10
AS OF JUNE 30, 2014 PERFORMANCE UPDATE FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE REPORT 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 www.mysavingsatwork.com (log in, choose plan, select "Investment Choices & Research," and then pick investment option). Fund ID Name 3 Month YTD 1 Year 3 Year 5 Year 10 Year Life of Fund Fund Inception Short-Term Trading Fee (%/ Days) Expense Ratio Cumulative Total Returns % Average Annual Total Returns % LIFECYCLE FFKBX Fidelity Freedom K ® 2000 Fund 15,16 2.20 3.54 7.68 4.55 -- n/a 7.02 7/02/09 n/a 0.440 FFKVX Fidelity Freedom K ® 2005 Fund 15,16 2.70 4.07 10.49 5.88 -- n/a 9.54 7/02/09 n/a 0.500 FFKCX Fidelity Freedom K ® 2010 Fund 15,16 3.13 4.45 12.90 7.23 -- n/a 10.88 7/02/09 n/a 0.530 FKVFX Fidelity Freedom K ® 2015 Fund 15,16 3.37 4.67 13.87 7.57 -- n/a 11.28 7/02/09 n/a 0.550 FFKDX Fidelity Freedom K ® 2020 Fund 15,16 3.57 4.89 14.93 8.01 -- n/a 12.36 7/02/09 n/a 0.570 FKTWX Fidelity Freedom K ® 2025 Fund 15,16 3.94 5.21 17.23 9.11 -- n/a 13.46 7/02/09 n/a 0.610 FFKEX Fidelity Freedom K ® 2030 Fund 15,16 4.25 5.43 18.59 9.57 -- n/a 14.07 7/02/09 n/a 0.650 FKTHX Fidelity Freedom K ® 2035 Fund 15,16 4.38 5.47 19.97 10.15 -- n/a 14.69 7/02/09 n/a 0.660 FFKFX Fidelity Freedom K ® 2040 Fund 15,16 4.36 5.50 20.16 10.22 -- n/a 14.87 7/02/09 n/a 0.660 FFKGX Fidelity Freedom K ® 2045 Fund 15,16 4.35 5.47 20.45 10.37 -- n/a 15.07 7/02/09 n/a 0.660 FFKHX Fidelity Freedom K ® 2050 Fund 15,16 4.37 5.49 20.57 10.31 -- n/a 15.15 7/02/09 n/a 0.650 FDENX Fidelity Freedom K ® 2055 Fund 15,16 4.34 5.55 20.99 10.50 n/a n/a 10.10 6/01/11 n/a 0.660 FFKAX Fidelity Freedom K ® Income Fund 15,16 2.17 3.52 7.70 4.56 -- n/a 6.88 7/02/09 n/a 0.440 ASSET ALLOCATION FASIX Fidelity Asset Manager ® 20% 15 1.96 3.61 8.07 5.15 7.42 5.27 6.44 10/01/92 n/a 0.530 FTANX Fidelity Asset Manager ® 30% 1,15 2.55 4.40 10.75 6.53 9.14 n/a 4.58 10/09/07 n/a 0.570 FFANX Fidelity Asset Manager ® 40% 1,15 2.86 4.78 13.12 7.65 10.53 n/a 4.78 10/09/07 n/a 0.570 FASMX Fidelity Asset Manager ® 50% 15 3.21 5.26 15.50 8.58 11.90 5.99 8.53 12/28/88 n/a 0.680 FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity Asset Manager ® 70% 15 3.82 5.85 19.95 10.29 14.18 6.24 8.18 12/30/91 n/a 0.750 FAMRX Fidelity Asset Manager ® 85% 15 4.24 6.37 23.46 11.61 15.67 7.25 5.95 9/24/99 n/a 0.780 MONEY MARKET FDLXX Fidelity ® Treasury Only Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01 0.00 0.01 0.01 0.01 0.01 1.35 3.36 1/05/88 n/a 0.420 FDRXX Fidelity ® Cash Reserves 17 7-Day Yield % as of 06/30/2014: 0.01 0.00 0.00 0.01 0.01 0.05 1.68 5.26 5/10/79 n/a 0.370 SPAXX Fidelity ® Government Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01 0.00 0.00 0.01 0.01 0.02 1.56 3.22 2/05/90 n/a 0.420 SPRXX Fidelity ® Money Market Fund 17 7-Day Yield % as of 06/30/2014: 0.01 0.00 0.01 0.01 0.01 0.04 1.69 3.58 1/23/89 n/a 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

FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

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Page 1: FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

AS OF JUNE 30, 2014

PERFORMANCE UPDATE

FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE REPORT

UNDERSTANDING INVESTMENT PERFORMANCEAs you review this update, please remember that the performance data stated represents past performance, which does notguarantee future results. Investment return and principal value of an investment will fluctuate; therefore, you may have a gain orloss when you sell your shares. Current performance may be higher or lower than the performance stated. To learn more or toobtain the most recent month-end performance, call Fidelity at 1-800-343-0860 or visit www.mysavingsatwork.com (log in, chooseplan, select "Investment Choices & Research," and then pick investment option).

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

LIFECYCLEFFKBX Fidelity Freedom K® 2000 Fund 15,16 2.20 3.54 7.68 4.55 -- n/a 7.02 7/02/09 n/a 0.440

FFKVX Fidelity Freedom K® 2005 Fund 15,16 2.70 4.07 10.49 5.88 -- n/a 9.54 7/02/09 n/a 0.500

FFKCX Fidelity Freedom K® 2010 Fund 15,16 3.13 4.45 12.90 7.23 -- n/a 10.88 7/02/09 n/a 0.530

FKVFX Fidelity Freedom K® 2015 Fund 15,16 3.37 4.67 13.87 7.57 -- n/a 11.28 7/02/09 n/a 0.550

FFKDX Fidelity Freedom K® 2020 Fund 15,16 3.57 4.89 14.93 8.01 -- n/a 12.36 7/02/09 n/a 0.570

FKTWX Fidelity Freedom K® 2025 Fund 15,16 3.94 5.21 17.23 9.11 -- n/a 13.46 7/02/09 n/a 0.610

FFKEX Fidelity Freedom K® 2030 Fund 15,16 4.25 5.43 18.59 9.57 -- n/a 14.07 7/02/09 n/a 0.650

FKTHX Fidelity Freedom K® 2035 Fund 15,16 4.38 5.47 19.97 10.15 -- n/a 14.69 7/02/09 n/a 0.660

FFKFX Fidelity Freedom K® 2040 Fund 15,16 4.36 5.50 20.16 10.22 -- n/a 14.87 7/02/09 n/a 0.660

FFKGX Fidelity Freedom K® 2045 Fund 15,16 4.35 5.47 20.45 10.37 -- n/a 15.07 7/02/09 n/a 0.660

FFKHX Fidelity Freedom K® 2050 Fund 15,16 4.37 5.49 20.57 10.31 -- n/a 15.15 7/02/09 n/a 0.650

FDENX Fidelity Freedom K® 2055 Fund 15,16 4.34 5.55 20.99 10.50 n/a n/a 10.10 6/01/11 n/a 0.660

FFKAX Fidelity Freedom K® Income Fund 15,16 2.17 3.52 7.70 4.56 -- n/a 6.88 7/02/09 n/a 0.440

ASSET ALLOCATIONFASIX Fidelity Asset Manager® 20% 15 1.96 3.61 8.07 5.15 7.42 5.27 6.44 10/01/92 n/a 0.530

FTANX Fidelity Asset Manager® 30% 1,15 2.55 4.40 10.75 6.53 9.14 n/a 4.58 10/09/07 n/a 0.570

FFANX Fidelity Asset Manager® 40% 1,15 2.86 4.78 13.12 7.65 10.53 n/a 4.78 10/09/07 n/a 0.570

FASMX Fidelity Asset Manager® 50% 15 3.21 5.26 15.50 8.58 11.90 5.99 8.53 12/28/88 n/a 0.680

FSANX Fidelity Asset Manager® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750

FASGX Fidelity Asset Manager® 70% 15 3.82 5.85 19.95 10.29 14.18 6.24 8.18 12/30/91 n/a 0.750

FAMRX Fidelity Asset Manager® 85% 15 4.24 6.37 23.46 11.61 15.67 7.25 5.95 9/24/99 n/a 0.780

MONEY MARKETFDLXX Fidelity ® Treasury Only Money Market Fund 17

7-Day Yield % as of 06/30/2014: 0.010.00 0.01 0.01 0.01 0.01 1.35 3.36 1/05/88 n/a 0.420

FDRXX Fidelity® Cash Reserves 17

7-Day Yield % as of 06/30/2014: 0.010.00 0.00 0.01 0.01 0.05 1.68 5.26 5/10/79 n/a 0.370

SPAXX Fidelity® Government Money Market Fund 17

7-Day Yield % as of 06/30/2014: 0.010.00 0.00 0.01 0.01 0.02 1.56 3.22 2/05/90 n/a 0.420

SPRXX Fidelity® Money Market Fund 17

7-Day Yield % as of 06/30/2014: 0.010.00 0.01 0.01 0.01 0.04 1.69 3.58 1/23/89 n/a 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

Page 2: FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

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 0.420

FRTXX Fidelity® Money Market Trust Retirement MoneyMarket Portfolio 17

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

0.00 0.01 0.01 0.01 0.04 1.70 3.56 12/02/88 n/a 0.420

FGRXX Fidelity® U.S. Government Reserves 17

7-Day Yield % as of 06/30/2014: 0.010.00 0.01 0.01 0.01 0.02 1.61 4.44 11/03/81 n/a 0.320

FSLXX Select Money Market Portfolio 17

7-Day Yield % as of 06/30/2014: 0.010.01 0.01 0.02 0.05 0.09 1.74 3.83 8/30/85 n/a 0.300

BOND - GOVERNMENTFGMNX Fidelity® GNMA Fund 18 2.40 4.44 5.08 3.15 4.65 5.08 6.71 11/08/85 n/a 0.450

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 0.450

FSTGX Fidelity® Intermediate Government Income Fund18

1.07 1.86 2.02 2.06 2.88 3.91 5.65 5/02/88 n/a 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 0.450

FIBAX Spartan® Intermediate Treasury Bond Index Fund- Fidelity Advantage Class 18

1.94 3.82 2.42 3.83 4.83 n/a 5.53 12/20/05 n/a 0.100

FLBAX Spartan® Long-Term Treasury Bond Index Fund -Fidelity Advantage Class 18

4.46 12.27 5.77 8.65 7.21 n/a 6.73 12/20/05 n/a 0.100

FSBAX Spartan® Short-Term Treasury Bond Index Fund -Fidelity Advantage Class 18

0.44 0.74 1.01 1.01 1.83 n/a 3.33 12/20/05 n/a 0.100

BOND - DIVERSIFIEDFCONX 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 0.400

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 0.450

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 0.450

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 0.450

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 0.450

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 0.450

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 0.690

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 0.450

FSITX Spartan® U.S. Bond Index Fund - FidelityAdvantage Class 1,3,18

2.03 3.93 4.29 3.57 4.70 4.61 6.54 3/08/90 n/a 0.170

FWHBX Strategic Advisers® Core Income Multi-ManagerFund 18

2.19 4.10 5.00 n/a n/a n/a 2.81 6/19/12 n/a 1.040

BOND - INFLATION-PROTECTEDFINPX 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 0.450

FSIYX Spartan® Inflation-Protected Bond Index Fund -Fidelity Advantage Class 18

3.78 5.78 4.42 n/a n/a n/a -0.08 5/16/12 n/a 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

Page 3: FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

BOND - HIGH YIELDFAGIX Fidelity® Capital & Income Fund 18,19 4.00 7.28 15.27 8.61 15.51 9.82 10.32 11/01/77 1/90 0.710

FFRHX Fidelity® Floating Rate High Income Fund 18,19 1.05 1.98 4.71 4.29 6.04 4.54 4.48 8/16/00 1/60 0.700

FHIFX Fidelity® Focused High Income Fund 18,19 1.95 4.37 9.22 7.39 10.58 -- 6.49 9/08/04 1/90 0.830

FGHNX Fidelity® Global High Income Fund 1,18,19 3.06 5.81 11.98 7.94 n/a n/a 7.26 5/11/11 1/90 0.950

SPHIX Fidelity® High Income Fund 18,19 1.80 4.25 10.37 8.21 12.58 8.26 9.39 8/29/90 1/90 0.720

FSADX Strategic Advisers® Income Opportunities Fund ofFunds 1,18,19

2.69 5.79 12.65 n/a n/a n/a 11.30 6/19/12 1/90 5.020

BOND - INTERNATIONAL/GLOBALFNMIX Fidelity® New Markets Income Fund 18 6.54 10.41 12.15 8.59 11.38 10.34 11.65 5/04/93 1/90 0.860

BALANCED/HYBRIDFBAKX Fidelity® Balanced Fund - Class K 4,15 4.11 6.27 19.85 12.15 14.67 7.98 9.57 11/06/86 n/a 0.470

FFNOX Fidelity® Four-in-One Index Fund 1,15 4.22 5.95 21.26 12.39 15.25 7.34 5.07 6/29/99 n/a 0.240

FDYSX Fidelity® Global Strategies Fund 5,15 3.62 4.59 13.11 5.71 10.18 n/a 3.41 10/31/07 n/a 0.970

FPUKX Fidelity® Puritan® Fund - Class K 4,15 4.08 6.48 20.51 11.95 14.64 7.48 11.15 4/16/47 n/a 0.470

FSDIX Fidelity® Strategic Dividend & Income® Fund 15 5.71 9.49 17.70 13.35 18.22 7.64 7.72 12/23/03 n/a 0.770

FSRRX Fidelity® Strategic Real Return Fund 15 2.38 6.74 7.42 3.65 8.55 n/a 4.06 9/07/05 0.75/60 0.770

BALANCED/HYBRID - CONVERTIBLESFCVSX Fidelity® Convertible Securities Fund 15 4.83 7.10 20.45 10.86 16.96 8.52 11.37 1/05/87 n/a 0.730

BALANCED/HYBRID - INTERNATIONALFGBLX Fidelity® Global Balanced Fund 15 2.99 4.41 17.59 7.80 11.53 8.00 8.38 2/01/93 1/30 1.020

DOMESTIC EQUITIES - LARGE VALUEFBCVX Fidelity® Blue Chip Value Fund 15 4.31 5.95 23.35 12.64 15.45 5.44 6.38 6/17/03 n/a 0.640

FETKX Fidelity® Equity Dividend Income Fund - Class K4,15

5.87 7.33 21.22 13.90 16.79 6.02 10.58 8/21/90 n/a 0.530

FEIKX Fidelity® Equity-Income Fund - Class K 4,15 5.44 7.83 20.55 13.80 17.20 6.45 11.73 5/16/66 n/a 0.540

FLVEX Fidelity® Large Cap Value Enhanced Index Fund15

4.90 8.40 25.20 17.56 18.97 n/a 4.77 4/19/07 n/a 0.470

FSLVX Fidelity® Stock Selector Large Cap Value Fund 6,15 5.64 9.25 24.29 16.54 17.53 6.71 6.36 11/15/01 n/a 0.720

FVDKX Fidelity® Value Discovery Fund - Class K 4,15 4.43 8.27 26.80 16.86 19.42 9.03 10.53 12/10/02 n/a 0.570

FKMOX Strategic Advisers® Value Multi-Manager Fund1,15

3.96 6.95 24.01 -- n/a n/a 22.17 11/16/11 n/a 1.320

DOMESTIC EQUITIES - MID VALUEFLPKX Fidelity® Low-Priced Stock 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 0.680

FSMVX Fidelity® Mid Cap Value Fund 15,20 5.07 8.63 27.11 17.60 23.33 10.32 10.34 11/15/01 0.75/30 0.800

FVLKX Fidelity® Value Fund - Class K 4,15,20 5.31 9.35 28.22 17.66 22.71 9.27 12.83 12/01/78 n/a 0.540

FVSKX Fidelity® Value Strategies Fund - Class K 4,15,20 4.96 5.99 23.16 14.61 21.95 8.04 12.21 12/31/83 n/a 0.580

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

3

Page 4: FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

DOMESTIC EQUITIES - SMALL VALUEFCPVX 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 BLENDFDEKX Fidelity® Disciplined Equity Fund - Class K 4,15 3.64 5.92 26.76 15.40 16.44 7.00 10.48 12/28/88 n/a 0.650

FDGKX Fidelity® Dividend Growth Fund - Class K 4,15 5.01 6.62 26.14 13.67 19.10 7.18 11.09 4/27/93 n/a 0.490

FGIKX Fidelity® Growth & Income Portfolio - Class K 4,15 5.15 6.43 22.95 18.12 19.08 3.95 10.23 12/30/85 n/a 0.540

FLCEX Fidelity® Large Cap Core Enhanced Index Fund 15 4.72 6.30 24.83 16.88 18.46 n/a 6.36 4/19/07 n/a 0.460

FLCSX Fidelity® Large Cap Stock Fund 15 3.91 6.66 27.77 19.17 21.59 8.93 8.67 6/22/95 n/a 0.880

FGRTX Fidelity® Mega Cap Stock Fund 15 4.91 6.61 24.18 18.47 19.68 8.24 5.05 12/28/98 n/a 0.700

FUSVX Spartan® 500 Index Fund - Fidelity AdvantageClass 1,7,15

5.22 7.10 24.54 16.53 18.78 7.75 10.23 2/17/88 n/a 0.070

FSTVX Spartan® Total Market Index Fund - FidelityAdvantage Class 1,7,15

4.84 6.93 24.96 16.40 19.36 8.37 6.84 11/05/97 0.5/90 0.070

FLAUX Strategic Advisers® Core Multi-Manager Fund 1,15 4.96 6.34 23.89 -- n/a n/a 20.72 11/16/11 n/a 1.040

DOMESTIC EQUITIES - MID BLENDFLCKX Fidelity® Leveraged Company Stock Fund - Class

K 4,15,205.57 7.23 25.01 16.51 22.42 11.05 14.40 12/19/00 1.5/90 0.690

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 0.620

FSEVX Spartan® Extended Market Index Fund - FidelityAdvantage Class 7,15,20

3.32 6.20 26.76 15.88 21.90 10.41 8.27 11/05/97 0.75/90 0.070

FSCKX Spartan® Mid Cap Index Fund - FidelityAdvantage Class 1,15,20

4.92 8.64 26.74 -- n/a n/a 23.00 9/08/11 0.75/30 0.210

DOMESTIC EQUITIES - SMALL BLENDFSCRX Fidelity® Small Cap Discovery Fund 15,21 3.48 4.05 23.25 18.56 24.09 12.74 12.25 9/26/00 1.5/90 1.010

FCPEX Fidelity® Small Cap Enhanced Index Fund 15,21 1.57 2.29 24.06 15.62 20.95 n/a 8.72 12/20/07 1.5/90 0.730

FSLCX Fidelity® Small Cap Stock Fund 15,21 4.34 4.84 23.95 7.70 16.23 7.59 9.06 3/12/98 2/90 0.680

FDSCX Fidelity® Stock Selector Small Cap Fund 8,15,21 1.74 2.86 22.61 12.49 20.44 8.03 8.47 6/28/93 1.5/90 0.940

FSSVX Spartan® Small Cap Index Fund - FidelityAdvantage Class 1,15,21

2.08 3.25 23.85 -- n/a n/a 22.93 9/08/11 1.5/90 0.340

FNAPX Strategic Advisers® Small-Mid Cap Multi-ManagerFund 15,21

2.96 4.35 24.08 -- n/a n/a 21.92 12/20/11 1.5/90 1.300

DOMESTIC EQUITIES - LARGE GROWTHFFTYX Fidelity Fifty® 15 3.70 5.60 27.96 16.01 18.88 7.33 10.02 9/17/93 n/a 0.830

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 0.610

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 0.660

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 0.560

FEXKX Fidelity® Export and Multinational Fund - Class K4,15

3.64 4.15 19.27 12.36 15.61 7.24 12.00 10/04/94 0.75/30 0.650

FTQGX Fidelity® Focused Stock Fund 1,15 3.54 5.27 29.39 15.89 20.45 10.95 7.36 11/12/96 n/a 0.910

FFDKX Fidelity® Fund - Class K 4,15 4.39 6.54 23.83 13.68 16.67 7.42 10.09 4/30/30 n/a 0.420

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

4

Page 5: FIDELITY INVESTMENTS (R) MUTUAL FUNDS PERFORMANCE … · 2019-12-19 · FSANX Fidelity Asset Manager ® 60% 1,15 3.51 5.65 17.66 9.44 12.94 n/a 5.07 10/09/07 n/a 0.750 FASGX Fidelity

AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

DOMESTIC EQUITIES - LARGE GROWTH (continued)FGCKX Fidelity® Growth Company Fund - Class K 4,15 3.81 6.53 30.13 16.78 21.54 10.89 13.35 1/17/83 n/a 0.710

FGDKX Fidelity® Growth Discovery Fund - Class K 4,15 4.53 8.71 32.62 16.40 21.34 9.18 7.41 3/31/98 n/a 0.720

FDFKX Fidelity® Independence Fund - Class K 4,15 5.57 10.93 38.04 16.51 21.45 9.90 12.18 3/25/83 n/a 0.510

FLGEX Fidelity® Large Cap Growth Enhanced Index Fund15

4.87 5.99 26.63 16.31 18.95 n/a 7.64 4/19/07 n/a 0.450

FMGKX Fidelity® Magellan® Fund - Class K 4,15 4.61 6.78 28.79 14.08 15.73 5.69 16.35 5/02/63 n/a 0.420

FNCMX Fidelity® Nasdaq® Composite Index Fund 1,15 5.30 6.07 30.87 18.01 20.30 8.79 9.33 9/25/03 0.75/90 0.560

FMILX Fidelity® New Millennium Fund 15 2.69 7.12 27.93 17.69 21.07 10.32 14.26 12/28/92 n/a 0.910

FOCKX Fidelity® OTC Portfolio - Class K 4,15 3.57 6.82 34.56 16.96 21.48 11.20 13.47 12/31/84 n/a 0.620

FSSKX Fidelity® Stock Selector All Cap Fund - Class K4,15

5.09 7.95 28.08 15.68 18.75 7.94 10.78 9/28/90 n/a 0.610

FTRNX Fidelity® Trend Fund 9,15 4.39 6.11 30.24 15.92 20.67 9.61 11.79 6/16/58 n/a 0.780

FMELX Strategic Advisers® Growth Multi-Manager Fund15

4.24 4.97 27.40 -- n/a n/a 19.65 11/16/11 n/a 0.880

DOMESTIC EQUITIES - MID GROWTHFAGKX 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 0.480

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 0.680

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 0.720

DOMESTIC EQUITIES - SMALL GROWTHFCPGX 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 0.900

INTERNATIONAL/GLOBALFGBFX Fidelity® Global Bond Fund 1,15,22 2.76 5.24 7.17 n/a n/a n/a 2.20 5/22/12 n/a 0.990

FINUX Fidelity® International Bond Fund 1,15,22 3.14 5.72 8.99 n/a n/a n/a 3.05 5/22/12 n/a 1.070

INTERNATIONAL/GLOBAL - DIVERSIFIEDFDIKX Fidelity® Diversified International Fund - Class K

4,15,223.91 3.12 23.11 8.92 12.30 7.30 9.16 12/27/91 1/30 0.810

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 1.280

FIVFX Fidelity® International Capital Appreciation Fund15,22

3.93 4.24 22.65 10.29 15.07 6.82 6.61 11/01/94 1/30 1.170

FIDKX Fidelity® International Discovery Fund - Class K4,15,22

3.11 1.76 21.31 8.79 12.59 7.85 8.29 12/31/86 1/30 0.850

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 0.620

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 1.130

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 1.330

FSCOX Fidelity® International Small Cap OpportunitiesFund 15,22

1.98 6.81 24.77 12.72 18.98 n/a 6.92 8/02/05 2/90 1.390

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 1.050

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 0.930

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 1.090

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

5

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AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

INTERNATIONAL/GLOBAL - DIVERSIFIED (continued)FWWFX Fidelity® Worldwide Fund 15,22 3.56 3.90 25.57 12.62 16.75 8.97 8.22 5/30/90 1/30 1.110

FSGDX Spartan® Global ex U.S. Index Fund - FidelityAdvantage Class 1,15,22

5.07 5.50 21.45 -- n/a n/a 11.39 9/08/11 1/90 0.280

FSIVX Spartan® International Index Fund - FidelityAdvantage Class 1,7,15,22

4.18 4.92 23.54 8.14 11.86 6.97 5.62 11/05/97 1/90 0.170

FMJDX Strategic Advisers® International Multi-ManagerFund 1,15,22

3.42 3.17 20.03 n/a n/a n/a 15.66 5/02/12 1/30 1.210

INTERNATIONAL/GLOBAL - REGIONALFICDX Fidelity® Canada Fund 15,22 9.24 10.34 24.81 3.84 10.97 10.49 10.41 11/17/87 1.5/90 0.870

FHKCX Fidelity® China Region Fund 15,22 3.62 0.12 20.74 6.87 11.53 12.58 9.68 11/01/95 1.5/90 1.020

FSEAX Fidelity® Emerging Asia Fund 11,15,22 7.25 6.66 18.19 3.05 10.75 12.22 7.62 4/19/93 1.5/90 1.080

FIEUX Fidelity® Europe Fund 1,15,22 1.94 3.93 25.30 9.26 12.89 8.81 9.42 10/01/86 1/30 1.060

FJPNX Fidelity® Japan Fund 1,15,22 7.32 1.08 8.16 7.05 6.31 2.34 3.82 9/15/92 1.5/90 0.930

FJSCX Fidelity® Japan Smaller Companies Fund 15,22 8.79 1.34 13.92 16.42 13.11 2.49 5.22 11/01/95 1.5/90 1.010

FLATX Fidelity® Latin America Fund 15,22 7.34 5.31 3.74 -8.52 4.05 13.41 8.96 4/19/93 1.5/90 1.040

FNORX Fidelity® Nordic Fund 15,22 6.14 9.27 47.93 15.11 20.80 12.04 12.01 11/01/95 1.5/90 1.040

FPBFX Fidelity® Pacific Basin Fund 15,22 6.12 5.28 20.98 9.90 17.00 10.20 7.15 10/01/86 1.5/90 1.230

INTERNATIONAL/GLOBAL - EMERGING MARKETSFEDDX Fidelity Emerging Markets Discovery Fund 1,15,22 8.04 5.10 12.02 -- n/a n/a 11.88 11/01/11 2/90 1.570

FTEMX Fidelity Total Emerging Markets Fund 1,15,22 8.00 6.84 18.66 -- n/a n/a 8.63 11/01/11 1.5/90 1.560

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

4.59 4.24 16.15 1.95 9.75 n/a 0.84 5/08/08 1.5/90 1.400

FKEMX Fidelity® Emerging Markets Fund - Class K 4,15,22 6.75 6.97 16.27 0.45 9.88 11.45 5.39 11/01/90 1.5/90 0.870

FPMAX Spartan® Emerging Markets Index Fund - FidelityAdvantage Class 1,15,22

7.36 6.80 13.41 -- n/a n/a 2.33 9/08/11 1.5/90 0.350

FLILX Strategic Advisers® Emerging Markets Fund ofFunds 1,15,22

7.54 6.69 14.21 n/a n/a n/a 4.98 5/02/12 1.5/90 2.380

INTERNATIONAL/GLOBAL - SPECIALTYFIREX Fidelity® International Real Estate Fund

1,15,22,23,246.39 8.06 16.75 11.09 13.19 -- 6.62 9/08/04 1.5/90 1.160

SPECIALTYFFGCX Fidelity® Global Commodity Stock Fund 15,23 7.02 7.93 25.60 -2.90 6.65 n/a 9.41 3/25/09 1/30 1.110

FRIFX Fidelity® Real Estate Income Fund 15,23,24 3.81 9.35 9.80 10.52 15.47 7.41 8.23 2/04/03 0.75/90 0.840

FRESX Fidelity® Real Estate Investment Portfolio 15,23,24 7.25 17.39 12.65 11.46 24.95 9.44 10.51 11/17/86 0.75/90 0.810

FIUIX Fidelity® Telecom and Utilities Fund 15,23 7.43 13.92 26.37 15.51 17.72 10.54 9.54 11/27/87 n/a 0.760

FSAIX Select Air Transportation Portfolio 15,23 7.17 10.90 40.39 22.31 29.79 12.27 11.29 12/16/85 0.75/30 0.870

FSAVX Select Automotive Portfolio 15,23 5.79 5.92 26.15 13.17 24.61 8.23 9.52 6/30/86 0.75/30 0.840

FSRBX Select Banking Portfolio 15,23 -0.51 3.48 21.77 17.35 17.68 1.96 10.09 6/30/86 0.75/30 0.810

FBIOX Select Biotechnology Portfolio 15,23 2.79 10.21 41.61 35.49 28.90 13.85 14.15 12/16/85 0.75/30 0.760

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

6

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AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

SPECIALTY (continued)FSLBX Select Brokerage and Investment Management

Portfolio 15,231.05 -1.31 21.81 16.10 13.89 8.49 11.43 7/29/85 0.75/30 1.420

FSCHX Select Chemicals Portfolio 15,23 4.54 7.27 31.06 17.37 26.01 15.35 14.65 7/29/85 0.75/30 0.810

FSDCX Select Communications Equipment Portfolio12,15,23

3.87 9.61 29.11 6.15 14.23 6.11 10.50 6/29/90 0.75/30 0.920

FDCPX Select Computers Portfolio 15,23 1.75 5.74 24.29 12.82 20.88 9.36 12.14 7/29/85 0.75/30 0.820

FSHOX Select Construction and Housing Portfolio 15,23 1.00 4.17 12.65 20.53 21.86 9.16 11.69 9/29/86 0.75/30 0.810

FSCPX Select Consumer Discretionary Portfolio 12,15,23 1.93 1.69 20.16 17.91 23.17 8.98 10.21 6/29/90 0.75/30 0.820

FSVLX Select Consumer Finance Portfolio 13,15,23 2.12 2.05 16.75 18.89 18.42 -5.43 9.03 12/16/85 0.75/30 0.850

FDFAX Select Consumer Staples Portfolio 12,15,23 5.65 6.48 16.46 15.13 17.16 11.48 13.45 7/29/85 0.75/30 0.790

FSDAX Select Defense and Aerospace Portfolio 15,23 -0.06 -0.54 25.18 16.64 22.15 11.69 11.70 5/08/84 0.75/30 0.810

FSELX Select Electronics Portfolio 15,23 10.26 23.43 45.92 16.17 21.28 7.24 11.19 7/29/85 0.75/30 0.820

FSENX Select Energy Portfolio 15,23 12.73 15.56 30.76 8.92 16.69 12.97 9.83 7/14/81 0.75/30 0.800

FSESX Select Energy Service Portfolio 15,23 14.93 19.82 35.19 7.25 16.97 12.32 9.97 12/16/85 0.75/30 0.800

FSLEX Select Environment and Alternative EnergyPortfolio 14,15,23

3.20 6.09 27.77 8.78 13.35 6.24 4.36 6/29/89 0.75/30 0.970

FIDSX Select Financial Services Portfolio 15,23 2.09 3.17 20.92 14.02 12.01 1.12 11.56 12/10/81 0.75/30 0.860

FSAGX Select Gold Portfolio 15,23 14.20 30.66 22.23 -20.21 -5.23 5.84 5.74 12/16/85 0.75/30 0.940

FSPHX Select Health Care Portfolio 15,23 5.46 15.92 49.80 27.19 27.23 13.41 16.42 7/14/81 0.75/30 0.770

FSCGX Select Industrial Equipment Portfolio 15,23 2.14 2.43 24.91 13.02 21.91 9.58 10.10 9/29/86 0.75/30 0.790

FCYIX Select Industrials Portfolio 12,15,23 3.73 3.80 27.06 15.58 23.38 12.03 10.76 3/03/97 0.75/30 0.810

FSPCX Select Insurance Portfolio 15,23 4.97 3.01 20.87 18.42 20.60 5.25 11.31 12/16/85 0.75/30 0.830

FBSOX Select IT Services Portfolio 12,15,23 0.87 -1.98 25.85 19.08 24.49 13.29 11.94 2/04/98 0.75/30 0.840

FDLSX Select Leisure Portfolio 15,23 1.81 2.90 24.66 17.31 22.74 11.37 14.31 5/08/84 0.75/30 0.820

FSDPX Select Materials Portfolio 12,15,23 3.89 6.94 26.65 10.89 20.51 13.53 10.82 9/29/86 0.75/30 0.820

FSHCX Select Medical Delivery Portfolio 15,23 1.88 7.24 25.13 13.75 21.63 12.36 11.98 6/30/86 0.75/30 0.820

FSMEX Select Medical Equipment and Systems Portfolio15,23

5.10 12.75 35.34 16.33 18.53 10.79 13.77 4/28/98 0.75/30 0.800

FBMPX Select Multimedia Portfolio 15,23 5.59 3.00 24.25 22.14 28.56 11.14 13.17 6/30/86 0.75/30 0.810

FSNGX Select Natural Gas Portfolio 15,23 14.75 22.31 42.99 11.55 13.67 10.42 10.07 4/21/93 0.75/30 0.840

FNARX Select Natural Resources Portfolio 15,23 13.59 18.26 32.93 6.62 15.45 13.18 10.98 3/03/97 0.75/30 0.840

FPHAX Select Pharmaceuticals Portfolio 15,23 6.49 15.41 39.26 22.77 24.74 12.97 8.87 6/18/01 0.75/30 0.820

FSRPX Select Retailing Portfolio 15,23 -0.42 -3.26 18.33 18.83 24.40 12.22 13.32 12/16/85 0.75/30 0.830

FSCSX Select Software and Computer Services Portfolio15,23

1.02 2.10 31.30 20.48 23.80 13.18 15.73 7/29/85 0.75/30 0.790

FSPTX Select Technology Portfolio 15,23 5.47 7.56 31.46 13.41 20.80 9.19 12.42 7/14/81 0.75/30 0.800

FSTCX Select Telecommunications Portfolio 15,23 3.55 3.76 14.03 9.64 14.67 8.13 10.59 7/29/85 0.75/30 0.850

FSRFX Select Transportation Portfolio 15,23 7.71 14.25 40.36 19.63 27.76 12.70 13.22 9/29/86 0.75/30 0.850

FSUTX Select Utilities Portfolio 12,15,23 8.71 19.85 30.65 17.05 17.56 10.97 11.70 12/10/81 0.75/30 0.820

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

7

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AS OF JUNE 30, 2014

Fund ID Name

3 Month YTD 1 Year 3 Year 5 Year

10 Year

Life of Fund

FundInception

Short-Term Trading Fee (%/Days)

Expense Ratio

CumulativeTotal Returns %

Average AnnualTotal Returns %

SPECIALTY (continued)FWRLX Select Wireless Portfolio 15,23 1.97 2.07 22.77 12.38 14.31 9.92 2.03 9/21/00 0.75/30 0.880

FSRVX Spartan® Real Estate Index Fund - FidelityAdvantage Class 1,15,23,24

7.07 18.03 13.18 -- n/a n/a 14.04 9/08/11 0.75/90 0.190

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

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

AS OF JUNE 30, 2014

MARKET INDICATORS

Name3

Month YTD 1 Year 3 Year 5 Year10

Year

CumulativeTotal Returns %

Average AnnualTotal Returns %

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

AS OF JUNE 30, 2014

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 theperiod 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.

AS OF JUNE 30, 2014

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 ofthe 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 differentlythan for mutual funds. Mutual fund data comes from the fund’s prospectus. For non-mutual fund investment options, the information has been provided by theplan 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 andexpenses associated with the investment option. Expense information changes periodically. Please consult NetBenefits for updates.

AS OF JUNE 30, 2014

SPECIFIC FUNDS

Morningstar, Inc., provided data on the non-Fidelity mutual funds. Although the data is gathered from reliable sources, accuracy and completeness cannot beguaranteed 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 theInvestors 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 Kclass expenses been reflected in the returns shown, total returns would have been higher.

8

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AS OF JUNE 30, 2014

5 Prior to June 1, 2011, the fund operated under certain different investment policies and compared its performance to a different benchmark. The fund's historicalperformance may not represent its current investment policies.

6 As of August 31, 2011, this fund changed its name from Fidelity Large Cap Value Fund.

7 On October 14, 2005, an initial offering of the Fidelity Advantage Share Class took place. Returns prior to that date are those of the Investor Class and reflect theInvestors Class' expense ratio. Had the Fidelity Advantage Class' expense ratio been reflected, total returns would have been higher.

8 As of September 1, 2010, this fund changed its name from Fidelity Small Cap Independence Fund.

9 Prior to February 1, 2007, Trend Fund operated under certain different investment policies and compared its performance to a different index. The fund'shistorical performance may not represent its current investment policies.

10 Initial offering of the Fidelity Stock Selector Mid Cap Retail Class took place on June 6, 2012. Returns prior to that date are those of the Fidelity Advisor StockSelector Mid Cap - Class I and reflect the Class I's expense ratio. Had the Fidelity Stock Selector Mid Cap Retail Class expense ratio been reflected, total returnswould have been lower.

11 Prior to December 1, 2010, Fidelity Emerging Asia Fund operated under certain different investment policies and compared its performance to a differentbenchmark. The fund's historical performance may not represent its current investment policies.

12 Prior to October 1, 2006, Fidelity Select IT Services, Select Consumer Discretionary, Select Industrials, Select Communications Equipment, Select ConsumerStaples, Select Materials, and Select Utilities Growth Portfolios operated under different investment policies, and compared their performance to differentbenchmarks. The fund's historical performance might not represent its current investment policies.

13 Prior to December 1, 2010, Select Consumer Finance Portfolio operated under certain different investment policies and compared its performance to a differentadditional benchmark. The fund's historical performance may not represent its current investment policies.

14 Prior to July 1, 2010, the fund was named Fidelity Select Environmental Portfolio, operated under certain different investment policies, and compared itsperformance to a different benchmark. The fund's historical performance may not represent its current investment policies.

AS OF JUNE 30, 2014

INVESTMENT RISK

15 Stock markets, especially foreign markets, are volatile and can decline significantly in response to adverse issuer, political, regulatory, market oreconomic developments.

16 Fidelity Freedom Funds are designed for investors expecting to retire around the year indicated in each fund's name. Except for the Freedom Income Fund, thefunds' asset allocation strategy becomes increasingly conservative as it approaches the target date and beyond. Ultimately, they are expected to merge with theFreedom Income Fund. The investment risks of each Fidelity Freedom Fund change over time as its asset allocation changes. They are subject to the volatility ofthe financial markets, including equity and fixed income investments in the U.S. and abroad and may be subject to risks associated with investing in high yield,small cap and, commodity-related, foreign securities. Principal invested is not guaranteed at any time, including at or after their target dates.

17 An investment in a money market fund is not insured or guaranteed by the FDIC or any other government agency. Although money market funds seek topreserve the value of your investment at $1 per share, it is possible to lose money by investing in these funds.

18 In general the bond market is volatile and bonds entail interest rate risk (as interest rates rise bond prices usually fall and vice versa). This effect is usuallypronounced for longer-term securities. Bonds also entail the risk of issuer default, issuer credit risk and inflation risk.

19 Lower-quality debt securities involve greater risk of default or price changes due to potential changes in the credit quality of the issuer.

20 Investments in mid-sized companies may involve greater risk than those of larger, more well known companies, but may be less volatile than investments insmaller companies.

21 Investments in smaller companies may involve greater risk than those in larger, more well known companies.

22 Foreign investments, especially those in emerging markets, involve greater risk and may offer greater potential returns than U.S. investments. This risk includespolitical and economic uncertainties of foreign countries, as well as the risk of currency fluctuation.

23 Because of their narrow focus, sector funds may be more volatile than funds that diversify across many sectors.

24 Changes in real estate values or economic downturns can have a significant negative effect on issuers in the real estate industry.

AS OF JUNE 30, 2014

MARKET INDICATORS

Indices are unmanaged and you cannot invest directly in an index

Barclays Int Govt/Cr Bond Barclays U.S. Intermediate Government/Credit Bond Index is a market value-weighted index of investment-grade fixed-rate debtsecurities with maturities from one up to (but not including) ten years from the U.S. Treasury, U.S. Government-Related, and U.S. Corporate Indices.

9

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AS OF JUNE 30, 2014

Barclays U.S. Agg Bond The Barclays U.S. Aggregate Bond Index is an unmanaged market value-weighted index for U.S. dollar denominated investment-gradefixed-rate debt issues, including government, corporate, asset-backed, and mortgage-backed securities with maturities of at least one year.

DJ Industrial Average The Dow Jones Industrial Average (DJIA) is an unmanaged price-weighted index and is the most widely used indicator of how thecountry's industrial leaders are performing. Also known as "the Dow," this is a formula based on the stock prices of 30 major companies chosen from sectors of theeconomy most representative of our country's economic condition.

MSCI EAFE (Net MA) The MSCI Europe, Australasia and Far East Index (net MA tax) is an unmanaged market capitalization-weighted index of equity securities ofcompanies domiciled in various countries. The index is designed to represent performance of developed stock markets outside the United States and Canada andexcludes certain market segments unavailable to U.S. based investors. The index returns for periods after 1/1/1997 are adjusted for tax withholding ratesapplicable to U.S.-based mutual funds organized as Massachusetts business trusts.

S&P 500 S&P 500 Index is a market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation torepresent U.S. equity performance.

Russell 2000 The Russell 2000® Index is an unmanaged market capitalization-weighted index of 2,000 small company stocks of U.S. domiciled companies.

AS OF JUNE 30, 2014

Before investing in any mutual fund, consider the investment objectives, risks, charges, and expenses. Contact Fidelityfor a prospectus or, if available, a summary prospectus containing this information. Read it carefully.

Fidelity Brokerage Services LLC, Member NYSE, SIPC900 Salem Street, Smithfield, RI 02917© 2014 FMR LLC, All rights reserved.673318.3.0 10