Fidelity® 500 Index Fund

Portfolio Analysis Composition as of 05-31-21 % Assets U.S. Stocks 98.7 Non-U.S. Stocks 1.1 Bonds 0.0 ... d Healthcare 13.08 f Utilities 2.56 Operations Gross Prosp Exp Ratio 0.02% of fund assets Net Prosp Exp Ratio 0.02% of fund assets Management Fee 0.02% 12b-1 Fee . Other Fee 0.00% Miscellaneous Fee(s) 0.00% Fund Inception Date 05-04-11 ................
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