<strong>Fidelity</strong> <strong>Funds</strong> Footnotes 1 These sub-funds have not been authorised by the Swiss Financial Market Supervisory Authority (FINMA) and have therefore not been approved for distribution in Switzerland. 2 EURO STOXX 50 is a mark of STOXX LIMITED and has been licensed for certain purposes by <strong>Fidelity</strong> <strong>Funds</strong>. 3 EURO STOXX 50 Index is owned by STOXX LIMITED. The name of the index is a service mark of STOXX LIMITED and has been licensed for certain purposes by <strong>Fidelity</strong> <strong>Funds</strong>. © 1998 by STOXX LIMITED. All rights reserved. 4 These sub-funds are not authorised by the Securities & Futures Commission in Hong Kong and may not be promoted or offered to the public in Hong Kong. 5 These sub-funds have not been authorised by the "Finanzmarktaufsicht" (Austrian Financial Market Authority) and have therefore not been approved for distribution in Austria. 6 These sub-funds are authorised by the Securities and Futures Commission in Hong Kong under the Securities and Futures Commission Code on Unit Trusts and Mutual <strong>Funds</strong> and not under the Securities and Futures Commission Code on Real Estate Investment Trusts. Such authorisation does not imply official re<strong>com</strong>mendation. 7 This sub-fund invests in Indian equity securities through a wholly-owned Mauritian subsidiary, FIL Investments (Mauritius) Limited. Please note that not all countries of distribution have been disclosed in the above footnotes. For a <strong>com</strong>plete list please refer to the prospectus. Please note that not all countries of distribution have been disclosed in the above footnotes. For a <strong>com</strong>plete list please refer to the prospectus. 6
<strong>Fidelity</strong> <strong>Funds</strong> America Fund Schedule of Investments as at 31 October 2014 Country Code Ccy Shares or Nominal Market Value USD % Net Assets Securities Admitted to or Dealt on an Official Stock Exchange Securities Admitted to or Dealt on an Official Stock Exchange Energy Suncor Energy CA CAD 3,683,949 129,640,814 1.93 Anadarko Petroleum US USD 1,213,787 110,090,489 1.64 Devon Energy US USD 1,566,410 92,480,834 1.38 Rowan Cos (A) US USD 2,787,302 66,505,034 0.99 Southwestern Energy US USD 1,500,261 48,203,373 0.72 446,920,544 6.65 Industrials Dun & Bradstreet US USD 889,313 109,323,199 1.63 General Dynamics US USD 729,842 102,155,963 1.52 Eaton US USD 1,332,823 90,138,802 1.34 Caterpillar US USD 866,806 88,188,808 1.31 Nielsen US USD 1,893,617 80,346,160 1.20 Rolls-Royce Holdings GB GBP 1,040,990 14,036,919 0.21 484,189,851 7.20 Information Technology Microsoft US USD 4,392,428 205,477,782 3.06 Oracle US USD 4,339,135 168,922,521 2.51 Cisco Systems US USD 5,914,659 144,554,264 2.15 eBay US USD 1,976,818 104,039,918 1.55 Hewlett-Packard US USD 2,817,068 100,766,537 1.50 Citrix Systems US USD 1,536,214 99,193,365 1.48 EMC US USD 3,083,172 88,702,851 1.32 Altera US USD 2,559,491 87,560,170 1.30 NVIDIA US USD 4,328,323 83,579,918 1.24 Juniper Networks US USD 3,987,662 83,541,525 1.24 Electronic Arts US USD 1,969,900 80,903,807 1.20 Symantec US USD 3,232,231 80,385,596 1.20 Activision Blizzard US USD 3,998,820 79,656,490 1.18 Apple US USD 686,892 73,882,086 1.10 Nuance Communications US USD 3,248,852 49,756,167 0.74 1,530,922,997 22.77 Consumer Discretionary Time Warner US USD 1,818,127 144,722,898 2.15 Best Buy US USD 4,187,760 144,519,604 2.15 NVR US USD 60,856 74,548,012 1.11 Royal Caribbean Cruises US USD 1,086,461 74,379,146 1.11 Dollar General US USD 1,172,861 73,514,903 1.09 Comcast (A) US USD 1,250,193 68,785,612 1.02 Graham Holdings (B) US USD 64,111 49,714,790 0.74 630,184,965 9.37 Consumer Staples CVS Health US USD 2,000,074 173,406,420 2.58 Procter & Gamble US USD 1,066,334 92,888,390 1.38 ConAgra Foods US USD 2,666,977 91,503,973 1.36 Molson Coors Brewing (B) US USD 1,007,213 74,020,077 1.10 431,818,860 6.42 Healthcare Eli Lilly & Co US USD 3,939,658 261,790,267 3.89 Amgen US USD 1,195,026 195,673,538 2.91 CR Bard US USD 947,605 155,454,599 2.31 Express Scripts Holding US USD 1,998,235 154,083,874 2.29 WellPoint US USD 1,105,033 139,499,308 2.07 Cigna US USD 1,281,942 127,296,849 1.89 Gilead Sciences US USD 1,014,346 114,813,821 1.71 Mallinckrodt US USD 1,070,112 99,317,063 1.48 Quest Diagnostics US USD 1,344,969 85,499,669 1.27 Centene US USD 781,651 73,311,053 1.09 Mylan PA US USD 1,284,648 69,075,523 1.03 1,475,815,564 21.95 Tele<strong>com</strong>munication Services Verizon Communications US USD 3,570,379 179,447,261 2.67 179,447,261 2.67 Financials JPMorgan Chase & Co US USD 2,925,610 176,531,324 2.63 ACE CH USD 1,330,074 145,603,146 2.17 US Bancorp US USD 3,245,941 138,082,339 2.05 Chubb US USD 1,314,649 130,452,659 1.94 Citigroup US USD 2,338,678 124,604,752 1.85 CME Group IL US USD 1,443,234 120,365,677 1.79 Morgan Stanley US USD 3,169,867 111,103,851 1.65 NASDAQ OMX Group US USD 1,666,066 71,757,456 1.07 Intercontinental Exchange US USD 259,545 53,956,876 0.80 1,072,458,080 15.95 Securities Admitted to or Dealt on Other Regulated Markets Securities Admitted to or Dealt on Other Regulated Markets Consumer Discretionary Spotify Technology* LU USD 7,281 9,829,030 0.15 9,829,030 0.15 Fractions 4 0.00 This is Dummy text to show the header ----------------- --------- Market Value % Net Assets Total Investments (Cost USD 5,644,750,255) 6,261,587,156 93.13 1 6 261 587 156 0 Ccy Underlying exposure Unrealised % Net gain/(loss) Assets USD Contracts For Difference Contracts For Difference Cigna USD 1,365,976 224,104 0.00 Centene USD 786,668 223,194 0.00 Nasdaq OMX Group USD 769,961 112,090 0.00 559,388 0.01 Underlying exposure USD Unrealised % Net gain/(loss) Assets USD Forward Foreign Exchange Contracts Forward Foreign Exchange Contracts A Shares (SGD) (hedged) Bought USD Sold SGD at 0.78462 10/11/2014 793,520 6,239 0.00 Bought USD Sold CAD at 0.89385 10/11/2014 771,191 6,195 0.00 Bought USD Sold SGD at 0.78497 10/11/2014 371,498 3,090 0.00 Bought USD Sold SGD at 0.78710 10/11/2014 214,320 2,369 0.00 Bought USD Sold SGD at 0.78630 10/11/2014 209,649 2,101 0.00 Bought USD Sold SGD at 0.78503 10/11/2014 93,419 785 0.00 Bought USD Sold CAD at 0.89739 10/11/2014 61,273 737 0.00 Bought USD Sold SGD at 0.78208 10/11/2014 102,450 472 0.00 Bought USD Sold SGD at 0.78213 10/11/2014 67,573 315 0.00 Bought USD Sold CAD at 0.88990 10/11/2014 26,779 96 0.00 Bought USD Sold CAD at 0.88978 10/11/2014 22,700 78 0.00 Bought CAD Sold USD at 1.13185 10/11/2014 21,293 78 0.00 Bought CAD Sold USD at 1.13735 10/11/2014 4,748 40 0.00 Bought CAD Sold USD at 1.12745 10/11/2014 7,717 (2) (0.00) Bought CAD Sold USD at 1.12003 10/11/2014 3,214 (22) (0.00) Bought CAD Sold USD at 1.11842 10/11/2014 8,494 (70) (0.00) Bought CAD Sold USD at 1.12149 10/11/2014 13,821 (77) (0.00) Bought CAD Sold USD at 1.11853 10/11/2014 9,745 (80) (0.00) Bought CAD Sold USD at 1.11218 10/11/2014 32,998 (455) (0.00) Bought SGD Sold USD at 1.27051 10/11/2014 1,101,915 (12,023) (0.00) Bought SGD Sold USD at 1.26967 10/11/2014 1,187,158 (13,733) (0.00) Bought SGD Sold USD at 1.27248 10/11/2014 1,471,146 (13,804) (0.00) Bought SGD Sold USD at 1.27135 10/11/2014 2,452,269 (25,156) (0.00) Bought SGD Sold USD at 1.27541 10/11/2014 34,044,502 (241,632) (0.00) (284,459) (0.00) A-ACC Shares (AUD) (hedged) Bought AUD Sold USD at 1.14358 10/11/2014 12,191,761 81,674 0.00 Bought AUD Sold USD at 1.14865 10/11/2014 961,125 10,729 0.00 Bought AUD Sold USD at 1.13890 10/11/2014 1,637,462 4,213 0.00 Bought USD Sold AUD at 0.88257 10/11/2014 985,322 2,542 0.00 Bought USD Sold CAD at 0.89385 10/11/2014 263,005 2,113 0.00 Bought AUD Sold USD at 1.13661 10/11/2014 2,258,827 1,261 0.00 Bought USD Sold CAD at 0.89739 10/11/2014 24,828 299 0.00 Bought USD Sold CAD at 0.88982 10/11/2014 51,164 178 0.00 Bought USD Sold CAD at 0.89305 10/11/2014 23,410 167 0.00 Bought AUD Sold USD at 1.13616 10/11/2014 528,973 88 0.00 Bought USD Sold CAD at 0.89078 10/11/2014 4,788 22 0.00 Bought USD Sold CAD at 0.89447 10/11/2014 1,330 12 0.00 Bought USD Sold CAD at 0.88470 10/11/2014 29,351 (67) (0.00) Bought CAD Sold USD at 1.11891 10/11/2014 16,355 (128) (0.00) Bought CAD Sold USD at 1.12139 10/11/2014 26,128 (147) (0.00) Bought USD Sold AUD at 0.88009 10/11/2014 1,314,995 (312) (0.00) Bought AUD Sold USD at 1.13041 10/11/2014 1,668,064 (8,167) (0.00) Bought AUD Sold USD at 1.12501 10/11/2014 1,166,217 (11,260) (0.00) 83,217 0.00 A-ACC Shares (CZK) (hedged) Bought USD Sold CAD at 0.89385 10/11/2014 35,026 281 0.00 Bought CZK Sold USD at 21.91501 10/11/2014 133,142 (1,662) (0.00) Bought CZK Sold USD at 21.74382 10/11/2014 91,520 (1,848) (0.00) Bought CZK Sold USD at 21.77167 10/11/2014 1,624,777 (30,773) (0.00) (34,002) (0.00) A-ACC Shares (EUR) (hedged) Bought USD Sold EUR at 1.26481 10/11/2014 10,928,614 98,632 0.00 Bought EUR Sold USD at 0.78231 10/11/2014 3,363,233 (65,157) (0.00) Bought EUR Sold USD at 0.78891 10/11/2014 6,005,221 (66,653) (0.00) Bought EUR Sold USD at 0.78392 10/11/2014 5,086,204 (88,261) (0.00) Bought EUR Sold USD at 0.79246 10/11/2014 101,855,647 (678,258) (0.01) (799,697) (0.01) A-ACC Shares (HUF) (hedged) Bought USD Sold CAD at 0.89385 10/11/2014 113,768 914 0.00 Bought CAD Sold USD at 1.11798 10/11/2014 4,383 (38) (0.00) Bought HUF Sold USD at 244.21400 10/11/2014 310,320 (2,140) (0.00) Bought HUF Sold USD at 244.06750 10/11/2014 309,921 (2,322) (0.00) Bought HUF Sold USD at 245.04310 10/11/2014 5,299,677 (18,682) (0.00) (22,268) (0.00) * Security with price determined by the Directors. The ac<strong>com</strong>panying notes to the financial statements form an integral part of these financial statements. The percentage of net assets in the schedule of investments and in the geographical split is subject to rounding. 7
- Page 1 and 2: Fidelity Funds Société d’invest
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- Page 51 and 52: Fidelity Funds Global Dividend Fund
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Fidelity Funds Global Property Fund
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Fidelity Funds Global Real Asset Se
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Fidelity Funds Global Telecommunica
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Fidelity Funds Greater China Fund -
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Fidelity Funds Greater China Fund I
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Fidelity Funds India Focus Fund 7
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Fidelity Funds International Fund
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Fidelity Funds International Fund -
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Fidelity Funds International Fund -
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Fidelity Funds International Fund -
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Fidelity Funds Japan Advantage Fund
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Fidelity Funds Japan Fund Schedule
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Fidelity Funds Japan Smaller Compan
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Fidelity Funds Latin America Fund
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Fidelity Funds Nordic Fund Schedul
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Fidelity Funds Pacific Fund - conti
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Fidelity Funds South East Asia Fund
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Fidelity Funds Switzerland Fund Sc
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Fidelity Funds Thailand Fund Sched
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Fidelity Funds World Fund Schedule
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Fidelity Funds Fidelity Patrimoine
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Fidelity Funds Fidelity Patrimoine
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Fidelity Funds Fidelity Patrimoine
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Fidelity Funds Fidelity Patrimoine
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Fidelity Funds Fidelity Patrimoine
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Fidelity Funds Fidelity Sélection
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Fidelity Funds Fidelity Sélection
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Fidelity Funds Fidelity Sélection
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Fidelity Funds Fidelity Sélection
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Fidelity Funds Fidelity Sélection
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Fidelity Funds FPS Global Growth Fu
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Fidelity Funds FPS Global Growth Fu
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Fidelity Funds FPS Global Growth Fu
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Fidelity Funds FPS Growth Fund 4 S
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Fidelity Funds FPS Growth Fund 4 -
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Fidelity Funds FPS Growth Fund 4 -
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Fidelity Funds FPS Moderate Growth
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Fidelity Funds FPS Moderate Growth
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Fidelity Funds FPS Moderate Growth
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Fidelity Funds Euro Balanced Fund
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Global Multi Asset I
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Fidelity Funds Growth & Income Fund
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Fidelity Funds Growth & Income Fund
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Fidelity Funds Growth & Income Fund
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Fidelity Funds Growth & Income Fund
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Multi Asset Strategi
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Fidelity Funds Asian Bond Fund - co
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Fidelity Funds Asian High Yield Fun
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Fidelity Funds China RMB Bond Fund
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Fidelity Funds Core Euro Bond Fund
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Fidelity Funds Emerging Market Corp
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Fidelity Funds Emerging Market Debt
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Fidelity Funds Emerging Market Loca
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Fidelity Funds Emerging Markets Inf
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Fidelity Funds Euro Bond Fund - con
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Fidelity Funds Euro Corporate Bond
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Fidelity Funds European High Yield
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Fidelity Funds European High Yield
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Fidelity Funds Global Corporate Bon
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Fidelity Funds Global Corporate Bon
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Fidelity Funds Global High Yield Fu
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Fidelity Funds Global High Yield Fu
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Fidelity Funds Global Income Fund -
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Fidelity Funds Global Income Fund -
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Fidelity Funds Global Inflation-lin
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Fidelity Funds Global Strategic Bon
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Fidelity Funds Global Strategic Bon
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Fidelity Funds Global Strategic Bon
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Fidelity Funds Global Strategic Bon
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Fidelity Funds Global Strategic Bon
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Fidelity Funds International Bond F
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Fidelity Funds Sterling Bond Fund
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Fidelity Funds US Dollar Bond Fund
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Fidelity Funds US High Yield Fund
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Fidelity Funds US High Yield Fund -
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Fidelity Funds Fixed Term 2018 Fund
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Fidelity Funds Euro Cash Fund Sche
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Fidelity Funds MoneyBuilder Europe
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Fidelity Funds MoneyBuilder Europe
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Fidelity Funds MoneyBuilder Europea
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Fidelity Funds MoneyBuilder Europea
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Fidelity Funds MoneyBuilder Global
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Fidelity Funds MoneyBuilder Global
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Fidelity Funds MoneyBuilder Global
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Fidelity Funds MoneyBuilder Global
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2015
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Fidelity Funds Fidelity Target 2015
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Fidelity Funds Fidelity Target 2015
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2020
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Fidelity Funds Fidelity Target 2025
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Fidelity Funds Fidelity Target 2025
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Fidelity Funds Fidelity Target 2025
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Fidelity Funds Fidelity Target 2025
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Fidelity Funds Fidelity Target 2025
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Fidelity Funds Fidelity Target 2030
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Fidelity Funds Fidelity Target 2030
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Fidelity Funds Fidelity Target 2030
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Fidelity Funds Fidelity Target 2030
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Fidelity Funds Fidelity Target 2035
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Fidelity Funds Fidelity Target 2035
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Fidelity Funds Fidelity Target 2035
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Fidelity Funds Fidelity Target 2040
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Fidelity Funds Fidelity Target 2040
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Fidelity Funds Fidelity Target 2040
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Fidelity Funds Fidelity Target 2045
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Fidelity Funds Fidelity Target 2045
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Fidelity Funds Fidelity Target 2045
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Fidelity Funds Fidelity Target 2050
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Fidelity Funds Fidelity Target 2050
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Fidelity Funds FAWF Asian Special S
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Fidelity Funds FAWF Diversified Sto
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Fidelity Funds FAWF Emerging Market
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Fidelity Funds FAWF Equity Income F
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Fidelity Funds FAWF International F
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Fidelity Funds FAWF International F
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Fidelity Funds FAWF International F
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Fidelity Funds FAWF International F
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Fidelity Funds FAWF Pacific Fund 1,
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Fidelity Funds FAWF Limited Term Bo
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Fidelity Funds FAWF Limited Term Bo
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Fidelity Funds FAWF US Dollar Bond
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Fidelity Funds FAWF US High Income
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Fidelity Funds FAWF US High Income
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Fidelity Funds Institutional Americ
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Fidelity Funds Institutional Asia P
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Fidelity Funds Institutional Euro B
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Fidelity Funds Institutional Europe
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Fidelity Funds Institutional Global
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Fidelity Funds Institutional Global
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Fidelity Funds Institutional Japan
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Fidelity Funds Institutional Europe
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Asia Pacific Dividend Fund Asia Pac
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Emerging Markets Fund Euro Blue Chi
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Global Consumer Industries Fund Glo
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Greater China Fund Greater China Fu
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Malaysia Fund Nordic Fund Pacific F
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Balanced Funds: FPS Global Growth F
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Emerging Market Debt Fund Emerging
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International Bond Fund Sterling Bo
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Reserved Equity Funds: Fidelity Tar
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Reserved Bond Funds: Institutional
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Institutional Global Sector Fund 4,
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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Fidelity Funds Statement of Net Ass
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1 Fidelity Funds Notes to the Finan
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Fidelity Funds Notes to the Financi
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Fidelity Funds Notes to the Financi
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Fidelity Funds Notes to the Financi
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Fidelity Funds Notes to the Financi
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Fidelity Funds Notes to the Financi
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Fidelity Funds Notes to the Financi
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Fidelity, Fidelity Worldwide Invest