Fund Name |
Fund Inception |
1 yr | 5 yr |
10 yr/ Life* |
Short- Term Trading Fee |
Expense Ratio (Gross/ Net)† |
Searchable Categories |
|||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
Moderately Aggressive Allocation | +2.79% | 06/29/1999 | +13.12% | +3.41% | +8.52% | +8.57% | na |
0.13% 0.11% |
31634R109 FFNOX 00355 355 | |||
Large Blend | +3.23% | 04/26/2019 | +23.91% | +7.95% | +13.80% | +14.04% | na |
0.00% 0.00% |
315911537 FCFMX 01015 1015 | |||
Large Growth | +2.33% | 09/25/2003 | +29.48% | +8.30% | +17.55% | +16.13% | na |
0.29% 0.29% |
315912709 FNCMX 01282 1282 | |||
Symbol
FSGEX
CUSIP
316146679
Fund #
2215
|
Foreign Large Blend | +2.82% | 09/29/2009 | +5.35% | +0.85% | +4.13% | +4.86% | na |
0.01% 0.01% |
316146679 FSGEX 02215 2215 | ||
Target-Date Retirement | +0.77% | 10/02/2009 | +4.96% | +0.34% | +2.42% | +3.15% | na |
0.12% 0.12% |
315792150 FIKFX 02216 2216 | |||
Target-Date 2000-2010 | +1.01% | 10/02/2009 | +5.70% | +0.35% | +3.22% | +4.28% | na |
0.12% 0.12% |
315793307 FKIFX 02226 2226 | |||
Target-Date 2020 | +1.46% | 10/02/2009 | +7.68% | +0.67% | +4.51% | +5.51% | na |
0.12% 0.12% |
315793505 FPIFX 02228 2228 | |||
Target-Date 2025 | +1.72% | 10/02/2009 | +8.50% | +1.02% | +5.10% | +6.03% | na |
0.12% 0.12% |
315793604 FQIFX 02232 2232 | |||
Target-Date 2030 | +1.88% | 10/02/2009 | +9.51% | +1.59% | +5.84% | +6.85% | na |
0.12% 0.12% |
315793703 FXIFX 02235 2235 | |||
Target-Date 2035 | +2.14% | 10/02/2009 | +11.23% | +2.43% | +7.14% | +7.87% | na |
0.12% 0.12% |
315793802 FIHFX 02238 2238 | |||
Target-Date 2040 | +2.56% | 10/02/2009 | +13.33% | +3.44% | +8.35% | +8.54% | na |
0.12% 0.12% |
315793885 FBIFX 02239 2239 | |||
Target-Date 2045 | +2.78% | 10/02/2009 | +14.16% | +3.82% | +8.60% | +8.66% | na |
0.12% 0.12% |
315793877 FIOFX 02240 2240 | |||
Target-Date 2050 | +2.77% | 10/02/2009 | +14.17% | +3.82% | +8.60% | +8.67% | na |
0.12% 0.12% |
315793869 FIPFX 02241 2241 | |||
Target-Date 2015 | +1.19% | 10/02/2009 | +6.73% | +0.54% | +3.88% | +4.96% | na |
0.12% 0.12% |
315793406 FLIFX 02242 2242 | |||
Intermediate Core Bond | +0.30% | 03/08/1990 | +1.34% | -2.38% | -0.31% | +1.33% | na |
0.025% 0.025% |
316146356 FXNAX 00651 2326 | |||
Large Blend | +2.91% | 02/17/1988 | +25.00% | +8.93% | +14.51% | +13.09% | na |
0.015% 0.015% |
315911750 FXAIX 00650 2328 | |||
Target-Date 2055 | +2.76% | 06/01/2011 | +14.16% | +3.84% | +8.61% | +8.66% | na |
0.12% 0.12% |
315793828 FDEWX 02338 2338 | |||
Diversified Emerging Mkts | +1.43% | 09/08/2011 | +6.80% | -2.22% | +1.32% | +3.35% | na |
0.075% 0.075% |
316146331 FPADX 02341 2344 | |||
Foreign Large Blend | +2.84% | 09/08/2011 | +5.31% | +0.85% | +4.12% | +4.86% | na |
0.055% 0.055% |
316146315 FSGGX 02345 2348 | |||
Mid-Cap Blend | +5.03% | 09/08/2011 | +15.35% | +3.80% | +9.93% | +9.63% | na |
0.025% 0.025% |
316146265 FSMDX 02349 2352 | |||
Real Estate | +2.42% | 09/08/2011 | +4.97% | -4.60% | +1.60% | +3.95% | na |
0.07% 0.07% |
316146232 FSRNX 02353 2355 | |||
Small Blend | +3.97% | 09/08/2011 | +11.69% | +1.41% | +7.50% | +7.96% | na |
0.025% 0.025% |
316146182 FSSNX 02356 2358 | |||
Large Blend | +3.27% | 11/05/1997 | +23.88% | +7.94% | +13.80% | +12.50% | na |
0.015% 0.015% |
315911693 FSKAX 00397 2361 | |||
Foreign Large Blend | +3.53% | 11/05/1997 | +3.71% | +1.71% | +4.87% | +5.38% | na |
0.035% 0.035% |
315911727 FSPSX 00399 2363 | |||
Mid-Cap Blend | +5.73% | 11/05/1997 | +16.98% | +2.57% | +9.90% | +9.46% | na |
0.035% 0.035% |
315911743 FSMAX 00398 2365 | |||
Inflation-Protected Bond | +0.56% | 05/16/2012 | +2.01% | -2.35% | +1.81% | +2.18% | na |
0.05% 0.05% |
31635T104 FIPDX 02415 2418 | |||
Symbol
FIOOX
CUSIP
31635V406
Fund #
2612
|
Large Value | +4.72% | 11/07/2013 | +14.35% | +5.67% | +8.73% | +8.50% | na |
0.00% 0.00% |
31635V406 FIOOX 02612 2612 | ||
Target-Date 2060 | +2.76% | 08/05/2014 | +14.17% | +3.84% | +8.60% | +8.66% | na |
0.12% 0.12% |
315793695 FDKLX 02714 2714 | |||
Symbol
FFGZX
CUSIP
315793687
Fund #
2764
|
Target-Date Retirement | +0.77% | 10/02/2009 | +5.01% | +0.38% | +2.47% | +3.20% | na |
0.08% 0.08% |
315793687 FFGZX 02216 2764 | ||
Symbol
FFWTX
CUSIP
315793661
Fund #
2766
|
Target-Date 2000-2010 | +0.94% | 10/02/2009 | +5.83% | +0.39% | +3.27% | +4.33% | na |
0.08% 0.08% |
315793661 FFWTX 02226 2766 | ||
Symbol
FIWFX
CUSIP
315793653
Fund #
2767
|
Target-Date 2015 | +1.19% | 10/02/2009 | +6.77% | +0.56% | +3.92% | +5.00% | na |
0.08% 0.08% |
315793653 FIWFX 02242 2767 | ||
Symbol
FIWTX
CUSIP
315793646
Fund #
2768
|
Target-Date 2020 | +1.46% | 10/02/2009 | +7.74% | +0.71% | +4.54% | +5.56% | na |
0.08% 0.08% |
315793646 FIWTX 02228 2768 | ||
Symbol
FFEDX
CUSIP
315793638
Fund #
2769
|
Target-Date 2025 | +1.72% | 10/02/2009 | +8.54% | +1.05% | +5.14% | +6.08% | na |
0.08% 0.08% |
315793638 FFEDX 02232 2769 | ||
Symbol
FFEGX
CUSIP
315793620
Fund #
2770
|
Target-Date 2030 | +1.88% | 10/02/2009 | +9.56% | +1.62% | +5.89% | +6.89% | na |
0.08% 0.08% |
315793620 FFEGX 02235 2770 | ||
Symbol
FFEZX
CUSIP
315793612
Fund #
2771
|
Target-Date 2035 | +2.14% | 10/02/2009 | +11.28% | +2.47% | +7.19% | +7.92% | na |
0.08% 0.08% |
315793612 FFEZX 02238 2771 | ||
Symbol
FFIZX
CUSIP
315793596
Fund #
2772
|
Target-Date 2040 | +2.56% | 10/02/2009 | +13.38% | +3.48% | +8.40% | +8.59% | na |
0.08% 0.08% |
315793596 FFIZX 02239 2772 | ||
Symbol
FFOLX
CUSIP
315793588
Fund #
2773
|
Target-Date 2045 | +2.78% | 10/02/2009 | +14.20% | +3.87% | +8.65% | +8.71% | na |
0.08% 0.08% |
315793588 FFOLX 02240 2773 | ||
Symbol
FFOPX
CUSIP
315793570
Fund #
2774
|
Target-Date 2050 | +2.77% | 10/02/2009 | +14.22% | +3.87% | +8.66% | +8.71% | na |
0.08% 0.08% |
315793570 FFOPX 02241 2774 | ||
Symbol
FFLDX
CUSIP
315793562
Fund #
2775
|
Target-Date 2055 | +2.81% | 06/01/2011 | +14.20% | +3.87% | +8.64% | +8.71% | na |
0.08% 0.08% |
315793562 FFLDX 02338 2775 | ||
Symbol
FFLEX
CUSIP
315793554
Fund #
2776
|
Target-Date 2060 | +2.76% | 08/05/2014 | +14.22% | +3.87% | +8.64% | +8.71% | na |
0.08% 0.08% |
315793554 FFLEX 02714 2776 | ||
Large Growth | +2.07% | 06/07/2016 | +33.26% | +10.46% | +18.94% | +18.68% | na |
0.035% 0.035% |
31635V729 FSPGX 02823 2826 | |||
Large Value | +4.69% | 06/07/2016 | +14.35% | +5.63% | +8.68% | +9.66% | na |
0.035% 0.035% |
31635V679 FLCOX 02827 2830 | |||
Foreign Large Blend | +2.61% | 06/07/2016 | +4.99% | +0.51% | +4.11% | +5.88% | na |
0.06% 0.06% |
31635V638 FTIHX 02831 2834 | |||
Large Blend | +3.32% | 05/09/2017 | +23.60% | +8.34% | +14.70% | +14.70% | na |
0.11% 0.11% |
31635V398 FITLX 02939 2941 | |||
Foreign Large Blend | +2.48% | 05/09/2017 | +5.68% | -0.57% | +3.64% | +4.68% | na |
0.20% 0.20% |
31635V349 FNIDX 02986 2988 | |||
Short-Term Bond | +0.24% | 10/18/2017 | +3.89% | +0.98% | +1.29% | +1.69% | na |
0.03% 0.03% |
31635V273 FNSOX 03038 3041 | |||
Intermediate Government | +0.39% | 12/20/2005 | +0.40% | -3.03% | -0.71% | +0.96% | na |
0.03% 0.03% |
31635V257 FUAMX 01561 3045 | |||
Long Government | +0.44% | 12/20/2005 | -6.18% | -11.92% | -5.20% | -0.72% | na |
0.03% 0.03% |
31635V232 FNBGX 01562 3047 | |||
Short Government | +0.24% | 12/20/2005 | +3.25% | +0.60% | +0.97% | +1.28% | na |
0.03% 0.03% |
31635V216 FUMBX 01560 3049 | |||
Intermediate Core Bond | +0.32% | 06/19/2018 | +1.23% | -2.40% | -0.41% | +1.19% | na |
0.10% 0.10% |
31635T401 FNDSX 03084 3086 | |||
Symbol
FHNFX
CUSIP
31617L756
Fund #
3221
|
Intermediate Government | +0.32% | 08/17/2018 | +0.71% | -2.72% | -0.59% | +0.82% | na |
0.00% 0.00% |
31617L756 FHNFX 03221 3221 | ||
Symbol
FHOFX
CUSIP
31635V133
Fund #
3222
|
Large Growth | +2.05% | 08/17/2018 | +33.37% | +10.50% | +18.96% | +17.75% | na |
0.00% 0.00% |
31635V133 FHOFX 03222 3222 | ||
Symbol
FHQFX
CUSIP
31617H854
Fund #
3224
|
Ultrashort Bond | +0.25% | 08/17/2018 | +5.33% | +3.91% | +2.52% | +2.48% | na |
0.00% 0.00% |
31617H854 FHQFX 03224 3224 | ||
Symbol
FHLFX
CUSIP
315911644
Fund #
3226
|
Foreign Large Blend | +3.54% | 08/17/2018 | +3.68% | +1.68% | +4.80% | +5.20% | na |
0.03% 0.01% |
315911644 FHLFX 03226 3226 | ||
Intermediate Core Bond | +0.22% | 04/26/2019 | +1.40% | -2.35% | -0.32% | +0.65% | na |
0.00% 0.00% |
31635T823 FIFZX 03357 3357 | |||
Mid-Cap Growth | +6.14% | 07/11/2019 | +22.02% | +4.02% | +11.34% | +11.28% | na |
0.05% 0.05% |
31635T815 FMDGX 03403 3403 | |||
Mid-Cap Value | +4.68% | 07/11/2019 | +13.00% | +3.86% | +8.51% | +9.03% | na |
0.06% 0.06% |
31635T799 FIMVX 03404 3404 | |||
Small Growth | +4.80% | 07/11/2019 | +15.25% | +0.39% | +6.93% | +7.63% | na |
0.05% 0.05% |
31635T781 FECGX 03405 3405 | |||
Small Value | +3.09% | 07/11/2019 | +8.16% | +2.02% | +7.29% | +8.27% | na |
0.05% 0.05% |
31635T773 FISVX 03406 3406 | |||
Symbol
FFIKX
CUSIP
315796615
Fund #
3427
|
Target-Date 2065+ | +2.80% | 06/28/2019 | +14.24% | +3.87% | +8.64% | +9.45% | na |
0.09% 0.09% |
315796615 FFIKX 03463 3427 | ||
Target-Date 2065+ | +2.80% | 06/28/2019 | +14.11% | +3.82% | +8.59% | +9.41% | na |
0.13% 0.13% |
315796839 FFIJX 03463 3463 | |||
Muni National Interm | -0.22% | 07/11/2019 | +1.30% | -0.95% | +0.29% | +0.47% | na |
0.07% 0.07% |
31635T765 FMBIX 03469 3469 | |||
Global Bond-USD Hedged | -0.22% | 10/10/2019 | +4.64% | +0.09% | +0.55% | +0.31% | na |
0.06% 0.06% |
31635T732 FBIIX 04506 4506 | |||
Target-Date Retirement | +0.77% | 10/02/2009 | +4.97% | +0.41% | +2.48% | +3.20% | na |
0.05% 0.05% |
315796599 FAPIX 02216 6191 | |||
Target-Date 2000-2010 | +1.01% | 10/02/2009 | +5.79% | +0.40% | +3.29% | +4.35% | na |
0.05% 0.05% |
315796573 FCYPX 02226 6193 | |||
Target-Date 2015 | +1.26% | 10/02/2009 | +6.81% | +0.58% | +3.94% | +5.01% | na |
0.05% 0.05% |
315796565 FFYPX 02242 6194 | |||
Target-Date 2020 | +1.46% | 10/02/2009 | +7.78% | +0.72% | +4.56% | +5.57% | na |
0.05% 0.05% |
315796557 FKIPX 02228 6195 | |||
Target-Date 2025 | +1.72% | 10/02/2009 | +8.58% | +1.08% | +5.16% | +6.09% | na |
0.05% 0.05% |
315796540 FLIPX 02232 6196 | |||
Target-Date 2030 | +1.88% | 10/02/2009 | +9.59% | +1.64% | +5.91% | +6.90% | na |
0.05% 0.05% |
315796532 FMKPX 02235 6197 | |||
Target-Date 2035 | +2.14% | 10/02/2009 | +11.31% | +2.50% | +7.22% | +7.93% | na |
0.05% 0.05% |
315796524 FNIPX 02238 6198 | |||
Target-Date 2040 | +2.56% | 10/02/2009 | +13.42% | +3.51% | +8.42% | +8.60% | na |
0.05% 0.05% |
315796516 FPIPX 02239 6199 | |||
Target-Date 2045 | +2.78% | 10/02/2009 | +14.23% | +3.90% | +8.68% | +8.73% | na |
0.05% 0.05% |
315796490 FQIPX 02240 6200 | |||
Target-Date 2050 | +2.77% | 10/02/2009 | +14.21% | +3.89% | +8.68% | +8.72% | na |
0.05% 0.05% |
315796482 FRLPX 02241 6201 | |||
Target-Date 2055 | +2.76% | 06/01/2011 | +14.23% | +3.91% | +8.67% | +8.72% | na |
0.05% 0.05% |
315796474 FTYPX 02338 6202 | |||
Target-Date 2060 | +2.82% | 08/05/2014 | +14.25% | +3.89% | +8.66% | +8.72% | na |
0.05% 0.05% |
315796466 FUIPX 02714 6203 | |||
Target-Date 2065+ | +2.80% | 06/28/2019 | +14.27% | +3.88% | +8.66% | +9.47% | na |
0.06% 0.06% |
315796458 FVIPX 03463 6204 | |||
Symbol
FSTQX
CUSIP
31638R667
Fund #
6397
|
Global Bond-USD Hedged | -0.46% | 08/31/2021 | +2.91% | -1.42% | na | -1.76% | na |
0.01% 0.00% |
31638R667 FSTQX 06397 6397 | ||
Symbol
FSTZX
CUSIP
31635T666
Fund #
6398
|
Short-Term Inflation-Protected Bond | +0.52% | 08/13/2021 | +4.86% | +2.16% | na | +2.31% | na |
0.00% 0.00% |
31635T666 FSTZX 06398 6398 | ||
Symbol
FSTDX
CUSIP
31635T658
Fund #
6399
|
Inflation-Protected Bond | +0.68% | 08/13/2021 | -0.42% | -6.07% | na | -4.78% | na |
0.00% 0.00% |
31635T658 FSTDX 06399 6399 | ||
Symbol
FRBUX
CUSIP
31579B648
Fund #
7650
|
Target-Date 2065+ | +2.81% | 06/28/2024 | na | na | na | +4.74% | na |
0.08% 0.08% |
31579B648 FRBUX 07650 7650 | ||
Target-Date 2065+ | +2.81% | 06/28/2024 | na | na | na | +4.74% | na |
0.05% 0.05% |
31579B630 FRBWX 07650 7652 | |||
Target-Date 2065+ | +2.81% | 06/28/2024 | na | na | na | +4.72% | na |
0.12% 0.12% |
31579B556 FRBVX 07650 7653 | |||
Target-Date Retirement | +0.77% | 10/02/2009 | +4.98% | +0.41% | +2.48% | +3.20% | na |
0.04% 0.04% |
31579T102 FATQX 02216 7705 | |||
Target-Date 2000-2010 | +0.94% | 10/02/2009 | +5.81% | +0.41% | +3.30% | +4.35% | na |
0.04% 0.04% |
31579T201 FATUX 02226 7706 | |||
Target-Date 2015 | +1.26% | 10/02/2009 | +6.77% | +0.57% | +3.94% | +5.00% | na |
0.04% 0.04% |
31579T870 FATVX 02242 7707 | |||
Target-Date 2020 | +1.46% | 10/02/2009 | +7.82% | +0.74% | +4.57% | +5.57% | na |
0.04% 0.04% |
31579T300 FATYX 02228 7708 | |||
Target-Date 2025 | +1.72% | 10/02/2009 | +8.56% | +1.07% | +5.15% | +6.08% | na |
0.04% 0.04% |
31579T409 FATZX 02232 7709 | |||
Target-Date 2030 | +1.88% | 10/02/2009 | +9.63% | +1.66% | +5.92% | +6.91% | na |
0.04% 0.04% |
31579T508 FAUYX 02235 7710 | |||
Target-Date 2035 | +2.14% | 10/02/2009 | +11.30% | +2.49% | +7.22% | +7.93% | na |
0.04% 0.04% |
31579T607 FAVNX 02238 7711 | |||
Target-Date 2040 | +2.60% | 10/02/2009 | +13.41% | +3.50% | +8.42% | +8.60% | na |
0.04% 0.04% |
31579T706 FAVOX 02239 7712 | |||
Target-Date 2045 | +2.78% | 10/02/2009 | +14.23% | +3.90% | +8.68% | +8.73% | na |
0.04% 0.04% |
31579T805 FAVPX 02240 7713 | |||
Target-Date 2050 | +2.77% | 10/02/2009 | +14.20% | +3.89% | +8.68% | +8.72% | na |
0.04% 0.04% |
31579T888 FAVQX 02241 7714 | |||
Target-Date 2055 | +2.76% | 06/01/2011 | +14.21% | +3.90% | +8.66% | +8.72% | na |
0.04% 0.04% |
31579T862 FAVRX 02338 7715 | |||
Target-Date 2060 | +2.82% | 08/05/2014 | +14.22% | +3.88% | +8.66% | +8.71% | na |
0.04% 0.04% |
31579T854 FAVUX 02714 7717 | |||
Target-Date 2065+ | +2.80% | 06/28/2019 | +14.22% | +3.87% | +8.65% | +9.46% | na |
0.04% 0.04% |
31579T847 FAVVX 03463 7718 | |||
Target-Date 2065+ | +2.81% | 06/28/2024 | na | na | na | +4.73% | na |
0.04% 0.04% |
31579T839 FAVWX 07650 7719 |
List of Funds to Compare
* For periods of less than one year, the life of fund number is represented by a cumulative total return. Data in bold represent funds with less than 10 years.
† Gross Expense Ratio is the total annual class operating expense ratio from the most recent prospectus and generally is based on amounts incurred during the most recent fiscal year. Net Expense Ratio is the total annual fund or class operating expense from the fund's most recent prospectus, after any fee waiver and/or expense reimbursements that will reduce any fund operating expenses for no less than one year from the effective date of the fund's registration statement. This number does not include any fee waiver arrangement or expense reimbursement that may be terminated without agreement of the fund's board of trustees during the one-year period.
Commodity interest trading involves substantial risk of loss. Past Performance is not indicative of future results.
Fidelity AMT Tax-Free Money, Fidelity Fifty, Fidelity Growth Company, Fidelity Municipal Income 2015, Fidelity Small Cap Discovery, Fidelity Small Cap Value and Fidelity Treasury Money Market funds are closed to new investors.
Fidelity Commodity Strategy, Fidelity Series 100 Index, Fidelity Series All-Sector Equity, Fidelity Series Broad Market Opportunities, Fidelity Series Commodity Strategy Fund - Series Class, Fidelity Series Emerging Markets, Fidelity Series Emerging Markets Debt, Fidelity Series Global ex U.S. Index, Fidelity Series High Income, Fidelity Series Inflation-Protected Bond Index, Fidelity Series International Small Cap, Fidelity Series International Growth, Fidelity Series International Value, Fidelity Series Investment Grade Bond, Fidelity Series Large Cap Value Fund and Fidelity Series Small Cap Opportunities are closed to public.
The current yield more closely reflects the current earnings of the portfolio, while total return refers to a specific past holding period.
Average annual total returns are historical and include changes in share price and reinvestment of dividends and capital gains.
Important Performance Information
Returns shown for MSCI U.S. IMI Banks 5% Capped Index for the periods prior to September 1, 2016 are returns of MSCI U.S. IMI Banks 25/50 Index; returns shown for periods prior to January 1, 2010 are returns of the MSCI U.S. IM Banks Index. Returns shown for MSCI U.S. IMI Financials 5% Capped Index for the periods prior to September 1, 2016 are returns of MSCI U.S. IMI Financials 25/50 Index; returns shown for periods prior to January 1, 2010 are returns of the MSCI U.S. IM Financials Index.
Prior to 7/1/99, 2/1/07, 2/1/07, 12/1/10 and 6/1/11, respectively, Value Strategies, Trend, Growth Discovery, Emerging Asia, and Global Strategies operated under certain different investment policies and compared their performance to a different benchmark. Prior to 2/11/00, 9/1/00, 12/29/01, 10/1/04 and 12/1/07, respectively, Aggressive International, China Region, Focused Stock, International Discovery, and Mega Cap Stock operated under certain different investment policies. These funds' historical performance may not represent their current investment policies.
Prior to 10/1/06 Select IT Services, Select Consumer Discretionary, Select Industrials, Select Communications Equipment, Select Consumer Staples, and Select Materials were named Select Business Services and Outsourcing, Select Consumer Industries, Select Cyclical Industries, Select Developing Communications, Select Food and Agriculture, Select Industrial Materials, respectively. These funds and Select Utilities Growth operated under certain different investment policies and compared their performance to different secondary benchmarks prior to 10/1/06. Prior to 7/1/10 Select Environment and Alternative Energy was named Select Environmental and compared its performance to a different secondary benchmark. The funds' historical performance may not represent their current investment policies.
Prior to 12/1/18, Select Communication Services operated under certain different investment policies and compared its performance to a different benchmark. The fund's historical performance may not reflect its current investment policies. Index returns shown for the period January 1, 2010, to November 30, 2018, are returns of the MSCI U.S. IM Media 25/50 Index. Index returns shown for periods prior to January 1, 2010, are returns of the MSCI U.S. IM Media Index.
From time to time, FDC LLC or its affiliates may pay its representatives additional compensation if they meet certain targets related to sales of the Fidelity funds, which may be weighted at different rates. Furthermore, certain representatives may be considered product specialists and may receive compensation, which may be weighted at different rates, solely for the sales of specific types of funds in which they specialize.