FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE REPORT ...

FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE REPORT PERFORMANCE UPDATE

AS OF JUNE 30, 2014

UNDERSTANDING INVESTMENT PERFORMANCE As you review this update, please remember that the performance data stated represents past performance, which does not guarantee future results. Investment return and principal value of an investment will fluctuate; therefore, you may have a gain or loss when you sell your shares. Current performance may be higher or lower than the performance stated. To learn more or to obtain the most recent month-end performance, call Fidelity at 1-800-343-0860 or visit (log in, choose plan, select "Investment Choices & Research," and then pick investment option).

Cumulative Total Returns %

Average Annual Total Returns %

Fund ID Name

LIFECYCLE

FFKBX Fidelity Freedom K? 2000 Fund 15,16 FFKVX Fidelity Freedom K? 2005 Fund 15,16 FFKCX Fidelity Freedom K? 2010 Fund 15,16 FKVFX Fidelity Freedom K? 2015 Fund 15,16 FFKDX Fidelity Freedom K? 2020 Fund 15,16 FKTWX Fidelity Freedom K? 2025 Fund 15,16 FFKEX Fidelity Freedom K? 2030 Fund 15,16 FKTHX Fidelity Freedom K? 2035 Fund 15,16 FFKFX Fidelity Freedom K? 2040 Fund 15,16 FFKGX Fidelity Freedom K? 2045 Fund 15,16 FFKHX Fidelity Freedom K? 2050 Fund 15,16 FDENX Fidelity Freedom K? 2055 Fund 15,16 FFKAX Fidelity Freedom K? Income Fund 15,16

ASSET ALLOCATION

FASIX Fidelity Asset Manager? 20% 15 FTANX Fidelity Asset Manager? 30% 1,15 FFANX Fidelity Asset Manager? 40% 1,15 FASMX Fidelity Asset Manager? 50% 15 FSANX Fidelity Asset Manager? 60% 1,15 FASGX Fidelity Asset Manager? 70% 15 FAMRX Fidelity Asset Manager? 85% 15

MONEY MARKET

FDLXX Fidelity ? Treasury Only Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01

FDRXX Fidelity? Cash Reserves 17 7-Day Yield % as of 06/30/2014: 0.01

SPAXX Fidelity? Government Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01

SPRXX Fidelity? Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01

Short-Term

Trading

3

10 Life of Fund

Fee (%/ Expense

Month YTD 1 Year 3 Year 5 Year Year Fund Inception Days)

Ratio

2.20 3.54 7.68 4.55

--

n/a 7.02 7/02/09

n/a

2.70 4.07 10.49 5.88

--

n/a 9.54 7/02/09

n/a

3.13 4.45 12.90 7.23

--

n/a 10.88 7/02/09

n/a

3.37 4.67 13.87 7.57

--

n/a 11.28 7/02/09

n/a

3.57 4.89 14.93 8.01

--

n/a 12.36 7/02/09

n/a

3.94 5.21 17.23 9.11

--

n/a 13.46 7/02/09

n/a

4.25 5.43 18.59 9.57

--

n/a 14.07 7/02/09

n/a

4.38 5.47 19.97 10.15 --

n/a 14.69 7/02/09

n/a

4.36 5.50 20.16 10.22 --

n/a 14.87 7/02/09

n/a

4.35 5.47 20.45 10.37 --

n/a 15.07 7/02/09

n/a

4.37 5.49 20.57 10.31 --

n/a 15.15 7/02/09

n/a

4.34 5.55 20.99 10.50 n/a

n/a 10.10 6/01/11

n/a

2.17 3.52 7.70 4.56

--

n/a 6.88 7/02/09

n/a

0.440 0.500 0.530 0.550 0.570 0.610 0.650 0.660 0.660 0.660 0.650 0.660 0.440

1.96 3.61 8.07 5.15 7.42 5.27 6.44 10/01/92

n/a

2.55 4.40 10.75 6.53 9.14 n/a 4.58 10/09/07

n/a

2.86 4.78 13.12 7.65 10.53 n/a 4.78 10/09/07

n/a

3.21 5.26 15.50 8.58 11.90 5.99 8.53 12/28/88

n/a

3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07

n/a

3.82 5.85 19.95 10.29 14.18 6.24 8.18 12/30/91

n/a

4.24 6.37 23.46 11.61 15.67 7.25 5.95 9/24/99

n/a

0.530 0.570 0.570 0.680 0.750 0.750 0.780

0.00 0.01 0.01 0.01 0.01 1.35 3.36 1/05/88

n/a

0.00 0.00 0.01 0.01 0.05 1.68 5.26 5/10/79

n/a

0.00 0.00 0.01 0.01 0.02 1.56 3.22 2/05/90

n/a

0.00 0.01 0.01 0.01 0.04 1.69 3.58 1/23/89

n/a

0.420 0.370 0.420 0.420

The current yield reflects the current earnings of the fund, while the total return refers to a specific past holding period.

For important disclosures, please see last page(s) of this report.

1

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

Short-Term

Trading

3

10 Life of Fund

Fee (%/ Expense

Month YTD 1 Year 3 Year 5 Year Year Fund Inception Days)

Ratio

MONEY MARKET (continued)

FGMXX Fidelity? Money Market Trust Retirement Government Money Market Portfolio 17

7-Day Yield % as of 06/30/2014: 0.01

0.00 0.01 0.01 0.01 0.02 1.58 3.46 12/16/88

n/a

FRTXX Fidelity? Money Market Trust Retirement Money 0.00 0.01 0.01 0.01 0.04 1.70 3.56 12/02/88

n/a

Market Portfolio 17

7-Day Yield % as of 06/30/2014: 0.01

FGRXX Fidelity? U.S. Government Reserves 17 7-Day Yield % as of 06/30/2014: 0.01

0.00 0.01 0.01 0.01 0.02 1.61 4.44 11/03/81

n/a

FSLXX Select Money Market Portfolio 17 7-Day Yield % as of 06/30/2014: 0.01

0.01 0.01 0.02 0.05 0.09 1.74 3.83 8/30/85

n/a

0.420 0.420 0.320 0.300

BOND - GOVERNMENT

FGMNX Fidelity? GNMA Fund 18

2.40 4.44 5.08 3.15 4.65 5.08 6.71 11/08/85

n/a

FGOVX Fidelity? Government Income Fund 18

1.70 3.35 2.99 2.94 3.59 4.57 7.55 4/04/79

n/a

FSTGX Fidelity? Intermediate Government Income Fund 1.07 1.86 2.02 2.06 2.88 3.91 5.65 5/02/88

n/a

18

0.450 0.450 0.450

FFXSX Fidelity? Limited Term Government Fund 2,18

0.56 0.99 1.27 1.02 1.83 3.12 5.30 11/10/86

n/a

FIBAX Spartan? Intermediate Treasury Bond Index Fund 1.94 3.82 2.42 3.83 4.83 n/a 5.53 12/20/05

n/a

- Fidelity Advantage Class 18

FLBAX Spartan? Long-Term Treasury Bond Index Fund - 4.46 12.27 5.77 8.65 7.21 n/a 6.73 12/20/05

n/a

Fidelity Advantage Class 18

FSBAX Spartan? Short-Term Treasury Bond Index Fund - 0.44 0.74 1.01 1.01 1.83 n/a 3.33 12/20/05

n/a

Fidelity Advantage Class 18

0.450 0.100 0.100 0.100

BOND - DIVERSIFIED

FCONX Fidelity? Conservative Income Bond Fund 1,18

0.06 0.14 0.48 0.66 n/a

n/a 0.65 3/03/11

n/a

FCBFX Fidelity? Corporate Bond Fund 18

2.92 6.28 8.48 6.93 n/a

n/a 7.45 5/04/10

n/a

FTHRX Fidelity? Intermediate Bond Fund 18

1.34 2.63 3.60 3.35 5.60 4.38 7.64 5/23/75

n/a

FBNDX Fidelity? Investment Grade Bond Fund 18

2.17 4.32 5.29 4.36 6.59 4.70 7.25 8/06/71

n/a

FMSFX Fidelity? Mortgage Securities Fund 18

2.28 4.14 4.74 3.30 5.06 4.13 6.86 12/31/84

n/a

FSHBX Fidelity? Short-Term Bond Fund 18

0.48 0.83 1.61 1.40 2.67 2.28 4.73 9/15/86

n/a

FSICX Fidelity? Strategic Income Fund 18

3.13 5.94 8.70 5.74 9.05 7.47 7.30 5/01/98

n/a

FTBFX Fidelity? Total Bond Fund 18

2.12 4.34 5.73 4.62 6.88 5.53 5.54 10/15/02

n/a

FSITX

Spartan? U.S. Bond Index Fund - Fidelity Advantage Class 1,3,18

2.03 3.93 4.29 3.57 4.70 4.61 6.54 3/08/90

n/a

FWHBX Strategic Advisers? Core Income Multi-Manager

2.19 4.10 5.00

n/a

n/a

n/a 2.81 6/19/12

n/a

Fund 18

0.400 0.450 0.450 0.450 0.450 0.450 0.690 0.450 0.170

1.040

BOND - INFLATION-PROTECTED

FINPX Fidelity? Inflation-Protected Bond Fund 18

3.68 5.65 4.00 3.14 5.10 4.56 5.22 6/26/02

n/a

FSIYX Spartan? Inflation-Protected Bond Index Fund -

3.78 5.78 4.42

n/a

n/a

n/a -0.08 5/16/12

n/a

Fidelity Advantage Class 18

0.450 0.100

The current yield reflects the current earnings of the fund, while the total return refers to a specific past holding period.

For important disclosures, please see last page(s) of this report.

2

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD

BOND - HIGH YIELD

FAGIX Fidelity? Capital & Income Fund 18,19

4.00 7.28

FFRHX Fidelity? Floating Rate High Income Fund 18,19

1.05 1.98

FHIFX Fidelity? Focused High Income Fund 18,19

1.95 4.37

FGHNX Fidelity? Global High Income Fund 1,18,19

3.06 5.81

SPHIX Fidelity? High Income Fund 18,19

1.80 4.25

FSADX Strategic Advisers? Income Opportunities Fund of 2.69 5.79 Funds 1,18,19

BOND - INTERNATIONAL/GLOBAL

FNMIX Fidelity? New Markets Income Fund 18

6.54 10.41

BALANCED/HYBRID

FBAKX Fidelity? Balanced Fund - Class K 4,15 FFNOX Fidelity? Four-in-One Index Fund 1,15 FDYSX Fidelity? Global Strategies Fund 5,15 FPUKX Fidelity? Puritan? Fund - Class K 4,15 FSDIX Fidelity? Strategic Dividend & Income? Fund 15 FSRRX Fidelity? Strategic Real Return Fund 15

4.11 6.27 4.22 5.95 3.62 4.59 4.08 6.48 5.71 9.49 2.38 6.74

BALANCED/HYBRID - CONVERTIBLES

FCVSX Fidelity? Convertible Securities Fund 15

4.83 7.10

BALANCED/HYBRID - INTERNATIONAL

FGBLX Fidelity? Global Balanced Fund 15

2.99 4.41

DOMESTIC EQUITIES - LARGE VALUE

FBCVX Fidelity? Blue Chip Value Fund 15

FETKX Fidelity? Equity Dividend Income Fund - Class K 4,15

4.31 5.95 5.87 7.33

FEIKX FLVEX

Fidelity? Equity-Income Fund - Class K 4,15

Fidelity? Large Cap Value Enhanced Index Fund 15

5.44 7.83 4.90 8.40

FSLVX Fidelity? Stock Selector Large Cap Value Fund 6,15 5.64 9.25

FVDKX Fidelity? Value Discovery Fund - Class K 4,15

4.43 8.27

FKMOX Strategic Advisers? Value Multi-Manager Fund 1,15

3.96 6.95

1 Year

15.27 4.71 9.22 11.98 10.37 12.65

12.15

19.85 21.26 13.11 20.51 17.70 7.42

20.45

17.59

23.35 21.22

20.55 25.20

24.29 26.80 24.01

3 Year

8.61 4.29 7.39 7.94 8.21 n/a

8.59

12.15 12.39 5.71 11.95 13.35 3.65

10.86

7.80

12.64 13.90

13.80 17.56

16.54 16.86

--

5 Year

15.51 6.04 10.58 n/a 12.58 n/a

11.38

14.67 15.25 10.18 14.64 18.22 8.55

16.96

11.53

15.45 16.79

17.20 18.97

17.53 19.42 n/a

10 Year

9.82 4.54

-n/a 8.26 n/a

10.34

7.98 7.34 n/a 7.48 7.64 n/a

8.52

8.00

5.44 6.02

6.45 n/a

6.71 9.03 n/a

Life of Fund

Fund Inception

Short-Term Trading Fee (%/ Days)

Expense Ratio

10.32 11/01/77 1/90

4.48 8/16/00

1/60

6.49 9/08/04

1/90

7.26 5/11/11

1/90

9.39 8/29/90

1/90

11.30 6/19/12

1/90

0.710 0.700 0.830 0.950 0.720 5.020

11.65 5/04/93

1/90

0.860

9.57 5.07 3.41 11.15 7.72 4.06

11/06/86 6/29/99 10/31/07 4/16/47 12/23/03 9/07/05

n/a n/a n/a n/a n/a 0.75/60

0.470 0.240 0.970 0.470 0.770 0.770

11.37 1/05/87

n/a

0.730

8.38 2/01/93

1/30

1.020

6.38 6/17/03

n/a

10.58 8/21/90

n/a

11.73 5/16/66

n/a

4.77 4/19/07

n/a

6.36 11/15/01

n/a

10.53 12/10/02

n/a

22.17 11/16/11

n/a

0.640 0.530

0.540 0.470

0.720 0.570 1.320

DOMESTIC EQUITIES - MID VALUE

FLPKX Fidelity? Low-Priced Stock Fund - Class K 4,15,20 FSMVX Fidelity? Mid Cap Value Fund 15,20 FVLKX Fidelity? Value Fund - Class K 4,15,20 FVSKX Fidelity? Value Strategies Fund - Class K 4,15,20

2.84 4.94 22.31 15.54 20.25 10.50 14.69 12/27/89 1.5/90

5.07 8.63 27.11 17.60 23.33 10.32 10.34 11/15/01 0.75/30

5.31 9.35 28.22 17.66 22.71 9.27 12.83 12/01/78

n/a

4.96 5.99 23.16 14.61 21.95 8.04 12.21 12/31/83

n/a

0.680 0.800 0.540 0.580

For important disclosures, please see last page(s) of this report.

3

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

Short-Term

Trading

3

10 Life of Fund

Fee (%/ Expense

Month YTD 1 Year 3 Year 5 Year Year Fund Inception Days)

Ratio

DOMESTIC EQUITIES - SMALL VALUE

FCPVX Fidelity? Small Cap Value Fund 15,21

3.53 3.79 22.38 17.08 20.66 -- 12.09 11/03/04 1.5/90

1.070

DOMESTIC EQUITIES - LARGE BLEND

FDEKX Fidelity? Disciplined Equity Fund - Class K 4,15

3.64

FDGKX Fidelity? Dividend Growth Fund - Class K 4,15

5.01

FGIKX Fidelity? Growth & Income Portfolio - Class K 4,15 5.15

FLCEX Fidelity? Large Cap Core Enhanced Index Fund 15 4.72

FLCSX Fidelity? Large Cap Stock Fund 15

3.91

FGRTX Fidelity? Mega Cap Stock Fund 15

4.91

FUSVX Spartan? 500 Index Fund - Fidelity Advantage

5.22

Class 1,7,15

FSTVX Spartan? Total Market Index Fund - Fidelity

4.84

Advantage Class 1,7,15

FLAUX Strategic Advisers? Core Multi-Manager Fund 1,15 4.96

5.92 26.76 15.40 16.44 7.00 10.48 12/28/88 6.62 26.14 13.67 19.10 7.18 11.09 4/27/93 6.43 22.95 18.12 19.08 3.95 10.23 12/30/85 6.30 24.83 16.88 18.46 n/a 6.36 4/19/07 6.66 27.77 19.17 21.59 8.93 8.67 6/22/95 6.61 24.18 18.47 19.68 8.24 5.05 12/28/98 7.10 24.54 16.53 18.78 7.75 10.23 2/17/88

6.93 24.96 16.40 19.36 8.37 6.84 11/05/97

6.34 23.89 --

n/a

n/a 20.72 11/16/11

n/a n/a n/a n/a n/a n/a n/a

0.5/90

n/a

0.650 0.490 0.540 0.460 0.880 0.700 0.070

0.070

1.040

DOMESTIC EQUITIES - MID BLEND

FLCKX Fidelity? Leveraged Company Stock Fund - Class 5.57 7.23 25.01 16.51 22.42 11.05 14.40 12/19/00 1.5/90 K 4,15,20

FMEIX Fidelity? Mid Cap Enhanced Index Fund 15,20

4.12 7.10 28.56 16.36 21.82 n/a 9.22 12/20/07 0.75/30

FSEVX Spartan? Extended Market Index Fund - Fidelity Advantage Class 7,15,20

3.32 6.20 26.76 15.88 21.90 10.41 8.27 11/05/97 0.75/90

FSCKX Spartan? Mid Cap Index Fund - Fidelity Advantage Class 1,15,20

4.92 8.64 26.74 --

n/a

n/a 23.00 9/08/11 0.75/30

0.690 0.620 0.070 0.210

DOMESTIC EQUITIES - SMALL BLEND

FSCRX Fidelity? Small Cap Discovery Fund 15,21

3.48

FCPEX Fidelity? Small Cap Enhanced Index Fund 15,21

1.57

FSLCX Fidelity? Small Cap Stock Fund 15,21

4.34

FDSCX Fidelity? Stock Selector Small Cap Fund 8,15,21

1.74

FSSVX Spartan? Small Cap Index Fund - Fidelity

2.08

Advantage Class 1,15,21

FNAPX Strategic Advisers? Small-Mid Cap Multi-Manager 2.96 Fund 15,21

4.05 23.25 18.56 24.09 12.74 12.25 9/26/00

2.29 24.06 15.62 20.95 n/a 8.72 12/20/07

4.84 23.95 7.70 16.23 7.59 9.06 3/12/98

2.86 22.61 12.49 20.44 8.03 8.47 6/28/93

3.25 23.85 --

n/a

n/a 22.93 9/08/11

4.35 24.08 --

n/a

n/a 21.92 12/20/11

1.5/90 1.5/90 2/90 1.5/90 1.5/90

1.5/90

1.010 0.730 0.680 0.940 0.340

1.300

DOMESTIC EQUITIES - LARGE GROWTH

FFTYX Fidelity Fifty? 15

3.70 5.60 27.96 16.01 18.88 7.33 10.02 9/17/93

n/a

FBGKX Fidelity? Blue Chip Growth Fund - Class K 4,15

5.23 7.22 32.18 17.49 22.04 8.90 11.46 12/31/87

n/a

FCAKX Fidelity? Capital Appreciation Fund - Class K 4,15 3.34 4.20 25.71 17.14 20.75 8.50 11.11 11/26/86

n/a

FCNKX Fidelity? Contrafund? - Class K 4,15

3.92 4.45 25.83 16.05 18.52 10.10 12.56 5/17/67

n/a

FEXKX Fidelity? Export and Multinational Fund - Class K 3.64 4.15 19.27 12.36 15.61 7.24 12.00 10/04/94 0.75/30 4,15

0.830 0.610 0.660 0.560 0.650

FTQGX Fidelity? Focused Stock Fund 1,15 FFDKX Fidelity? Fund - Class K 4,15

3.54 5.27 29.39 15.89 20.45 10.95 7.36 11/12/96

n/a

4.39 6.54 23.83 13.68 16.67 7.42 10.09 4/30/30

n/a

0.910 0.420

For important disclosures, please see last page(s) of this report.

4

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD

DOMESTIC EQUITIES - LARGE GROWTH (continued)

FGCKX Fidelity? Growth Company Fund - Class K 4,15

3.81 6.53

FGDKX Fidelity? Growth Discovery Fund - Class K 4,15

4.53 8.71

FDFKX Fidelity? Independence Fund - Class K 4,15

5.57 10.93

FLGEX Fidelity? Large Cap Growth Enhanced Index Fund 4.87 5.99 15

FMGKX Fidelity? Magellan? Fund - Class K 4,15 FNCMX Fidelity? Nasdaq? Composite Index Fund 1,15 FMILX Fidelity? New Millennium Fund 15 FOCKX Fidelity? OTC Portfolio - Class K 4,15

FSSKX Fidelity? Stock Selector All Cap Fund - Class K 4,15

4.61 6.78 5.30 6.07 2.69 7.12 3.57 6.82 5.09 7.95

FTRNX FMELX

Fidelity? Trend Fund 9,15

Strategic Advisers? Growth Multi-Manager Fund 15

4.39 6.11 4.24 4.97

1 Year

30.13 32.62 38.04 26.63

28.79 30.87 27.93 34.56 28.08

30.24 27.40

3 Year

16.78 16.40 16.51 16.31

14.08 18.01 17.69 16.96 15.68

15.92 --

5 Year

21.54 21.34 21.45 18.95

15.73 20.30 21.07 21.48 18.75

20.67 n/a

10 Year

10.89 9.18 9.90 n/a

5.69 8.79 10.32 11.20 7.94

9.61 n/a

Life of Fund

Fund Inception

Short-Term Trading Fee (%/ Days)

Expense Ratio

13.35 1/17/83

n/a

7.41 3/31/98

n/a

12.18 3/25/83

n/a

7.64 4/19/07

n/a

16.35 9.33 14.26 13.47 10.78

5/02/63 9/25/03 12/28/92 12/31/84 9/28/90

n/a 0.75/90

n/a n/a n/a

11.79 6/16/58

n/a

19.65 11/16/11

n/a

0.710 0.720 0.510 0.450

0.420 0.560 0.910 0.620 0.610

0.780 0.880

DOMESTIC EQUITIES - MID GROWTH

FAGKX Fidelity? Growth Strategies Fund - Class K 4,15,20 4.72 6.00 26.18 12.42 18.71 6.77 8.91 12/28/90 1.5/90

FKMCX Fidelity? Mid-Cap Stock Fund - Class K 4,15,20

2.93 7.08 28.03 16.27 22.28 10.06 12.24 3/29/94 0.75/30

FSSMX Fidelity? Stock Selector Mid Cap Fund 10,15,20

3.60 6.86 24.35 14.81 19.47 7.79 11.30 2/20/96

n/a

DOMESTIC EQUITIES - SMALL GROWTH

FCPGX Fidelity? Small Cap Growth Fund 15,21

0.93 1.61 23.93 13.98 20.35 -- 11.12 11/03/04 1.5/90

INTERNATIONAL/GLOBAL

FGBFX Fidelity? Global Bond Fund 1,15,22 FINUX Fidelity? International Bond Fund 1,15,22

2.76 5.24 7.17

n/a

n/a

n/a 2.20 5/22/12

n/a

3.14 5.72 8.99

n/a

n/a

n/a 3.05 5/22/12

n/a

INTERNATIONAL/GLOBAL - DIVERSIFIED

FDIKX Fidelity? Diversified International Fund - Class K

3.91 3.12 23.11 8.92 12.30 7.30 9.16 12/27/91

1/30

4,15,22

FGILX Fidelity? Global Equity Income Fund 15,22

3.63 6.39 23.15 n/a

n/a

n/a 16.51 5/02/12

1/30

FIVFX Fidelity? International Capital Appreciation Fund 3.93 4.24 22.65 10.29 15.07 6.82 6.61 11/01/94

1/30

15,22

FIDKX Fidelity? International Discovery Fund - Class K 4,15,22

3.11 1.76 21.31 8.79 12.59 7.85 8.29 12/31/86 1/30

FIENX Fidelity? International Enhanced Index Fund 15,22 4.97 6.42 25.48 8.92 12.52 n/a 1.16 12/20/07

1/30

FIGFX Fidelity? International Growth Fund 1,15,22

3.15 1.96 19.40 9.30 15.09 n/a 3.00 11/01/07 1/30

FISMX Fidelity? International Small Cap Fund 15,22

3.21 3.21 25.40 9.98 16.05 10.23 15.80 9/18/02

2/90

FSCOX Fidelity? International Small Cap Opportunities

1.98 6.81 24.77 12.72 18.98 n/a 6.92 8/02/05

2/90

Fund 15,22

FIVLX Fidelity? International Value Fund 1,15,22

3.23 2.32 20.52 6.11 10.08 n/a 1.98 5/18/06

1/30

FOSKX Fidelity? Overseas Fund - Class K 4,15,22

3.29 4.06 24.70 9.95 12.02 6.85 10.55 12/04/84 1/30

FTIEX Fidelity? Total International Equity Fund 1,15,22

3.45 2.44 17.85 6.40 12.03 n/a -0.18 11/01/07 1/30

0.480 0.680 0.720

0.900

0.990 1.070

0.810

1.280 1.170

0.850

0.620 1.130 1.330 1.390

1.050 0.930 1.090

For important disclosures, please see last page(s) of this report.

5

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD

INTERNATIONAL/GLOBAL - DIVERSIFIED (continued)

FWWFX Fidelity? Worldwide Fund 15,22

3.56 3.90

FSGDX Spartan? Global ex U.S. Index Fund - Fidelity Advantage Class 1,15,22

5.07 5.50

FSIVX

Spartan? International Index Fund - Fidelity Advantage Class 1,7,15,22

4.18 4.92

FMJDX Strategic Advisers? International Multi-Manager Fund 1,15,22

3.42 3.17

INTERNATIONAL/GLOBAL - REGIONAL

FICDX Fidelity? Canada Fund 15,22 FHKCX Fidelity? China Region Fund 15,22 FSEAX Fidelity? Emerging Asia Fund 11,15,22 FIEUX Fidelity? Europe Fund 1,15,22 FJPNX Fidelity? Japan Fund 1,15,22 FJSCX Fidelity? Japan Smaller Companies Fund 15,22 FLATX Fidelity? Latin America Fund 15,22 FNORX Fidelity? Nordic Fund 15,22 FPBFX Fidelity? Pacific Basin Fund 15,22

9.24 10.34 3.62 0.12 7.25 6.66 1.94 3.93 7.32 1.08 8.79 1.34 7.34 5.31 6.14 9.27 6.12 5.28

INTERNATIONAL/GLOBAL - EMERGING MARKETS

FEDDX Fidelity Emerging Markets Discovery Fund 1,15,22 8.04 5.10

FTEMX Fidelity Total Emerging Markets Fund 1,15,22

8.00 6.84

FEMEX Fidelity? Emerging Europe, Middle East, Africa (EMEA) Fund 15,22

4.59 4.24

FKEMX Fidelity? Emerging Markets Fund - Class K 4,15,22 6.75 6.97

FPMAX Spartan? Emerging Markets Index Fund - Fidelity 7.36 6.80 Advantage Class 1,15,22

FLILX

Strategic Advisers? Emerging Markets Fund of Funds 1,15,22

7.54 6.69

INTERNATIONAL/GLOBAL - SPECIALTY

FIREX Fidelity? International Real Estate Fund 1,15,22,23,24

6.39 8.06

1 Year

25.57 21.45 23.54 20.03

24.81 20.74 18.19 25.30 8.16 13.92 3.74 47.93 20.98

12.02 18.66 16.15 16.27 13.41 14.21

16.75

3 Year

12.62 --

8.14 n/a

3.84 6.87 3.05 9.26 7.05 16.42 -8.52 15.11 9.90

--1.95 0.45 -n/a

11.09

5 Year

16.75 n/a 11.86 n/a

10.97 11.53 10.75 12.89 6.31 13.11 4.05 20.80 17.00

n/a n/a 9.75 9.88 n/a n/a

13.19

10 Year

8.97 n/a

6.97

n/a

10.49 12.58 12.22 8.81 2.34 2.49 13.41 12.04 10.20

n/a n/a n/a

11.45 n/a

n/a

--

Life of Fund

Fund Inception

Short-Term Trading Fee (%/ Days)

Expense Ratio

8.22 5/30/90

1/30

11.39 9/08/11

1/90

5.62 11/05/97 1/90

15.66 5/02/12

1/30

1.110 0.280 0.170 1.210

10.41 9.68 7.62 9.42 3.82 5.22 8.96 12.01 7.15

11/17/87 11/01/95 4/19/93 10/01/86 9/15/92 11/01/95 4/19/93 11/01/95 10/01/86

1.5/90 1.5/90 1.5/90 1/30 1.5/90 1.5/90 1.5/90 1.5/90 1.5/90

0.870 1.020 1.080 1.060 0.930 1.010 1.040 1.040 1.230

11.88 8.63 0.84

11/01/11 11/01/11 5/08/08

2/90 1.5/90 1.5/90

5.39 11/01/90 2.33 9/08/11

1.5/90 1.5/90

4.98 5/02/12 1.5/90

1.570 1.560 1.400

0.870 0.350

2.380

6.62 9/08/04 1.5/90

1.160

SPECIALTY

FFGCX Fidelity? Global Commodity Stock Fund 15,23 FRIFX Fidelity? Real Estate Income Fund 15,23,24 FRESX Fidelity? Real Estate Investment Portfolio 15,23,24 FIUIX Fidelity? Telecom and Utilities Fund 15,23 FSAIX Select Air Transportation Portfolio 15,23 FSAVX Select Automotive Portfolio 15,23 FSRBX Select Banking Portfolio 15,23 FBIOX Select Biotechnology Portfolio 15,23

7.02 3.81 7.25 7.43 7.17 5.79 -0.51 2.79

7.93 9.35 17.39 13.92 10.90 5.92 3.48 10.21

25.60 9.80 12.65 26.37 40.39 26.15 21.77 41.61

-2.90 10.52 11.46 15.51 22.31 13.17 17.35 35.49

6.65 15.47 24.95 17.72 29.79 24.61 17.68 28.90

n/a 7.41 9.44 10.54 12.27 8.23 1.96 13.85

9.41 8.23 10.51 9.54 11.29 9.52 10.09 14.15

3/25/09 2/04/03 11/17/86 11/27/87 12/16/85 6/30/86 6/30/86 12/16/85

1/30 0.75/90 0.75/90

n/a 0.75/30 0.75/30 0.75/30 0.75/30

1.110 0.840 0.810 0.760 0.870 0.840 0.810 0.760

For important disclosures, please see last page(s) of this report.

6

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

SPECIALTY (continued)

FSLBX FSCHX

Select Brokerage and Investment Management Portfolio 15,23

Select Chemicals Portfolio 15,23

FSDCX Select Communications Equipment Portfolio 12,15,23

FDCPX FSHOX FSCPX FSVLX FDFAX FSDAX FSELX FSENX FSESX

Select Computers Portfolio 15,23 Select Construction and Housing Portfolio 15,23 Select Consumer Discretionary Portfolio 12,15,23 Select Consumer Finance Portfolio 13,15,23 Select Consumer Staples Portfolio 12,15,23 Select Defense and Aerospace Portfolio 15,23 Select Electronics Portfolio 15,23 Select Energy Portfolio 15,23 Select Energy Service Portfolio 15,23

FSLEX

FIDSX FSAGX FSPHX FSCGX FCYIX FSPCX FBSOX FDLSX FSDPX FSHCX

Select Environment and Alternative Energy Portfolio 14,15,23 Select Financial Services Portfolio 15,23 Select Gold Portfolio 15,23 Select Health Care Portfolio 15,23 Select Industrial Equipment Portfolio 15,23 Select Industrials Portfolio 12,15,23 Select Insurance Portfolio 15,23 Select IT Services Portfolio 12,15,23 Select Leisure Portfolio 15,23 Select Materials Portfolio 12,15,23 Select Medical Delivery Portfolio 15,23

FSMEX Select Medical Equipment and Systems Portfolio 15,23

FBMPX FSNGX FNARX FPHAX FSRPX

Select Multimedia Portfolio 15,23 Select Natural Gas Portfolio 15,23 Select Natural Resources Portfolio 15,23 Select Pharmaceuticals Portfolio 15,23 Select Retailing Portfolio 15,23

FSCSX Select Software and Computer Services Portfolio 15,23

FSPTX FSTCX FSRFX FSUTX

Select Technology Portfolio 15,23 Select Telecommunications Portfolio 15,23 Select Transportation Portfolio 15,23 Select Utilities Portfolio 12,15,23

Short-Term

Trading

3

10 Life of Fund

Fee (%/ Expense

Month YTD 1 Year 3 Year 5 Year Year Fund Inception Days)

Ratio

1.05 -1.31 21.81 16.10 13.89 8.49 11.43 7/29/85 0.75/30

4.54 7.27 31.06 17.37 26.01 15.35 14.65 7/29/85 0.75/30 3.87 9.61 29.11 6.15 14.23 6.11 10.50 6/29/90 0.75/30

1.75 1.00 1.93 2.12 5.65 -0.06 10.26 12.73 14.93 3.20

5.74 4.17 1.69 2.05 6.48 -0.54 23.43 15.56 19.82 6.09

24.29 12.65 20.16 16.75 16.46 25.18 45.92 30.76 35.19 27.77

12.82 20.53 17.91 18.89 15.13 16.64 16.17 8.92 7.25 8.78

20.88 21.86 23.17 18.42 17.16 22.15 21.28 16.69 16.97 13.35

9.36 9.16 8.98 -5.43 11.48 11.69 7.24 12.97 12.32 6.24

12.14 11.69 10.21 9.03 13.45 11.70 11.19 9.83 9.97 4.36

7/29/85 9/29/86 6/29/90 12/16/85 7/29/85 5/08/84 7/29/85 7/14/81 12/16/85 6/29/89

0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30

2.09 14.20 5.46 2.14 3.73 4.97 0.87 1.81 3.89 1.88 5.10

3.17 30.66 15.92 2.43 3.80 3.01 -1.98 2.90 6.94 7.24 12.75

20.92 22.23 49.80 24.91 27.06 20.87 25.85 24.66 26.65 25.13 35.34

14.02 -20.21 27.19 13.02 15.58 18.42 19.08 17.31 10.89 13.75 16.33

12.01 -5.23 27.23 21.91 23.38 20.60 24.49 22.74 20.51 21.63 18.53

1.12 5.84 13.41 9.58 12.03 5.25 13.29 11.37 13.53 12.36 10.79

11.56 5.74 16.42 10.10 10.76 11.31 11.94 14.31 10.82 11.98 13.77

12/10/81 12/16/85 7/14/81 9/29/86 3/03/97 12/16/85 2/04/98 5/08/84 9/29/86 6/30/86 4/28/98

0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30

5.59 14.75 13.59 6.49 -0.42 1.02

3.00 22.31 18.26 15.41 -3.26 2.10

24.25 42.99 32.93 39.26 18.33 31.30

22.14 11.55 6.62 22.77 18.83 20.48

28.56 13.67 15.45 24.74 24.40 23.80

11.14 10.42 13.18 12.97 12.22 13.18

13.17 10.07 10.98 8.87 13.32 15.73

6/30/86 4/21/93 3/03/97 6/18/01 12/16/85 7/29/85

0.75/30 0.75/30 0.75/30 0.75/30 0.75/30 0.75/30

5.47 7.56 31.46 13.41 20.80 9.19 12.42 7/14/81 0.75/30 3.55 3.76 14.03 9.64 14.67 8.13 10.59 7/29/85 0.75/30 7.71 14.25 40.36 19.63 27.76 12.70 13.22 9/29/86 0.75/30 8.71 19.85 30.65 17.05 17.56 10.97 11.70 12/10/81 0.75/30

1.420

0.810 0.920

0.820 0.810 0.820 0.850 0.790 0.810 0.820 0.800 0.800 0.970

0.860 0.940 0.770 0.790 0.810 0.830 0.840 0.820 0.820 0.820 0.800

0.810 0.840 0.840 0.820 0.830 0.790

0.800 0.850 0.850 0.820

For important disclosures, please see last page(s) of this report.

7

Cumulative Total Returns %

Average Annual Total Returns %

AS OF JUNE 30, 2014

Fund ID Name

SPECIALTY (continued)

FWRLX Select Wireless Portfolio 15,23

FSRVX Spartan? Real Estate Index Fund - Fidelity Advantage Class 1,15,23,24

Short-Term

Trading

3

10 Life of Fund

Fee (%/ Expense

Month YTD 1 Year 3 Year 5 Year Year Fund Inception Days)

Ratio

1.97 2.07 22.77 12.38 14.31

7.07 18.03 13.18 --

n/a

9.92 2.03 9/21/00 n/a 14.04 9/08/11

0.75/30 0.75/90

0.880 0.190

n/a = Not Applicable/None - - = Not Available

Cumulative Total Returns %

Average Annual Total Returns %

MARKET INDICATORS

Name

3

10

Month YTD 1 Year 3 Year 5 Year Year

For comparison purposes only. It is not possible to invest directly in these indicators.

Barclays Int Govt/Cr Bond

1.23 2.25 2.86 2.83 4.09 4.33

Barclays U.S. Agg Bond

2.04 3.93 4.37 3.66 4.85 4.93

DJ Industrial Average

2.83 2.68 15.56 13.57 17.83 7.63

MSCI EAFE (Net MA)

4.17 4.90 23.72 8.23 11.90 7.10

S&P 500

5.23 7.14 24.61 16.58 18.83 7.78

Russell 2000

2.05 3.19 23.64 14.57 20.21 8.70

n/a = Not Applicable/None - - = Not Available

Total returns are historical and include change in share value and reinvestment of dividends and capital gains, if any. Cumulative total returns are reported as of the period indicated. Life of fund figures are reported as of the inception date to the period indicated. These figures do not include the effects of sales charges, if any, as these charges are waived for contributions made through your company's employee benefit plan. If sales charges were included, returns would have been lower.

EXPENSE RATIO

A mutual fund expense ratio is the total annual fund or class operating expenses (before waivers or reimbursements) paid by the fund and stated as a percent of the fund's total net assets. For other types of investments, the figure in the expense ratio field reflects similar information, but may have been calculated differently than for mutual funds. Mutual fund data comes from the fund's prospectus. For non-mutual fund investment options, the information has been provided by the plan sponsor, the investment option's manager or the trustee. When no ratio is shown for these options it is because none was available. There may be fees and expenses associated with the investment option. Expense information changes periodically. Please consult NetBenefits for updates.

SPECIFIC FUNDS

Morningstar, Inc., provided data on the non-Fidelity mutual funds. Although the data is gathered from reliable sources, accuracy and completeness cannot be guaranteed by Morningstar.

1 Fidelity is voluntarily reimbursing a portion of the fund's expenses. If Fidelity had not, the returns would have been lower.

2 As of August 1, 2013, this fund changed its name from Fidelity Institutional Short-Intermediate Government Fund.

3 On May 4, 2011, an initial offering of the Fidelity Advantage Share Class took place. Returns prior to that date are those of the Investor Class and reflect the Investors Class' expense ratio. Had the Fidelity Advantage Class' expense ratio been reflected, total returns would have been higher.

4 On May 9, 2008, an initial offering of the retirement (K) class took place. Returns and expenses prior to that date are those of the non-K, non-advisor class. Had K class expenses been reflected in the returns shown, total returns would have been higher.

For important disclosures, please see last page(s) of this report.

8

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