Fidelity Funds US High Yield Fund - continued Schedule of Investments as at 31 October 2012 Tele<strong>com</strong>munication Services Fairpoint Communications 7.372% FRN 24/01/2016 US USD 52,500,374 49,014,349 0.56 Sprint Nextel 7.00% 01/03/2020 144A US USD 34,189,176 39,702,180 0.45 Clearwire Communications 14.75% 01/12/2016 144A US USD 26,840,558 33,819,103 0.39 Broadview Networks 11.375% 01/09/2012 (Defaulted) US USD 28,890,538 20,728,961 0.24 Intelsat Jackson Holdings 4.797% FRN 02/04/2018 LU USD 9,809,573 9,899,821 0.11 153,164,414 1.75 Financials Realogy 0.241% FRN 10/10/2016 US USD 48,925,552 48,903,535 0.56 Asurion Term Loan 4.335% FRN 24/05/2019 US USD 18,659,645 19,350,984 0.22 Hub International 8.125% 15/10/2018 144A US USD 11,839,984 12,195,183 0.14 Asurion Term Loan 4.873% FRN 23/07/2017 US USD 8,601,112 8,644,118 0.10 Asurion Term Loan 4.811% FRN 24/05/2018 US USD 7,891,692 7,960,744 0.09 2010 Swift M<strong>and</strong>atory CEST 6.00% 31/12/2013 144A US USD 681,142 6,222,228 0.07 Penson Worldwide 12.50% 15/05/2017 144A US USD 3,845,548 865,248 0.01 104,142,040 1.19 Fractions (18) (0.00) Total Investments (Cost USD 8,343,658,453) 8,716,561,344 99.82 Forward Foreign Exchange Contracts - A-ACC Shares (EUR) (hedged) Underlying Unrealised % Net exposure gain / (loss) Assets USD USD Bought EUR Sold USD at 0.77675 07/11/2012 203,122,558 1,544,206 0.02 Bought EUR Sold USD at 0.77718 07/11/2012 165,083,353 1,347,192 0.02 Bought EUR Sold USD at 0.77696 07/11/2012 164,872,770 1,298,336 0.01 Bought EUR Sold USD at 0.77674 07/11/2012 165,049,808 1,251,018 0.01 Bought EUR Sold USD at 0.77647 07/11/2012 164,849,024 1,192,362 0.01 Bought EUR Sold USD at 0.77196 07/12/2012 175,526,700 293,696 0.00 Bought EUR Sold USD at 0.77169 07/12/2012 219,024,961 288,600 0.00 Bought EUR Sold USD at 0.77181 07/12/2012 176,209,080 260,100 0.00 Bought EUR Sold USD at 0.77176 07/12/2012 174,924,360 247,253 0.00 Bought EUR Sold USD at 0.77164 07/12/2012 176,896,493 221,471 0.00 Bought EUR Sold USD at 0.76691 07/11/2012 13,039,400 (67,417) (0.00) Bought USD Sold EUR at 1.29557 07/11/2012 177,067,572 (222,267) (0.00) Bought USD Sold EUR at 1.29550 07/11/2012 178,203,918 (233,310) (0.00) Bought USD Sold EUR at 1.29537 07/11/2012 175,121,775 (246,825) (0.00) Bought USD Sold EUR at 1.29530 07/11/2012 176,418,973 (258,173) (0.00) Bought USD Sold EUR at 1.29500 07/11/2012 175,770,374 (297,874) (0.00) 6,618,368 0.08 - E-MDIST Shares (EUR) (hedged) Bought EUR Sold USD at 0.77686 07/11/2012 2,253,185 17,431 0.00 Bought EUR Sold USD at 0.77184 07/12/2012 3,841,743 5,804 0.00 Bought EUR Sold USD at 0.77672 07/11/2012 167,370 1,265 0.00 Bought EUR Sold USD at 0.77608 07/11/2012 154,107 1,038 0.00 Bought EUR Sold USD at 0.77471 07/11/2012 94,874 470 0.00 Bought EUR Sold USD at 0.77182 07/11/2012 182,943 221 0.00 Bought EUR Sold USD at 0.77203 07/11/2012 80,049 118 0.00 Bought EUR Sold USD at 0.77052 07/11/2012 190,002 (92) (0.00) Bought EUR Sold USD at 0.76698 07/11/2012 244,336 (1,241) (0.00) Bought EUR Sold USD at 0.76514 07/11/2012 291,449 (2,174) (0.00) Bought USD Sold EUR at 1.29525 07/11/2012 3,675,352 (5,520) (0.00) 17,320 0.00 - Y-ACC Shares (EUR) (hedged) Country Ccy Shares or Market % Net Code Nominal Value Assets USD Bought EUR Sold USD at 0.77701 07/11/2012 131,879,152 1,046,058 0.01 Bought EUR Sold USD at 0.77704 07/11/2012 120,971,890 964,753 0.01 Bought EUR Sold USD at 0.77176 07/12/2012 97,180,500 137,063 0.00 Bought EUR Sold USD at 0.77174 07/12/2012 98,478,748 136,382 0.00 Bought EUR Sold USD at 0.77158 07/12/2012 107,450,374 127,055 0.00 Bought EUR Sold USD at 0.77608 07/11/2012 14,305,171 96,325 0.00 Bought EUR Sold USD at 0.77203 07/11/2012 14,985,245 22,043 0.00 Bought EUR Sold USD at 0.77182 07/11/2012 15,620,151 18,872 0.00 Bought USD Sold EUR at 1.29567 07/11/2012 104,032,712 (122,569) (0.00) Bought USD Sold EUR at 1.29543 07/11/2012 98,587,073 (134,469) (0.00) Bought USD Sold EUR at 1.29537 07/11/2012 97,289,875 (137,425) (0.00) 2,154,088 0.02 Other Assets <strong>and</strong> Liabilities 6,555,189 0.08 Net Assets 8,731,906,307 100.00 279 GEOGRAPHICAL SPLIT Country Country Code % Net Assets USA US 83.95 Irel<strong>and</strong> IE 6.18 Luxembourg LU 2.73 Cayman Isl<strong>and</strong>s KY 1.28 Australia AU 1.13 Canada CA 1.09 Bermuda BM 0.88 Netherl<strong>and</strong>s NL 0.87 UK GB 0.49 Marshall Isl<strong>and</strong>s MH 0.37 Sweden SE 0.29 Mexico MX 0.27 Norway NO 0.14 Germany DE 0.12 Austria AT 0.02 Cash <strong>and</strong> other net assets 0.18
Fidelity Funds Euro Cash Fund 1 Schedule of Investments as at 31 October 2012 Country Ccy Shares or Market % Net Code Nominal Value Assets EUR Securities Admitted to or Dealt on an Official Stock Exchange Financials Rabobank Nederl<strong>and</strong> 0.52% FRN 09/11/2012 EMTN NL EUR 14,335,687 14,336,472 6.37 ANZ Banking Group 2.625% 16/11/2012 EMTN AU EUR 9,209,414 9,219,140 4.09 HSBC France 0.533% FRN 03/12/2012 EMTN FR EUR 6,746,205 6,748,981 3.00 Bank Nederl<strong>and</strong>se Gemeenten 3.875% 21/02/2013 EMTN NL EUR 4,469,361 4,521,518 2.01 UBS London 2.375% 21/01/2013 CH EUR 3,993,754 4,013,275 1.78 Nederl<strong>and</strong>se Waterschapsbank 4.00% 12/03/2013 EMTN NL EUR 2,698,482 2,736,805 1.22 KA Finanz 2.25% 17/12/2012 AT EUR 2,698,482 2,705,930 1.20 Credit Suisse London 0.816% FRN 07/01/2013 EMTN CH EUR 2,302,986 2,306,265 1.02 Royal Bank of Canada 4.50% 05/11/2012 EMTN CA EUR 2,297,926 2,299,013 1.02 ABN Amro Bank 3.25% 18/01/2013 EMTN NL EUR 1,813,043 1,824,768 0.81 UBS London 4.875% 21/01/2013 EMTN CH EUR 1,264,914 1,278,102 0.57 Royal Bank of Canada 3.25% 18/01/2013 EMTN CA EUR 843,276 848,974 0.38 52,839,243 23.46 Securities Admitted to or Dealt on Other Regulated Markets Government EFSF Treasury Bill 0.023% 21/03/2013 99 EUR 10,540,946 10,540,024 4.68 10,540,024 4.68 Money Market Instruments KA Finanz CP 0.03% 09/11/2012 AT EUR 12,649,135 12,649,051 5.62 Mizuho Corporate Bank CD 0.02% 02/11/2012 GB EUR 10,962,584 10,962,584 4.87 Sumitomo Mitsui Banking CP 0.03% 03/12/2012 BE EUR 10,962,584 10,962,292 4.87 BNP Paribas CD 0.096% 04/02/2013 FR EUR 10,962,584 10,959,836 4.87 Mizuho Corporate Bank CD 0.029% 03/12/2012 GB EUR 10,119,308 10,119,047 4.49 Natixis CD 0.059% 03/12/2012 FR EUR 9,697,670 9,697,153 4.31 FMS Wertmanagement CP 0.02% 31/01/2013 DE EUR 8,601,412 8,600,977 3.82 Sumitrust CD 0.029% 30/11/2012 JP EUR 8,432,757 8,432,553 3.74 Deutsche Bank (Australia) CP 0.03% 04/01/2013 AU EUR 8,432,757 8,432,307 3.74 Bank of Tokyo-Mitsubishi UFJ CD 0.050% 04/01/2013 JP EUR 8,432,757 8,432,007 3.74 StadsHypotek CP 0.10% 27/12/2012 SE EUR 6,746,205 6,745,156 2.99 KA Finanz CP 0.03% 10/01/2013 AT EUR 5,902,930 5,902,585 2.62 Nationwide (Uregistered) CP 0.03% 12/11/2012 GB EUR 5,481,292 5,481,242 2.43 Nordea Bank CP 0.13% 12/11/2012 SE EUR 4,806,671 4,806,481 2.13 Electricite de France CP 0.03% 08/11/2012 FR EUR 4,638,016 4,637,989 2.06 Nordea Bank CP 0.10% 05/11/2012 SE EUR 4,216,378 4,216,332 1.87 Svenska H<strong>and</strong>elsbanken CP 0.11% 27/12/2012 SE EUR 3,373,103 3,372,526 1.50 Deutsche Bank (Australia) CP 0.03% 19/12/2012 AU EUR 2,951,465 2,951,347 1.31 Pohjola Bank CP 0.03% 09/11/2012 FI EUR 2,614,155 2,614,137 1.16 Aviva CP 0.01% 19/11/2012 GB EUR 2,108,189 2,108,179 0.94 Swedbank CP 0.05% 05/11/2012 SE EUR 2,108,189 2,108,177 0.94 Nordea Bank CP 0.09% 06/12/2012 SE EUR 2,108,189 2,108,005 0.94 Mitsubishi UFJ T&B CD 0.06% 16/01/2013 JP EUR 2,108,189 2,107,922 0.94 DnB NOR Bank CP 0.03% 05/11/2012 NO EUR 1,686,551 1,686,546 0.75 Svenska H<strong>and</strong>elsbanken CP 0.34% 05/11/2012 SE EUR 1,686,551 1,686,488 0.75 Nordea Bank CP 0.10% 21/11/2012 SE EUR 1,686,551 1,686,458 0.75 BPCE CP 0.025% 01/11/2012 FR EUR 1,264,914 1,264,914 0.56 ABN Amro Bank CD 0.074% 05/12/2012 NL EUR 1,011,931 1,011,859 0.45 L<strong>and</strong>esbank Hessen-Thuringen CP 0.12% 02/11/2012 DE EUR 843,276 843,273 0.37 ABN Amro Bank CD 0.047% 12/11/2012 NL EUR 843,276 843,263 0.37 Svenska H<strong>and</strong>elsbanken CP 0.165% 02/05/2013 SE EUR 843,276 842,588 0.37 ABN Amro Bank CD 0.059% 05/12/2012 NL EUR 674,621 674,582 0.30 158,947,856 70.57 Total Investments (Cost EUR 217,745,246) 222,327,123 98.71 Bank Deposits Swedbank TD 0.01% 01/11/2012 SE EUR 14,774,493 14,774,493 6.56 14,774,493 6.56 Fractions 1 0.00 14,774,494 6.56 Total Investments (including Bank Deposits) 237,101,617 105.27 Other Assets <strong>and</strong> Liabilities (11,876,802) (5.27) Net Assets 225,224,815 100.00 280 GEOGRAPHICAL SPLIT Country Country Code % Net Assets Sweden SE 18.80 France FR 14.79 UK GB 12.73 Netherl<strong>and</strong>s NL 11.52 Austria AT 9.44 Australia AU 9.15 Japan JP 8.42 Belgium BE 4.87 Supranational 99 4.68 Germany DE 4.19 Switzerl<strong>and</strong> CH 3.37 Canada CA 1.40 Finl<strong>and</strong> FI 1.16 Norway NO 0.75 Cash <strong>and</strong> other net liabilities (5.27) A full list of footnotes is given on page 6. 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 <strong>and</strong> in the geographical split is subject to rounding.
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Fidelity Funds Société d’invest
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Fidelity Funds Introduction Fidelit
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Fidelity Funds Investment Manager
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Fidelity Funds Footnotes 1 These su
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Fidelity Funds American Diversified
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Fidelity Funds American Diversified
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Fidelity Funds ASEAN Fund Schedule
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Fidelity Funds Asia Pacific Dividen
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Fidelity Funds Asia Pacific Propert
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Fidelity Funds Asian Equity Fund 1,
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Fidelity Funds Asian Smaller Compan
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Fidelity Funds Asian Special Situat
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Fidelity Funds Australia Fund Sched
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Fidelity Funds China Focus Fund Sch
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Fidelity Funds China Opportunities
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Fidelity Funds Emerging Asia Fund S
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Fidelity Funds Emerging Europe, Mid
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Fidelity Funds Emerging Markets Fun
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Fidelity Funds Euro Blue Chip Fund
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Fidelity Funds European Aggressive
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Fidelity Funds European Dynamic Gro
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Fidelity Funds European Fund 1,4 Sc
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Fidelity Funds European Fund 1,4 -
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Fidelity Funds European Larger Comp
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Fidelity Funds European Smaller Com
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Fidelity Funds European Special Sit
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Fidelity Funds Germany Fund Schedul
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Fidelity Funds Global Demographics
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Fidelity Funds Global Dividend Fund
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Fidelity Funds Global Focus Fund Sc
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Fidelity Funds Global Health Care F
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Fidelity Funds Global Industrials F
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Fidelity Funds Global Opportunities
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Fidelity Funds Global Real Asset Se
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Fidelity Funds Global Technology Fu
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Fidelity Funds Greater China Fund S
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Fidelity Funds Greater China Fund I
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Fidelity Funds Iberia Fund Schedule
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Fidelity Funds Indonesia Fund Sched
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Fidelity Funds International Fund -
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Fidelity Funds Marwyn Value Investo
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Fidelity Funds Italy Fund Schedule
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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 S
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Fidelity Funds Nordic Fund Schedule
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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 Sch
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Fidelity Funds Thailand Fund Schedu
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Fidelity Funds World Fund Schedule
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Fidelity Funds World Fund - continu
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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 Bangkok Bank NVDR TH
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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 Fidelity Sélection
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Fidelity Funds Contracts For Differ
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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 Industrials Glencore
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Fidelity Funds FPS Growth Fund 4 Sc
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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 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 FPS Moderate Growth
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Fidelity Funds Euro Balanced Fund -
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Fidelity Funds Euro Bund Future 06/
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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 Growth & Income Fund
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Fidelity Funds USI Holdings 4.310%
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Fidelity Funds Pay fixed 2.435% rec
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Fidelity Funds Multi Asset Navigato
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Fidelity Funds Multi Asset Navigato
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Fidelity Funds Multi Asset Navigato
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Fidelity Funds Multi Asset Navigato
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Fidelity Funds Bought CAD Sold USD
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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 Information Technolo
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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 Credit Default Swaps
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Fidelity Funds Asian Bond Fund Sche
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Fidelity Funds Asian High Yield Fun
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Fidelity Funds Cemex Finance 9.50%
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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 Debt
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Fidelity Funds Emerging Market Debt
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Fidelity Funds Euro Bond Fund Sched
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Fidelity Funds Euro Corporate Bond
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Fidelity Funds Euro Short Term Bond
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Fidelity Funds Japan 10 Year Bond F
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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 2015
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Fidelity Funds Ip Access (C)* GB GB
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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 Futures Fidelity Tar
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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 Ip Access (C)* GB GB
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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 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 Live 2020 Fund 1,4,5
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Fidelity Funds Live 2020 Fund 1,4,5
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Fidelity Funds Live 2020 Fund 1,4,5
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Fidelity Funds Live 2020 Fund 1,4,5
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Fidelity Funds Live 2020 Fund 1,4,5
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Fidelity Funds Live 2030 Fund 1,4,5
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Fidelity Funds Live 2030 Fund 1,4,5
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Fidelity Funds Live 2030 Fund 1,4,5
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Fidelity Funds Live 2030 Fund 1,4,5
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Fidelity Funds Live Today Fund 1,4,
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Fidelity Funds Live Today Fund 1,4,
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Fidelity Funds Live Today Fund 1,4,
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Fidelity Funds Telecommunication Se
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Fidelity Funds FAWF America Fund 1,
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Fidelity Funds FAWF American Divers
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Fidelity Funds FAWF American Growth
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Fidelity Funds FAWF Asian Special S
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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 Japan Fund 1,4,
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Fidelity Funds FAWF US Dollar Bond
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Fidelity Funds Unlisted Financials
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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 FAWF Global Balanced
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Fidelity Funds FAWF Global Balanced
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Fidelity Funds FAWF Global Balanced
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Fidelity Funds FAWF Global Balanced
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Fidelity Funds FAWF Global Balanced
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Fidelity Funds FAWF Global Balanced
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Fidelity Funds Bought USD Sold EUR
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Fidelity Funds Institutional Americ
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Fidelity Funds Institutional Asia P
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Fidelity Funds Institutional Emergi
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Fidelity Funds Institutional Euro B
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Fidelity Funds Institutional Global
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Fidelity Funds Institutional Hong K
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Fidelity Funds Institutional Japan
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Fidelity Funds Institutional Europe
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Fidelity Funds Credit Default Swaps
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Fidelity Funds Institutional Global
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY ASSETS
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Fidelity Funds NAME CURRENCY Statem
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Fidelity Funds NAME CURRENCY Statem
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Fidelity Funds NAME CURRENCY Statem
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Fidelity Funds NAME CURRENCY Statem
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Fidelity Funds NAME CURRENCY Statem
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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 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 10. Credit Facility
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Fidelity Funds Directory Registered