComfortDelgro Corp. Ltd. $3,005,667 0.182% *CDEL SG1N31909426 6603737 OBIC Co. Ltd. $2,995,871 0.181% *OBIC JP3173400007 6136749

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 Takeda Pharmaceutical Co. Ltd. $2,949,186 0.178% *TAKE JP3463000004 6870445 Mitsui & Co. Ltd. $2,944,794 0.178% *MTTS JP3893600001 6597302 Asahi Kasei Corp. $2,929,388 0.177% *ASAKC JP3111200006 6054603 Nokia Corp. sponsored ADR $2,924,480 0.177% NOK 654902204 US6549022043 2640891 KBC Groep NV $2,867,693 0.173% *KBCA BE0003565737 4497749 Lawson, Inc. $2,807,429 0.170% *LAW JP3982100004 6266914 Kao Corp. $2,751,658 0.166% *KAO JP3205800000 6483809 Canon, Inc. $2,726,524 0.165% *CANO JP3242800005 6172323 Embracer Group AB $2,665,705 0.161% *THQNB SE0013121589 BK5MWJ3 United Utilities Group PLC $2,651,163 0.160% *UUG GB00B39J2M42 B39J2M4 JTEKT Corp. $2,645,105 0.160% *JTEK JP3292200007 6497082 DNB Bank ASA $2,625,412 0.159% *DNB NO0010161896 BNG7113 Orion Oyj (B Shares) $2,607,178 0.158% *ORNBV FI0009014377 B17NY40 Berkeley Group Holdings PLC $2,600,210 0.157% *BRKLY GB00B02L3W35 B02L3W3 Sanofi SA sponsored ADR $2,580,939 0.156% SNY 80105N105 US80105N1054 2964557 Swiss Prime Site AG $2,548,340 0.154% *SPRM CH0008038389 B083BH4 Auto Trader Group PLC $2,541,301 0.154% *ATPLC GB00BVYVFW23 BVYVFW2 Direct Line Insurance Group PLC $2,538,892 0.153% *DLIG GB00BY9D0Y18 BY9D0Y1 WH Group Ltd. $2,518,438 0.152% *WHGL KYG960071028 BLLHKZ1 Seiko Epson Corp. $2,512,064 0.152% *SEKE JP3414750004 6616508 LEG Immobilien AG $2,500,611 0.151% *LEGIM DE000LEG1110 B9G6L89 CLP Holdings Ltd. $2,471,693 0.149% *CLP HK0002007356 6097017 MS&AD Insurance Group Holdings, Inc. $2,460,520 0.149% *MSADINS JP3890310000 B2Q4CS1 Amada Co. Ltd. $2,440,030 0.147% *AMAD JP3122800000 6022105 RELX PLC (London Stock Exchange) $2,402,867 0.145% *REDLS GB00B2B0DG97 B2B0DG9 Kinnevik AB (B Shares) $2,396,711 0.145% *INVK SE0015810247 BNKF607 Thales SA $2,394,980 0.145% *THAL FR0000121329 4162791 SEEK Ltd. $2,348,278 0.142% *SEEK AU000000SEK6 B0767Y3 HeidelbergCement AG $2,332,305 0.141% *HEIC DE0006047004 5120679 Sony Group Corp. $2,298,263 0.139% *SNY JP3435000009 6821506 Daiichi Sankyo Kabushiki Kaisha $2,285,417 0.138% *DACHI JP3475350009 B0J7D91 A.P. Moller - Maersk A/S Series A $2,275,757 0.138% *DSACA DK0010244425 4253059 Eutelsat Communications $2,272,468 0.137% *EUTE FR0010221234 B0M7KJ7 Lloyds Banking Group PLC $2,239,372 0.135% *LLBG GB0008706128 0870612 Julius Baer Group Ltd. $2,218,064 0.134% *JUBR CH0102484968 B4R2R50 Glencore Xstrata PLC $2,173,245 0.131% *GLNR JE00B4T3BW64 B4T3BW6 ZOZO, Inc. $2,173,101 0.131% *STTO JP3399310006 B292RC1 Electrolux AB (B Shares) $2,152,397 0.130% *ELUXYB SE0000103814 B1KKBX6 Kingspan Group PLC (Ireland) $2,141,643 0.129% *KSPID IE0004927939 4491235

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 Prudential PLC ADR $2,132,881 0.129% PUK 74435K204 US74435K2042 2706588 NICE Systems Ltd. $2,128,280 0.129% *NICES IL0002730112 6647133 Mercari, Inc. $2,106,449 0.127% *MCAR JP3921290007 BG0GM14 EQT AB $2,096,935 0.127% *EQTAB SE0012853455 BJ7W9K4 Experian PLC $2,093,868 0.127% *EXPG GB00B19NLV48 B19NLV4 Tenaris SA $2,085,759 0.126% *TEN LU0156801721 7538515 Bunzl PLC $2,040,973 0.123% *BUNZL GB00B0744B38 B0744B3 Iida Group Holdings Co. Ltd. $2,030,546 0.123% *IIDAGH JP3131090007 BFDTBS3 Accor SA $2,018,029 0.122% *AC FR0000120404 5852842 Sumitomo Rubber Industries Ltd. $2,003,159 0.121% *SURB JP3404200002 6858991 Budweiser Brewing Co. APAC Ltd. $1,979,797 0.120% *BUDWE KYG1674K1013 BKDXJH5 Beiersdorf AG $1,977,000 0.119% *BEIG DE0005200000 5107401 Dominos Pizza Enterprises Ltd. $1,932,501 0.117% *DOMA AU000000DMP0 B07SFG7 ASM Pacific Technology Ltd. $1,895,472 0.115% *ASMP KYG0535Q1331 6002453 EDF SA $1,876,173 0.113% *EDF FR0010242511 B0NJJ17 AG $1,865,675 0.113% *DPST DE0005552004 4617859 Amplifon SpA $1,856,531 0.112% *AMPF IT0004056880 B14NJ71 Endesa SA $1,816,866 0.110% *ELE ES0130670112 5271782 ASSA ABLOY AB (B Shares) $1,801,180 0.109% *ASAB SE0007100581 BYPC1T4 Nissan Motor Co. Ltd. $1,781,199 0.108% *NISSAN JP3672400003 6642860 Nemetschek Se $1,773,595 0.107% *NEMET DE0006452907 5633962 Ajinomoto Co., Inc. $1,768,098 0.107% *AJI JP3119600009 6010906 Ferguson PLC $1,761,693 0.106% *FGNWCO JE00BJVNSS43 BJVNSS4 Woolworths Group Ltd. $1,753,916 0.106% *WOW AU000000WOW2 6981239 Industrivarden AB (A Shares) $1,743,505 0.105% *INDVA SE0000190126 B1VSK10 Keyence Corp. $1,716,367 0.104% *KYCE JP3236200006 6490995 Smiths Group PLC $1,701,284 0.103% *SMIT GB00B1WY2338 B1WY233 Daito Trust Construction Co. Ltd. $1,697,097 0.103% *DTCA JP3486800000 6250508 Sony Group Corp. sponsored ADR $1,657,849 0.100% SONY 835699307 US8356993076 2821481 bioMerieux SA $1,656,644 0.100% *BIMRX FR0013280286 BF0LBX7 AGL Energy Ltd. $1,656,106 0.100% *AGLEL AU000000AGL7 BSS7GP5 ROHM Co. Ltd. $1,655,367 0.100% *RHM JP3982800009 6747204 Otsuka Holdings Co. Ltd. $1,637,662 0.099% *OTSHK JP3188220002 B5LTM93 InPost SA $1,605,746 0.097% *INPO LU2290522684 BN4N9C0 Anglo American PLC (United Kingdom) $1,564,549 0.095% *ANGAUK GB00B1XZS820 B1XZS82 Industrivarden AB (C Shares) $1,564,202 0.095% *INDVC SE0000107203 B1VSK54 Persimmon PLC $1,553,430 0.094% *PER GB0006825383 0682538 Toyo Suisan Kaisha Ltd. $1,522,096 0.092% *TSK 892306101 JP3613000003 6899967 CSL Ltd. $1,520,159 0.092% *CSL AU000000CSL8 6185495

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 Gjensidige Forsikring ASA $1,499,467 0.091% *GJF NO0010582521 B4PH0C5 ENEOS Holdings, Inc. $1,486,591 0.090% *JXHI JP3386450005 B627LW9 HKT Trust/HKT Ltd. unit $1,470,300 0.089% *HKTHTD HK0000093390 B4TXDZ3 Ricoh Co. Ltd. $1,407,379 0.085% *RIC JP3973400009 6738220 Shimamura Co. Ltd. $1,406,700 0.085% *SHM JP3358200008 6804035 Kuehne & Nagel International AG $1,403,429 0.085% *KNIN CH0025238863 B142S60 Logitech International SA (Reg.) $1,386,195 0.084% *LOGI CH0025751329 B18ZRK2 Tabcorp Holdings Ltd. $1,355,115 0.082% *TAHD AU000000TAH8 6873262 Randstad NV $1,350,102 0.082% *RANDS NL0000379121 5228658 Adecco SA (Reg.) $1,330,260 0.080% *ADECRG CH0012138605 7110720 Oversea-Chinese Banking Corp. Ltd. $1,328,086 0.080% *OCBL SG1S04926220 B0F9V20 REA Group Ltd. $1,305,213 0.079% *RECOM AU000000REA9 6198578 Singapore Technologies Ltd. $1,275,553 0.077% *STEG SG1F60858221 6043214 Stora Enso Oyj (R Shares) $1,271,000 0.077% *EOYR FI0009005961 5072673 JFE Holdings, Inc. $1,269,478 0.077% *JFEH JP3386030005 6543792 Singapore Telecommunications Ltd. $1,264,210 0.076% *STCM SG1T75931496 B02PY11 Hirose Electric Co. Ltd. $1,251,903 0.076% *HREE JP3799000009 6428725 RELX PLC sponsored ADR $1,234,060 0.075% RELX 759530108 US7595301083 BYRY2M8 Tosoh Corp. $1,216,150 0.073% *TOS JP3595200001 6900289 Swedbank AB (A Shares) $1,206,343 0.073% *FSPAA SE0000242455 4846523 Disco Corp. $1,192,562 0.072% *DISCO JP3548600000 6270948 Kerry Properties Ltd. $1,174,072 0.071% *KP BMG524401079 6486314 Qantas Airways Ltd. $1,148,261 0.069% *QAN AU000000QAN2 6710347 Sumitomo Dainippon Pharma Co., Ltd. $1,146,272 0.069% *DNPNS JP3495000006 6250865 Uniper SE $1,128,831 0.068% *UNGR DE000UNSE018 BZ6CZ43 SCSK Corp. $1,127,606 0.068% *SCS JP3400400002 6858474 Mitsubishi Heavy Industries Ltd. $1,123,946 0.068% *MIH JP3900000005 6597067 Chow Tai Fook Jewellery Group Ltd. $1,112,296 0.067% *CTFJCL KYG211461085 B4R39F7 Singapore Exchange Ltd. $1,107,380 0.067% *SGEX SG1J26887955 6303866 Nibe Industrier AB (B Shares) $1,102,278 0.067% *NIBE SE0015988019 BN7BZM3 Toppan, Inc. $1,073,763 0.065% *TOPJP 890747108 JP3629000005 6897024 ICA Gruppen AB $1,040,024 0.063% *HAKN SE0000652216 B0S1651 Bayerische Motoren Werke AG (BMW) (non-vtg.) $1,036,111 0.063% *BMWP+ DE0005190037 5756030 Nissan Motor Co. Ltd. sponsored ADR $1,018,330 0.062% NSANY 654744408 US6547444082 2641452 Yara International ASA $1,016,210 0.061% *YARA NO0010208051 7751259 Swire Pacific Ltd. (A Shares) $1,012,045 0.061% *SWIR HK0019000162 6867748 SpA $1,004,973 0.061% *ENEL IT0003128367 7144569 Chubu Electric Power Co., Inc. $993,648 0.060% *CHUB JP3526600006 6195609 Itochu Corp. $988,615 0.060% *ITC JP3143600009 6467803

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 Daimler AG ADR $963,836 0.058% DMLRY 233825207 US2338252073 BYVH331 Akzo Nobel NV $958,642 0.058% *AKZ NL0013267909 BJ2KSG2 Santen Pharmaceutical Co. Ltd. $955,789 0.058% *SAP JP3336000009 6776606 J Sainsbury PLC $951,354 0.057% *SIN GB00B019KW72 B019KW7 Carl Zeiss Meditec AG $950,815 0.057% *AFX DE0005313704 5922961 London Stock Exchange Group PLC ADR $945,799 0.057% LNSTY 54211N101 US54211N1019 BY7RGX6 Aisin Seiki Co. Ltd. $945,741 0.057% *AIS JP3102000001 6010702 Phoenix Group Holdings PLC $918,339 0.055% *PHXH GB00BGXQNP29 BGXQNP2 Tryg A/S $912,350 0.055% *TRYV DK0060636678 BXDZ972 Securitas AB (B Shares) $902,946 0.055% *SECUB SE0000163594 5554041 Straumann Holding AG $875,377 0.053% *STMNS CH0012280076 7156832 Fisher & Paykel Healthcare Corp. $871,366 0.053% *FPHLTH NZFAPE0001S2 6340250 Raiffeisen International Bank-Holding AG $866,693 0.052% *RIBH AT0000606306 B0704T9 James Hardie Industries PLC CDI $822,027 0.050% *JHDI AU000000JHX1 B60QWJ2 Mitsubishi Gas Chemical Co., Inc. $744,579 0.045% *MGC JP3896800004 6596923 Husqvarna AB (B Shares) $699,604 0.042% *HUSQB SE0001662230 B12PJ24 Siemens AG sponsored ADR $539,393 0.033% SIEGY 826197501 US8261975010 2742689 Toyota Motor Corp. sponsored ADR $504,451 0.030% TM 892331307 US8923313071 2898957 Suntory Beverage & Food Ltd. $496,395 0.030% *SBFL JP3336560002 BBD7Q84 Ibiden Co. Ltd. $473,360 0.029% *IBDN JP3148800000 6456102 Coloplast A/S Series B $368,006 0.022% *CPLCB DK0060448595 B8FMRX8 Deutsche Wohnen SE (Bearer) $365,861 0.022% *DWHNB DE000A0HN5C6 B0YZ0Z5 Tokio Marine Holdings, Inc. $324,095 0.020% *TOKIO JP3910660004 6513126 NH Foods Ltd. $266,205 0.016% *NMP JP3743000006 6640767 Temenos Group AG $95,380 0.006% *TEMN CH0012453913 7147892 Compagnie Financiere Richemont SA warrants 11/22/23 $9,193 0.001% *CFRWT CH0559601544 BN2BT82 Developed Markets Total: $1,608,487,566 97.2%

Emerging Markets BeiGene Ltd. ADR $1,775,120 0.107% BGNE 07725L102 US07725L1026 BYYWPW6 Emerging Markets Total: $1,775,120 0.1%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

11 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Domestic Equities ICE E-mini MSCI EAFE Index Contracts $43,952,630 2.656% MFSU1 Domestic Equities Total: $43,952,630 2.7%

Cash and Other Securities Fidelity Cash Central Fund 0.06% $36,733,114 2.220% CF.TAXMM 31635A105 US31635A1051 Unknown Security $2,701,512 0.163% Ils Spot Cc -$664,192 -0.040% Cash and Other Securities Total: $38,770,434 2.3%

466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street

Not Part of Annual or Semiannual Report Smithfield, RI 02917

12