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Portfolio Holdings Listing


Fidelity Advisor New Insights Fund
Class A
Class T
Class B
Class C
Institutional Class
as of May 31, 2012

The portfolio holdings listing (listing) provides information on a funds 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
funds 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 funds
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 funds pro rata share of any securities
and other investments held indirectly through investment in underlying nonmoney market Fidelity Central Funds. A funds pro rata share of the underlying
holdings of any investment in high income and floating rate central funds is
provided at a funds fiscal quarter end. For certain funds, direct holdings in high
income or convertible securities are presented at a funds fiscal quarter end and
are presented collectively for other periods.
For the annual/semiannual report, a funds 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 funds 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 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 funds 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.advisor.fidelity.com. Forms N-Q are available on the SECs web site at www.sec.gov.
Before investing, consider the funds investment objectives, risks, charges and expenses.
Contact Fidelity for a prospectus containing this information. Read it carefully.

TOP TEN HOLDINGS


Security Name
Market Value
Apple, Inc.
$1,711,147,290
Google, Inc. Class A
$836,499,390
Berkshire Hathaway, Inc. Class A
$532,804,550
The Coca-Cola Co.
$501,885,709
McDonalds Corp.
$490,668,860
Wells Fargo & Co.
$435,972,464
The Walt Disney Co.
$392,510,856
TJX Companies, Inc.
$366,803,448
Noble Energy, Inc.
$335,635,594
Colgate-Palmolive Co.
$287,773,250
Top Ten Holdings Total:

$5,891,701,410

% of Net
Assets
9.0%
4.4%
2.8%
2.7%
2.6%
2.3%
2.1%
1.9%
1.8%
1.5%
31.1%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

FULL HOLDINGS LISTING


Security Name
Domestic Equities
Apple, Inc.
Google, Inc. Class A
Berkshire Hathaway, Inc. Class A
The Coca-Cola Co.
McDonalds Corp.
Wells Fargo & Co.
The Walt Disney Co.
TJX Companies, Inc.
Noble Energy, Inc.
Colgate-Palmolive Co.
NIKE, Inc. Class B
Visa, Inc. Class A
Biogen Idec, Inc.
Amazon.com, Inc.
QUALCOMM, Inc.
Chipotle Mexican Grill, Inc.
MasterCard, Inc. Class A
Dollar Tree, Inc.
Danaher Corp.
Discovery Communications, Inc.
Bed Bath & Beyond, Inc.
Estee Lauder Companies, Inc. Class A
Starbucks Corp.
Priceline.com, Inc.
Anadarko Petroleum Corp.
Abbott Laboratories
Union Pacific Corp.
UnitedHealth Group, Inc.
Ross Stores, Inc.
U.S. Bancorp
American Tower Corp.
Amphenol Corp. Class A
Mettler-Toledo International, Inc.
Alexion Pharmaceuticals, Inc.
American Express Co.
Intuitive Surgical, Inc.
Amgen, Inc.
Costco Wholesale Corp.
Wal-Mart Stores, Inc.
IBM Corp.
Intuit, Inc.
The Chubb Corp.
Comcast Corp. Class A
salesforce.com, Inc.
Cerner Corp.
Citrix Systems, Inc.
Occidental Petroleum Corp.
Microsoft Corp.
Concho Resources, Inc.
eBay, Inc.

Market Value

% of Net
Assets

$1,711,147,290
$836,499,390
$532,804,550
$501,885,709
$490,668,860
$435,972,464
$392,510,856
$366,803,448
$335,635,594
$287,773,250
$274,831,290
$268,404,480
$259,198,800
$243,292,257
$233,225,968
$209,954,393
$206,710,335
$192,503,855
$188,045,857
$187,930,110
$181,347,500
$175,402,680
$165,382,582
$155,571,873
$149,999,000
$147,074,288
$139,394,820
$135,292,443
$126,630,721
$120,355,257
$120,021,512
$116,381,848
$114,279,840
$110,631,255
$105,139,056
$103,939,970
$103,198,408
$101,300,914
$100,382,082
$100,153,680
$99,403,394
$99,398,944
$97,657,980
$94,280,036
$88,238,714
$86,124,780
$85,964,193
$83,769,462
$82,519,470
$78,096,304

9.037%
4.418%
2.814%
2.651%
2.591%
2.302%
2.073%
1.937%
1.773%
1.520%
1.451%
1.418%
1.369%
1.285%
1.232%
1.109%
1.092%
1.017%
0.993%
0.993%
0.958%
0.926%
0.873%
0.822%
0.792%
0.777%
0.736%
0.715%
0.669%
0.636%
0.634%
0.615%
0.604%
0.584%
0.555%
0.549%
0.545%
0.535%
0.530%
0.529%
0.525%
0.525%
0.516%
0.498%
0.466%
0.455%
0.454%
0.442%
0.436%
0.412%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
PNC Financial Services Group, Inc.
EOG Resources, Inc.
Celgene Corp.
CVS Caremark Corp.
Facebook, Inc. Class A
Continental Resources, Inc.
Alliance Data Systems Corp.
Las Vegas Sands Corp.
State Street Corp.
EMC Corp.
Kraft Foods, Inc. Class A
Under Armour, Inc. Class A (sub. vtg.)
W.W. Grainger, Inc.
Perrigo Co.
AutoZone, Inc.
Stericycle, Inc.
Dunkin Brands Group, Inc.
Roper Industries, Inc.
Informatica Corp.
IHS, Inc. Class A
VF Corp.
Schlumberger Ltd.
Monsanto Co.
Bristol-Myers Squibb Co.
Waters Corp.
BB&T Corp.
Ecolab, Inc.
VMware, Inc. Class A
Gilead Sciences, Inc.
TripAdvisor, Inc.
JPMorgan Chase & Co.
Red Hat, Inc.
OReilly Automotive, Inc.
Fiserv, Inc.
MercadoLibre, Inc.
Ralph Lauren Corp.
SolarWinds, Inc.
Sherwin-Williams Co.
ARIAD Pharmaceuticals, Inc.
Motorola Solutions, Inc.
D.R. Horton, Inc.
Kimberly-Clark Corp.
Royal Gold, Inc.
Philip Morris International, Inc.
TreeHouse Foods, Inc.
SPS Commerce, Inc.
Allergan, Inc.
athenahealth, Inc.
McKesson Corp.
Ulta Salon, Cosmetics & Fragrance, Inc.
Mead Johnson Nutrition Co. Class A
Macys, Inc.
Kythera Biopharmaceuticals, Inc.

Market Value
$77,309,354
$75,924,780
$73,832,850
$72,362,388
$69,799,391
$69,027,564
$67,464,180
$67,386,872
$65,297,245
$64,473,705
$63,750,166
$62,785,009
$61,348,320
$59,851,029
$57,419,260
$56,397,447
$55,517,206
$55,336,974
$55,092,744
$52,940,050
$52,777,168
$51,004,800
$49,446,600
$46,929,384
$46,200,598
$43,834,110
$42,875,343
$42,654,386
$40,211,249
$38,823,552
$36,869,894
$36,166,382
$36,000,373
$35,082,548
$35,000,592
$34,767,269
$34,535,423
$34,211,996
$33,994,548
$32,978,072
$32,287,000
$31,613,040
$30,952,064
$30,164,915
$28,402,952
$27,640,000
$27,291,600
$27,141,719
$27,135,352
$26,364,329
$26,248,574
$26,136,545
$25,256,269

% of Net
Assets
0.408%
0.401%
0.390%
0.382%
0.369%
0.365%
0.356%
0.356%
0.345%
0.341%
0.337%
0.332%
0.324%
0.316%
0.303%
0.298%
0.293%
0.292%
0.291%
0.280%
0.279%
0.269%
0.261%
0.248%
0.244%
0.231%
0.226%
0.225%
0.212%
0.205%
0.195%
0.191%
0.190%
0.185%
0.185%
0.184%
0.182%
0.181%
0.180%
0.174%
0.171%
0.167%
0.163%
0.159%
0.150%
0.146%
0.144%
0.143%
0.143%
0.139%
0.139%
0.138%
0.133%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
Whole Foods Market, Inc.
PetSmart, Inc.
Fidelity National Information Services, Inc.
Limited Brands, Inc.
Capital One Financial Corp.
Tesla Motors, Inc.
Ariba, Inc.
Tempur-Pedic International, Inc.
Polaris Industries, Inc.
Dr Pepper Snapple Group, Inc.
Groupon, Inc.
NetSuite, Inc.
Facebook, Inc. Class B
Liberty Media Corp. Capital Series A
PulteGroup, Inc.
Air Lease Corp. Class A
CIGNA Corp.
Concur Technologies, Inc.
Coach, Inc.
Gap, Inc.
F5 Networks, Inc.
PPG Industries, Inc.
LinkedIn Corp.
The Travelers Companies, Inc.
GNC Holdings, Inc.
TRW Automotive Holdings Corp.
Agios Pharmaceuticals, Inc. Series C
Skyworks Solutions, Inc.
LKQ Corp.
Rackspace Hosting, Inc.
Fifth Third Bancorp
Dollar General Corp.
Coinstar, Inc.
Expedia, Inc.
Cirrus Logic, Inc.
Penske Automotive Group, Inc.
Medivation, Inc.
Fortinet, Inc.
Equinix, Inc.
Interpublic Group of Companies, Inc.
Harley-Davidson, Inc.
Cognizant Technology Solutions Corp. Class A
Citigroup, Inc.
Verisk Analytics, Inc.
Dicks Sporting Goods, Inc.
Buffalo Wild Wings, Inc.
J.B. Hunt Transport Services, Inc.
American Eagle Outfitters, Inc.
BioMarin Pharmaceutical, Inc.
Dropbox, Inc.
Tractor Supply Co.
Henry Schein, Inc.
Concho Resources, Inc.

Market Value
$25,165,240
$24,274,548
$23,591,668
$22,982,916
$22,941,842
$22,700,250
$21,454,075
$21,193,061
$21,013,302
$20,766,158
$20,671,903
$20,654,184
$20,369,375
$20,025,387
$19,839,456
$19,650,717
$19,399,438
$19,395,727
$19,155,800
$19,082,650
$18,153,910
$17,905,464
$17,480,590
$17,134,758
$17,030,260
$16,619,813
$16,518,220
$16,139,529
$15,938,856
$15,657,255
$15,648,870
$15,607,181
$15,486,503
$15,458,092
$15,135,440
$14,897,938
$14,859,857
$14,700,750
$13,750,173
$13,474,791
$13,114,596
$13,053,825
$12,689,542
$12,645,600
$12,429,450
$12,091,322
$12,025,865
$11,862,133
$11,693,484
$11,671,855
$11,199,510
$11,164,706
$10,860,457

% of Net
Assets
0.133%
0.128%
0.125%
0.121%
0.121%
0.120%
0.113%
0.112%
0.111%
0.110%
0.109%
0.109%
0.108%
0.106%
0.105%
0.104%
0.102%
0.102%
0.101%
0.101%
0.096%
0.095%
0.092%
0.090%
0.090%
0.088%
0.087%
0.085%
0.084%
0.083%
0.083%
0.082%
0.082%
0.082%
0.080%
0.079%
0.078%
0.078%
0.073%
0.071%
0.069%
0.069%
0.067%
0.067%
0.066%
0.064%
0.064%
0.063%
0.062%
0.062%
0.059%
0.059%
0.057%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
Ball Corp.
VeriSign, Inc.
Zumiez, Inc.
Wyndham Worldwide Corp.
Home Depot, Inc.
Catalyst Health Solutions, Inc.
Eli Lilly & Co.
CF Industries Holdings, Inc.
Sirius XM Radio, Inc.
Humana, Inc.
Constant Contact, Inc.
Guidewire Software, Inc.
Cintas Corp.
BlackRock, Inc. Class A
GoviEx Uranium, Inc.
Legend Pictures LLC
SBA Communications Corp. Class A
Valspar Corp.
Castlight Health, Inc. Series D
Zynga, Inc.
Colfax Corp.
Vertex Pharmaceuticals, Inc.
FMC Corp.
Enterprise Products Partners LP
Urban Outfitters, Inc.
C.H. Robinson Worldwide, Inc.
lululemon athletica, Inc.
Boston Beer Co., Inc. Class A
Workday, Inc.
Analog Devices, Inc.
Bankrate, Inc.
ANSYS, Inc.
Air Lease Corp. Class A
Ultimate Software Group, Inc.
Silgan Holdings, Inc.
Demandware, Inc.
OvaScience, Inc.
Marriott International, Inc. Class A
The Cheesecake Factory, Inc.
Donaldson Co., Inc.
CACI International, Inc. Class A
Verastem, Inc.
Fortune Brands Home & Security, Inc.
Merck & Co., Inc.
Puma Biotechnology, Inc.
National Instruments Corp.
TIBCO Software, Inc.
ArQule, Inc.
Baidu.com, Inc. sponsored ADR
Rexnord Corp.
Responsys, Inc.
Liberty Media Corp. Interactive Series A
Vitamin Shoppe, Inc.

Market Value
$10,723,951
$10,532,365
$9,918,584
$9,840,480
$9,616,366
$9,590,448
$9,475,830
$9,449,814
$9,040,208
$8,907,074
$8,861,400
$8,827,744
$8,819,100
$8,727,880
$8,692,500
$8,542,349
$8,504,215
$8,436,750
$7,999,046
$7,922,994
$7,847,410
$7,710,217
$7,625,112
$7,445,652
$7,367,298
$7,257,565
$7,220,416
$7,147,625
$6,970,544
$6,852,108
$6,740,207
$6,739,673
$6,714,344
$6,581,437
$6,223,686
$6,222,000
$5,999,950
$5,883,920
$5,874,884
$5,811,910
$5,778,000
$5,773,000
$5,756,790
$5,708,402
$5,700,011
$5,629,848
$5,555,975
$5,549,956
$5,240,765
$5,213,340
$5,135,000
$5,103,420
$5,067,629

% of Net
Assets
0.057%
0.056%
0.052%
0.052%
0.051%
0.051%
0.050%
0.050%
0.048%
0.047%
0.047%
0.047%
0.047%
0.046%
0.046%
0.045%
0.045%
0.045%
0.042%
0.042%
0.041%
0.041%
0.040%
0.039%
0.039%
0.038%
0.038%
0.038%
0.037%
0.036%
0.036%
0.036%
0.035%
0.035%
0.033%
0.033%
0.032%
0.031%
0.031%
0.031%
0.031%
0.030%
0.030%
0.030%
0.030%
0.030%
0.029%
0.029%
0.028%
0.028%
0.027%
0.027%
0.027%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
Jive Software, Inc.
W.R. Grace & Co.
CSX Corp.
Credit Acceptance Corp.
Web.com, Inc.
Kennedy-Wilson Holdings, Inc.
Align Technology, Inc.
Sara Lee Corp.
QLIK Technologies, Inc.
Ubiquiti Networks, Inc.
Kansas City Southern
Snap-On, Inc.
Cepheid, Inc.
Boston Scientific Corp.
Yum! Brands, Inc.
ONEOK, Inc.
Monster Beverage Corp.
Nordson Corp.
Cornerstone OnDemand, Inc.
Mako Surgical Corp.
Liberty Global, Inc. Class A
Dropbox, Inc. Series A
Total System Services, Inc.
Forum Energy Technologies, Inc.
Cyberonics, Inc.
Trion World Network, Inc. Series C, 8.00%
Swisher Hygiene, Inc.
Merrimack Pharmaceuticals, Inc.
CommVault Systems, Inc.
UMB Financial Corp.
BOK Financial Corp.
Texas Capital Bancshares, Inc.
Toll Brothers, Inc.
Pier 1 Imports, Inc.
C.R. Bard, Inc.
Incyte Corp.
Lennar Corp. Class A
Parker Hannifin Corp.
Valmont Industries, Inc.
Teradata Corp.
Wabtec Corp.
CVR Partners LP
Commerce Bancshares, Inc.
Splunk, Inc.
Fluidigm Corp.
KLA-Tencor Corp.
Chart Industries, Inc.
ExactTarget, Inc.
Tillys, Inc.
Zillow, Inc.
United Parcel Service, Inc. Class B
LiqTech International, Inc.
Airgas, Inc.

Market Value
$4,951,300
$4,394,250
$4,324,230
$4,126,838
$4,113,808
$3,912,000
$3,803,814
$3,791,260
$3,775,453
$3,696,430
$3,681,684
$3,616,259
$3,552,237
$3,505,418
$3,489,856
$3,452,384
$3,448,500
$3,431,040
$3,332,310
$3,145,335
$2,725,800
$2,710,368
$2,697,994
$2,672,112
$2,609,835
$2,577,823
$2,499,000
$2,322,747
$2,286,084
$2,204,404
$2,112,925
$2,063,096
$1,942,336
$1,905,470
$1,885,486
$1,877,411
$1,858,449
$1,814,628
$1,809,100
$1,788,312
$1,778,945
$1,766,437
$1,696,812
$1,611,720
$1,567,489
$1,558,220
$1,555,254
$1,343,118
$1,232,396
$1,230,252
$1,221,522
$1,210,000
$1,067,763

% of Net
Assets
0.026%
0.023%
0.023%
0.022%
0.022%
0.021%
0.020%
0.020%
0.020%
0.020%
0.019%
0.019%
0.019%
0.019%
0.018%
0.018%
0.018%
0.018%
0.018%
0.017%
0.014%
0.014%
0.014%
0.014%
0.014%
0.014%
0.013%
0.012%
0.012%
0.012%
0.011%
0.011%
0.010%
0.010%
0.010%
0.010%
0.010%
0.010%
0.010%
0.009%
0.009%
0.009%
0.009%
0.009%
0.008%
0.008%
0.008%
0.007%
0.007%
0.006%
0.006%
0.006%
0.006%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
Torchmark Corp.
Weinstein Co. Holdings LLC Class A-1
Glam Media, Inc. Series M-1, 8.00%
Lithia Motors, Inc. Class A (sub. vtg.)
Cymer, Inc.
Wright Medical Group, Inc.
Vera Bradley, Inc.
AMETEK, Inc.
Scripps Networks Interactive, Inc. Class A
RXi Pharmaceuticals Corp. warrants 2/4/15
Trion World Network, Inc. Series C-1, 8.00%
Light Sciences Oncology, Inc.
Digg, Inc. Series C, 8.00%
High Power Exploration
Glam Media, Inc. Series M-1, 8.00%
Glam Media, Inc. Series M-1, 8.00%
Trion World Network, Inc. warrants 8/10/17
Puma Biotechnology, Inc. warrants 10/4/21
Domestic Equities Total:

Market Value
$1,059,182
$850,125
$845,190
$778,998
$725,878
$467,044
$433,026
$339,148
$268,373
$211,074
$202,786
$160,480
$158,811
$94,003
$60,371
$60,366
$19
$4

% of Net
Assets
0.006%
0.004%
0.004%
0.004%
0.004%
0.002%
0.002%
0.002%
0.001%
0.001%
0.001%
0.001%
0.001%
0.000%
0.000%
0.000%
0.000%
0.000%

$15,511,215,014

81.9%

$167,531,400
$151,769,255
$125,771,867
$104,822,687
$101,182,437
$84,899,556
$80,584,794
$65,377,890
$56,040,726
$44,961,037
$40,769,849
$38,760,389
$38,086,380
$36,401,371
$36,061,987
$32,277,726
$29,534,298
$27,919,850

0.885%
0.802%
0.664%
0.554%
0.534%
0.448%
0.426%
0.345%
0.296%
0.237%
0.215%
0.205%
0.201%
0.192%
0.190%
0.170%
0.156%
0.147%

$25,077,704
$23,688,952
$22,659,501
$22,443,036
$21,115,880
$19,375,109
$18,935,213
$18,295,123
$17,790,953
$17,451,785
$17,287,428

0.132%
0.125%
0.120%
0.119%
0.112%
0.102%
0.100%
0.097%
0.094%
0.092%
0.091%

Developed Markets
Accenture PLC Class A
Tim Hortons, Inc. (Canada)
Franco-Nevada Corp.
Novo Nordisk A/S Series B
ACE Ltd.
Check Point Software Technologies Ltd.
ARM Holdings PLC sponsored ADR
Anheuser-Busch InBev SA NV ADR
Canadian Pacific
Bayer AG
AIA Group Ltd.
Goldcorp, Inc.
New Gold, Inc.
Newcrest Mining Ltd.
Bank of Ireland
ASML Holding NV
Tourmaline Oil Corp.
Avago Technologies Ltd.
Valeant Pharmaceuticals International, Inc.
(Canada)
Eldorado Gold Corp.
Canadian National Railway Co.
Diageo PLC sponsored ADR
Experian PLC
Galaxy Entertainment Group Ltd.
B2Gold Corp.
Shire PLC
Ivanhoe Mines Ltd.
Tahoe Resources, Inc.
Canadian Natural Resources Ltd.

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
Dollarama, Inc.
Pretium Resources, Inc.
Tullow Oil PLC
Novagold Resources, Inc.
Burberry Group PLC
Dollarama, Inc.
Medusa Mining Ltd.
Fairfax Financial Holdings Ltd. (sub. vtg.)
Admiral Group PLC
Fanuc Corp.
Cooper Industries PLC Class A
Covidien PLC
Edenred SA
Allot Communications Ltd.
Aggreko PLC
Elan Corp. PLC sponsored ADR
Sable Mining Africa Ltd.
Tourmaline Oil Corp.
SXC Health Solutions Corp.
TAG Oil Ltd.
Millicom International Cellular SA (depository
receipt)
Nexon Co. Ltd.
Nielsen Holdings B.V.
Birchcliff Energy Ltd.
Kingfisher PLC
Filtrona PLC
Rooster Energy Ltd.
Painted Pony Petroleum Ltd. Class A
Birchcliff Energy Ltd.
Avion Gold Corp.
Premier Gold Mines Ltd.
Ezchip Semiconductor Ltd.
New World Oil & Gas PLC
Metro Bank PLC Class A
TAG Oil Ltd.
B2Gold Corp.
Encana Corp.
Swedish Match Co. AB
UCB SA
Tesco PLC
Premier Gold Mines Ltd.
Americas Petrogas, Inc.
Teva Pharmaceutical Industries Ltd. sponsored ADR
Bureau Veritas SA
Workman Co. Ltd.
Alacer Gold Corp.
Madalena Ventures, Inc.
Descartes Systems Group, Inc.
Dalradian Resources, Inc.
NovaCopper, Inc.
Dalradian Resources, Inc.
Extorre Gold Mines Ltd.

Market Value
$15,802,901
$14,858,692
$14,039,743
$12,980,428
$12,750,777
$12,713,196
$12,603,975
$11,742,847
$11,211,039
$11,032,554
$10,267,973
$8,989,008
$8,561,772
$8,364,025
$8,184,066
$7,139,144
$7,123,237
$6,976,570
$6,946,256
$6,492,540

% of Net
Assets
0.083%
0.078%
0.074%
0.069%
0.067%
0.067%
0.067%
0.062%
0.059%
0.058%
0.054%
0.047%
0.045%
0.044%
0.043%
0.038%
0.038%
0.037%
0.037%
0.034%

$6,388,330
$6,359,407
$6,066,738
$5,393,813
$5,303,652
$5,105,194
$5,046,715
$4,951,874
$4,696,813
$4,521,340
$3,947,330
$3,647,952
$3,566,029
$3,202,614
$2,923,091
$1,987,317
$1,916,422
$1,879,730
$1,822,623
$1,812,617
$1,807,439
$1,618,822
$1,563,681
$1,211,772
$1,138,671
$1,070,557
$1,065,014
$995,999
$803,602
$736,098
$732,242
$638,997

0.034%
0.034%
0.032%
0.028%
0.028%
0.027%
0.027%
0.026%
0.025%
0.024%
0.021%
0.019%
0.019%
0.017%
0.015%
0.010%
0.010%
0.010%
0.010%
0.010%
0.010%
0.009%
0.008%
0.006%
0.006%
0.006%
0.006%
0.005%
0.004%
0.004%
0.004%
0.003%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

Boston, MA 02109

Security Name
China Hongxing Sports Ltd.
Mellanox Technologies Ltd.
Rio Alto Mining Ltd.
Extorre Gold Mines Ltd.
Franco-Nevada Corp. warrants 6/16/17
TransAtlantic Petroleum Ltd.
Altius Minerals Corp.
Skope Energy, Inc.
Standard Chartered PLC (United Kingdom)
Developed Markets Total:

Market Value
$535,465
$471,510
$406,391
$363,169
$336,971
$292,862
$237,072
$170,790
$45,477

% of Net
Assets
0.003%
0.002%
0.002%
0.002%
0.002%
0.002%
0.001%
0.001%
0.000%

$1,792,437,129

9.5%

$125,787,166
$48,515,066
$39,503,374
$21,159,931
$13,287,250
$11,267,059
$10,455,035
$9,539,712
$8,112,829

0.664%
0.256%
0.209%
0.112%
0.070%
0.060%
0.055%
0.050%
0.043%

$6,531,361
$5,468,979
$5,124,823
$4,187,109
$3,744,390
$3,243,838
$2,946,882
$1,577,029
$1,177,243
$1,132,670
$643,578
$79

0.034%
0.029%
0.027%
0.022%
0.020%
0.017%
0.016%
0.008%
0.006%
0.006%
0.003%
0.000%

$323,405,401

1.7%

$9,771,556
$1,948,711
$1,855,934
$362,492
$25,892
$25,892

0.052%
0.010%
0.010%
0.002%
0.000%
0.000%

$13,990,478

0.1%

$1,277,919,402

6.749%

Emerging Markets
Samsung Electronics Co. Ltd.
BR Malls Participacoes SA
Hyundai Motor Co.
Want Want China Holdings Ltd.
Ultrapar Participacoes SA
Naspers Ltd. Class N
YTL Corp. Bhd
Arcos Dorados Holdings, Inc.
Qualicorp SA
Taiwan Semiconductor Manufacturing Co. Ltd.
sponsored ADR
Kroton Educacional SA unit
Localiza Rent A Car SA
Orion Corp.
Foschini Ltd.
Paradise Co. Ltd.
Drogasil SA
Cetip SA
Anhanguera Educacional Participacoes SA
Mills Estruturas e Servicos de Engenharia SA
Arezzo Industria e Comercio SA
Cetip SA rights 6/18/12
Emerging Markets Total:
Bonds
Ivanplats Ltd. 8% 11/10/14 pay-in-kind
Ivanplats Ltd. 8% 11/10/14 pay-in-kind
J. Crew Group, Inc. 8.125% 3/1/19
Glam Media, Inc. 9% 12/2/13
Glam Media, Inc. 9% 11/18/13
Glam Media, Inc. 9% 11/18/13
Bonds Total:
Cash and Other Securities
Fidelity Cash Central Fund, 0.17%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

10

Boston, MA 02109

Security Name
Cash and Other Securities Total:

Market Value
$1,277,919,402

% of Net
Assets
6.7%

Fidelity Distributors Corporation


82 Devonshire Street
Not Part of Annual or Semiannual Report

11

Boston, MA 02109