40-17G 1 main.htm final.pdf -- Converted by SECPublisher 4.0, created by BCL Technologies Inc., for SEC Filing


FIDELITY 17g CALCULATION ( as of 09/30/2006 )         
 REGISTERED FUNDS (Sort by Trust Name)             
Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
Fidelity Aberdeen Street Trust                 
369    Fidelity Aberdeen Street Trust    Fidelity Freedom Income Fund    2,195,347,134         
370    Fidelity Aberdeen Street Trust    Fidelity Freedom 2000 Fund    1,568,852,852         
371    Fidelity Aberdeen Street Trust    Fidelity Freedom 2010 Fund    11,306,857,234         
372    Fidelity Aberdeen Street Trust    Fidelity Freedom 2020 Fund    15,223,771,109         
373    Fidelity Aberdeen Street Trust    Fidelity Freedom 2030 Fund    9,442,969,693         
718    Fidelity Aberdeen Street Trust    Fidelity Freedom 2040 Fund    4,526,619,630         
1184    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2010 Fund: Class A    158,578,357         
1184    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2010 Fund: Class B    33,597,321         
1184    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2010 Fund: Class C    42,470,339         
1184    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2010 Fund: Institutional    11,267,839         
1184    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2010 Fund: Class T    170,995,486         
1189    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2020 Fund: Class T    365,194,454         
1189    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2020 Fund: Class C    70,387,138         
1189    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2020 Fund: Class B    76,866,212         
1189    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2020 Fund: Class A    343,938,562         
1189    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2020 Fund: Institutional    25,341,553         
1194    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2030 Fund: Class B    48,706,082         
1194    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2030 Fund: Class C    44,939,093         
1194    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2030 Fund: Institutional    13,098,827         
1194    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2030 Fund: Class A    204,519,046         
1194    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2030 Fund: Class T    231,899,368         
1199    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2040 Fund: Class T    172,610,505         
1199    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2040 Fund: Class C    46,145,022         
 
 Thursday, November 16, 2006                Page 1 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1199    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2040 Fund: Class A    174,681,863         
1199    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2040 Fund: Institutional    10,551,937         
1199    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2040 Fund: Class B    38,254,007         
1205    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom Income Fund: Institutional    1,360,097         
1205    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom Income Fund: Class T    35,312,287         
1205    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom Income Fund: Class C    13,065,278         
1205    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom Income Fund: Class A    28,102,838         
1205    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom Income Fund: Class B    4,828,219         
1291    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2005 Fund: Class T    15,460,635         
1291    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2005 Fund: Institutional    2,047,369         
1291    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2005 Fund: Class C    8,578,645         
1291    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2005 Fund: Class B    4,071,329         
1291    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2005 Fund: Class A    22,819,988         
1296    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2015 Fund: Class B    37,999,141         
1296    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2015 Fund: Institutional    33,223,933         
1296    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2015 Fund: Class T    146,243,474         
1296    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2015 Fund: Class C    44,351,242         
1296    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2015 Fund: Class A    183,430,943         
1302    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2025 Fund: Class B    31,394,182         
1302    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2025 Fund: Institutional    7,913,026         
1302    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2025 Fund: Class A    172,048,032         
1302    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2025 Fund: Class T    109,275,967         
1302    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2025 Fund: Class C    25,143,517         
1307    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2035 Fund: Institutional    3,612,172         
1307    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2035 Fund: Class T    60,053,806         
1307    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2035 Fund: Class C    14,868,614         
1307    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2035 Fund: Class B    18,600,333         
Thursday, November 16, 2006                Page 2 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1307    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2035 Fund: Class A    76,368,991         
1312    Fidelity Aberdeen Street Trust    Fidelity Freedom 2005 Fund    631,427,271         
1313    Fidelity Aberdeen Street Trust    Fidelity Freedom 2015 Fund    3,500,540,773         
1314    Fidelity Aberdeen Street Trust    Fidelity Freedom 2025 Fund    2,848,711,589         
1315    Fidelity Aberdeen Street Trust    Fidelity Freedom 2035 Fund    1,609,505,189         
1599    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2045 Fund: Class B    252,661         
1599    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2045 Fund: Institutional    102,403         
1599    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2045 Fund: Class C    296,195         
1599    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2045 Fund: Class A    261,195         
1599    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2045 Fund: Class T    303,026         
1605    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2050 Fund: Class A    538,834         
1605    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2050 Fund: Institutional    108,447         
1605    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2050 Fund: Class T    318,352         
1605    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2050 Fund: Class B    231,737         
1605    Fidelity Aberdeen Street Trust    Fidelity Advisor Freedom 2050 Fund: Class C    406,181         
1617    Fidelity Aberdeen Street Trust    Fidelity Freedom 2045 Fund    24,117,386         
1618    Fidelity Aberdeen Street Trust    Fidelity Freedom 2050 Fund    21,073,537         
                56,286,829,497    2,500,000 
Fidelity Advisor Series I                 
14    Fidelity Advisor Series I    Fidelity Value Strategies Fund    188,377,355         
14    Fidelity Advisor Series I    Fidelity Advisor Value Strategies Fund: Class T    806,006,884         
14    Fidelity Advisor Series I    Fidelity Advisor Value Strategies Fund: Class A    307,855,032         
14    Fidelity Advisor Series I    Fidelity Advisor Value Strategies Fund: Class B    204,003,160         
14    Fidelity Advisor Series I    Fidelity Advisor Value Strategies Fund: Institutional    75,653,696         
14    Fidelity Advisor Series I    Fidelity Advisor Value Strategies Fund: Class C    95,160,130         
80    Fidelity Advisor Series I    Fidelity Advisor Equity Income Fund: Class B    415,329,918         
80    Fidelity Advisor Series I    Fidelity Advisor Equity Income Fund: Class A    1,430,064,132         
 Thursday, November 16, 2006                Page 3 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
80    Fidelity Advisor Series I    Fidelity Advisor Equity Income Fund: Class T    2,938,113,924         
80    Fidelity Advisor Series I    Fidelity Advisor Equity Income Fund: Class C    381,308,978         
80    Fidelity Advisor Series I    Fidelity Advisor Equity Income Fund: Institutional    1,772,735,042         
86    Fidelity Advisor Series I    Fidelity Advisor Equity Growth Fund: Institutional    1,302,098,432         
86    Fidelity Advisor Series I    Fidelity Advisor Equity Growth Fund: Class B    486,296,657         
86    Fidelity Advisor Series I    Fidelity Advisor Equity Growth Fund: Class A    1,130,197,556         
86    Fidelity Advisor Series I    Fidelity Advisor Equity Growth Fund: Class T    3,025,141,369         
86    Fidelity Advisor Series I    Fidelity Advisor Equity Growth Fund: Class C    298,825,831         
150    Fidelity Advisor Series I    Fidelity Advisor Equity Value Fund: Class C    16,456,132         
150    Fidelity Advisor Series I    Fidelity Advisor Equity Value Fund: Class A    26,378,201         
150    Fidelity Advisor Series I    Fidelity Advisor Equity Value Fund: Class B    19,971,926         
150    Fidelity Advisor Series I    Fidelity Advisor Equity Value Fund: Institutional    4,135,462         
150    Fidelity Advisor Series I    Fidelity Advisor Equity Value Fund: Class T    51,108,403         
219    Fidelity Advisor Series I    Fidelity Advisor Balanced Fund: Class A    211,846,521         
219    Fidelity Advisor Series I    Fidelity Advisor Balanced Fund: Class B    76,601,468         
219    Fidelity Advisor Series I    Fidelity Advisor Balanced Fund: Class T    949,739,978         
219    Fidelity Advisor Series I    Fidelity Advisor Balanced Fund: Institutional Class    16,996,189         
219    Fidelity Advisor Series I    Fidelity Advisor Balanced Fund: Class C    74,137,415         
223    Fidelity Advisor Series I    Fidelity Advisor Growth Opportunities Fund: Class T    2,135,257,868         
223    Fidelity Advisor Series I    Fidelity Advisor Growth Opportunities Fund: Class A    375,766,671         
223    Fidelity Advisor Series I    Fidelity Advisor Growth Opportunities Fund: Class B    124,835,304         
223    Fidelity Advisor Series I    Fidelity Advisor Growth Opportunities Fund:    103,255,888         
223    Fidelity Advisor Series I    Fidelity Advisor Growth Opportunities Fund: Class C    73,853,788         
267    Fidelity Advisor Series I    Fidelity Advisor Strategic Growth Fund: Class C    2,446,858         
267    Fidelity Advisor Series I    Fidelity Advisor Strategic Growth Fund: Institutional    169,659         
267    Fidelity Advisor Series I    Fidelity Advisor Strategic Growth Fund: Class T    8,550,015         
267    Fidelity Advisor Series I    Fidelity Advisor Strategic Growth Fund: Class A    5,295,938         
Thursday, November 16, 2006                Page 4 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
267    Fidelity Advisor Series I    Fidelity Advisor Strategic Growth Fund: Class B    4,279,776         
272    Fidelity Advisor Series I    Fidelity Advisor Growth & Income Fund: Class B    147,655,090         
272    Fidelity Advisor Series I    Fidelity Advisor Growth & Income Fund: Class T    506,900,608         
272    Fidelity Advisor Series I    Fidelity Advisor Growth & Income Fund: Class A    236,732,773         
272    Fidelity Advisor Series I    Fidelity Advisor Growth & Income Fund: Class C    119,917,086         
272    Fidelity Advisor Series I    Fidelity Advisor Growth & Income Fund: Institutional    488,240,947         
294    Fidelity Advisor Series I    Fidelity Advisor Small Cap Fund: Class B    229,809,784         
294    Fidelity Advisor Series I    Fidelity Advisor Small Cap Fund: Class C    305,524,586         
294    Fidelity Advisor Series I    Fidelity Advisor Small Cap Fund: Institutional Class    495,419,099         
294    Fidelity Advisor Series I    Fidelity Advisor Small Cap Fund: Class T    1,493,380,388         
294    Fidelity Advisor Series I    Fidelity Advisor Small Cap Fund: Class A    753,126,451         
316    Fidelity Advisor Series I    Fidelity Advisor Leveraged Company Stock Fund:    622,661,006         
316    Fidelity Advisor Series I    Fidelity Advisor Leveraged Company Stock Fund:    133,255,741         
316    Fidelity Advisor Series I    Fidelity Advisor Leveraged Company Stock Fund:    354,940,100         
316    Fidelity Advisor Series I    Fidelity Advisor Leveraged Company Stock Fund:    408,551,359         
316    Fidelity Advisor Series I    Fidelity Advisor Leveraged Company Stock Fund:    161,397,065         
348    Fidelity Advisor Series I    Fidelity Advisor Fifty Fund: Institutional Class    2,595,112         
348    Fidelity Advisor Series I    Fidelity Advisor Fifty Fund: Class A    36,481,411         
348    Fidelity Advisor Series I    Fidelity Advisor Fifty Fund: Class B    18,474,850         
348    Fidelity Advisor Series I    Fidelity Advisor Fifty Fund: Class C    15,390,812         
348    Fidelity Advisor Series I    Fidelity Advisor Fifty Fund: Class T    30,058,055         
531    Fidelity Advisor Series I    Fidelity Advisor Mid Cap Fund: Class T    3,856,764,340         
531    Fidelity Advisor Series I    Fidelity Advisor Mid Cap Fund: Class B    730,604,537         
531    Fidelity Advisor Series I    Fidelity Advisor Mid Cap Fund: Institutional Class    725,871,809         
531    Fidelity Advisor Series I    Fidelity Advisor Mid Cap Fund: Class A    1,562,735,533         
531    Fidelity Advisor Series I    Fidelity Advisor Mid Cap Fund: Class C    498,764,364         
534    Fidelity Advisor Series I    Fidelity Advisor Large Cap Fund: Class C    41,640,293         
Thursday, November 16, 2006                Page 5 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
534    Fidelity Advisor Series I    Fidelity Advisor Large Cap Fund: Class A    102,236,470         
534    Fidelity Advisor Series I    Fidelity Advisor Large Cap Fund: Class T    140,079,979         
534    Fidelity Advisor Series I    Fidelity Advisor Large Cap Fund: Class B    67,205,419         
534    Fidelity Advisor Series I    Fidelity Advisor Large Cap Fund: Institutional Class    459,069,921         
714    Fidelity Advisor Series I    Fidelity Advisor Dividend Growth Fund: Class T    1,243,179,782         
714    Fidelity Advisor Series I    Fidelity Advisor Dividend Growth Fund: Class B    320,298,779         
714    Fidelity Advisor Series I    Fidelity Advisor Dividend Growth Fund: Class C    315,023,009         
714    Fidelity Advisor Series I    Fidelity Advisor Dividend Growth Fund:    1,083,421,804         
714    Fidelity Advisor Series I    Fidelity Advisor Dividend Growth Fund: Class A    509,332,816         
721    Fidelity Advisor Series I    Fidelity Advisor Dynamic Capital Appreciation Fund:    67,269,554         
721    Fidelity Advisor Series I    Fidelity Advisor Dynamic Capital Appreciation Fund:    32,057,273         
721    Fidelity Advisor Series I    Fidelity Advisor Dynamic Capital Appreciation Fund:    61,434,146         
721    Fidelity Advisor Series I    Fidelity Advisor Dynamic Capital Appreciation Fund:    123,258,371         
721    Fidelity Advisor Series I    Fidelity Advisor Dynamic Capital Appreciation Fund:    191,078,747         
726    Fidelity Advisor Series I    Fidelity Advisor Asset Manager 70%: Institutional    4,067,467         
726    Fidelity Advisor Series I    Fidelity Advisor Asset Manager 70%: Class C    41,080,759         
726    Fidelity Advisor Series I    Fidelity Advisor Asset Manager 70%: Class T    72,578,292         
726    Fidelity Advisor Series I    Fidelity Advisor Asset Manager 70%: Class A    76,145,427         
726    Fidelity Advisor Series I    Fidelity Advisor Asset Manager 70%: Class B    38,602,205         
                38,062,564,975    2,500,000 
Fidelity Advisor Series II                 
40    Fidelity Advisor Series II    Fidelity Advisor Mortgage Securities Fund: Class C    31,188,268         
40    Fidelity Advisor Series II    Fidelity Mortgage Securities Fund    1,613,911,597         
40    Fidelity Advisor Series II    Fidelity Advisor Mortgage Securities Fund:    11,954,744         
40    Fidelity Advisor Series II    Fidelity Advisor Mortgage Securities Fund: Class T    88,041,025         
40    Fidelity Advisor Series II    Fidelity Advisor Mortgage Securities Fund: Class B    72,683,009         
40    Fidelity Advisor Series II    Fidelity Advisor Mortgage Securities Fund: Class A    53,489,115         
 Thursday, November 16, 2006                Page 6 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
87    Fidelity Advisor Series II    Fidelity Advisor Intermediate Bond Fund: Class C    64,157,491         
87    Fidelity Advisor Series II    Fidelity Advisor Intermediate Bond Fund: Class B    44,482,063         
87    Fidelity Advisor Series II    Fidelity Advisor Intermediate Bond Fund: Class T    563,703,362         
87    Fidelity Advisor Series II    Fidelity Advisor Intermediate Bond Fund: Class A    230,182,312         
87    Fidelity Advisor Series II    Fidelity Advisor Intermediate Bond Fund:    593,785,594         
161    Fidelity Advisor Series II    Fidelity Advisor Floating Rate High Income Fund:    460,002,662         
161    Fidelity Advisor Series II    Fidelity Advisor Floating Rate High Income Fund:    269,615,578         
161    Fidelity Advisor Series II    Fidelity Advisor Floating Rate High Income Fund:    484,742,355         
161    Fidelity Advisor Series II    Fidelity Advisor Floating Rate High Income Fund:    146,717,563         
161    Fidelity Advisor Series II    Fidelity Advisor Floating Rate High Income Fund:    292,657,312         
161    Fidelity Advisor Series II    Fidelity Floating Rate High Income Fund: Retail Class    2,925,955,779         
217    Fidelity Advisor Series II    Fidelity Advisor Government Investment Fund:    563,455,641         
217    Fidelity Advisor Series II    Fidelity Advisor Government Investment Fund: Class    45,842,033         
217    Fidelity Advisor Series II    Fidelity Advisor Government Investment Fund: Class    61,065,774         
217    Fidelity Advisor Series II    Fidelity Advisor Government Investment Fund: Class    205,393,422         
217    Fidelity Advisor Series II    Fidelity Advisor Government Investment Fund: Class A    116,866,546         
218    Fidelity Advisor Series II    Fidelity Advisor High Income Advantage Fund: Class A    561,841,707         
218    Fidelity Advisor Series II    Fidelity Advisor High Income Advantage Fund: Class T    1,059,532,006         
218    Fidelity Advisor Series II    Fidelity Advisor High Income Advantage Fund:    573,890,961         
218    Fidelity Advisor Series II    Fidelity Advisor High Income Advantage Fund: Class B    206,118,799         
218    Fidelity Advisor Series II    Fidelity Advisor High Income Advantage Fund: Class C    194,585,351         
220    Fidelity Advisor Series II    Fidelity Advisor Municipal Income Fund: Class T    309,405,511         
220    Fidelity Advisor Series II    Fidelity Advisor Municipal Income Fund:    60,998,807         
220    Fidelity Advisor Series II    Fidelity Advisor Municipal Income Fund: Class C    62,173,950         
220    Fidelity Advisor Series II    Fidelity Advisor Municipal Income Fund: Class B    65,763,255         
220    Fidelity Advisor Series II    Fidelity Advisor Municipal Income Fund: Class A    141,401,984         
222    Fidelity Advisor Series II    Fidelity Advisor Short Fixed-Income Fund: Class B    30,620,982         
Thursday, November 16, 2006                Page 7 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
222    Fidelity Advisor Series II    Fidelity Advisor Short Fixed-Income Fund: Class T    511,507,958         
222    Fidelity Advisor Series II    Fidelity Advisor Short Fixed-Income Fund: Class C    153,695,943         
222    Fidelity Advisor Series II    Fidelity Advisor Short Fixed-Income Fund: Class A    378,187,910         
222    Fidelity Advisor Series II    Fidelity Advisor Short Fixed-Income Fund:    228,007,712         
374    Fidelity Advisor Series II    Fidelity Advisor High Income Fund: Class T    67,289,147         
374    Fidelity Advisor Series II    Fidelity Advisor High Income Fund: Institutional Class    201,108,501         
374    Fidelity Advisor Series II    Fidelity Advisor High Income Fund: Class C    51,569,235         
374    Fidelity Advisor Series II    Fidelity Advisor High Income Fund: Class B    52,671,422         
374    Fidelity Advisor Series II    Fidelity Advisor High Income Fund: Class A    127,218,803         
638    Fidelity Advisor Series II    Fidelity Advisor Strategic Income Fund: Class T    1,839,211,088         
638    Fidelity Advisor Series II    Fidelity Advisor Strategic Income Fund: Institutional    555,400,815         
638    Fidelity Advisor Series II    Fidelity Advisor Strategic Income Fund: Class B    335,944,407         
638    Fidelity Advisor Series II    Fidelity Advisor Strategic Income Fund: Class C    631,672,983         
638    Fidelity Advisor Series II    Fidelity Advisor Strategic Income Fund: Class A    853,664,094         
1316    Fidelity Advisor Series II    Fidelity Advisor Value Fund: Institutional Class    5,733,570         
1316    Fidelity Advisor Series II    Fidelity Advisor Value Fund: Class T    42,561,684         
1316    Fidelity Advisor Series II    Fidelity Advisor Value Fund: Class C    17,744,216         
1316    Fidelity Advisor Series II    Fidelity Advisor Value Fund: Class B    14,040,214         
1316    Fidelity Advisor Series II    Fidelity Advisor Value Fund: Class A    44,293,007         
1359    Fidelity Advisor Series II    Fidelity Advisor Mid Cap II Fund: Institutional Class    253,548,644         
1359    Fidelity Advisor Series II    Fidelity Advisor Mid Cap II Fund: Class T    520,498,845         
1359    Fidelity Advisor Series II    Fidelity Advisor Mid Cap II Fund: Class C    187,520,737         
1359    Fidelity Advisor Series II    Fidelity Advisor Mid Cap II Fund: Class A    374,681,737         
1359    Fidelity Advisor Series II    Fidelity Advisor Mid Cap II Fund: Class B    82,225,625         
                19,736,224,855    2,500,000 
Fidelity Advisor Series IV                 
662    Fidelity Advisor Series IV    Fidelity Institutional Short-Intermediate Government    341,345,112         
 Thursday, November 16, 2006                Page 8 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
671    Fidelity Advisor Series IV    Fidelity Real Estate High Income Fund    544,753,606         
                886,098,718    1,000,000 
Fidelity Advisor Series VII                 
177    Fidelity Advisor Series VII    Fidelity Advisor Health Care Fund: Class B    172,360,028         
177    Fidelity Advisor Series VII    Fidelity Advisor Health Care Fund: Class A    205,925,876         
177    Fidelity Advisor Series VII    Fidelity Advisor Health Care Fund: Class T    219,152,776         
177    Fidelity Advisor Series VII    Fidelity Advisor Health Care Fund: Institutional Class    21,839,713         
177    Fidelity Advisor Series VII    Fidelity Advisor Health Care Fund: Class C    116,338,070         
183    Fidelity Advisor Series VII    Fidelity Advisor Financial Services Fund: Class C    65,058,165         
183    Fidelity Advisor Series VII    Fidelity Advisor Financial Services Fund: Class A    90,643,947         
183    Fidelity Advisor Series VII    Fidelity Advisor Financial Services Fund: Class T    117,452,953         
183    Fidelity Advisor Series VII    Fidelity Advisor Financial Services Fund: Class B    112,666,402         
183    Fidelity Advisor Series VII    Fidelity Advisor Financial Services Fund:    12,179,697         
184    Fidelity Advisor Series VII    Fidelity Advisor Cyclical Industries Fund: Class B    38,467,687         
184    Fidelity Advisor Series VII    Fidelity Advisor Cyclical Industries Fund: Class C    46,264,184         
184    Fidelity Advisor Series VII    Fidelity Advisor Cyclical Industries Fund:    13,121,950         
184    Fidelity Advisor Series VII    Fidelity Advisor Cyclical Industries Fund: Class T    58,017,667         
184    Fidelity Advisor Series VII    Fidelity Advisor Cyclical Industries Fund: Class A    113,731,843         
185    Fidelity Advisor Series VII    Fidelity Advisor Consumer Industries Fund: Class T    14,957,751         
185    Fidelity Advisor Series VII    Fidelity Advisor Consumer Industries Fund: Class C    7,457,717         
185    Fidelity Advisor Series VII    Fidelity Advisor Consumer Industries Fund:    1,179,479         
185    Fidelity Advisor Series VII    Fidelity Advisor Consumer Industries Fund: Class B    14,227,197         
185    Fidelity Advisor Series VII    Fidelity Advisor Consumer Industries Fund: Class A    17,921,310         
186    Fidelity Advisor Series VII    Fidelity Advisor Telecommunications & Utilities    64,509,825         
186    Fidelity Advisor Series VII    Fidelity Advisor Telecommunications & Utilities    55,969,940         
186    Fidelity Advisor Series VII    Fidelity Advisor Telecommunications & Utilities    48,577,589         
186    Fidelity Advisor Series VII    Fidelity Advisor Telecommunications & Utilities    7,539,510         
 Thursday, November 16, 2006                Page 9 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total               Bond 
186    Fidelity Advisor Series VII    Fidelity Advisor Telecommunications & Utilities    36,199,876         
187    Fidelity Advisor Series VII    Fidelity Advisor Technology Fund: Class A    216,211,210         
187    Fidelity Advisor Series VII    Fidelity Advisor Technology Fund: Class B    198,213,415         
187    Fidelity Advisor Series VII    Fidelity Advisor Technology Fund: Class T    279,820,250         
187    Fidelity Advisor Series VII    Fidelity Advisor Technology Fund: Class C    89,586,531         
187    Fidelity Advisor Series VII    Fidelity Advisor Technology Fund: Institutional    12,650,612         
226    Fidelity Advisor Series VII    Fidelity Advisor Natural Resources Fund: Class T    310,976,786         
226    Fidelity Advisor Series VII    Fidelity Advisor Natural Resources Fund: Class C    106,612,523         
226    Fidelity Advisor Series VII    Fidelity Advisor Natural Resources Fund: Class A    184,841,845         
226    Fidelity Advisor Series VII    Fidelity Advisor Natural Resources Fund: Class B    111,660,105         
226    Fidelity Advisor Series VII    Fidelity Advisor Natural Resources Fund:    16,915,352         
262    Fidelity Advisor Series VII    Fidelity Advisor Biotechnology Fund: Class T    14,090,198         
262    Fidelity Advisor Series VII    Fidelity Advisor Biotechnology Fund: Institutional    1,277,799         
262    Fidelity Advisor Series VII    Fidelity Advisor Biotechnology Fund: Class C    13,700,909         
262    Fidelity Advisor Series VII    Fidelity Advisor Biotechnology Fund: Class A    13,440,483         
262    Fidelity Advisor Series VII    Fidelity Advisor Biotechnology Fund: Class B    15,112,394         
525    Fidelity Advisor Series VII    Fidelity Advisor Developing Communications Fund:    3,129,661         
525    Fidelity Advisor Series VII    Fidelity Advisor Developing Communications Fund:    1,954,134         
525    Fidelity Advisor Series VII    Fidelity Advisor Developing Communications Fund:    2,519,717         
525    Fidelity Advisor Series VII    Fidelity Advisor Developing Communications Fund:    3,120,110         
525    Fidelity Advisor Series VII    Fidelity Advisor Developing Communications Fund:    423,629         
689    Fidelity Advisor Series VII    Fidelity Advisor Electronics Fund: Class T    8,912,884         
689    Fidelity Advisor Series VII    Fidelity Advisor Electronics Fund: Class C    7,036,083         
689    Fidelity Advisor Series VII    Fidelity Advisor Electronics Fund: Class A    8,199,068         
689    Fidelity Advisor Series VII    Fidelity Advisor Electronics Fund: Institutional Class    806,659         
689    Fidelity Advisor Series VII    Fidelity Advisor Electronics Fund: Class B    6,202,036         
1128    Fidelity Advisor Series VII    Fidelity Advisor Real Estate Fund: Class C    43,002,668         
Thursday, November 16, 2006                Page 10 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1128    Fidelity Advisor Series VII    Fidelity Advisor Real Estate Fund: Class B    29,601,779         
1128    Fidelity Advisor Series VII    Fidelity Advisor Real Estate Fund: Class A    96,879,555         
1128    Fidelity Advisor Series VII    Fidelity Advisor Real Estate Fund: Class T    99,693,507         
1128    Fidelity Advisor Series VII    Fidelity Advisor Real Estate Fund: Institutional Class    8,725,693         
                3,577,078,747    2,300,000 
Fidelity Advisor Series VIII                 
229    Fidelity Advisor Series VIII    Fidelity Advisor Overseas Fund: Class T    592,048,880         
229    Fidelity Advisor Series VIII    Fidelity Advisor Overseas Fund: Class C    39,816,620         
229    Fidelity Advisor Series VIII    Fidelity Advisor Overseas Fund: Class B    38,081,465         
229    Fidelity Advisor Series VIII    Fidelity Advisor Overseas Fund: Class A    113,554,655         
229    Fidelity Advisor Series VIII    Fidelity Advisor Overseas Fund: Institutional Class    335,239,411         
288    Fidelity Advisor Series VIII    Fidelity Advisor International Capital Appreciation    65,902,906         
288    Fidelity Advisor Series VIII    Fidelity Advisor International Capital Appreciation    109,125,887         
288    Fidelity Advisor Series VIII    Fidelity Advisor International Capital Appreciation    52,521,265         
288    Fidelity Advisor Series VIII    Fidelity Advisor International Capital Appreciation    26,075,665         
288    Fidelity Advisor Series VIII    Fidelity Advisor International Capital Appreciation    198,718,456         
603    Fidelity Advisor Series VIII    Fidelity Advisor Korea Fund: Class A    31,242,440         
603    Fidelity Advisor Series VIII    Fidelity Advisor Korea Fund: Class C    11,924,934         
603    Fidelity Advisor Series VIII    Fidelity Advisor Korea Fund: Class T    6,124,491         
603    Fidelity Advisor Series VIII    Fidelity Advisor Korea Fund: Institutional Class    5,335,800         
603    Fidelity Advisor Series VIII    Fidelity Advisor Korea Fund: Class B    8,709,709         
635    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Income Fund:    26,361,414         
635    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Income Fund:    20,716,268         
635    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Income Fund:    125,624,289         
635    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Income Fund:    24,466,375         
635    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Income Fund:    56,340,232         
731    Fidelity Advisor Series VIII    Fidelity Advisor Diversified International Fund:    4,069,523,436         
 Thursday, November 16, 2006                Page 11 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total               Bond 
731    Fidelity Advisor Series VIII    Fidelity Advisor Diversified International Fund: Class    492,589,513         
731    Fidelity Advisor Series VIII    Fidelity Advisor Diversified International Fund: Class    1,343,589,536         
731    Fidelity Advisor Series VIII    Fidelity Advisor Diversified International Fund: Class    4,515,034,734         
731    Fidelity Advisor Series VIII    Fidelity Advisor Diversified International Fund: Class    3,504,213,121         
736    Fidelity Advisor Series VIII    Fidelity Advisor Europe Capital Appreciation Fund:    7,737,026         
736    Fidelity Advisor Series VIII    Fidelity Advisor Europe Capital Appreciation Fund:    23,172,120         
736    Fidelity Advisor Series VIII    Fidelity Advisor Europe Capital Appreciation Fund:    1,288,549         
736    Fidelity Advisor Series VIII    Fidelity Advisor Europe Capital Appreciation Fund:    17,619,619         
736    Fidelity Advisor Series VIII    Fidelity Advisor Europe Capital Appreciation Fund:    8,069,728         
741    Fidelity Advisor Series VIII    Fidelity Advisor Japan Fund: Class A    42,764,004         
741    Fidelity Advisor Series VIII    Fidelity Advisor Japan Fund: Institutional Class    14,191,439         
741    Fidelity Advisor Series VIII    Fidelity Advisor Japan Fund: Class B    17,338,110         
741    Fidelity Advisor Series VIII    Fidelity Advisor Japan Fund: Class C    56,259,555         
741    Fidelity Advisor Series VIII    Fidelity Advisor Japan Fund: Class T    22,299,417         
746    Fidelity Advisor Series VIII    Fidelity Advisor Latin America Fund: Institutional    5,591,991         
746    Fidelity Advisor Series VIII    Fidelity Advisor Latin America Fund: Class T    21,152,468         
746    Fidelity Advisor Series VIII    Fidelity Advisor Latin America Fund: Class C    25,586,790         
746    Fidelity Advisor Series VIII    Fidelity Advisor Latin America Fund: Class A    51,074,397         
746    Fidelity Advisor Series VIII    Fidelity Advisor Latin America Fund: Class B    15,301,928         
751    Fidelity Advisor Series VIII    Fidelity Advisor Global Capital Appreciation Fund:    27,011,101         
751    Fidelity Advisor Series VIII    Fidelity Advisor Global Capital Appreciation Fund:    5,316,096         
751    Fidelity Advisor Series VIII    Fidelity Advisor Global Capital Appreciation Fund:    2,464,040         
751    Fidelity Advisor Series VIII    Fidelity Advisor Global Capital Appreciation Fund:    5,991,337         
751    Fidelity Advisor Series VIII    Fidelity Advisor Global Capital Appreciation Fund:    13,223,064         
756    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Asia Fund: Class T    27,713,520         
756    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Asia Fund: Institutional    4,810,982         
756    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Asia Fund: Class C    31,730,452         
Thursday, November 16, 2006                Page 12 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
756    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Asia Fund: Class B    18,336,874         
756    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Asia Fund: Class A    53,045,531         
1266    Fidelity Advisor Series VIII    Fidelity Advisor Value Leaders Fund: Class A    13,568,106         
1266    Fidelity Advisor Series VIII    Fidelity Advisor Value Leaders Fund: Class T    28,624,221         
1266    Fidelity Advisor Series VIII    Fidelity Advisor Value Leaders Fund: Class B    5,252,636         
1266    Fidelity Advisor Series VIII    Fidelity Advisor Value Leaders Fund: Class C    6,328,721         
1266    Fidelity Advisor Series VIII    Fidelity Advisor Value Leaders Fund: Institutional    2,130,674         
1286    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Fund: Class T    37,725,904         
1286    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Fund: Class A    62,665,404         
1286    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Fund:    8,472,479         
1286    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Fund: Class C    39,609,384         
1286    Fidelity Advisor Series VIII    Fidelity Advisor Emerging Markets Fund: Class B    17,270,679         
                16,553,619,848    2,500,000 
Fidelity Beacon Street Trust                 
343    Fidelity Beacon Street Trust    Fidelity Tax Managed Stock Fund    65,635,642         
5631    Fidelity Beacon Street Trust    Fidelity Advisor Tax Managed Stock Fund: Class B    3,804,858         
5631    Fidelity Beacon Street Trust    Fidelity Advisor Tax Managed Stock Fund: Class T    6,573,884         
5631    Fidelity Beacon Street Trust    Fidelity Advisor Tax Managed Stock Fund: Class C    5,871,190         
5631    Fidelity Beacon Street Trust    Fidelity Advisor Tax Managed Stock Fund: Class A    11,135,848         
5631    Fidelity Beacon Street Trust    Fidelity Advisor Tax Managed Stock Fund:    767,707         
                93,789,129    450,000 
Fidelity California Municipal                 
91    Fidelity California Municipal Trust    Fidelity Advisor California Municipal Income Fund:    10,172,343         
91    Fidelity California Municipal Trust    Fidelity Advisor California Municipal Income Fund:    5,340,911         
91    Fidelity California Municipal Trust    Fidelity Advisor California Municipal Income Fund:    7,772,408         
91    Fidelity California Municipal Trust    Fidelity Advisor California Municipal Income Fund:    4,926,624         
91    Fidelity California Municipal Trust    Fidelity California Municipal Income Fund    1,551,441,346         
 Thursday, November 16, 2006                Page 13 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
91    Fidelity California Municipal Trust    Fidelity Advisor California Municipal Income Fund:    12,361,710         
1534    Fidelity California Municipal Trust    Fidelity California Short-Intermediate Tax-Free Bond    87,245,308         
                1,679,260,650    1,500,000 
Fidelity California Municipal                 
97    Fidelity California Municipal Trust II    Fidelity California Municipal Money Market Fund    4,336,762,287         
457    Fidelity California Municipal Trust II    Fidelity California AMT Tax-Free Money Market Fund    2,903,454,290         
                7,240,216,577    2,500,000 
Fidelity Capital Trust                 
39    Fidelity Capital Trust    Fidelity Value Fund    16,490,257,959         
307    Fidelity Capital Trust    Fidelity Capital Appreciation Fund    8,114,951,913         
315    Fidelity Capital Trust    Fidelity Disciplined Equity Fund    7,322,334,266         
320    Fidelity Capital Trust    Fidelity Stock Selector    831,519,128         
333    Fidelity Capital Trust    Fidelity Focused Stock Fund    92,667,623         
336    Fidelity Capital Trust    Fidelity Small Cap Independence Fund    2,515,883,056         
                35,367,613,945    2,500,000 
Fidelity Central Investment                 
1371    Fidelity Central Investment    Fidelity High Income Central Investment Portfolio 1    588,158,993         
1374    Fidelity Central Investment    Fidelity Tactical Income Central Investment Portfolio    5,070,235,482         
1408    Fidelity Central Investment    Fidelity Floating Rate Central Investment Portfolio    1,545,387,443         
1518    Fidelity Central Investment    Fidelity Specialized High Income Central Investment    208,270,801         
1620    Fidelity Central Investment    Fidelity Utilities Central Investment Portfolio    250,498,338         
1621    Fidelity Central Investment    Fidelity Telecom Services Central Investment Portfolio    217,985,068         
1622    Fidelity Central Investment    Fidelity Materials Central Investment Portfolio    211,310,168         
1623    Fidelity Central Investment    Fidelity Information Technology Central Investment    1,053,661,767         
1624    Fidelity Central Investment    Fidelity Industrials Central Investment Portfolio    751,703,661         
1625    Fidelity Central Investment    Fidelity Health Care Central Investment Portfolio    860,446,525         
1626    Fidelity Central Investment    Fidelity Financials Central Investment Portfolio    1,531,464,509         
 Thursday, November 16, 2006                Page 14 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
1627    Fidelity Central Investment    Fidelity Energy Central Investment Portfolio    616,184,254         
1628    Fidelity Central Investment    Fidelity Consumer Staples Central Investment    569,588,717         
1629    Fidelity Central Investment    Fidelity Consumer Discretionary Central Investment    786,817,131         
1630    Fidelity Central Investment    Fidelity 1-3 Year Duration Securitized Bond Central    1,672,437,198         
                15,934,150,055    2,500,000 
Fidelity Charles Street Trust                 
314    Fidelity Charles Street Trust    Fidelity Asset Manager 50%    9,244,937,962         
321    Fidelity Charles Street Trust    Fidelity Asset Manager 70%    3,137,331,261         
328    Fidelity Charles Street Trust    Fidelity Asset Manager 20%    2,127,552,571         
347    Fidelity Charles Street Trust    Fidelity Asset Manager 85%    448,155,780         
                14,957,977,574    2,500,000 
Fidelity Colchester Street Trust                 
56    Fidelity Colchester Street Trust    Tax-Exempt Portfolio: Select Class    76,790,502         
56    Fidelity Colchester Street Trust    Tax-Exempt Portfolio: Class III    325,164,766         
56    Fidelity Colchester Street Trust    Tax-Exempt Portfolio: Class II    104,802,863         
56    Fidelity Colchester Street Trust    Tax-Exempt Portfolio: Class I    7,653,412,641         
57    Fidelity Colchester Street Trust    Government Portfolio: Class II    397,855,879         
57    Fidelity Colchester Street Trust    Government Portfolio: Class I    6,072,142,380         
57    Fidelity Colchester Street Trust    Government Portfolio: Class III    731,974,439         
57    Fidelity Colchester Street Trust    Government Portfolio: Select Class    54,994,005         
59    Fidelity Colchester Street Trust    Money Market Portfolio: Class I    23,586,712,866         
59    Fidelity Colchester Street Trust    Money Market Portfolio: Select Class    241,178,510         
59    Fidelity Colchester Street Trust    Money Market Portfolio: Class II    478,436,169         
59    Fidelity Colchester Street Trust    Money Market Portfolio: Class III    1,576,764,607         
680    Fidelity Colchester Street Trust    Treasury Only Portfolio: Class I    1,155,198,632         
680    Fidelity Colchester Street Trust    Treasury Only Portfolio: Class III    147,919,511         
680    Fidelity Colchester Street Trust    Treasury Only Portfolio: Select Class    13,227,067         
 Thursday, November 16, 2006                Page 15 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
680    Fidelity Colchester Street Trust    Treasury Only Portfolio: Class II    144,219,136         
690    Fidelity Colchester Street Trust    Prime Money Market Portfolio: Class II    936,079,884         
690    Fidelity Colchester Street Trust    Prime Money Market Portfolio: Select Class    133,507,068         
690    Fidelity Colchester Street Trust    Prime Money Market Portfolio: Class I    8,976,988,538         
690    Fidelity Colchester Street Trust    Prime Money Market Portfolio: Class III    2,682,343,244         
695    Fidelity Colchester Street Trust    Treasury Portfolio: Class III    3,857,687,602         
695    Fidelity Colchester Street Trust    Treasury Portfolio: Class II    434,468,611         
695    Fidelity Colchester Street Trust    Treasury Portfolio: Select Class    236,069,067         
695    Fidelity Colchester Street Trust    Treasury Portfolio: Class I    5,146,141,268         
                65,164,079,255    2,500,000 
Fidelity Commonwealth Trust                 
32    Fidelity Commonwealth Trust    Fidelity Intermediate Bond Fund    7,563,802,391         
317    Fidelity Commonwealth Trust    Spartan 500 Index Fund: Investor Class    7,328,883,376         
317    Fidelity Commonwealth Trust    Spartan 500 Index Fund: Fidelity Advantage Class    7,368,847,719         
337    Fidelity Commonwealth Trust    Fidelity Mid-Cap Stock Fund    12,134,920,363         
338    Fidelity Commonwealth Trust    Fidelity Large Cap Stock Fund    747,405,302         
340    Fidelity Commonwealth Trust    Fidelity Small Cap Stock Fund    4,612,270,849         
384    Fidelity Commonwealth Trust    Fidelity Small Cap Retirement Fund    235,512,089         
1282    Fidelity Commonwealth Trust    Fidelity NASDAQ Composite Index Fund    130,686,030         
1283    Fidelity Commonwealth Trust    Fidelity NASDAQ Composite Index Tracking Stock    115,399,566         
1505    Fidelity Commonwealth Trust    Fidelity Advisor Strategic Real Return Fund:    139,182,266         
1505    Fidelity Commonwealth Trust    Fidelity Advisor Strategic Real Return Fund: Class A    13,299,655         
1505    Fidelity Commonwealth Trust    Fidelity Strategic Real Return Fund    2,676,431,531         
1505    Fidelity Commonwealth Trust    Fidelity Advisor Strategic Real Return Fund: Class B    6,000,654         
1505    Fidelity Commonwealth Trust    Fidelity Advisor Strategic Real Return Fund: Class C    16,487,798         
1505    Fidelity Commonwealth Trust    Fidelity Advisor Strategic Real Return Fund: Class T    22,758,762         
 
 
 Thursday, November 16, 2006                Page 16 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
 
                43,111,888,351    2,500,000 
Fidelity Concord Street Trust                 
397    Fidelity Concord Street Trust    Spartan Total Market Index Fund: Fidelity Advantage    2,085,536,057         
397    Fidelity Concord Street Trust    Spartan Total Market Index Fund: Investor Class    2,290,817,258         
398    Fidelity Concord Street Trust    Spartan Extended Market Index Fund: Fidelity    742,095,032         
398    Fidelity Concord Street Trust    Spartan Extended Market Index Fund: Investor Class    1,603,645,755         
399    Fidelity Concord Street Trust    Spartan International Index Fund: Investor Class    2,024,723,158         
399    Fidelity Concord Street Trust    Spartan International Index Fund: Fidelity Advantage    855,679,209         
650    Fidelity Concord Street Trust    Spartan U.S. Equity Index Fund: Fidelity Advantage    4,247,060,021         
650    Fidelity Concord Street Trust    Spartan U.S. Equity Index Fund: Investor Class    21,014,917,807         
651    Fidelity Concord Street Trust    Fidelity U.S. Bond Index Fund    6,226,412,273         
1560    Fidelity Concord Street Trust    Spartan Short-Term Treasury Bond Index Fund:    122,553,774         
1560    Fidelity Concord Street Trust    Spartan Short-Term Treasury Bond Index Fund:    17,879,376         
1561    Fidelity Concord Street Trust    Spartan Intermediate Treasury Bond Index Fund:    9,035,106         
1561    Fidelity Concord Street Trust    Spartan Intermediate Treasury Bond Index Fund:    18,547,019         
1562    Fidelity Concord Street Trust    Spartan Long-Term Treasury Bond Index Fund:    5,926,860         
1562    Fidelity Concord Street Trust    Spartan Long-Term Treasury Bond Index Fund:    4,753,311         
                41,269,582,016    2,500,000 
Fidelity Congress Street Fund                 
24    Fidelity Congress Street Fund    Fidelity Congress Street Fund    68,635,450         
                68,635,450    400,000 
Fidelity Contrafund                 
22    Fidelity Contrafund    Fidelity Contrafund    65,030,260,787         
1277    Fidelity Contrafund    Fidelity Advisor New Insights Fund: Class A    1,754,762,051         
1277    Fidelity Contrafund    Fidelity Advisor New Insights Fund: Class B    437,561,277         
1277    Fidelity Contrafund    Fidelity Advisor New Insights Fund: Class C    1,513,162,142         
1277    Fidelity Contrafund    Fidelity Advisor New Insights Fund: Institutional    1,300,643,857         
Thursday, November 16, 2006                Page 17 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1277    Fidelity Contrafund    Fidelity Advisor New Insights Fund: Class T    2,032,362,679         
                72,068,752,793    2,500,000 
Fidelity Court Street Trust                 
407    Fidelity Court Street Trust    Fidelity Connecticut Municipal Income Fund    423,247,770         
416    Fidelity Court Street Trust    Fidelity New Jersey Municipal Income Fund    568,103,817         
427    Fidelity Court Street Trust    Fidelity Florida Municipal Income Fund    469,958,246         
                1,461,309,833    1,250,000 
Fidelity Court Street Trust II                 
417    Fidelity Court Street Trust II    Fidelity New Jersey Municipal Money Market Fund    1,730,610,023         
418    Fidelity Court Street Trust II    Fidelity Connecticut Municipal Money Market Fund    1,473,689,058         
423    Fidelity Court Street Trust II    Fidelity New Jersey AMT Tax-Free Money Market    1,043,147,169         
428    Fidelity Court Street Trust II    Fidelity Florida Municipal Money Market Fund    1,688,873,326         
                5,936,319,576    2,500,000 
Fidelity Destiny Portfolios                 
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund: Class O    2,917,118,144         
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund: Class T    12,521,524         
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund: Class A    130,252,240         
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund:    578,996,955         
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund: Class C    2,757,232         
6    Fidelity Destiny Portfolios    Fidelity Advisor Diversified Stock Fund: Class B    909,212         
210    Fidelity Destiny Portfolios    Fidelity Advisor Destiny II Fund: Class C    229,128         
210    Fidelity Destiny Portfolios    Fidelity Advisor Destiny II Fund: Class B    284,381         
210    Fidelity Destiny Portfolios    Fidelity Advisor Destiny II Fund: Class T    433,747         
210    Fidelity Destiny Portfolios    Fidelity Advisor Destiny II Fund: Institutional Class    114,276         
210    Fidelity Destiny Portfolios    Fidelity Advisor Destiny II Fund: Class A    372,107,700         
210    Fidelity Destiny Portfolios    Destiny II: Class O    5,037,185,812         
 
 
 Thursday, November 16, 2006                Page 18 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
 
                9,052,910,351    2,500,000 
Fidelity Devonshire Trust                 
23    Fidelity Devonshire Trust    Fidelity Equity-Income Fund    27,953,189,519         
303    Fidelity Devonshire Trust    Fidelity Real Estate Investment Portfolio    7,293,090,075         
311    Fidelity Devonshire Trust    Fidelity Utilities Fund    1,353,714,838         
634    Fidelity Devonshire Trust    Fidelity Tax-Free Bond Fund    438,957,071         
5648    Fidelity Devonshire Trust    Fidelity Large Cap Value Fund    1,022,884,511         
5649    Fidelity Devonshire Trust    Fidelity Mid Cap Value Fund    512,518,016         
5650    Fidelity Devonshire Trust    Fidelity Large Cap Growth Fund    158,408,252         
5651    Fidelity Devonshire Trust    Fidelity Mid Cap Growth Fund    430,358,068         
                39,163,120,350    2,500,000 
Fidelity Exchange Fund                 
33    Fidelity Exchange Fund    Fidelity Exchange Fund    234,434,194         
                234,434,194    600,000 
Fidelity Financial Trust                 
73    Fidelity Financial Trust    Fidelity Independence Fund    4,428,879,170         
308    Fidelity Financial Trust    Fidelity Convertible Securities Fund    2,029,434,366         
319    Fidelity Financial Trust    Fidelity Equity-Income II Fund    11,326,393,568         
1329    Fidelity Financial Trust    Fidelity Strategic Dividend & Income Fund    1,025,445,709         
1329    Fidelity Financial Trust    Fidelity Advisor Strategic Dividend & Income Fund:    107,806,372         
1329    Fidelity Financial Trust    Fidelity Advisor Strategic Dividend & Income Fund:    68,114,987         
1329    Fidelity Financial Trust    Fidelity Advisor Strategic Dividend & Income Fund:    21,381,024         
1329    Fidelity Financial Trust    Fidelity Advisor Strategic Dividend & Income Fund:    61,088,710         
1329    Fidelity Financial Trust    Fidelity Advisor Strategic Dividend & Income Fund:    12,379,316         
                19,080,923,222    2,500,000 
Fidelity Fixed-Income Trust                 
26    Fidelity Fixed-Income Trust    Fidelity Investment Grade Bond Fund    10,275,986,079         
 Thursday, November 16, 2006                Page 19 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
26    Fidelity Fixed-Income Trust    Fidelity Advisor Investment Grade Bond Fund:    29,806,285         
26    Fidelity Fixed-Income Trust    Fidelity Advisor Investment Grade Bond Fund: Class    59,483,582         
26    Fidelity Fixed-Income Trust    Fidelity Advisor Investment Grade Bond Fund: Class    10,253,336         
26    Fidelity Fixed-Income Trust    Fidelity Advisor Investment Grade Bond Fund: Class    9,537,516         
26    Fidelity Fixed-Income Trust    Fidelity Advisor Investment Grade Bond Fund: Class    48,516,644         
450    Fidelity Fixed-Income Trust    Fidelity Short-Term Bond Fund    6,792,756,937         
453    Fidelity Fixed-Income Trust    Spartan Government Income Fund    722,379,460         
455    Fidelity Fixed-Income Trust    Fidelity High Income Fund    4,125,486,012         
1104    Fidelity Fixed-Income Trust    Fidelity Advisor Inflation-Protected Bond Fund:    107,096,185         
1104    Fidelity Fixed-Income Trust    Fidelity Inflation-Protected Bond Fund    1,422,333,047         
1104    Fidelity Fixed-Income Trust    Fidelity Advisor Inflation-Protected Bond Fund: Class    77,275,767         
1104    Fidelity Fixed-Income Trust    Fidelity Advisor Inflation-Protected Bond Fund: Class    45,199,032         
1104    Fidelity Fixed-Income Trust    Fidelity Advisor Inflation-Protected Bond Fund: Class    66,332,094         
1104    Fidelity Fixed-Income Trust    Fidelity Advisor Inflation-Protected Bond Fund: Class    82,341,982         
1366    Fidelity Fixed-Income Trust    Fidelity Focused High Income Fund    45,607,873         
                23,920,391,831    2,500,000 
Fidelity Garrison Street Trust                 
153    Fidelity Garrison Street Trust    Fidelity Ultra-Short Central Fund    8,556,595,952         
719    Fidelity Garrison Street Trust    Fidelity Money Market Central Fund    858,732,601         
1619    Fidelity Garrison Street Trust    VIP Investment Grade Central Investment Portfolio    2,743,104,213         
                12,158,432,766    2,500,000 
Fidelity Hastings Street Trust                 
3    Fidelity Hastings Street Trust    Fidelity Fund    7,926,917,733         
339    Fidelity Hastings Street Trust    Fidelity Discovery Fund    433,050,302         
361    Fidelity Hastings Street Trust    Fidelity Growth & Income II Portfolio    187,123,764         
500    Fidelity Hastings Street Trust    Fidelity Fifty    1,173,987,601         
 
 
 Thursday, November 16, 2006                Page 20 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
 
                9,721,079,400    2,500,000 
Fidelity Hereford Street Trust                 
415    Fidelity Hereford Street Trust    Fidelity U.S. Treasury Money Market Fund    1,779,316,568         
454    Fidelity Hereford Street Trust    Fidelity Money Market Fund    6,448,687,636         
458    Fidelity Hereford Street Trust    Fidelity Government Money Market Fund    480,358,185         
                8,708,362,389    2,500,000 
Fidelity Income Fund                 
15    Fidelity Income Fund    Fidelity Ginnie Mae Fund    3,369,371,390         
54    Fidelity Income Fund    Fidelity Government Income Fund    5,218,764,407         
452    Fidelity Income Fund    Fidelity Intermediate Government Income Fund    751,931,828         
1111    Fidelity Income Fund    Fidelity Ultra-Short Bond Fund    882,935,794         
1111    Fidelity Income Fund    Fidelity Advisor Ultra-Short Bond Fund: Class A    4,831,433         
1111    Fidelity Income Fund    Fidelity Advisor Ultra-Short Bond Fund: Class T    4,766,676         
1111    Fidelity Income Fund    Fidelity Advisor Ultra-Short Bond Fund: Institutional    3,354,065         
1158    Fidelity Income Fund    Fidelity Advisor Total Bond Fund: Class T    10,296,507         
1158    Fidelity Income Fund    Fidelity Advisor Total Bond Fund: Institutional Class    2,197,552         
1158    Fidelity Income Fund    Fidelity Advisor Total Bond Fund: Class C    5,673,054         
1158    Fidelity Income Fund    Fidelity Advisor Total Bond Fund: Class B    2,222,258         
1158    Fidelity Income Fund    Fidelity Advisor Total Bond Fund: Class A    9,377,349         
1158    Fidelity Income Fund    Fidelity Total Bond Fund    2,542,992,444         
                12,808,714,757    2,500,000 
Fidelity Investment Trust                 
94    Fidelity Investment Trust    Fidelity Overseas Fund    6,845,183,331         
301    Fidelity Investment Trust    Fidelity Europe Fund    3,770,254,398         
302    Fidelity Investment Trust    Fidelity Pacific Basin Fund    1,036,308,579         
305    Fidelity Investment Trust    Fidelity International Discovery Fund    7,532,885,002         
305    Fidelity Investment Trust    Fidelity Advisor International Discovery Fund: Class A    127,820,941         
 Thursday, November 16, 2006                Page 21 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total               Bond 
305    Fidelity Investment Trust    Fidelity Advisor International Discovery Fund: Class B    3,167,152         
305    Fidelity Investment Trust    Fidelity Advisor International Discovery Fund: Class C    5,122,576         
305    Fidelity Investment Trust    Fidelity Advisor International Discovery Fund: Class T    8,355,344         
305    Fidelity Investment Trust    Fidelity Advisor International Discovery Fund:    25,513,447         
309    Fidelity Investment Trust    Fidelity Canada Fund    3,015,170,574         
318    Fidelity Investment Trust    Fidelity Worldwide Fund    1,285,814,537         
322    Fidelity Investment Trust    Fidelity Emerging Markets Fund    2,864,415,418         
325    Fidelity Investment Trust    Fidelity Diversified International Fund    42,076,170,946         
334    Fidelity Investment Trust    Fidelity Global Balanced Fund    248,913,709         
335    Fidelity Investment Trust    Fidelity Aggressive International Fund    468,336,537         
341    Fidelity Investment Trust    Fidelity Europe Capital Appreciation Fund    981,035,760         
342    Fidelity Investment Trust    Fidelity Nordic Fund    328,586,631         
349    Fidelity Investment Trust    Fidelity Latin America Fund    2,823,151,071         
350    Fidelity Investment Trust    Fidelity Japan Fund    1,743,609,538         
351    Fidelity Investment Trust    Fidelity Southeast Asia Fund    1,461,219,433         
352    Fidelity Investment Trust    Fidelity China Region Fund    669,226,344         
360    Fidelity Investment Trust    Fidelity Japan Smaller Companies Fund    1,249,495,765         
1135    Fidelity Investment Trust    Fidelity Advisor International Small Cap Fund: Class    36,987,375         
1135    Fidelity Investment Trust    Fidelity International Small Cap Fund    1,924,554,722         
1135    Fidelity Investment Trust    Fidelity Advisor International Small Cap Fund:    9,251,725         
1135    Fidelity Investment Trust    Fidelity Advisor International Small Cap Fund: Class    44,301,061         
1135    Fidelity Investment Trust    Fidelity Advisor International Small Cap Fund: Class    11,973,484         
1135    Fidelity Investment Trust    Fidelity Advisor International Small Cap Fund: Class    25,390,348         
1504    Fidelity Investment Trust    Fidelity Advisor International Small Cap    33,327,786         
1504    Fidelity Investment Trust    Fidelity International Small Cap Opportunities Fund    966,471,633         
1504    Fidelity Investment Trust    Fidelity Advisor International Small Cap    13,448,157         
1504    Fidelity Investment Trust    Fidelity Advisor International Small Cap    25,775,986         
Thursday, November 16, 2006                Page 22 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1504    Fidelity Investment Trust    Fidelity Advisor International Small Cap    21,973,442         
1504    Fidelity Investment Trust    Fidelity Advisor International Small Cap    7,467,167         
1597    Fidelity Investment Trust    Fidelity Advisor International Value Fund: Class B    1,206,786         
1597    Fidelity Investment Trust    Fidelity Advisor International Value Fund: Class A    1,334,171         
1597    Fidelity Investment Trust    Fidelity Advisor International Value Fund: Class T    1,581,653         
1597    Fidelity Investment Trust    Fidelity International Value Fund    138,808,833         
1597    Fidelity Investment Trust    Fidelity Advisor International Value Fund: Class C    1,890,100         
1597    Fidelity Investment Trust    Fidelity Advisor International Value Fund:    2,827,964         
                81,838,329,426    2,500,000 
Fidelity Magellan Fund                 
21    Fidelity Magellan Fund    Fidelity Magellan Fund    44,892,962,516         
                44,892,962,516    2,500,000 
Fidelity Massachusetts                 
70    Fidelity Massachusetts Municipal    Fidelity Massachusetts Municipal Income Fund    1,836,461,916         
74    Fidelity Massachusetts Municipal    Fidelity Massachusetts Municipal Money Market Fund    4,387,810,114         
426    Fidelity Massachusetts Municipal    Fidelity Massachusetts AMT Tax-Free Money Market    1,775,849,304         
                8,000,121,334    2,500,000 
Fidelity Money Market Trust                 
630    Fidelity Money Market Trust    Retirement Money Market Portfolio    16,539,589,271         
631    Fidelity Money Market Trust    Retirement Government Money Market Portfolio    4,720,395,892         
                21,259,985,163    2,500,000 
Fidelity Mt. Vernon Street Trust                 
25    Fidelity Mt. Vernon Street Trust    Fidelity Growth Company Fund    28,104,111,813         
300    Fidelity Mt. Vernon Street Trust    Fidelity New Millennium Fund    2,354,598,304         
324    Fidelity Mt. Vernon Street Trust    Fidelity Aggressive Growth Fund    3,664,271,231         
                34,122,981,348    2,500,000 
 
 Thursday, November 16, 2006                Page 23 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
Fidelity Municipal Trust                 
37    Fidelity Municipal Trust    Fidelity Municipal Income Fund    4,549,494,227         
181    Fidelity Municipal Trust    Fidelity Michigan Municipal Income Fund    560,149,910         
182    Fidelity Municipal Trust    Fidelity Minnesota Municipal Income Fund    335,447,694         
188    Fidelity Municipal Trust    Fidelity Ohio Municipal Income Fund    417,214,215         
402    Fidelity Municipal Trust    Fidelity Pennsylvania Municipal Income Fund    308,776,035         
404    Fidelity Municipal Trust    Fidelity Advisor Short-Intermediate Municipal Income    7,247,635         
404    Fidelity Municipal Trust    Fidelity Short-Intermediate Municipal Income Fund    1,530,096,295         
404    Fidelity Municipal Trust    Fidelity Advisor Short-Intermediate Municipal Income    10,311,375         
404    Fidelity Municipal Trust    Fidelity Advisor Short-Intermediate Municipal Income    3,174,493         
404    Fidelity Municipal Trust    Fidelity Advisor Short-Intermediate Municipal Income    12,579,812         
404    Fidelity Municipal Trust    Fidelity Advisor Short-Intermediate Municipal Income    2,714,109         
                7,737,205,800    2,500,000 
Fidelity Municipal Trust II                 
401    Fidelity Municipal Trust II    Fidelity Pennsylvania Municipal Money Market Fund    468,838,233         
419    Fidelity Municipal Trust II    Fidelity Ohio Municipal Money Market Fund    867,367,415         
420    Fidelity Municipal Trust II    Fidelity Michigan Municipal Money Market Fund    790,740,492         
                2,126,946,140    1,700,000 
Fidelity New York Municipal                 
71    Fidelity New York Municipal Trust    Fidelity Advisor New York Municipal Income Fund:    1,217,349         
71    Fidelity New York Municipal Trust    Fidelity Advisor New York Municipal Income Fund:    18,161,296         
71    Fidelity New York Municipal Trust    Fidelity Advisor New York Municipal Income Fund:    3,205,663         
71    Fidelity New York Municipal Trust    Fidelity Advisor New York Municipal Income Fund:    9,424,717         
71    Fidelity New York Municipal Trust    Fidelity Advisor New York Municipal Income Fund:    8,869,449         
71    Fidelity New York Municipal Trust    Fidelity New York Municipal Income Fund    1,373,410,871         
                1,414,289,345    1,250,000 
 
 
 Thursday, November 16, 2006                Page 24 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
Fidelity New York Municipal                 
92    Fidelity New York Municipal Trust    Fidelity New York Municipal Money Market Fund    3,895,071,064         
422    Fidelity New York Municipal Trust    Fidelity New York AMT Tax-Free Money Market Fund    1,982,321,515         
                5,877,392,579    2,500,000 
Fidelity Newbury Street Trust                 
58    Fidelity Newbury Street Trust    Treasury Fund: Advisor C Class    117,026,143         
58    Fidelity Newbury Street Trust    Treasury Fund: Advisor B Class    82,747,489         
58    Fidelity Newbury Street Trust    Treasury Fund: Daily Money Class    1,246,388,663         
58    Fidelity Newbury Street Trust    Treasury Fund: Capital Reserves Class    1,066,593,349         
83    Fidelity Newbury Street Trust    Prime Fund: Daily Money Class    6,487,903,417         
83    Fidelity Newbury Street Trust    Prime Fund: Capital Reserves Class    8,726,452,416         
84    Fidelity Newbury Street Trust    Tax-Exempt Fund: Fidelity Tax-Free Money Market Fund    2,604,820,418         
84    Fidelity Newbury Street Trust    Tax-Exempt Fund: Daily Money Class    584,680,989         
84    Fidelity Newbury Street Trust    Tax-Exempt Fund: Capital Reserves Class    512,597,847         
                21,429,210,731    2,500,000 
Fidelity Oxford Street Trust                 
355    Fidelity Oxford Street Trust    Fidelity Four-in-One Index Fund    1,282,218,565         
                1,282,218,565    1,250,000 
Fidelity Phillips Street Trust                 
50    Fidelity Phillips Street Trust    Fidelity U.S. Government Reserves    3,188,445,511         
55    Fidelity Phillips Street Trust    Fidelity Cash Reserves    85,071,853,050         
                88,260,298,561    2,500,000 
Fidelity Puritan Trust                 
4    Fidelity Puritan Trust    Fidelity Puritan Fund    24,388,190,411         
256    Fidelity Puritan Trust    Fidelity Low-Priced Stock Fund    36,397,403,691         
304    Fidelity Puritan Trust    Fidelity Balanced Fund    20,702,338,052         
1173    Fidelity Puritan Trust    Fidelity Value Discovery Fund    858,676,131         
 
 Thursday, November 16, 2006                Page 25 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
 
                82,346,608,285    2,500,000 
Fidelity Revere Street Trust                 
693    Fidelity Revere Street Trust    Fidelity Cash Central Fund    32,573,686,883         
698    Fidelity Revere Street Trust    Fidelity Municipal Cash Central Fund    927,125,382         
761    Fidelity Revere Street Trust    Fidelity Securities Lending Cash Central Fund    13,420,873,831         
1335    Fidelity Revere Street Trust    Fidelity Tax-Free Cash Central Fund    494,386,830         
                47,416,072,926    2,500,000 
Fidelity Rutland Square Trust                 
1212    Fidelity Rutland Square Trust    PAS Small Cap Fund of Funds    263,314,480         
1557    Fidelity Rutland Square Trust    PAS International Fund of Funds    209,742,083         
                473,056,563    750,000 
Fidelity School Street Trust                 
36    Fidelity School Street Trust    Fidelity Advisor Intermediate Municipal Income Fund:    904,440         
36    Fidelity School Street Trust    Fidelity Advisor Intermediate Municipal Income Fund:    266,135         
36    Fidelity School Street Trust    Fidelity Advisor Intermediate Municipal Income Fund:    3,585,682         
36    Fidelity School Street Trust    Fidelity Advisor Intermediate Municipal Income Fund:    24,405,324         
36    Fidelity School Street Trust    Fidelity Intermediate Municipal Income Fund    2,048,281,689         
36    Fidelity School Street Trust    Fidelity Advisor Intermediate Municipal Income Fund:    1,055,297         
331    Fidelity School Street Trust    Fidelity New Markets Income Fund    2,052,895,351         
368    Fidelity School Street Trust    Fidelity Strategic Income Fund    3,829,640,571         
                7,961,034,489    2,500,000 
Fidelity Securities Fund                 
93    Fidelity Securities Fund    Fidelity OTC Portfolio    8,147,796,458         
127    Fidelity Securities Fund    Fidelity Growth & Income Portfolio    29,214,971,137         
289    Fidelity Securities Fund    Fidelity Leveraged Company Stock Fund    4,394,285,724         
312    Fidelity Securities Fund    Fidelity Blue Chip Growth Fund    20,174,794,435         
330    Fidelity Securities Fund    Fidelity Dividend Growth Fund    16,163,183,815         
 Thursday, November 16, 2006                Page 26 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
661    Fidelity Securities Fund    Fidelity Advisor Aggressive Growth Fund: Class B    8,303,988         
661    Fidelity Securities Fund    Fidelity Advisor Aggressive Growth Fund: Class A    8,962,479         
661    Fidelity Securities Fund    Fidelity Advisor Aggressive Growth Fund: Class T    15,535,551         
661    Fidelity Securities Fund    Fidelity Advisor Aggressive Growth Fund:    775,628         
661    Fidelity Securities Fund    Fidelity Advisor Aggressive Growth Fund: Class C    6,334,902         
1271    Fidelity Securities Fund    Fidelity Blue Chip Value Fund    269,190,618         
1368    Fidelity Securities Fund    Fidelity International Real Estate Fund    586,004,675         
1388    Fidelity Securities Fund    Fidelity Advisor Small Cap Growth Fund: Class A    19,401,403         
1388    Fidelity Securities Fund    Fidelity Advisor Small Cap Growth Fund:    14,593,418         
1388    Fidelity Securities Fund    Fidelity Advisor Small Cap Growth Fund: Class T    21,449,158         
1388    Fidelity Securities Fund    Fidelity Advisor Small Cap Growth Fund: Class B    5,401,655         
1388    Fidelity Securities Fund    Fidelity Small Cap Growth Fund    409,541,610         
1388    Fidelity Securities Fund    Fidelity Advisor Small Cap Growth Fund: Class C    16,594,083         
1389    Fidelity Securities Fund    Fidelity Advisor Small Cap Value Fund: Institutional    9,751,699         
1389    Fidelity Securities Fund    Fidelity Advisor Small Cap Value Fund: Class T    48,493,180         
1389    Fidelity Securities Fund    Fidelity Advisor Small Cap Value Fund: Class C    27,699,129         
1389    Fidelity Securities Fund    Fidelity Advisor Small Cap Value Fund: Class B    10,828,733         
1389    Fidelity Securities Fund    Fidelity Small Cap Value Fund    953,383,262         
1389    Fidelity Securities Fund    Fidelity Advisor Small Cap Value Fund: Class A    42,339,325         
1833    Fidelity Securities Fund    Fidelity Real Estate Income Fund    615,312,701         
                81,184,928,766    2,500,000 
Fidelity Select Portfolios                 
7    Fidelity Select Portfolios    Select Portfolios: Computers Portfolio    460,106,393         
8    Fidelity Select Portfolios    Select Portfolios: Electronics Portfolio    2,246,807,239         
9    Fidelity Select Portfolios    Select Portfolios: Food and Agriculture Portfolio    277,072,212         
28    Fidelity Select Portfolios    Select Portfolios: Software and Computer Services    832,350,838         
34    Fidelity Select Portfolios    Select Portfolios: Air Transportation Portfolio    80,318,629         
 Thursday, November 16, 2006                Page 27 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total               Bond 
60    Fidelity Select Portfolios    Select Portfolios: Energy Portfolio    2,317,973,093         
62    Fidelity Select Portfolios    Select Portfolios: Leisure Portfolio    209,569,321         
63    Fidelity Select Portfolios    Select Portfolios: Health Care Portfolio    2,203,426,059         
64    Fidelity Select Portfolios    Select Portfolios: Technology Portfolio    1,648,563,120         
65    Fidelity Select Portfolios    Select Portfolios: Utilities Growth Portfolio    476,595,403         
66    Fidelity Select Portfolios    Select Portfolios: Financial Services Portfolio    514,023,183         
67    Fidelity Select Portfolios    Select Portfolios: Defense and Aerospace Portfolio    951,083,515         
68    Fidelity Select Portfolios    Select Portfolios: Brokerage and Investment    1,036,221,857         
69    Fidelity Select Portfolios    Select Portfolios: Chemicals Portfolio    90,570,732         
85    Fidelity Select Portfolios    Select Portfolios: Money Market Portfolio    1,674,562,658         
96    Fidelity Select Portfolios    Select Portfolios: Telecommunications Portfolio    477,854,739         
141    Fidelity Select Portfolios    Select Portfolios: Gold Portfolio    1,425,392,992         
142    Fidelity Select Portfolios    Select Portfolios: Biotechnology Portfolio    1,443,313,433         
143    Fidelity Select Portfolios    Select Portfolios: Energy Service Portfolio    1,430,089,882         
145    Fidelity Select Portfolios    Select Portfolios: Insurance Portfolio    205,431,525         
146    Fidelity Select Portfolios    Select Portfolios: Retailing Portfolio    93,840,975         
152    Fidelity Select Portfolios    Select Portfolios: Pharmaceuticals Portfolio    290,382,694         
198    Fidelity Select Portfolios    Select Portfolios: Home Finance Portfolio    273,654,968         
353    Fidelity Select Portfolios    Select Portfolios: Business Services and Outsourcing    32,691,389         
354    Fidelity Select Portfolios    Select Portfolios: Medical Equipment and Systems    842,089,642         
502    Fidelity Select Portfolios    Select Portfolios: Automotive Portfolio    15,106,501         
503    Fidelity Select Portfolios    Select Portfolios: Multimedia Portfolio    103,849,357         
505    Fidelity Select Portfolios    Select Portfolios: Medical Delivery Portfolio    777,692,716         
506    Fidelity Select Portfolios    Select Portfolios: Paper and Forest Products Portfolio    22,573,717         
507    Fidelity Select Portfolios    Select Portfolios: Banking Portfolio    406,736,672         
509    Fidelity Select Portfolios    Select Portfolios: Industrial Materials Portfolio    189,376,720         
510    Fidelity Select Portfolios    Select Portfolios: Industrial Equipment Portfolio    79,706,756         
Thursday, November 16, 2006                Page 28 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
511    Fidelity Select Portfolios    Select Portfolios: Construction and Housing Portfolio    149,180,625         
512    Fidelity Select Portfolios    Select Portfolios: Transportation Portfolio    96,233,171         
513    Fidelity Select Portfolios    Select Portfolios: Natural Gas Portfolio    1,164,500,205         
514    Fidelity Select Portfolios    Select Portfolios: Natural Resources Portfolio    1,008,849,545         
515    Fidelity Select Portfolios    Select Portfolios: Cyclical Industries Portfolio    66,469,681         
516    Fidelity Select Portfolios    Select Portfolios: Environmental Portfolio    56,400,715         
517    Fidelity Select Portfolios    Select Portfolios: Consumer Industries Portfolio    63,130,039         
518    Fidelity Select Portfolios    Select Portfolios: Developing Communications    417,560,612         
612    Fidelity Select Portfolios    Select Portfolios: Networking and Infrastructure    111,592,653         
653    Fidelity Select Portfolios    Select Portfolios: Wireless Portfolio    320,117,027         
                26,583,063,203    2,500,000 
Fidelity Summer Street Trust                 
38    Fidelity Summer Street Trust    Fidelity Capital & Income Fund    6,577,253,411         
                6,577,253,411    2,500,000 
Fidelity Trend Fund                 
5    Fidelity Trend Fund    Fidelity Trend Fund    876,381,619         
                876,381,619    1,000,000 
Fidelity Union Street Trust                 
332    Fidelity Union Street Trust    Fidelity Export and Multinational Fund    4,276,583,760         
429    Fidelity Union Street Trust    Fidelity Maryland Municipal Income Fund    113,878,096         
434    Fidelity Union Street Trust    Fidelity Arizona Municipal Income Fund    109,350,682         
                4,499,812,538    2,500,000 
Fidelity Union Street Trust II                 
10    Fidelity Union Street Trust II    Fidelity Municipal Money Market Fund    16,873,823,661         
433    Fidelity Union Street Trust II    Fidelity Arizona Municipal Money Market Fund    268,718,165         
460    Fidelity Union Street Trust II    Fidelity AMT Tax-Free Money Fund    3,282,519,400         
 
 
 Thursday, November 16, 2006                Page 29 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
 
                20,425,061,226    2,500,000 
Massachusetts Municipal                 
11    Massachusetts Municipal    Massachusetts Municipal Depository Trust    4,845,004,477         
1610    Massachusetts Municipal    MMDT: Short Term Bond Fund    358,941,345         
                5,203,945,822    2,500,000 
Variable Insurance Products                 
20    Variable Insurance Products Fund    VIP: Money Market Portfolio: Service Class 2    79,751,083         
20    Variable Insurance Products Fund    VIP: Money Market Portfolio    1,676,347,571         
20    Variable Insurance Products Fund    VIP: Money Market Portfolio: Investor Class    465,712,903         
20    Variable Insurance Products Fund    VIP: Money Market Portfolio: Service Class    27,473,896         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Initial Class    913,461,526         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Service Class    273,749,079         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Investor Class    62,155,478         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Service Class R    88,670         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Service Class 2 R    88,333         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Service Class 2    106,573,365         
45    Variable Insurance Products Fund    VIP: High Income Portfolio: Initial Class R    88,879         
151    Variable Insurance Products Fund    VIP: Value Portfolio: Service Class 2    6,535,496         
151    Variable Insurance Products Fund    VIP: Value Portfolio: Investor Class    30,389,396         
151    Variable Insurance Products Fund    VIP: Value Portfolio: Service Class    1,039,000         
151    Variable Insurance Products Fund    VIP: Value Portfolio: Initial Class    27,892,982         
211    Variable Insurance Products Fund    VIP: Equity-Income Portfolio: Investor Class    120,560,426         
211    Variable Insurance Products Fund    VIP: Equity-Income Portfolio: Service Class    1,067,157,998         
211    Variable Insurance Products Fund    VIP: Equity-Income Portfolio: Service Class 2    2,093,174,230         
211    Variable Insurance Products Fund    VIP: Equity-Income Portfolio: Initial Class    7,889,087,216         
211    Variable Insurance Products Fund    VIP: Equity-Income Portfolio: Service Class 2 R    12,132,132         
212    Variable Insurance Products Fund    VIP: Growth Portfolio: Initial Class    5,724,938,844         
 Thursday, November 16, 2006                Page 30 of 36 


Fund Number    Trust Name    Portfolio Name       Assets    Trust Sub Total    Bond 
212    Variable Insurance Products Fund    VIP: Growth Portfolio: Service Class 2    600,448,538         
212    Variable Insurance Products Fund    VIP: Growth Portfolio: Service Class    886,664,216         
212    Variable Insurance Products Fund    VIP: Growth Portfolio: Service Class 2 R    6,052,050         
212    Variable Insurance Products Fund    VIP: Growth Portfolio: Investor Class    65,366,149         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Initial Class    1,519,765,227         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Investor Class R    98,955,266         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Service Class 2    635,224,247         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Service Class R    126,145,574         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Initial Class R    228,097,586         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Service Class 2 R    61,873,718         
221    Variable Insurance Products Fund    VIP: Overseas Portfolio: Service Class    337,544,613         
                25,144,535,687    2,500,000 
Variable Insurance Products                 
157    Variable Insurance Products Fund II    VIP: Index 500 Portfolio    2,628,140,930         
157    Variable Insurance Products Fund II    VIP: Index 500 Portfolio: Service Class 2    197,260,824         
157    Variable Insurance Products Fund II    VIP: Index 500 Portfolio: Service Class    32,386,984         
158    Variable Insurance Products Fund II    VIP: Contrafund Portfolio: Service Class 2 R    24,205,022         
158    Variable Insurance Products Fund II    VIP: Contrafund Portfolio: Initial Class    11,179,013,043         
158    Variable Insurance Products Fund II    VIP: Contrafund Portfolio: Service Class 2    5,236,747,879         
158    Variable Insurance Products Fund II    VIP: Contrafund Portfolio: Service Class    2,637,047,795         
158    Variable Insurance Products Fund II    VIP: Contrafund Portfolio: Investor Class    260,758,188         
159    Variable Insurance Products Fund II    VIP: Asset Manager: Growth Portfolio: Service Class    4,981,909         
159    Variable Insurance Products Fund II    VIP: Asset Manager: Growth Portfolio: Initial Class    214,872,026         
159    Variable Insurance Products Fund II    VIP: Asset Manager: Growth Portfolio: Investor Class    6,440,608         
159    Variable Insurance Products Fund II    VIP: Asset Manager: Growth Portfolio: Service Class    5,980,120         
227    Variable Insurance Products Fund II    VIP: Investment Grade Bond Portfolio: Service Class    96,080,409         
227    Variable Insurance Products Fund II    VIP: Investment Grade Bond Portfolio    1,180,699,176         
 Thursday, November 16, 2006                Page 31 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
227    Variable Insurance Products Fund II    VIP: Investment Grade Bond Portfolio: Service Class 2    433,733,264         
227    Variable Insurance Products Fund II    VIP: Investment Grade Bond Portfolio: Investor Class    137,839,725         
228    Variable Insurance Products Fund II    VIP: Asset Manager Portfolio: Service Class    23,629,838         
228    Variable Insurance Products Fund II    VIP: Asset Manager Portfolio: Service Class 2    55,172,608         
228    Variable Insurance Products Fund II    VIP: Asset Manager Portfolio: Initial Class    2,093,996,231         
228    Variable Insurance Products Fund II    VIP: Asset Manager Portfolio: Investor Class    23,508,478         
1529    Variable Insurance Products Fund II    VIP: Disciplined Small Cap Portfolio: Initial Class    5,271,889         
1529    Variable Insurance Products Fund II    VIP: Disciplined Small Cap Portfolio: Service Class    1,347,901         
1529    Variable Insurance Products Fund II    VIP: Disciplined Small Cap Portfolio: Service Class 2    1,346,354         
1529    Variable Insurance Products Fund II    VIP: Disciplined Small Cap Portfolio: Investor Class    7,782,779         
                26,488,243,980    2,500,000 
Variable Insurance Products                 
147    Variable Insurance Products Fund III    VIP: Growth & Income Portfolio: Investor Class    39,562,191         
147    Variable Insurance Products Fund III    VIP: Growth & Income Portfolio: Initial Class    543,741,626         
147    Variable Insurance Products Fund III    VIP: Growth & Income Portfolio: Service Class 2    627,706,232         
147    Variable Insurance Products Fund III    VIP: Growth & Income Portfolio: Service Class    369,219,095         
386    Variable Insurance Products Fund III    VIP: Dynamic Capital Appreciation Portfolio: Investor    18,738,932         
386    Variable Insurance Products Fund III    VIP: Dynamic Capital Appreciation Portfolio: Service    839,999         
386    Variable Insurance Products Fund III    VIP: Dynamic Capital Appreciation Portfolio: Initial    60,675,245         
386    Variable Insurance Products Fund III    VIP: Dynamic Capital Appreciation Portfolio: Service    22,028,085         
487    Variable Insurance Products Fund III    VIP: Aggressive Growth Portfolio: Service Class 2    9,862,971         
487    Variable Insurance Products Fund III    VIP: Aggressive Growth Portfolio: Initial Class    6,005,768         
487    Variable Insurance Products Fund III    VIP: Aggressive Growth Portfolio: Service Class    1,017,252         
487    Variable Insurance Products Fund III    VIP: Aggressive Growth Portfolio: Investor Class    3,174,798         
616    Variable Insurance Products Fund III    VIP: Balanced Portfolio: Initial Class    273,780,266         
616    Variable Insurance Products Fund III    VIP: Balanced Portfolio: Service Class 2    46,985,937         
616    Variable Insurance Products Fund III    VIP: Balanced Portfolio: Service Class    14,516,561         
 Thursday, November 16, 2006                Page 32 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
616    Variable Insurance Products Fund III    VIP: Balanced Portfolio: Investor Class    66,419,445         
617    Variable Insurance Products Fund III    VIP: Growth Opportunities Portfolio: Service Class 2    51,068,650         
617    Variable Insurance Products Fund III    VIP: Growth Opportunities Portfolio: Service Class    163,901,389         
617    Variable Insurance Products Fund III    VIP: Growth Opportunities Portfolio: Initial Class    301,964,359         
617    Variable Insurance Products Fund III    VIP: Growth Opportunities Portfolio: Investor Class    5,484,891         
772    Variable Insurance Products Fund III    VIP: Mid Cap Portfolio: Service Class 2    4,318,844,935         
772    Variable Insurance Products Fund III    VIP: Mid Cap Portfolio: Initial Class    1,322,533,431         
772    Variable Insurance Products Fund III    VIP: Mid Cap Portfolio: Investor Class    140,104,658         
772    Variable Insurance Products Fund III    VIP: Mid Cap Portfolio: Service Class    1,038,579,260         
1023    Variable Insurance Products Fund III    VIP: Value Strategies Portfolio: Investor Class    28,992,766         
1023    Variable Insurance Products Fund III    VIP: Value Strategies Portfolio : Initial Class    124,012,039         
1023    Variable Insurance Products Fund III    VIP: Value Strategies Portfolio : Service Class    63,544,303         
1023    Variable Insurance Products Fund III    VIP: Value Strategies Portfolio : Service Class 2    188,969,496         
                9,852,274,580    2,500,000 
Variable Insurance Products                 
154    Variable Insurance Products Fund IV    VIP: Technology Portfolio: Investor Class    12,166,092         
154    Variable Insurance Products Fund IV    VIP: Technology Portfolio: Initial Class    68,695,624         
155    Variable Insurance Products Fund IV    VIP: Natural Resources Portfolio: Investor Class    43,427,253         
155    Variable Insurance Products Fund IV    VIP: Natural Resources Portfolio: Service Class 2    62,884,955         
155    Variable Insurance Products Fund IV    VIP: Natural Resources Portfolio: Initial Class    306,536,720         
156    Variable Insurance Products Fund IV    VIP: Health Care Portfolio: Initial Class    77,705,772         
156    Variable Insurance Products Fund IV    VIP: Health Care Portfolio: Investor Class    14,543,467         
160    Variable Insurance Products Fund IV    VIP: Telecommunications & Utilities Growth    8,222,517         
160    Variable Insurance Products Fund IV    VIP: Telecommunications & Utilities Growth    55,928,991         
765    Variable Insurance Products Fund IV    VIP: Financial Services Portfolio: Investor Class    7,940,249         
765    Variable Insurance Products Fund IV    VIP: Financial Services Portfolio: Initial Class    32,097,291         
766    Variable Insurance Products Fund IV    VIP: Cyclical Industries Portfolio: Investor Class    10,127,627         
 Thursday, November 16, 2006                Page 33 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total               Bond 
766    Variable Insurance Products Fund IV    VIP: Cyclical Industries Portfolio: Initial Class    52,929,818         
767    Variable Insurance Products Fund IV    VIP: Consumer Industries Portfolio: Initial Class    10,530,282         
767    Variable Insurance Products Fund IV    VIP: Consumer Industries Portfolio: Investor Class    1,968,651         
1152    Variable Insurance Products Fund IV    VIP: Growth Stock Portfolio: Initial Class    8,469,973         
1152    Variable Insurance Products Fund IV    VIP: Growth Stock Portfolio: Service Class    2,003,593         
1152    Variable Insurance Products Fund IV    VIP: Growth Stock Portfolio: Service Class 2    3,042,009         
1152    Variable Insurance Products Fund IV    VIP: Growth Stock Portfolio: Investor Class    3,258,217         
1155    Variable Insurance Products Fund IV    VIP: Real Estate Portfolio: Initial Class    175,695,341         
1155    Variable Insurance Products Fund IV    VIP: Real Estate Portfolio: Investor Class    31,697,247         
1155    Variable Insurance Products Fund IV    VIP: Real Estate Portfolio: Service Class    3,933,389         
1155    Variable Insurance Products Fund IV    VIP: Real Estate Portfolio: Service Class 2    3,910,400         
1263    Variable Insurance Products Fund IV    VIP: Value Leaders Portfolio: Investor Class    19,054,659         
1263    Variable Insurance Products Fund IV    VIP: Value Leaders Portfolio: Initial Class    39,233,567         
1263    Variable Insurance Products Fund IV    VIP: Value Leaders Portfolio: Service Class    2,283,171         
1263    Variable Insurance Products Fund IV    VIP: Value Leaders Portfolio: Service Class 2    3,660,721         
1326    Variable Insurance Products Fund IV    VIP: Strategic Income Portfolio: Service Class 2    4,090,480         
1326    Variable Insurance Products Fund IV    VIP: Strategic Income Portfolio: Investor Class    77,192,692         
1326    Variable Insurance Products Fund IV    VIP: Strategic Income Portfolio: Initial Class    126,460,990         
1326    Variable Insurance Products Fund IV    VIP: Strategic Income Portfolio: Service Class    4,107,505         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    15,253,835         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    21,237,121         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    1,419,291         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    474,148         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    356,563         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    474,148         
1390    Variable Insurance Products Fund IV    VIP: International Capital Appreciation Portfolio:    356,564         
1417    Variable Insurance Products Fund IV    VIP: Freedom Income Portfolio: Initial Class    8,111,926         
Thursday, November 16, 2006                Page 34 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total               Bond 
1417    Variable Insurance Products Fund IV    VIP: Freedom Income Portfolio: Service Class    381,598         
1417    Variable Insurance Products Fund IV    VIP: Freedom Income Portfolio: Service Class 2    654,419         
1420    Variable Insurance Products Fund IV    VIP: Freedom 2005 Portfolio: Initial Class    7,410,325         
1420    Variable Insurance Products Fund IV    VIP: Freedom 2005 Portfolio: Service Class    396,928         
1420    Variable Insurance Products Fund IV    VIP: Freedom 2005 Portfolio: Service Class 2    396,074         
1423    Variable Insurance Products Fund IV    VIP: Freedom 2010 Portfolio: Service Class 2    31,199,427         
1423    Variable Insurance Products Fund IV    VIP: Freedom 2010 Portfolio: Service Class    3,887,927         
1423    Variable Insurance Products Fund IV    VIP: Freedom 2010 Portfolio: Initial Class    18,554,650         
1426    Variable Insurance Products Fund IV    VIP: Freedom 2015 Portfolio: Initial Class    21,344,006         
1426    Variable Insurance Products Fund IV    VIP: Freedom 2015 Portfolio: Service Class    407,741         
1426    Variable Insurance Products Fund IV    VIP: Freedom 2015 Portfolio: Service Class 2    6,586,720         
1429    Variable Insurance Products Fund IV    VIP: Freedom 2020 Portfolio: Initial Class    19,621,786         
1429    Variable Insurance Products Fund IV    VIP: Freedom 2020 Portfolio: Service Class    4,744,191         
1429    Variable Insurance Products Fund IV    VIP: Freedom 2020 Portfolio: Service Class 2    46,062,179         
1432    Variable Insurance Products Fund IV    VIP: Freedom 2025 Portfolio: Initial Class    7,769,478         
1432    Variable Insurance Products Fund IV    VIP: Freedom 2025 Portfolio: Service Class    417,707         
1432    Variable Insurance Products Fund IV    VIP: Freedom 2025 Portfolio: Service Class 2    431,166         
1435    Variable Insurance Products Fund IV    VIP: Freedom 2030 Portfolio: Initial Class    11,265,160         
1435    Variable Insurance Products Fund IV    VIP: Freedom 2030 Portfolio: Service Class    2,249,720         
1435    Variable Insurance Products Fund IV    VIP: Freedom 2030 Portfolio: Service Class 2    12,853,668         
1492    Variable Insurance Products Fund IV    VIP: Freedom Lifetime Income I Portfolio: Investor    8,586,347         
1493    Variable Insurance Products Fund IV    VIP: Freedom Lifetime Income II Portfolio: Investor    13,017,288         
1494    Variable Insurance Products Fund IV    VIP: Freedom Lifetime Income III Portfolio: Investor    8,247,820         
1495    Variable Insurance Products Fund IV    VIP: Investor Freedom 2005 Portfolio: Investor Class    4,195,818         
1496    Variable Insurance Products Fund IV    VIP: Investor Freedom 2010 Portfolio: Investor Class    27,370,518         
1497    Variable Insurance Products Fund IV    VIP: Investor Freedom 2015 Portfolio: Investor Class    35,750,907         
1498    Variable Insurance Products Fund IV    VIP: Investor Freedom 2020 Portfolio: Investor Class    38,089,349         
Thursday, November 16, 2006                Page 35 of 36 


Fund Number    Trust Name    Portfolio Name    Assets    Trust Sub Total    Bond 
1499    Variable Insurance Products Fund IV    VIP: Investor Freedom 2025 Portfolio: Investor Class    12,060,602         
1501    Variable Insurance Products Fund IV    VIP: Investor Freedom 2030 Portfolio: Investor Class    11,686,908         
1502    Variable Insurance Products Fund IV    VIP: Investor Freedom Income Portfolio: Investor    9,943,793         
1584    Variable Insurance Products Fund IV    VIP: FundsManager 20% Portfolio: Investor Class    13,406,854         
1584    Variable Insurance Products Fund IV    VIP: FundsManager 20% Portfolio: Service Class    102,632         
1584    Variable Insurance Products Fund IV    VIP: FundsManager 20% Portfolio: Service Class 2    102,558         
1587    Variable Insurance Products Fund IV    VIP: FundsManager 50% Portfolio: Service Class    102,538         
1587    Variable Insurance Products Fund IV    VIP: FundsManager 50% Portfolio: Service Class 2    102,466         
1587    Variable Insurance Products Fund IV    VIP: FundsManager 50% Portfolio: Investor Class    84,406,955         
1590    Variable Insurance Products Fund IV    VIP: FundsManager 70% Portfolio: Service Class    102,162         
1590    Variable Insurance Products Fund IV    VIP: FundsManager 70% Portfolio: Service Class 2    102,090         
1590    Variable Insurance Products Fund IV    VIP: FundsManager 70% Portfolio: Investor Class    98,083,297         
1593    Variable Insurance Products Fund IV    VIP: FundsManager 85% Portfolio: Investor Class    40,614,326         
1593    Variable Insurance Products Fund IV    VIP: FundsManager 85% Portfolio: Service Class    101,764         
1593    Variable Insurance Products Fund IV    VIP: FundsManager 85% Portfolio: Service Class 2    101,692         
                1,924,396,413    1,500,000 
 
                                                                         Grand Total    1,239,502,972,120        119,950,000 
 
 
 
 
Thursday, November 16, 2006                Page 36 of 36