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Semi-Annual Report and Accounts - chartbook.fid-intl.com

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Fidelity<br />

Funds<br />

US High Yield Fund - continued<br />

Schedule of Investments as at 31 October 2012<br />

Tele<strong>com</strong>munication Services<br />

Fairpoint Communications 7.372% FRN 24/01/2016 US USD 52,500,374 49,014,349 0.56<br />

Sprint Nextel 7.00% 01/03/2020 144A US USD 34,189,176 39,702,180 0.45<br />

Clearwire Communications 14.75% 01/12/2016 144A US USD 26,840,558 33,819,103 0.39<br />

Broadview Networks 11.375% 01/09/2012 (Defaulted) US USD 28,890,538 20,728,961 0.24<br />

Intelsat Jackson Holdings 4.797% FRN 02/04/2018 LU USD 9,809,573 9,899,821 0.11<br />

153,164,414 1.75<br />

Financials<br />

Realogy 0.241% FRN 10/10/2016 US USD 48,925,552 48,903,535 0.56<br />

Asurion Term Loan 4.335% FRN 24/05/2019 US USD 18,659,645 19,350,984 0.22<br />

Hub International 8.125% 15/10/2018 144A US USD 11,839,984 12,195,183 0.14<br />

Asurion Term Loan 4.873% FRN 23/07/2017 US USD 8,601,112 8,644,118 0.10<br />

Asurion Term Loan 4.811% FRN 24/05/2018 US USD 7,891,692 7,960,744 0.09<br />

2010 Swift M<strong>and</strong>atory CEST 6.00% 31/12/2013 144A US USD 681,142 6,222,228 0.07<br />

Penson Worldwide 12.50% 15/05/2017 144A US USD 3,845,548 865,248 0.01<br />

104,142,040 1.19<br />

Fractions (18) (0.00)<br />

Total Investments (Cost USD 8,343,658,453) 8,716,561,344 99.82<br />

Forward Foreign Exchange Contracts<br />

- A-ACC Shares (EUR) (hedged)<br />

Underlying Unrealised % Net<br />

exposure gain / (loss) Assets<br />

USD USD<br />

Bought EUR Sold USD at 0.77675 07/11/2012 203,122,558 1,544,206 0.02<br />

Bought EUR Sold USD at 0.77718 07/11/2012 165,083,353 1,347,192 0.02<br />

Bought EUR Sold USD at 0.77696 07/11/2012 164,872,770 1,298,336 0.01<br />

Bought EUR Sold USD at 0.77674 07/11/2012 165,049,808 1,251,018 0.01<br />

Bought EUR Sold USD at 0.77647 07/11/2012 164,849,024 1,192,362 0.01<br />

Bought EUR Sold USD at 0.77196 07/12/2012 175,526,700 293,696 0.00<br />

Bought EUR Sold USD at 0.77169 07/12/2012 219,024,961 288,600 0.00<br />

Bought EUR Sold USD at 0.77181 07/12/2012 176,209,080 260,100 0.00<br />

Bought EUR Sold USD at 0.77176 07/12/2012 174,924,360 247,253 0.00<br />

Bought EUR Sold USD at 0.77164 07/12/2012 176,896,493 221,471 0.00<br />

Bought EUR Sold USD at 0.76691 07/11/2012 13,039,400 (67,417) (0.00)<br />

Bought USD Sold EUR at 1.29557 07/11/2012 177,067,572 (222,267) (0.00)<br />

Bought USD Sold EUR at 1.29550 07/11/2012 178,203,918 (233,310) (0.00)<br />

Bought USD Sold EUR at 1.29537 07/11/2012 175,121,775 (246,825) (0.00)<br />

Bought USD Sold EUR at 1.29530 07/11/2012 176,418,973 (258,173) (0.00)<br />

Bought USD Sold EUR at 1.29500 07/11/2012 175,770,374 (297,874) (0.00)<br />

6,618,368 0.08<br />

- E-MDIST Shares (EUR) (hedged)<br />

Bought EUR Sold USD at 0.77686 07/11/2012 2,253,185 17,431 0.00<br />

Bought EUR Sold USD at 0.77184 07/12/2012 3,841,743 5,804 0.00<br />

Bought EUR Sold USD at 0.77672 07/11/2012 167,370 1,265 0.00<br />

Bought EUR Sold USD at 0.77608 07/11/2012 154,107 1,038 0.00<br />

Bought EUR Sold USD at 0.77471 07/11/2012 94,874 470 0.00<br />

Bought EUR Sold USD at 0.77182 07/11/2012 182,943 221 0.00<br />

Bought EUR Sold USD at 0.77203 07/11/2012 80,049 118 0.00<br />

Bought EUR Sold USD at 0.77052 07/11/2012 190,002 (92) (0.00)<br />

Bought EUR Sold USD at 0.76698 07/11/2012 244,336 (1,241) (0.00)<br />

Bought EUR Sold USD at 0.76514 07/11/2012 291,449 (2,174) (0.00)<br />

Bought USD Sold EUR at 1.29525 07/11/2012 3,675,352 (5,520) (0.00)<br />

17,320 0.00<br />

- Y-ACC Shares (EUR) (hedged)<br />

Country Ccy Shares or Market % Net<br />

Code Nominal Value Assets<br />

USD<br />

Bought EUR Sold USD at 0.77701 07/11/2012 131,879,152 1,046,058 0.01<br />

Bought EUR Sold USD at 0.77704 07/11/2012 120,971,890 964,753 0.01<br />

Bought EUR Sold USD at 0.77176 07/12/2012 97,180,500 137,063 0.00<br />

Bought EUR Sold USD at 0.77174 07/12/2012 98,478,748 136,382 0.00<br />

Bought EUR Sold USD at 0.77158 07/12/2012 107,450,374 127,055 0.00<br />

Bought EUR Sold USD at 0.77608 07/11/2012 14,305,171 96,325 0.00<br />

Bought EUR Sold USD at 0.77203 07/11/2012 14,985,245 22,043 0.00<br />

Bought EUR Sold USD at 0.77182 07/11/2012 15,620,151 18,872 0.00<br />

Bought USD Sold EUR at 1.29567 07/11/2012 104,032,712 (122,569) (0.00)<br />

Bought USD Sold EUR at 1.29543 07/11/2012 98,587,073 (134,469) (0.00)<br />

Bought USD Sold EUR at 1.29537 07/11/2012 97,289,875 (137,425) (0.00)<br />

2,154,088 0.02<br />

Other Assets <strong>and</strong> Liabilities 6,555,189 0.08<br />

Net Assets 8,731,906,307 100.00<br />

279<br />

GEOGRAPHICAL SPLIT<br />

Country Country Code % Net Assets<br />

USA US 83.95<br />

Irel<strong>and</strong> IE 6.18<br />

Luxembourg LU 2.73<br />

Cayman Isl<strong>and</strong>s KY 1.28<br />

Australia AU 1.13<br />

Canada CA 1.09<br />

Bermuda BM 0.88<br />

Netherl<strong>and</strong>s NL 0.87<br />

UK GB 0.49<br />

Marshall Isl<strong>and</strong>s MH 0.37<br />

Sweden SE 0.29<br />

Mexico MX 0.27<br />

Norway NO 0.14<br />

Germany DE 0.12<br />

Austria AT 0.02<br />

Cash <strong>and</strong> other net assets 0.18

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