Fund Name |
Fund Inception |
1 yr | 5 yr |
10 yr/ Life* |
Short- Term Trading Fee |
Expense Ratio (Gross/ Net)† |
Searchable Categories |
|||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
Technology | +25.14% | 07/29/1985 | +28.09% | +7.55% | +17.58% | +13.93% | na |
0.70% 0.70% |
316390871 FDCPX 00007 7 | |||
Technology | +47.75% | 07/29/1985 | +56.50% | +18.42% | +32.05% | +26.31% | na |
0.65% 0.65% |
316390863 FSELX 00008 8 | |||
Consumer Defensive | +9.25% | 07/29/1985 | +12.69% | +8.03% | +8.17% | +6.34% | na |
0.69% 0.69% |
316390848 FDFAX 00009 9 | |||
Technology | +17.70% | 07/29/1985 | +18.43% | +7.08% | +16.21% | +17.74% | na |
0.64% 0.64% |
316390822 FSCSX 00028 28 | |||
Equity Precious Metals | +24.96% | 12/16/1985 | +25.24% | +3.09% | +6.21% | +6.58% | na |
0.70% 0.70% |
316390780 FSAGX 00141 41 | |||
Health | +15.88% | 12/16/1985 | +37.44% | +2.54% | +6.46% | +6.15% | na |
0.66% 0.66% |
316390772 FBIOX 00142 42 | |||
Financial | +37.00% | 12/16/1985 | +39.56% | +21.71% | +17.21% | +13.69% | na |
0.73% 0.73% |
316390541 FSPCX 00145 45 | |||
Consumer Cyclical | +27.79% | 12/16/1985 | +32.00% | +3.69% | +14.15% | +14.93% | na |
0.66% 0.66% |
316390731 FSRPX 00146 46 | |||
Equity Energy | +9.99% | 07/14/1981 | +12.09% | +23.99% | +16.10% | +5.14% | na |
0.68% 0.68% |
316390103 FSENX 00060 60 | |||
Consumer Cyclical | +27.27% | 05/08/1984 | +36.19% | +14.93% | +15.87% | +13.01% | na |
0.70% 0.70% |
316390707 FDLSX 00062 62 | |||
Health | +13.63% | 07/14/1981 | +23.37% | +2.97% | +8.44% | +9.10% | na |
0.65% 0.65% |
316390301 FSPHX 00063 63 | |||
Technology | +41.53% | 07/14/1981 | +42.84% | +11.29% | +23.26% | +20.93% | na |
0.64% 0.64% |
316390202 FSPTX 00064 64 | |||
Utilities | +35.92% | 12/10/1981 | +43.37% | +16.24% | +11.99% | +10.67% | na |
0.69% 0.69% |
316390509 FSUTX 00065 65 | |||
Financial | +38.91% | 12/10/1981 | +52.82% | +15.65% | +15.35% | +12.01% | na |
0.72% 0.72% |
316390608 FIDSX 00066 66 | |||
Industrials | +21.63% | 05/08/1984 | +28.58% | +16.69% | +7.28% | +11.50% | na |
0.68% 0.68% |
316390806 FSDAX 00067 67 | |||
Symbol
FSLBX
CUSIP
316390855
Fund #
68
|
Financial | +43.42% | 07/29/1985 | +58.24% | +15.79% | +21.48% | +14.09% | na |
0.70% 0.70% |
316390855 FSLBX 00068 68 | ||
Natural Resources | +4.95% | 07/29/1985 | +13.24% | +3.70% | +10.43% | +7.08% | na |
0.70% 0.70% |
316390889 FSCHX 00069 69 | |||
Communications | +27.46% | 07/29/1985 | +34.80% | +5.83% | +6.69% | +6.36% | na |
0.77% 0.77% |
316390830 FSTCX 00096 96 | |||
Financial | +26.64% | 12/16/1985 | +36.64% | +4.34% | +7.04% | +8.28% | na |
0.76% 0.76% |
316390723 FSVLX 00198 98 | |||
Real Estate | +12.44% | 11/17/1986 | +22.91% | +1.95% | +4.52% | +6.21% | na |
0.65% 0.65% |
316138205 FRESX 00303 303 | |||
Utilities | +36.68% | 11/27/1987 | +43.09% | +17.56% | +11.15% | +9.75% | na |
0.75% 0.75% |
316128107 FIUIX 00311 311 | |||
Technology | +18.55% | 02/04/1998 | +24.86% | +3.32% | +7.24% | +12.89% | na |
0.68% 0.68% |
316390483 FBSOX 00353 353 | |||
Health | +14.32% | 04/28/1998 | +24.16% | -3.67% | +7.40% | +12.14% | na |
0.65% 0.65% |
316390475 FSMEX 00354 354 | |||
Consumer Cyclical | +7.36% | 06/30/1986 | +12.37% | -3.56% | +13.93% | +9.18% | na |
0.77% 0.77% |
316390699 FSAVX 00502 502 | |||
Communications | +35.82% | 06/30/1986 | +38.07% | +9.32% | +15.23% | +11.94% | na |
0.70% 0.70% |
316390681 FBMPX 00503 503 | |||
Health | -1.84% | 06/30/1986 | +2.11% | +4.59% | +8.36% | +10.20% | na |
0.68% 0.68% |
316390665 FSHCX 00505 505 | |||
Financial | +40.15% | 06/30/1986 | +62.56% | +11.54% | +11.14% | +10.30% | na |
0.72% 0.72% |
316390640 FSRBX 00507 507 | |||
Natural Resources | +8.50% | 09/29/1986 | +14.60% | +4.54% | +11.70% | +6.45% | na |
0.71% 0.71% |
316390590 FSDPX 00509 509 | |||
Consumer Cyclical | +28.08% | 09/29/1986 | +44.89% | +12.02% | +20.76% | +16.04% | na |
0.71% 0.71% |
316390616 FSHOX 00511 511 | |||
Industrials | +13.60% | 09/29/1986 | +24.48% | +10.59% | +12.30% | +9.09% | na |
0.70% 0.70% |
316390582 FSRFX 00512 512 | |||
Equity Energy | +11.18% | 03/03/1997 | +13.79% | +20.91% | +15.11% | +5.46% | na |
0.71% 0.71% |
316390491 FNARX 00514 514 | |||
Industrials | +34.98% | 03/03/1997 | +45.57% | +16.09% | +14.43% | +11.18% | na |
0.69% 0.69% |
316390517 FCYIX 00515 515 | |||
Industrials | +25.30% | 06/29/1989 | +31.53% | +5.36% | +13.63% | +11.28% | na |
0.71% 0.71% |
316390574 FSLEX 00516 516 | |||
Consumer Cyclical | +25.55% | 06/29/1990 | +32.67% | +4.44% | +13.55% | +12.14% | na |
0.70% 0.70% |
316390558 FSCPX 00517 517 | |||
Health | +18.54% | 06/18/2001 | +25.39% | +12.31% | +12.18% | +8.54% | na |
0.70% 0.70% |
316390442 FPHAX 00152 580 | |||
Communications | +23.13% | 09/21/2000 | +26.92% | +5.33% | +11.32% | +10.90% | na |
0.73% 0.73% |
316390459 FWRLX 00653 963 | |||
Global Real Estate | -5.30% | 09/08/2004 | +3.20% | -8.94% | -2.20% | +2.70% | na |
0.88% 0.88% |
316389840 FIREX 01368 1368 | |||
Natural Resources | +8.56% | 03/25/2009 | +13.46% | +10.28% | +12.30% | +6.49% | na |
0.86% 0.86% |
31618H606 FFGCX 02120 2120 | |||
Infrastructure | +20.67% | 11/05/2019 | +26.82% | +8.76% | +9.10% | +9.17% | na |
1.03% 0.95% |
31618H168 FNSTX 03488 3488 | |||
Natural Resources | +2.69% | 04/16/2020 | +11.14% | +3.45% | na | +15.86% | na |
0.97% 0.95% |
31641Q532 FARMX 06041 6041 | |||
Natural Resources | +17.50% | 04/16/2020 | +25.17% | +5.24% | na | +15.38% | na |
0.93% 0.93% |
31641Q524 FLOWX 06042 6042 |
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.