-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Nbt/93HeX5h8LOXr2O9k9MDLjQdOS5ScBWrWRAusIWnKbyKrNfKtLSTUukZ6jZGT 0Midt7r8SBUAEhHAu6gI0g== 0000024238-08-000004.txt : 20080228 0000024238-08-000004.hdr.sgml : 20080228 20080228170709 ACCESSION NUMBER: 0000024238-08-000004 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 19 CONFORMED PERIOD OF REPORT: 20071231 FILED AS OF DATE: 20080228 DATE AS OF CHANGE: 20080228 EFFECTIVENESS DATE: 20080228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY CONTRAFUND CENTRAL INDEX KEY: 0000024238 IRS NUMBER: 046056833 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-01400 FILM NUMBER: 08651574 BUSINESS ADDRESS: STREET 1: FIDELITY INVESTMENTS COMPANY STREET 2: 82 DEVONSHIRE STREET CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: (617)439-1220 MAIL ADDRESS: STREET 1: 82 DEVONSHIRE STREET STREET 2: MAIL ZONE Z1C CITY: BOSTON STATE: MA ZIP: 02109 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY CONTRAFUND INC DATE OF NAME CHANGE: 19850618 FORMER COMPANY: FORMER CONFORMED NAME: CONTRAFUND INC DATE OF NAME CHANGE: 19810203 0000024238 S000006036 Fidelity Advisor New Insights Fund C000016596 Class A FNIAX C000016597 Class B FNIBX C000016598 Class C FNICX C000016599 Class T FNITX C000016600 Institutional Class FINSX 0000024238 S000006037 Fidelity Contrafund C000016601 Fidelity Contrafund FCNTX N-CSR 1 main.htm

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-1400

Fidelity Contrafund
(Exact name of registrant as specified in charter)

82 Devonshire St., Boston, Massachusetts 02109
(Address of principal executive offices) (Zip code)

Eric D. Roiter, Secretary

82 Devonshire St.

Boston, Massachusetts 02109
(Name and address of agent for service)

Registrant's telephone number, including area code: 617-563-7000

Date of fiscal year end:

December 31

Date of reporting period:

December 31, 2007

Item 1. Reports to Stockholders

(Fidelity Investment logo)(registered trademark)
Fidelity® Advisor
New Insights
Fund - Class A, Class T, Class B
and Class C

Annual Report

December 31, 2007

(2_fidelity_logos) (Registered_Trademark)

Contents

Chairman's Message

<Click Here>

Ned Johnson's message to shareholders.

Note to Shareholders

<Click Here>

An explanation of the changes to the fund.

Performance

<Click Here>

How the fund has done over time.

Management's Discussion

<Click Here>

The manager's review of fund performance, strategy and outlook.

Shareholder Expense Example

<Click Here>

An example of shareholder expenses.

Investment Changes

<Click Here>

A summary of major shifts in the fund's investments over the past six months.

Investments

<Click Here>

A complete list of the fund's investments with their market values.

Financial Statements

<Click Here>

Statements of assets and liabilities, operations, and changes in net assets,
as well as financial highlights.

Notes

<Click Here>

Notes to the financial statements.

Report of Independent Registered Public Accounting Firm

<Click Here>

Trustees and Officers

<Click Here>

Distributions

<Click Here>

Proxy Voting Results

<Click Here>

Board Approval of Investment Advisory Contracts and Management Fees

<Click Here>

To view a fund's proxy voting guidelines and proxy voting record for the 12-month period ended June 30, visit http://www.fidelity.com (search for "proxy voting guidelines") or visit the Securities and Exchange Commission's (SEC) web site at http://www.sec.gov. You may also call 1-800-544-8544 to request a free copy of the proxy voting guidelines.

Standard & Poor's, S&P and S&P 500 are registered service marks of The McGraw-Hill Companies, Inc. and have been licensed for use by Fidelity Distributors Corporation.

Other third party marks appearing herein are the property of their respective owners.

All other marks appearing herein are registered or unregistered trademarks or service marks of FMR LLC or an affiliated company.

Annual Report

This report and the financial statements contained herein are submitted for the general information of the shareholders of the fund. This report is not authorized for distribution to prospective investors in the fund unless preceded or accompanied by an effective prospectus.

A fund files its complete schedule of portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-Q. Forms N-Q are available on the SEC's web site at http://www.sec.gov. A fund's Forms N-Q may be reviewed and copied at the SEC's Public Reference Room in Washington, DC. Information regarding the operation of the SEC's Public Reference Room may be obtained by calling 1-800-SEC-0330. For a complete list of a fund's portfolio holdings, view the most recent holdings listing, semiannual report, or annual report on Fidelity's web site at http://www.fidelity.com or http://www.advisor.fidelity.com, as applicable.

NOT FDIC INSURED · MAY LOSE VALUE · NO BANK GUARANTEE

Neither the fund nor Fidelity Distributors Corporation is a bank.

Annual Report

Chairman's Message

(photo_of_Edward_C_Johnson_3d)

Dear Shareholder:

Many stock and bond markets around the world have been unsettled of late; however, volatility can often lead to opportunity for patient investors. Financial markets are always unpredictable, but there are a number of time-tested principles that can put the historical odds in your favor.

One of the basic tenets is to invest for the long term. Over time, riding out the markets' inevitable ups and downs has proven much more effective than selling into panic or chasing the hottest trend. Even missing only a few of the markets' best days can significantly diminish investor returns. Patience also affords the benefits of compounding - of earning interest on additional income or reinvested dividends and capital gains. There are tax advantages and cost benefits to consider as well. The more you sell, the more taxes you pay, and the more you trade, the higher the costs. While staying the course doesn't eliminate risk, it can considerably lessen the effect of short-term declines.

You can further manage your investing risk through diversification. And today, more than ever, geographic diversification should be taken into account. Studies indicate that asset allocation is the single most important determinant of a portfolio's long-term success. The right mix of stocks, bonds and cash - aligned to your particular risk tolerance and investment objective - is very important. Age-appropriate rebalancing is also an essential aspect of asset allocation. For younger investors, an emphasis on equities - which historically have been the best-performing asset class over time - is encouraged. As investors near their specific goal, such as retirement or sending a child to college, consideration may be given to replacing volatile assets (e.g. common stocks) with more-stable fixed investments (bonds or savings plans).

A third investment principle - investing regularly - can help lower the average cost of your purchases. Investing a certain amount of money each month or quarter helps ensure you won't pay for all your shares at market highs. This strategy - known as dollar cost averaging - also reduces unconstructive "emotion" from investing, helping shareholders avoid selling weak performers just prior to an upswing, or chasing a hot performer just before a correction.

We invite you to contact us via the Internet, through our Investor Centers or over the phone. It is our privilege to provide you the information you need to make the investments that are right for you.

Sincerely,

/s/Edward C. Johnson 3d

Edward C. Johnson 3d

Annual Report

Note to Shareholders:

On September 19, 2007, shareholders of Fidelity® Advisor New Insights Fund approved a new management contract for the fund, effective October 1, 2007, which adds a performance adjustment component to the management fee based on the fund's performance versus the Standard & Poor's 500SM Index. The new contract also allows the Board of Trustees to designate an alternate performance adjustment index in the future, without a shareholder vote, when permitted by applicable law.

Annual Report

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of the class' dividend income and capital gains (the profits earned upon the sale of securities that have grown in value, if any) and assuming a constant rate of performance each year. The $10,000 table and the fund's returns do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. During periods of reimbursement by Fidelity, a fund's total return will be greater than it would be had the reimbursement not occurred. How a fund did yesterday is no guarantee of how it will do tomorrow.

Average Annual Total Returns

Periods ended December 31, 2007

Past 1
year

Life of
fund
A

Class A (incl. 5.75% sales charge)

13.34%

18.34%

Class T (incl. 3.50% sales charge)

15.80%

18.73%

Class B (incl. contingent deferred sales charge) B

14.24%

18.72%

Class C (incl. contingent deferred sales charge) C

18.37%

19.05%

A From July 31, 2003.

B Class B shares' contingent deferred sales charges included in the past one year and life of fund total return figures are 5% and 2%, respectively.

C Class C shares' contingent deferred sales charge included in the past one year and life of fund total return figures are 1% and 0%, respectively.

Annual Report

$10,000 Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity® Advisor New Insights Fund - Class T on July 31, 2003, when the fund started, and the current 3.50% sales charge was paid. The chart shows how the value of your investment would have changed, and also shows how the Standard & Poor's 500SM Index performed over the same period.



Annual Report

Management's Discussion of Fund Performance

Comments from William Danoff, Portfolio Manager of Fidelity® Advisor New Insights Fund

U.S. stock markets, as measured by the bellwether Dow Jones Industrial AverageSM and the Standard & Poor's 500SM Index, registered their fifth consecutive year of positive returns in 2007. The Dow rose 8.88% in that time, while the S&P 500® index advanced 5.49%. The tech-heavy NASDAQ Composite® Index did even better, gaining 10.55%. However, credit- and recession-related concerns carved deeply into equity prices late in 2007, pushing some market measures into negative territory for the year overall, particularly smaller-cap and value-oriented benchmarks. In fact, the entire second half of 2007 was negative for many equity yardsticks, as the credit crunch - precipitated by the housing market slowdown and the subprime mortgage crisis - weighed heavily on investor sentiment. Meanwhile, sharply higher energy prices pressured consumer spending, adding a further layer of anxiety in much of the back half of the period. In an attempt to re-stimulate the economy, the Federal Reserve Board lowered its discount rate and made three cuts to the federal funds target rate. Despite these actions, stocks generally slumped across the board in November and December.

Advisor New Insights had a very good year: Its Class A, Class T, Class B and Class C shares returned 20.26%, 20.00%, 19.24% and 19.37%, respectively (excluding sales changes), beating the S&P 500 by a wide margin. The fund's healthy outperformance relative to the index was driven by three main factors: its growth-stock bias during a period when growth outpaced value by more than 10 percentage points; extremely productive stock selection, especially in the technology sector; and astute industry positioning by avoiding the most-toxic areas of the weak financials group. The fund's three top relative contributors, leading competitors in the strong Internet and wireless markets, were consumer electronics giant Apple, search engine Google and Research In Motion, a Canada-based out-of-index holding whose popular BlackBerry brand dominates the wireless messaging market. Also making sizable contributions were such stocks as America Movil, a leading wireless provider in Mexico, and insurance conglomerate Berkshire Hathaway. Relative performance was tempered by a large stake in biopharmaceutical firm Genentech, which stumbled on market worries about delays in its product pipeline. Performance also suffered from holding no stake or only minimal stakes in some of the S&P 500's best-performing stocks, including such names as integrated oil company Chevron and software leader Microsoft.

Note to shareholders: The fund reopened to new accounts on November 1, 2007.

The views expressed above reflect those of the portfolio manager(s) only through the end of the period as stated on the cover of this report and do not necessarily represent the views of Fidelity or any other person in the Fidelity organization. Any such views are subject to change at any time based upon market or other conditions and Fidelity disclaims any responsibility to update such views. These views may not be relied on as investment advice and, because investment decisions for a Fidelity fund are based on numerous factors, may not be relied on as an indication of trading intent on behalf of any Fidelity fund.

Annual Report

Shareholder Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads) on purchase payments or redemption proceeds, and (2) ongoing costs, including management fees, distribution and/or service (12b-1) fees and other Fund expenses. This Example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

The Example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period (July 1, 2007 to December 31, 2007).

Actual Expenses

The first line of the accompanying table for each class of the Fund provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000.00 (for example, an $8,600 account value divided by $1,000.00 = 8.6), then multiply the result by the number in the first line for a class of the Fund under the heading entitled "Expenses Paid During Period" to estimate the expenses you paid on your account during this period. In addition, the Fund, as a shareholder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Hypothetical Example for Comparison Purposes

The second line of the accompanying table for each class of the Fund provides information about hypothetical account values and hypothetical expenses based on a Class' actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Class' actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. In addition, the Fund, as a share-holder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Annual Report

Shareholder Expense Example - continued

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

Beginning
Account Value
July 1, 2007

Ending
Account Value
December 31, 2007

Expenses Paid
During Period
*
July 1, 2007 to
December 31, 2007

Class A

Actual

$ 1,000.00

$ 1,099.60

$ 5.82

Hypothetical A

$ 1,000.00

$ 1,019.66

$ 5.60

Class T

Actual

$ 1,000.00

$ 1,099.00

$ 7.04

Hypothetical A

$ 1,000.00

$ 1,018.50

$ 6.77

Class B

Actual

$ 1,000.00

$ 1,095.50

$ 10.04

Hypothetical A

$ 1,000.00

$ 1,015.63

$ 9.65

Class C

Actual

$ 1,000.00

$ 1,095.70

$ 9.72

Hypothetical A

$ 1,000.00

$ 1,015.93

$ 9.35

Institutional Class

Actual

$ 1,000.00

$ 1,101.10

$ 4.40

Hypothetical A

$ 1,000.00

$ 1,021.02

$ 4.23

A 5% return per year before expenses

* Expenses are equal to each Class' annualized expense ratio (shown in the table below); multiplied by the average account value over the period, multiplied by 184/365 (to reflect the one-half year period).

Annualized
Expense Ratio

Class A

1.10%

Class T

1.33%

Class B

1.90%

Class C

1.84%

Institutional Class

.83%

Annual Report

Investment Changes

Top Ten Stocks as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Google, Inc. Class A (sub. vtg.)

5.5

4.5

Apple, Inc.

3.5

2.6

Hewlett-Packard Co.

3.4

3.4

Berkshire Hathaway, Inc. Class A

3.1

2.6

Exxon Mobil Corp.

2.6

2.5

Procter & Gamble Co.

2.0

1.8

Schlumberger Ltd. (NY Shares)

1.7

1.7

America Movil SAB de CV Series L sponsored ADR

1.7

2.6

Genentech, Inc.

1.5

1.9

The Walt Disney Co.

1.3

1.5

26.3

Top Five Market Sectors as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Information Technology

23.2

21.2

Energy

11.0

10.4

Financials

11.0

14.8

Health Care

10.2

11.3

Industrials

8.3

8.8

Asset Allocation (% of fund's net assets)

As of December 31, 2007 *

As of June 30, 2007 **

Stocks 86.7%

Stocks 93.4%

Convertible
Securities 0.2%

Convertible
Securities 0.2%

Short-Term
Investments and
Net Other Assets 13.1%

Short-Term
Investments and
Net Other Assets 6.4%

* Foreign investments

24.3%

** Foreign investments

25.1%

Annual Report

Investments December 31, 2007

Showing Percentage of Net Assets

Common Stocks - 86.7%

Shares

Value (000s)

CONSUMER DISCRETIONARY - 6.1%

Auto Components - 0.1%

Gentex Corp.

44,300

$ 787

Johnson Controls, Inc.

160,800

5,795

The Goodyear Tire & Rubber Co. (a)

47,900

1,352

WABCO Holdings, Inc.

9,100

456

8,390

Automobiles - 0.2%

DaimlerChrysler AG

53,600

5,126

Toyota Motor Corp.

248,100

13,170

18,296

Diversified Consumer Services - 0.0%

Strayer Education, Inc.

5,200

887

Hotels, Restaurants & Leisure - 1.5%

California Pizza Kitchen, Inc. (a)

168,350

2,621

Chipotle Mexican Grill, Inc.:

Class A (a)

235,400

34,620

Class B (a)

5,528

680

IHOP Corp.

27,300

999

McDonald's Corp.

993,027

58,499

PokerTek, Inc. (a)(d)

200,000

1,550

Red Robin Gourmet Burgers, Inc. (a)

19,000

608

Tim Hortons, Inc. (d)

1,074,500

39,681

139,258

Household Durables - 0.9%

Fourlis Holdings SA

527,400

20,859

Gafisa SA ADR (a)(d)

240,900

9,022

Garmin Ltd.

428,800

41,594

Snap-On, Inc.

178,200

8,596

80,071

Internet & Catalog Retail - 0.3%

Amazon.com, Inc. (a)

82,700

7,661

Blue Nile, Inc. (a)

13,700

932

Liberty Media Corp. - Interactive Series A (a)

312,000

5,953

Priceline.com, Inc. (a)

119,400

13,714

28,260

Media - 1.6%

CKX, Inc. (a)

41,529

498

Dolan Media Co.

443,800

12,946

E.W. Scripps Co. Class A

67,100

3,020

Focus Media Holding Ltd. ADR (a)(d)

294,500

16,731

Common Stocks - continued

Shares

Value (000s)

CONSUMER DISCRETIONARY - continued

Media - continued

The Walt Disney Co.

3,676,900

$ 118,690

The Weinstein Co. III Holdings, LLC Class A-1 (e)

2,267

2,267

Vivendi

19,739

904

155,056

Multiline Retail - 0.3%

Marks & Spencer Group PLC

2,748,600

30,582

Specialty Retail - 0.9%

Advance Auto Parts, Inc.

24,800

942

Gamestop Corp. Class A (a)

509,800

31,664

H&M Hennes & Mauritz AB (B Shares)

33,150

2,017

Inditex SA

92,600

5,679

J. Crew Group, Inc. (a)

601,800

29,013

TJX Companies, Inc.

635,200

18,249

87,564

Textiles, Apparel & Luxury Goods - 0.3%

China Hongxing Sports Ltd.

6,000,000

3,996

Gildan Activewear, Inc. (a)

45,500

1,875

Lululemon Athletica, Inc. (d)

13,800

654

NIKE, Inc. Class B

358,400

23,024

29,549

TOTAL CONSUMER DISCRETIONARY

577,913

CONSUMER STAPLES - 7.1%

Beverages - 2.7%

Boston Beer Co., Inc. Class A (a)

48,500

1,826

Diageo PLC sponsored ADR

199,700

17,140

PepsiCo, Inc.

1,546,500

117,379

The Coca-Cola Co.

1,912,300

117,358

253,703

Food & Staples Retailing - 0.7%

Costco Wholesale Corp.

192,000

13,394

CVS Caremark Corp.

255,300

10,148

Koninklijke Ahold NV sponsored ADR

319,100

4,404

Susser Holdings Corp. (a)

215,962

4,427

Tesco PLC

4,131,500

39,176

71,549

Food Products - 1.0%

Bunge Ltd.

56,300

6,554

Common Stocks - continued

Shares

Value (000s)

CONSUMER STAPLES - continued

Food Products - continued

Cosan Ltd. Class A

350,000

$ 4,410

Groupe Danone

213,400

19,259

Hain Celestial Group, Inc. (a)

54,500

1,744

Kellogg Co.

254,800

13,359

Kraft Foods, Inc. Class A

70,200

2,291

McCormick & Co., Inc. (non-vtg.)

23,200

880

Nestle SA (Reg.)

57,655

26,406

Smart Balance, Inc. (a)(d)

500,000

5,465

TreeHouse Foods, Inc. (a)

432,993

9,955

Unilever NV (NY Shares)

50,300

1,834

Wm. Wrigley Jr. Co.

46,700

2,734

94,891

Household Products - 2.7%

Colgate-Palmolive Co.

847,200

66,048

Procter & Gamble Co.

2,579,967

189,421

255,469

Personal Products - 0.0%

Chattem, Inc. (a)

12,400

937

TOTAL CONSUMER STAPLES

676,549

ENERGY - 11.0%

Energy Equipment & Services - 2.7%

Atwood Oceanics, Inc. (a)

32,000

3,208

Cameron International Corp. (a)

20,600

991

FMC Technologies, Inc. (a)

148,700

8,431

Halliburton Co.

25,200

955

National Oilwell Varco, Inc. (a)

245,000

17,998

Schlumberger Ltd. (NY Shares)

1,667,800

164,061

Smith International, Inc.

756,744

55,886

Transocean, Inc. (a)

39,347

5,633

257,163

Oil, Gas & Consumable Fuels - 8.3%

Addax Petroleum, Inc.

56,800

2,455

Apache Corp.

84,600

9,098

BG Group PLC sponsored ADR

80,400

9,186

Canadian Natural Resources Ltd.

301,400

22,018

Canadian Oil Sands Trust

368,900

14,373

Chesapeake Energy Corp.

389,800

15,280

Devon Energy Corp.

10,700

951

Common Stocks - continued

Shares

Value (000s)

ENERGY - continued

Oil, Gas & Consumable Fuels - continued

EnCana Corp.

1,525,100

$ 103,613

EOG Resources, Inc.

380,600

33,969

Exxon Mobil Corp.

2,656,602

248,897

Hess Corp.

77,600

7,827

Murphy Oil Corp.

261,000

22,143

Newfield Exploration Co. (a)

24,600

1,296

Noble Energy, Inc.

749,000

59,560

Occidental Petroleum Corp.

109,300

8,415

Petroleo Brasileiro SA - Petrobras sponsored ADR

730,100

84,137

Petroplus Holdings AG

474,912

36,751

Range Resources Corp.

52,200

2,681

SandRidge Energy, Inc.

128,100

4,594

Sasol Ltd. sponsored ADR

16,300

806

Southwestern Energy Co. (a)

38,000

2,117

Suncor Energy, Inc.

123,300

13,392

Valero Energy Corp.

789,734

55,305

W&T Offshore, Inc.

120,800

3,619

Williams Companies, Inc.

25,300

905

XTO Energy, Inc.

544,000

27,940

791,328

TOTAL ENERGY

1,048,491

FINANCIALS - 11.0%

Capital Markets - 1.2%

Bank of New York Mellon Corp.

449,100

21,898

BlackRock, Inc. Class A

9,200

1,995

Charles Schwab Corp.

1,292,500

33,023

Franklin Resources, Inc.

70,000

8,010

Goldman Sachs Group, Inc.

101,600

21,849

Invesco Ltd.

153,700

4,823

Legg Mason, Inc.

25,800

1,887

SEI Investments Co.

308,700

9,931

T. Rowe Price Group, Inc.

103,200

6,283

109,699

Commercial Banks - 1.5%

Allied Irish Banks PLC

158,100

3,632

Banco do Brasil SA

271,300

4,588

Banco Itau Holding Financeira SA sponsored ADR (non-vtg.)

336,000

8,689

Banco Santander SA sponsored ADR

1,705,800

36,743

Common Stocks - continued

Shares

Value (000s)

FINANCIALS - continued

Commercial Banks - continued

Center Financial Corp., California

50,000

$ 616

M&T Bank Corp.

29,600

2,414

National Australia Bank Ltd.

117,372

3,885

Standard Chartered PLC (United Kingdom)

249,500

9,141

Toronto-Dominion Bank

110,100

7,702

Uniao de Bancos Brasileiros SA (Unibanco) GDR

35,400

4,943

Wells Fargo & Co.

1,954,200

58,997

141,350

Consumer Finance - 0.8%

American Express Co.

1,469,100

76,423

Diversified Financial Services - 0.8%

Bolsa de Mercadorias & Futuros - BM&F SA

504,200

7,011

Bovespa Holding SA

53,000

993

Citigroup, Inc.

1,110,500

32,693

CME Group, Inc.

18,106

12,421

Govi High Power Exploration, Inc. warrants 1/1/49 (a)(e)

2,750,000

5,500

IntercontinentalExchange, Inc. (a)

26,600

5,121

JPMorgan Chase & Co.

244,500

10,672

MSCI, Inc. Class A

20,600

791

75,202

Insurance - 6.7%

Admiral Group PLC

944,200

20,636

Allstate Corp.

558,300

29,160

American International Group, Inc.

988,600

57,635

Arch Capital Group Ltd. (a)

23,000

1,618

Assurant, Inc.

158,700

10,617

Axis Capital Holdings Ltd.

344,500

13,425

Berkshire Hathaway, Inc. Class A (a)

2,074

293,678

Everest Re Group Ltd.

39,665

3,982

Loews Corp.

721,900

36,340

Markel Corp. (a)

9,400

4,616

MetLife, Inc.

631,600

38,919

MetLife, Inc. unit

406,600

12,438

Principal Financial Group, Inc.

13,800

950

Prudential Financial, Inc.

440,000

40,938

The Chubb Corp.

1,097,200

59,885

W.R. Berkley Corp.

188,761

5,627

White Mountains Insurance Group Ltd.

5,827

2,995

Common Stocks - continued

Shares

Value (000s)

FINANCIALS - continued

Insurance - continued

Willis Group Holdings Ltd.

125,480

$ 4,764

Zenith National Insurance Corp.

12,500

559

638,782

TOTAL FINANCIALS

1,041,456

HEALTH CARE - 10.0%

Biotechnology - 3.2%

Celgene Corp. (a)

359,700

16,622

Cougar Biotechnology, Inc. (a)

622,500

20,356

Cougar Biotechnology, Inc. (a)

71,461

2,103

CSL Ltd.

227,152

7,234

Genentech, Inc. (a)

2,106,900

141,310

Genmab AS (a)

83,200

5,032

Gilead Sciences, Inc. (a)

1,858,900

85,528

GTx, Inc. (a)

124,009

1,780

Human Genome Sciences, Inc. (a)

59,800

624

MannKind Corp. (a)(d)

685,533

5,457

MannKind Corp. warrants 8/3/10 (a)(e)

29,881

71

Medarex, Inc. (a)(d)

761,900

7,939

Omrix Biopharmaceuticals, Inc. (a)

46,600

1,619

ONYX Pharmaceuticals, Inc. (a)

15,200

845

OREXIGEN Therapeutics, Inc.

71,495

1,019

Seattle Genetics, Inc. (a)

94,500

1,077

Targacept, Inc. (a)

841,800

6,953

305,569

Health Care Equipment & Supplies - 1.7%

Alcon, Inc.

185,000

26,462

Becton, Dickinson & Co.

272,700

22,792

C.R. Bard, Inc.

219,799

20,837

China Medical Technologies, Inc. sponsored ADR (d)

21,300

946

DENTSPLY International, Inc.

526,700

23,712

Gen-Probe, Inc. (a)

58,800

3,700

Hologic, Inc. (a)

122,600

8,415

Intuitive Surgical, Inc. (a)

12,400

4,024

Inverness Medical Innovations, Inc. (a)

163,800

9,202

IRIS International, Inc. (a)

445,400

8,739

Mindray Medical International Ltd. sponsored ADR

131,200

5,638

NuVasive, Inc. (a)

120,500

4,762

Smith & Nephew PLC

125,200

1,438

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - continued

Health Care Equipment & Supplies - continued

Stereotaxis, Inc. (a)

64,900

$ 793

Stryker Corp.

237,600

17,753

TomoTherapy, Inc. (d)

143,800

2,813

162,026

Health Care Providers & Services - 0.8%

Aetna, Inc.

127,700

7,372

Amedisys, Inc. (a)

45,100

2,188

athenahealth, Inc.

23,300

839

Henry Schein, Inc. (a)

60,400

3,709

HMS Holdings Corp. (a)

508,900

16,901

Humana, Inc. (a)

29,857

2,249

McKesson Corp.

79,700

5,221

Medco Health Solutions, Inc. (a)

245,200

24,863

Nighthawk Radiology Holdings, Inc. (a)

210,992

4,441

VCA Antech, Inc. (a)

106,800

4,724

72,507

Health Care Technology - 0.1%

HLTH Corp. (a)

467,100

6,259

Life Sciences Tools & Services - 0.7%

Covance, Inc. (a)

11,300

979

Dionex Corp. (a)(d)

33,300

2,759

ICON PLC sponsored ADR (a)

288,000

17,816

Invitrogen Corp. (a)

60,300

5,633

Medivation, Inc. (a)

58,200

838

Millipore Corp. (a)

27,100

1,983

QIAGEN NV (a)

143,700

3,025

Techne Corp. (a)

73,700

4,868

Thermo Fisher Scientific, Inc. (a)

158,500

9,142

Waters Corp. (a)

321,300

25,405

72,448

Pharmaceuticals - 3.5%

Abbott Laboratories

491,000

27,570

Allergan, Inc.

309,500

19,882

BioMimetic Therapeutics, Inc. (a)

74,000

1,285

Bristol-Myers Squibb Co.

596,600

15,822

Johnson & Johnson

330,400

22,038

Merck & Co., Inc.

2,036,300

118,329

Novo Nordisk AS Series B

166,400

10,910

Pronova BioPharma ASA

1,000,000

4,048

Roche Holding AG (participation certificate)

395,355

67,527

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - continued

Pharmaceuticals - continued

Schering-Plough Corp.

1,669,000

$ 44,462

Sirtris Pharmaceuticals, Inc. (d)

41,800

572

Teva Pharmaceutical Industries Ltd. sponsored ADR

18,400

855

XenoPort, Inc. (a)

44,700

2,498

335,798

TOTAL HEALTH CARE

954,607

INDUSTRIALS - 8.3%

Aerospace & Defense - 1.2%

General Dynamics Corp.

59,400

5,286

Heico Corp. Class A

18,000

767

Lockheed Martin Corp.

522,200

54,967

Precision Castparts Corp.

95,400

13,232

Raytheon Co.

80,800

4,905

Spirit AeroSystems Holdings, Inc. Class A

312,000

10,764

Teledyne Technologies, Inc. (a)

66,600

3,552

The Boeing Co.

223,400

19,539

United Technologies Corp.

32,000

2,449

115,461

Air Freight & Logistics - 0.4%

C.H. Robinson Worldwide, Inc. (d)

781,672

42,304

Airlines - 0.1%

Ryanair Holdings PLC sponsored ADR (a)

162,026

6,390

Commercial Services & Supplies - 0.3%

Advisory Board Co. (a)

16,400

1,053

Covanta Holding Corp. (a)

136,700

3,781

FTI Consulting, Inc. (a)

15,200

937

Fuel Tech, Inc. (a)

21,100

478

IHS, Inc. Class A (a)

45,100

2,731

InnerWorkings, Inc. (a)

55,500

958

Interface, Inc. Class A

189,400

3,091

Robert Half International, Inc.

72,000

1,947

Seek Ltd.

1,000,000

7,007

Stericycle, Inc. (a)

40,800

2,424

24,407

Construction & Engineering - 0.9%

Jacobs Engineering Group, Inc. (a)

787,400

75,283

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Construction & Engineering - continued

KBR, Inc.

161,400

$ 6,262

URS Corp. (a)

73,000

3,966

85,511

Electrical Equipment - 2.6%

ABB Ltd. sponsored ADR

498,100

14,345

Alstom SA

4,100

880

Cooper Industries Ltd. Class A

1,490,700

78,828

Emerson Electric Co.

16,300

924

First Solar, Inc. (a)

6,900

1,843

GrafTech International Ltd. (a)

500,000

8,875

Q-Cells AG (a)

361,100

51,434

Renewable Energy Corp. AS (a)

845,500

42,940

Roper Industries, Inc.

12,900

807

SolarWorld AG

435,400

26,529

Sunpower Corp. Class A (a)

72,300

9,427

Suntech Power Holdings Co. Ltd. sponsored ADR (a)

97,100

7,993

Vestas Wind Systems AS (a)

10,000

1,080

245,905

Industrial Conglomerates - 0.2%

General Electric Co.

43,600

1,616

Hutchison Whampoa Ltd.

374,000

4,243

Koninklijke Philips Electronics NV (NY Shares)

49,200

2,103

McDermott International, Inc. (a)

14,400

850

Siemens AG sponsored ADR

55,900

8,796

17,608

Machinery - 2.2%

Astec Industries, Inc. (a)

10,600

394

Bucyrus International, Inc. Class A

34,000

3,379

Cummins, Inc.

115,000

14,648

Danaher Corp.

958,377

84,088

Deere & Co.

217,900

20,291

IDEX Corp.

280,100

10,120

Ingersoll-Rand Co. Ltd. Class A

48,400

2,249

ITT Corp.

44,500

2,939

Kennametal, Inc.

82,000

3,105

Manitowoc Co., Inc.

19,700

962

PACCAR, Inc.

936,223

51,005

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Machinery - continued

Pall Corp.

256,500

$ 10,342

SPX Corp.

36,300

3,733

207,255

Road & Rail - 0.4%

Burlington Northern Santa Fe Corp.

87,100

7,249

Canadian National Railway Co.

548,700

25,763

CSX Corp.

41,900

1,843

Union Pacific Corp.

34,700

4,359

39,214

TOTAL INDUSTRIALS

784,055

INFORMATION TECHNOLOGY - 23.2%

Communications Equipment - 2.7%

Aruba Networks, Inc.

445,401

6,641

Blue Coat Systems, Inc. (a)

67,800

2,229

Ciena Corp. (a)

78,400

2,674

Cisco Systems, Inc. (a)

2,117,400

57,318

Juniper Networks, Inc. (a)

28,600

950

Nice Systems Ltd. sponsored ADR (a)

91,000

3,123

Nokia Corp. sponsored ADR

1,648,200

63,274

Nortel Networks Corp. (a)

201,200

3,034

Research In Motion Ltd. (a)

1,041,700

118,129

Riverbed Technology, Inc. (a)

124,900

3,340

Starent Networks Corp.

37,569

686

261,398

Computers & Peripherals - 7.8%

Apple, Inc. (a)

1,695,400

335,825

Dell, Inc. (a)

1,249,400

30,623

EMC Corp. (a)

930,600

17,244

Hewlett-Packard Co.

6,435,500

324,864

Logitech International SA (a)

183,700

6,731

NCR Corp. (a)

579,000

14,533

Netezza Corp.

26,400

364

Synaptics, Inc. (a)

48,700

2,004

Teradata Corp. (a)

83,800

2,297

Western Digital Corp. (a)

317,000

9,577

744,062

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Electronic Equipment & Instruments - 1.0%

Agilent Technologies, Inc. (a)

49,800

$ 1,830

Amphenol Corp. Class A

889,640

41,253

Flextronics International Ltd. (a)

149,900

1,808

FLIR Systems, Inc. (a)

723,800

22,655

Hon Hai Precision Industry Co. Ltd. (Foxconn)

864,468

5,385

Mettler-Toledo International, Inc. (a)

83,500

9,502

Trimble Navigation Ltd. (a)

159,200

4,814

Tyco Electronics Ltd.

125,000

4,641

91,888

Internet Software & Services - 6.3%

Akamai Technologies, Inc. (a)

354,500

12,266

Bankrate, Inc. (a)(d)

127,500

6,131

Constant Contact, Inc. (d)

174,900

3,760

Dice Holdings, Inc.

83,800

670

Equinix, Inc. (a)

43,500

4,397

Google, Inc. Class A (sub. vtg.) (a)

750,867

519,204

Mercadolibre, Inc.

60,900

4,499

NHN Corp. (a)

14,486

3,499

Open Text Corp. (a)

25,900

818

VeriSign, Inc. (a)

825,500

31,047

VistaPrint Ltd. (a)

296,000

12,684

598,975

IT Services - 1.6%

Accenture Ltd. Class A

764,000

27,527

ExlService Holdings, Inc. (a)

40,100

926

Mastercard, Inc. Class A

269,000

57,889

Paychex, Inc. (d)

416,100

15,071

Redecard SA

123,200

2,007

Sapient Corp. (a)

748,600

6,595

SRA International, Inc. Class A (a)

201,561

5,936

The Western Union Co.

363,900

8,835

VeriFone Holdings, Inc. (a)(d)

945,600

21,985

Wright Express Corp. (a)

29,800

1,058

147,829

Semiconductors & Semiconductor Equipment - 1.2%

Applied Materials, Inc.

397,400

7,058

ASML Holding NV (NY Shares) (a)

191,477

5,991

Atheros Communications, Inc. (a)

28,983

885

Broadcom Corp. Class A (a)

32,600

852

Cavium Networks, Inc.

110,162

2,536

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Semiconductors & Semiconductor Equipment - continued

Intel Corp.

1,285,750

$ 34,278

Lam Research Corp. (a)

356,100

15,394

Marvell Technology Group Ltd. (a)

633,200

8,852

MEMC Electronic Materials, Inc. (a)

76,700

6,787

NVIDIA Corp. (a)

495,100

16,843

O2Micro International Ltd. sponsored ADR (a)

3,000

35

ON Semiconductor Corp. (a)

488,000

4,333

Sigma Designs, Inc. (a)

27,100

1,496

Silicon Motion Technology Corp. sponsored ADR (a)

168,600

2,998

Taiwan Semiconductor Manufacturing Co. Ltd. sponsored ADR

185,700

1,850

Tessera Technologies, Inc. (a)

56,500

2,350

Varian Semiconductor Equipment Associates, Inc. (a)

73,900

2,734

Zoran Corp. (a)

47,500

1,069

116,341

Software - 2.6%

Activision, Inc. (a)

661,900

19,658

Adobe Systems, Inc. (a)

1,421,306

60,732

Autonomy Corp. PLC (a)

169,300

2,974

BMC Software, Inc. (a)

333,700

11,893

CommVault Systems, Inc. (a)

569,168

12,055

Electronic Arts, Inc. (a)

103,300

6,034

Gameloft (a)

291,000

2,548

GSE Systems, Inc. (a)

500,000

5,120

Longtop Financial Technologies Ltd. ADR

5,700

135

McAfee, Inc. (a)

584,200

21,908

Nintendo Co. Ltd.

47,400

28,080

Nuance Communications, Inc. (a)(d)

202,900

3,790

Oracle Corp. (a)

302,750

6,836

Salesforce.com, Inc. (a)

289,200

18,130

Taleo Corp. Class A (a)

116,165

3,459

Ubisoft Entertainment SA (a)

186,000

18,858

Ultimate Software Group, Inc. (a)

168,339

5,298

Utimaco Safeware AG

350,000

5,210

VMware, Inc. Class A (d)

169,000

14,363

247,081

TOTAL INFORMATION TECHNOLOGY

2,207,574

Common Stocks - continued

Shares

Value (000s)

MATERIALS - 6.7%

Chemicals - 2.1%

Bayer AG

473,700

$ 43,107

Ecolab, Inc.

697,000

35,693

Monsanto Co.

429,700

47,993

Nalco Holding Co.

308,500

7,460

Potash Corp. of Saskatchewan, Inc.

38,800

5,586

Praxair, Inc.

550,400

48,826

Rohm & Haas Co.

16,800

892

The Mosaic Co. (a)

56,500

5,330

Wacker Chemie AG

17,000

4,905

199,792

Metals & Mining - 4.5%

Agnico-Eagle Mines Ltd.

102,800

5,631

Anglo American PLC ADR

1,329,071

40,364

Anglo Platinum Ltd.

8,600

1,266

Aquarius Platinum Ltd. (Australia)

1,794,000

20,381

ArcelorMittal SA (NY Reg.) Class A

166,200

12,856

B2Gold Corp. (a)(e)

1,000,000

2,129

B2Gold Corp. (a)

500,000

1,183

Barrick Gold Corp.

855,000

35,954

BHP Billiton Ltd. sponsored ADR (d)

815,500

57,118

Companhia Vale do Rio Doce sponsored ADR

216,000

7,057

Compania de Minas Buenaventura SA sponsored ADR

99,100

5,609

Eldorado Gold Corp. (a)

259,700

1,524

First Quantum Minerals Ltd.

10,000

856

Franco-Nevada Corp.

435,700

6,644

Freeport-McMoRan Copper & Gold, Inc. Class B

431,900

44,244

Goldcorp, Inc.

1,862,001

63,344

Impala Platinum Holdings Ltd.

84,900

2,936

Ivanhoe Mines Ltd. (a)

1,665,000

18,099

Kinross Gold Corp. (a)

1,123,376

20,691

Lihir Gold Ltd. (a)

6,545,468

20,697

Lundin Mining Corp. (a)

470,300

4,516

Newcrest Mining Ltd.

468,618

13,586

Novamerican Steel, Inc.

172,700

744

Novamerican Steel, Inc. warrants 3/7/11 (a)

172,700

173

POSCO sponsored ADR

116,200

17,478

Randgold Resources Ltd. sponsored ADR

180,100

6,687

Red Back Mining, Inc. (a)

707,900

5,052

Rio Tinto PLC (Reg.)

43,300

4,545

Silver Bear Resources, Inc.

275,700

777

Common Stocks - continued

Shares

Value (000s)

MATERIALS - continued

Metals & Mining - continued

Silvercorp Metals, Inc.

84,600

$ 799

Teck Cominco Ltd. Class B (sub. vtg.)

66,800

2,382

Vedanta Resources PLC

20,300

825

Xstrata PLC

13,500

952

427,099

Paper & Forest Products - 0.1%

Lee & Man Paper Manufacturing Ltd.

379,600

1,667

Nine Dragons Paper (Holdings) Ltd.

1,748,000

4,421

6,088

TOTAL MATERIALS

632,979

TELECOMMUNICATION SERVICES - 2.5%

Diversified Telecommunication Services - 0.5%

AT&T, Inc.

760,632

31,612

Cbeyond, Inc. (a)

41,564

1,621

Iliad Group SA

29,700

3,190

Telefonica SA sponsored ADR

49,500

4,831

41,254

Wireless Telecommunication Services - 2.0%

America Movil SAB de CV Series L sponsored ADR

2,596,900

159,424

American Tower Corp. Class A (a)

45,427

1,935

Bharti Airtel Ltd. (a)

885,954

22,402

NII Holdings, Inc. (a)

153,847

7,434

Vodafone Group PLC sponsored ADR

25,000

933

192,128

TOTAL TELECOMMUNICATION SERVICES

233,382

UTILITIES - 0.8%

Electric Utilities - 0.5%

Allegheny Energy, Inc.

174,300

11,087

E.ON AG sponsored ADR

178,900

12,586

Edison International

16,400

875

Entergy Corp.

52,600

6,287

Exelon Corp.

62,400

5,094

FirstEnergy Corp.

44,200

3,197

Common Stocks - continued

Shares

Value (000s)

UTILITIES - continued

Electric Utilities - continued

FPL Group, Inc.

25,900

$ 1,756

PPL Corp.

89,800

4,678

45,560

Gas Utilities - 0.1%

Questar Corp.

15,100

817

Southern Union Co.

118,275

3,473

4,290

Independent Power Producers & Energy Traders - 0.1%

Constellation Energy Group, Inc.

73,800

7,567

International Power PLC

650,100

5,997

13,564

Multi-Utilities - 0.1%

Veolia Environnement

48,414

4,412

YTL Corp. Bhd

2,133,100

5,096

YTL Corp. Bhd rights 1/7/08 (a)

142,206

73

9,581

TOTAL UTILITIES

72,995

TOTAL COMMON STOCKS

(Cost $5,846,330)

8,230,001

Convertible Preferred Stocks - 0.2%

HEALTH CARE - 0.2%

Biotechnology - 0.2%

Fluidigm Corp. (e)

481,170

1,925

Light Sciences Oncology, Inc. Series B (e)

1,792,115

15,000

16,925

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost $16,925)

16,925

Money Market Funds - 13.8%

Shares

Value (000s)

Fidelity Cash Central Fund, 4.58% (b)

1,216,587,820

$ 1,216,588

Fidelity Securities Lending Cash Central Fund, 4.65% (b)(c)

92,726,988

92,727

TOTAL MONEY MARKET FUNDS

(Cost $1,309,315)

1,309,315

TOTAL INVESTMENT PORTFOLIO - 100.7%

(Cost $7,172,570)

9,556,241

NET OTHER ASSETS - (0.7)%

(62,976)

NET ASSETS - 100%

$ 9,493,265

Legend

(a) Non-income producing

(b) Affiliated fund that is available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request.

(c) Investment made with cash collateral received from securities on loan.

(d) Security or a portion of the security is on loan at period end.

(e) Restricted securities - Investment in securities not registered under the Securities Act of 1933 (excluding 144A issues). At the end of the period, the value of restricted securities (excluding 144A issues) amounted to $26,891,000 or 0.3% of net assets.

Additional information on each holding is as follows:

Security

Acquisition Date

Acquisition Cost (000s)

B2Gold Corp.

10/24/07

$ 1,032

Fluidigm Corp.

10/9/07

$ 1,925

Govi High Power Exploration, Inc. warrants 1/1/49

9/28/07

$ 5,500

Light Sciences Oncology, Inc. Series B

4/4/07

$ 15,000

MannKind Corp. warrants 8/3/10

8/3/05

$ 1

The Weinstein Co. III Holdings, LLC Class A-1

10/19/05

$ 2,267

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund

Income earned
(Amounts in thousands)

Fidelity Cash Central Fund

$ 31,243

Fidelity Securities Lending Cash Central Fund

1,785

Total

$ 33,028

Other Affiliated Issuers

An affiliated company is a company in which the fund has ownership of at least 5% of the voting securities. Fiscal year to date transactions with companies which are or were affiliates are as follows:

Affiliate
(Amounts in thousands)

Value, beginning of period

Purchases

Sales Proceeds

Dividend Income

Value,
end of
period

Double-Take Software, Inc.

$ -

$ 21,535

$ 19,955

$ -

$ -

Other Information

Distribution of investments by country of issue, as a percentage of total net assets, is as follows:

United States of America

75.7%

Canada

5.2%

Bermuda

2.2%

Switzerland

2.0%

United Kingdom

1.9%

Netherlands Antilles

1.7%

Mexico

1.7%

Germany

1.6%

Brazil

1.5%

Others (individually less than 1%)

6.5%

100.0%

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements

Statement of Assets and Liabilities

Amounts in thousands (except per-share amounts)

December 31, 2007

Assets

Investment in securities, at value (including securities loaned of $89,560) - See accompanying schedule:

Unaffiliated issuers (cost $5,863,255)

$ 8,246,926

Fidelity Central Funds (cost $1,309,315)

1,309,315

Total Investments (cost $7,172,570)

$ 9,556,241

Receivable for investments sold

7,821

Receivable for fund shares sold

39,006

Dividends receivable

8,199

Distributions receivable from Fidelity Central Funds

4,740

Prepaid expenses

28

Other receivables

97

Total assets

9,616,132

Liabilities

Payable for investments purchased

$ 4,218

Payable for fund shares redeemed

14,520

Distributions payable

82

Accrued management fee

4,337

Distribution fees payable

3,396

Other affiliated payables

1,644

Other payables and accrued expenses

1,943

Collateral on securities loaned, at value

92,727

Total liabilities

122,867

Net Assets

$ 9,493,265

Net Assets consist of:

Paid in capital

$ 7,049,543

Undistributed net investment income

1,226

Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions

58,856

Net unrealized appreciation (depreciation) on investments and assets and liabilities in foreign currencies

2,383,640

Net Assets

$ 9,493,265

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements - continued

Statement of Assets and Liabilities - continued

Amounts in thousands (except per-share amounts)

December 31, 2007

Calculation of Maximum Offering Price
Class A:
Net Asset Value
and redemption price per share ($2,630,055 ÷ 121,456 shares)

$ 21.65

Maximum offering price per share (100/94.25 of $21.65)

$ 22.97

Class T:
Net Asset Value
and redemption price per share ($2,185,491 ÷ 101,386 shares)

$ 21.56

Maximum offering price per share (100/96.50 of $21.56)

$ 22.34

Class B:
Net Asset Value
and offering price per share ($489,316 ÷ 23,252 shares)A

$ 21.04

Class C:
Net Asset Value
and offering price per share ($1,878,915 ÷ 89,040 shares)A

$ 21.10

Institutional Class:
Net Asset Value
, offering price and redemption price per share ($2,309,488 ÷ 105,731 shares)

$ 21.84

A Redemption price per share is equal to net asset value less any applicable contingent deferred sales charge.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Statement of Operations

Amounts in thousands

Year ended December 31, 2007

Investment Income

Dividends

$ 90,293

Interest

36

Income from Fidelity Central Funds

33,028

Total income

123,357

Expenses

Management fee

$ 45,961

Transfer agent fees

17,290

Distribution fees

37,779

Accounting and security lending fees

1,249

Custodian fees and expenses

497

Independent trustees' compensation

28

Registration fees

86

Audit

101

Legal

59

Miscellaneous

2,632

Total expenses before reductions

105,682

Expense reductions

(363)

105,319

Net investment income (loss)

18,038

Realized and Unrealized Gain (Loss)

Net realized gain (loss) on:

Investment securities:

Unaffiliated issuers

342,693

Other affiliated issuers

(1,580)

Foreign currency transactions

(30)

Total net realized gain (loss)

341,083

Change in net unrealized appreciation (depreciation) on:

Investment securities (net of increase in deferred foreign taxes of $1)

1,132,792

Assets and liabilities in foreign currencies

(15)

Total change in net unrealized appreciation (depreciation)

1,132,777

Net gain (loss)

1,473,860

Net increase (decrease) in net assets resulting from operations

$ 1,491,898

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements - continued

Statement of Changes in Net Assets

Amounts in thousands

Year ended
December 31, 2007

Year ended
December 31, 2006

Increase (Decrease) in Net Assets

Operations

Net investment income (loss)

$ 18,038

$ 9,962

Net realized gain (loss)

341,083

(97,322)

Change in net unrealized appreciation (depreciation)

1,132,777

700,051

Net increase (decrease) in net assets resulting
from operations

1,491,898

612,691

Distributions to shareholders from net investment income

(17,144)

(10,473)

Distributions to shareholders from net realized gain

(168,267)

(24,707)

Total distributions

(185,411)

(35,180)

Share transactions - net increase (decrease)

610,558

2,743,651

Total increase (decrease) in net assets

1,917,045

3,321,162

Net Assets

Beginning of period

7,576,220

4,255,058

End of period (including undistributed net investment income of $1,226 and $0, respectively)

$ 9,493,265

$ 7,576,220

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class A

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.37

$ 16.65

$ 13.99

$ 11.79

$ 10.00

Income from Investment Operations

Net investment income (loss)E

.08

.06

.02

(.03)

(.04)

Net realized and unrealized gain (loss)

3.65

1.78

2.64

2.24

1.87

Total from investment operations

3.73

1.84

2.66

2.21

1.83

Distributions from net investment income

(.06)

(.03)

-

(.01)

(.03)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.45)

(.12)J

-

(.01)

(.04)

Net asset value, end of period

$ 21.65

$ 18.37

$ 16.65

$ 13.99

$ 11.79

Total ReturnB,C,D

20.26%

11.06%

19.01%

18.76%

18.23%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.09%

1.12%

1.17%

1.22%

1.39%A

Expenses net of fee waivers, if any

1.09%

1.12%

1.17%

1.22%

1.39%A

Expenses net of all reductions

1.08%

1.11%

1.13%

1.17%

1.28%A

Net investment income (loss)

.42%

.37%

.13%

(.26)%

(.81)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,630

$ 1,823

$ 1,019

$ 230

$ 37

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the sales charges.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.12 per share is comprised of distributions from net investment income of $.034 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class T

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.29

$ 16.57

$ 13.96

$ 11.78

$ 10.00

Income from Investment Operations

Net investment income (loss)E

.04

.03

(.01)

(.06)

(.05)

Net realized and unrealized gain (loss)

3.62

1.77

2.62

2.25

1.86

Total from investment operations

3.66

1.80

2.61

2.19

1.81

Distributions from net investment income

-

-

-

(.01)

(.02)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.39)

(.08)J

-

(.01)

(.03)

Net asset value, end of period

$ 21.56

$ 18.29

$ 16.57

$ 13.96

$ 11.78

Total ReturnB,C,D

20.00%

10.90%

18.70%

18.60%

18.08%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.31%

1.32%

1.38%

1.43%

1.62%A

Expenses net of fee waivers, if any

1.31%

1.32%

1.38%

1.43%

1.62%A

Expenses net of all reductions

1.31%

1.31%

1.34%

1.39%

1.51%A

Net investment income (loss)

.19%

.17%

(.08)%

(.48)%

(1.04)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,185

$ 2,165

$ 1,393

$ 325

$ 62

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the sales charges.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.08 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class B

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 17.97

$ 16.35

$ 13.85

$ 11.76

$ 10.00

Income from Investment Operations

Net investment income (loss)E

(.08)

(.07)

(.10)

(.13)

(.07)

Net realized and unrealized gain (loss)

3.54

1.74

2.60

2.23

1.85

Total from investment operations

3.46

1.67

2.50

2.10

1.78

Distributions from net investment income

-

-

-

(.01)

(.01)

Distributions from net realized gain

(.39)

(.05)

-

-

(.01)

Total distributions

(.39)

(.05)J

-

(.01)

(.02)

Net asset value, end of period

$ 21.04

$ 17.97

$ 16.35

$ 13.85

$ 11.76

Total ReturnB,C,D

19.24%

10.23%

18.05%

17.87%

17.75%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.89%

1.93%

1.98%

2.02%

2.19%A

Expenses net of fee waivers, if any

1.89%

1.93%

1.98%

2.02%

2.19%A

Expenses net of all reductions

1.89%

1.92%

1.94%

1.97%

2.08%A

Net investment income (loss)

(.39)%

(.44)%

(.68)%

(1.06)%

(1.61)%A

Supplemental Data

Net assets, end of period (in millions)

$ 489

$ 452

$ 339

$ 109

$ 27

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the contingent deferred sales charge.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.05 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.050 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class C

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.00

$ 16.37

$ 13.86

$ 11.76

$ 10.00

Income from Investment Operations

Net investment income (loss)E

(.06)

(.06)

(.09)

(.12)

(.07)

Net realized and unrealized gain (loss)

3.55

1.74

2.60

2.23

1.85

Total from investment operations

3.49

1.68

2.51

2.11

1.78

Distributions from net investment income

-

-

-

(.01)

(.01)

Distributions from net realized gain

(.39)

(.05)

-

-

(.01)

Total distributions

(.39)

(.05)J

-

(.01)

(.02)

Net asset value, end of period

$ 21.10

$ 18.00

$ 16.37

$ 13.86

$ 11.76

Total ReturnB,C,D

19.37%

10.28%

18.11%

17.95%

17.77%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.82%

1.85%

1.89%

1.94%

2.14%A

Expenses net of fee waivers, if any

1.82%

1.85%

1.89%

1.94%

2.14%A

Expenses net of all reductions

1.82%

1.83%

1.85%

1.89%

2.03%A

Net investment income (loss)

(.32)%

(.35)%

(.59)%

(.98)%

(1.55)%A

Supplemental Data

Net assets, end of period (in millions)

$ 1,879

$ 1,596

$ 1,006

$ 246

$ 49

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the contingent deferred sales charge.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.05 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.050 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Institutional Class

Years ended December 31,

2007

2006

2005

2004

2003G

Selected Per-Share Data

Net asset value, beginning of period

$ 18.52

$ 16.78

$ 14.05

$ 11.79

$ 10.00

Income from Investment Operations

Net investment income (loss)D

.14

.12

.07

.01

(.02)

Net realized and unrealized gain (loss)

3.67

1.79

2.66

2.26

1.86

Total from investment operations

3.81

1.91

2.73

2.27

1.84

Distributions from net investment income

(.10)

(.09)

-

(.01)

(.04)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.49)

(.17)I

-

(.01)

(.05)

Net asset value, end of period

$ 21.84

$ 18.52

$ 16.78

$ 14.05

$ 11.79

Total ReturnB,C

20.57%

11.40%

19.43%

19.27%

18.31%

Ratios to Average Net AssetsE,H

Expenses before reductions

.81%

.83%

.84%

.86%

1.07%A

Expenses net of fee waivers, if any

.81%

.83%

.84%

.86%

1.07%A

Expenses net of all reductions

.81%

.82%

.79%

.82%

.96%A

Net investment income (loss)

.69%

.66%

.47%

.10%

(.49)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,309

$ 1,540

$ 498

$ 120

$ 23

Portfolio turnover rateF

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Calculated based on average shares outstanding during the period.

E Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

F Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

G For the period July 31, 2003 (commencement of operations) to December 31, 2003.

H Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

I Total distributions of $.17 per share is comprised of distributions from net investment income of $.086 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Notes to Financial Statements

For the period ended December 31, 2007

(Amounts in Thousands except ratios)

1. Organization.

Fidelity Advisor New Insights Fund (the Fund) is a fund of Fidelity Contrafund (the trust) and is authorized to issue an unlimited number of shares. The trust is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company organized as a Massachusetts business trust. The Fund offers Class A, Class T, Class B, Class C and Institutional Class shares, each of which has equal rights as to assets and voting privileges. Each class has exclusive voting rights with respect to matters that affect that class. Class B shares will automatically convert to Class A shares after a holding period of seven years from the initial date of purchase. Investment income, realized and unrealized capital gains and losses, the common expenses of the Fund, and certain fund-level expense reductions, if any, are allocated on a pro rata basis to each class based on the relative net assets of each class to the total net assets of the Fund. Each class differs with respect to transfer agent and distribution and service plan fees incurred. Certain expense reductions also differ by class.

2. Investments in Fidelity Central Funds.

The Fund may invest in Fidelity Central Funds, which are open-end investment companies available only to other investment companies and accounts managed by Fidelity Management & Research Company (FMR) and its affiliates. The Fund's Schedule of Investments lists each of the Fidelity Central Funds as an investment of the Fund, but does not include the underlying holdings of each Fidelity Central Fund. As an Investing Fund, the Fund indirectly bears its proportionate share of the expenses of the underlying Fidelity Central Funds.

The Money Market Central Funds seek preservation of capital and current income and are managed by Fidelity Investments Money Management, Inc. (FIMM), an affiliate of FMR.

A complete list of holdings for each Fidelity Central Fund is available upon request or at the SEC's web site at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's web site or upon request.

3. Significant Accounting Policies.

The financial statements have been prepared in conformity with accounting principles generally accepted in the United States of America, which require management to make certain estimates and assumptions at the date of the financial statements. The following summarizes the significant accounting policies of the Fund:

Annual Report

3. Significant Accounting Policies - continued

Security Valuation. Investments are valued and net asset value (NAV) per share is calculated (NAV calculation) as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time. Wherever possible, the Fund uses independent pricing services approved by the Board of Trustees to value its investments.

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by an independent pricing service on the primary market or exchange on which they are traded. In the event there were no sales during the day or closing prices are not available, securities are valued at the last quoted bid price. Investments in open-end mutual funds, including the Fidelity Central Funds are valued at their closing net asset value each business day. Short-term securities with remaining maturities of sixty days or less for which quotations are not readily available are valued at amortized cost, which approximates value.

When current market prices or quotations are not readily available or do not accurately reflect fair value, valuations may be determined in accordance with procedures adopted by the Board of Trustees. For example, when developments occur between the close of a market and the close of the NYSE that may materially affect the value of some or all of the securities, or when trading in a security is halted, those securities may be fair valued. Factors used in the determination of fair value may include monitoring news to identify significant market or security specific events such as changes in the value of U.S. securities markets, reviewing developments in foreign markets and evaluating the performance of ADRs, futures contracts and exchange-traded funds. Because the Fund's utilization of fair value pricing depends on market activity, the frequency with which fair value pricing is used cannot be predicted and may be utilized to a significant extent. The value of securities used for NAV calculation under fair value pricing may differ from published prices for the same securities.

Foreign Currency. The Fund uses foreign currency contracts to facilitate transactions in foreign-denominated securities. Losses from these transactions may arise from changes in the value of the foreign currency or if the counterparties do not perform under the contracts' terms.

Foreign-denominated assets, including investment securities, and liabilities are translated into U.S. dollars at the exchange rate at period end. Purchases and sales of investment securities, income and dividends received and expenses denominated in foreign currencies are translated into U.S. dollars at the exchange rate in effect on the transaction date.

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

3. Significant Accounting Policies - continued

Foreign Currency - continued

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Investment Transactions and Income. For financial reporting purposes, the Fund's investment holdings and NAV include trades executed through the end of the last business day of the period. The NAV for processing shareholder transactions includes trades executed through the end of the prior business day. Gains and losses on securities sold are determined on the basis of identified cost and may include proceeds received from litigation. Dividend income is recorded on the ex-dividend date, except for certain dividends from foreign securities where the ex-dividend date may have passed, which are recorded as soon as the Fund is informed of the ex-dividend date. Non-cash dividends included in dividend income, if any, are recorded at the fair market value of the securities received. Distributions received on securities that represent a return of capital or capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The Fund estimates the components of distributions received that may be considered return of capital distributions or capital gain distributions. Interest income and distributions from the Fidelity Central Funds are accrued as earned. Interest income includes coupon interest and amortization of premium and accretion of discount on debt securities. Investment income is recorded net of foreign taxes withheld where recovery of such taxes is uncertain.

Expenses. Most expenses of the trust can be directly attributed to a fund. Expenses which cannot be directly attributed are apportioned among each Fund in the trust. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known.

Income Tax Information and Distributions to Shareholders. Each year, the Fund intends to qualify as a regulated investment company by distributing substantially all of its taxable income and realized gains under Subchapter M of the Internal Revenue Code and filing its U.S. federal tax return. As a result, no provision for income taxes is required. The Fund adopted the provisions of FASB Interpretation No. 48, Accounting for Uncertainties in Income Taxes (FIN 48), on June 29, 2007. FIN 48 sets forth a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. The implementation of FIN 48 did not result in any unrecognized tax benefits in the accompanying financial statements. Each of the Fund's federal tax returns for the prior three fiscal years remains subject to examination by the Internal Revenue Service. Foreign taxes are provided for based on the Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests.

Annual Report

3. Significant Accounting Policies - continued

Income Tax Information and Distributions to Shareholders - continued

Distributions are recorded on the ex-dividend date. Income dividends and capital gain distributions are declared separately for each class. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. In addition, the Fund will claim a portion of the payment made to redeeming shareholders as a distribution for income tax purposes.

Capital accounts within the financial statements are adjusted for permanent book-tax differences. These adjustments have no impact on net assets or the results of operations. Temporary book-tax differences will reverse in a subsequent period.

Book-tax differences are primarily due to foreign currency transactions, certain foreign taxes, passive foreign investment companies (PFIC), partnerships, capital loss carryforwards and losses deferred due to wash sales.

The tax-basis components of distributable earnings and the federal tax cost as of period end were as follows:

Unrealized appreciation

$ 2,516,759

Unrealized depreciation

(142,685)

Net unrealized appreciation (depreciation)

2,374,074

Undistributed long-term capital gain

53,909

Cost for federal income tax purposes

$ 7,182,167

The tax character of distributions paid was as follows:

December 31, 2007

December 31, 2006

Ordinary Income

$ 17,144

$ 20,374

Long-term Capital Gains

168,267

14,806

Total

$ 185,411

$ 35,180

New Accounting Pronouncement. In September 2006, Statement of Financial Accounting Standards No. 157, Fair Value Measurements (SFAS 157), was issued and is effective for fiscal years beginning after November 15, 2007. SFAS 157 defines fair value, establishes a framework for measuring fair value and expands disclosures about fair value measurements. Management is currently evaluating the impact the adoption of SFAS 157 will have on the Fund's financial statement disclosures.

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

4. Operating Policies.

Repurchase Agreements. Fidelity Management and Research Company (FMR) has received an Exemptive Order from the Securities and Exchange Commission (the SEC) which permits the Fund and other affiliated entities of FMR to transfer uninvested cash

balances into joint trading accounts which are then invested in repurchase agreements. The Fund may also invest directly with institutions in repurchase agreements. Repurchase agreements are collateralized by government or non-government securities. Upon settlement date, collateral is held in segregated accounts with custodian banks and may be obtained in the event of a default of the counterparty. The Fund monitors, on a daily basis, the value of the collateral to ensure it is at least equal to the principal amount of the repurchase agreement (including accrued interest). In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the value of the collateral may decline.

Restricted Securities. The Fund may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities is included at the end of the Fund's Schedule of Investments.

5. Purchases and Sales of Investments.

Purchases and sales of securities, other than short-term securities aggregated $4,333,991 and $4,574,648, respectively.

6. Fees and Other Transactions with Affiliates.

Management Fee. FMR and its affiliates provide the Fund with investment management related services for which the Fund pays a monthly management fee. The management fee is the sum of an individual fund fee rate that is based on an annual rate of .30% of the Fund's average net assets and a group fee rate that averaged .26% during the period. The group fee rate is based upon the average net assets of all the mutual funds advised by FMR. The group fee rate decreases as assets under management increase and increases as assets under management decrease. In addition, on September 19, 2007, shareholders approved a new management contract which adds a performance adjustment to the management fee (up to a maximum of ± .20% of the Fund's average net assets over a 36 month performance period). The upward or downward adjustment to the management fee is based on the relative investment performance of the Fund's Institutional Class as compared to an appropriate benchmark index. The Fund's performance period began on October 1, 2007. The performance adjustment will take effect starting with the twelfth month of the performance period (September, 2008). Subsequent months will be added until the performance period

Annual Report

6. Fees and Other Transactions with Affiliates - continued

Management Fee - continued

includes 36 months. For the period, the total annualized management fee rate was .56% of the Fund's average net assets.

Distribution and Service Plan. In accordance with Rule 12b-1 of the 1940 Act, the Fund has adopted separate Distribution and Service Plans for each class of shares. Certain classes pay Fidelity Distributors Corporation (FDC), an affiliate of FMR, separate Distribution and Service Fees, each of which is based on an annual percentage of each class' average net assets. In addition, FDC may pay financial intermediaries for selling shares of the Fund and providing shareholder support services. For the period, the Distribution and Service Fee rates and the total amounts paid to and retained by FDC were as follows:

Distribution
Fee

Service
Fee

Paid to
FDC

Retained
by FDC

Class A

-%

.25%

$ 5,212

$ 448

Class T

.25%

.25%

11,068

252

Class B

.75%

.25%

4,627

3,472

Class C

.75%

.25%

16,872

1,915

$ 37,779

$ 6,087

Sales Load. FDC receives a front-end sales charge of up to 5.75% for selling Class A shares, and 3.50% for selling Class T shares, some of which is paid to financial intermediaries for selling shares of the Fund. FDC receives the proceeds of contingent deferred sales charges levied on Class A, Class T, Class B, and Class C redemptions. These charges depend on the holding period. The deferred sales charges range from 5% to 1% for Class B, 1% for Class C, 1.00% to .50% for certain purchases of Class A shares and .25% for certain purchases of Class T shares.

For the period, sales charge amounts retained by FDC were as follows:

Retained
by FDC

Class A

$ 577

Class T

205

Class B*

684

Class C*

100

$ 1,566

* When Class B and Class C shares are initially sold, FDC pays commissions from its own resources to financial intermediaries through which the sales are made.

Transfer Agent Fees. Fidelity Investments Institutional Operations Company, Inc., (FIIOC), an affiliate of FMR, is the transfer, dividend disbursing and shareholder servicing agent for each class of the Fund. FIIOC receives account fees and asset-based fees that vary according to the account size and type of account of the shareholders of the respective classes of the Fund. FIIOC pays for typesetting, printing and mailing of

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

6. Fees and Other Transactions with Affiliates - continued

Transfer Agent Fees - continued

shareholder reports, except proxy statements. For the period, the total transfer agent fees paid by each class to FIIOC were as follows:

Amount

% of
Average
Net Assets

Class A

$ 4,620

.22

Class T

4,335

.20

Class B

1,276

.28

Class C

3,520

.21

Institutional Class

3,539

.20

$ 17,290

Accounting and Security Lending Fees. Fidelity Service Company, Inc. (FSC), an affiliate of FMR, maintains the Fund's accounting records. The accounting fee is based on the level of average net assets for the month. Under a separate contract, FSC administers the security lending program. The security lending fee is based on the number and duration of lending transactions.

Brokerage Commissions. The Fund placed a portion of its portfolio transactions with brokerage firms which are affiliates of the investment adviser. The commissions paid to these affiliated firms were $35 for the period.

7. Committed Line of Credit.

The Fund participates with other funds managed by FMR in a $4.2 billion credit facility (the "line of credit") to be utilized for temporary or emergency purposes to fund shareholder redemptions or for other short-term liquidity purposes. The Fund has agreed to pay commitment fees on its pro rata portion of the line of credit, which amounted to $16 and is reflected in Miscellaneous Expense on the Statement of Operations. During the period, there were no borrowings on this line of credit.

8. Security Lending.

The Fund lends portfolio securities from time to time in order to earn additional income. On the settlement date of the loan, the Fund receives collateral (in the form of U.S. Treasury obligations, letters of credit and/or cash) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of the loaned securities during the period of the loan. The market value of the loaned securities is determined at the close of business of the Fund and any additional required collateral is delivered to the Fund on the next business day. If the borrower defaults on its obligation

Annual Report

8. Security Lending - continued

to return the securities loaned because of insolvency or other reasons, a fund could experience delays and costs in recovering the securities loaned or in gaining access to the collateral. Any cash collateral received is invested in the Fidelity Securities Lending Cash Central Fund. The value of loaned securities and cash collateral at period end are disclosed on the Fund's Statement of Assets and Liabilities. Security lending income represents the income earned on investing cash collateral, less fees and expenses associated with the loan, plus any premium payments that may be received on the loan of certain types of securities. Security lending income is presented in the Statement of Operations as a component of income from Fidelity Central Funds. Net income from lending portfolio securities during the period amounted to $1,785.

9. Expense Reductions.

Many of the brokers with whom FMR places trades on behalf of the Fund provided services to the Fund in addition to trade execution. These services included payments of certain expenses on behalf of the Fund totaling $272 for the period. In addition, through arrangements with the Fund's custodian and each class' transfer agent, credits realized as a result of uninvested cash balances were used to reduce the Fund's expenses. During the period, these credits reduced the Fund's custody expenses by $13. During the period, credits reduced each class' transfer agent expense as noted in the table below.

Transfer Agent
expense reduction

Class A

$ 34

Class T

21

Institutional Class

7

$ 63

10. Other.

The Fund's organizational documents provide former and current trustees and officers with a limited indemnification against liabilities arising in connection with the performance of their duties to the Fund. In the normal course of business, the Fund may also enter into contracts that provide general indemnifications. The Fund's maximum exposure under these arrangements is unknown as this would be dependent on future claims that may be made against the Fund. The risk of material loss from such claims is considered remote.

In September 2006, FIIOC, the Fund's transfer agent, notified the Fund that the Fund's books and records did not reflect a conversion of certain Class B to Class A shares upon their conversion date. In March 2007, FIIOC converted the relevant Class B shares to Class A shares and recorded the conversion in the books and records of the Fund which

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

10. Other - continued

did not result in a material impact to the Fund's reported net assets or results of operations in the accompanying financial statements. FIIOC has remediated affected shareholders and reimbursed the Fund for all related audit and legal expenses.

The United States Securities and Exchange Commission ("SEC") is conducting an investigation of FMR (covering the years 2002 to 2004) arising from gifts, gratuities and business entertainment provided by certain brokers to certain individuals who were employed on FMR's domestic equity trading desk during that period. FMR is in discussions with the SEC staff regarding the possible resolution of the matter, but as of period-end no final resolution has been reached.

In December 2006, the Independent Trustees completed their own investigation of the matter with the assistance of independent counsel. The Independent Trustees and FMR agree that, despite the absence of proof that the Fidelity mutual funds experienced diminished execution quality as a result of the improper receipt of gifts and business entertainment, the conduct at issue was serious and is worthy of redress. Accordingly, the Independent Trustees have requested and FMR has agreed to pay $42 million to Fidelity mutual funds, plus interest to be determined at the time that payment is made. A method of allocating this payment among the funds has not yet been determined. The total payment to the Fund is not anticipated to have a material impact on the Fund's net assets. In addition, FMR reimbursed related legal expenses which are recorded in the accompanying Statement of Operations as an expense reduction.

11. Distributions to Shareholders.

Distributions to shareholders of each class were as follows:

Years ended December 31,

2007

2006

From net investment income

Class A

$ 6,522

$ 3,373

Institutional Class

10,622

7,100

Total

$ 17,144

$ 10,473

From net realized gain

Class A

$ 46,240

$ 6,877

Class T

38,909

8,598

Class B

8,910

1,130

Class C

33,987

3,506

Institutional Class

40,221

4,596

Total

$ 168,267

$ 24,707

Annual Report

12. Share Transactions.

Transactions for each class of shares were as follows:

Shares

Dollars

Years ended December 31,

2007

2006

2007

2006

Class A

Shares sold

41,083

56,857

$ 854,701

$ 987,944

Reinvestment of distributions

2,200

510

47,987

9,102

Shares redeemed

(21,029)

(19,382)

(422,867)

(338,857)

Net increase (decrease)

22,254

37,985

$ 479,821

$ 658,189

Class T

Shares sold

12,545

49,748

$ 252,804

$ 860,917

Reinvestment of distributions

1,686

464

36,596

8,157

Shares redeemed

(31,235)

(15,864)

(633,560)

(273,911)

Net increase (decrease)

(17,004)

34,348

$ (344,160)

$ 595,163

Class B

Shares sold

2,077

8,880

$ 41,743

$ 151,398

Reinvestment of distributions

352

56

7,470

941

Shares redeemed

(4,354)

(4,507)

(84,616)

(76,579)

Net increase (decrease)

(1,925)

4,429

$ (35,403)

$ 75,760

Class C

Shares sold

11,087

36,136

$ 226,470

$ 616,428

Reinvestment of distributions

1,198

154

25,448

2,604

Shares redeemed

(11,884)

(9,125)

(231,726)

(154,499)

Net increase (decrease)

401

27,165

$ 20,192

$ 464,533

Institutional Class

Shares sold

40,372

68,189

$ 849,560

$ 1,206,339

Reinvestment of distributions

1,513

432

33,288

7,867

Shares redeemed

(19,329)

(15,120)

(392,740)

(264,200)

Net increase (decrease)

22,556

53,501

$ 490,108

$ 950,006

Annual Report

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Contrafund and the Shareholders of Fidelity Advisor New Insights Fund:

In our opinion, the accompanying statement of assets and liabilities, including the schedule of investments, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Fidelity Advisor New Insights Fund (a fund of Fidelity Contrafund) at December 31, 2007, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as "financial statements") are the responsibility of the Fidelity Advisor New Insights Fund's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at December 31, 2007 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion.

/s/ PricewaterhouseCoopers LLP

PricewaterhouseCoopers LLP

Boston, Massachusetts

February 19, 2008

Annual Report

Trustees and Officers

The Trustees, Members of the Advisory Board, and executive officers of the trust and fund, as applicable, are listed below. The Board of Trustees governs the fund and is responsible for protecting the interests of shareholders. The Trustees are experienced executives who meet periodically throughout the year to oversee the fund's activities, review contractual arrangements with companies that provide services to the fund, and review the fund's performance. Except for James C. Curvey, each of the Trustees oversees 373 funds advised by FMR or an affiliate. Mr. Curvey oversees 368 funds advised by FMR or an affiliate.

The Trustees hold office without limit in time except that (a) any Trustee may resign; (b) any Trustee may be removed by written instrument, signed by at least two-thirds of the number of Trustees prior to such removal; (c) any Trustee who requests to be retired or who has become incapacitated by illness or injury may be retired by written instrument signed by a majority of the other Trustees; and (d) any Trustee may be removed at any special meeting of shareholders by a two-thirds vote of the outstanding voting securities of the trust. Each Trustee who is not an interested person (as defined in the 1940 Act) (Independent Trustee), shall retire not later than the last day of the calendar year in which his or her 72nd birthday occurs. The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees. The executive officers and Advisory Board Members hold office without limit in time, except that any officer and Advisory Board Member may resign or may be removed by a vote of a majority of the Trustees at any regular meeting or any special meeting of the Trustees. Except as indicated, each individual has held the office shown or other offices in the same company for the past five years.

The fund's Statement of Additional Information (SAI) includes more information about the Trustees. To request a free copy, call Fidelity at 1-877-208-0098.

Interested Trustees*:

Correspondence intended for each Trustee who is an interested person may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Edward C. Johnson 3d (77)

Year of Election or Appointment: 1984

Mr. Johnson is Chairman of the Board of Trustees. Mr. Johnson serves as President (2006-present), Chief Executive Officer, Chairman, and a Director of FMR LLC; Chairman and a Director of FMR; Chairman and a Director of Fidelity Research & Analysis Company (FRAC); Chairman and a Director of Fidelity Investments Money Management, Inc.; and Chairman (2001-present) and a Director of FMR Co., Inc. In addition, Mr. Johnson serves as Chairman and Director of Fidelity International Limited (FIL). Mr. Edward C. Johnson 3d and Mr. Arthur E. Johnson are not related.

James C. Curvey (72)

Year of Election or Appointment: 2007

Mr. Curvey also serves as Trustee (2007-present) or Member of the Advisory Board (2007-present) of other investment companies advised by FMR. Mr. Curvey is a Director of FMR and FMR Co., Inc. (2007-
present). Mr. Curvey is also Vice Chairman (2006-present) and Director of FMR LLC. Mr. Curvey joined Fidelity in 1982 and served in numerous senior management positions, including President and Chief Operating Officer of FMR LLC (1997-2000) and President of Fidelity Strategic Investments (2000-2002). In addition, he serves as a member of the Board of Directors of Geerlings & Wade, Inc. (wine distribution).

* Trustees have been determined to be "Interested Trustees" by virtue of, among other things, their affiliation with the trust or various entities under common control with FMR. FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Independent Trustees:

Correspondence intended for each Independent Trustee (that is, the Trustees other than the Interested Trustees) may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Age; Principal Occupation

Dennis J. Dirks (59)

Year of Election or Appointment: 2005

Prior to his retirement in May 2003, Mr. Dirks was Chief Operating Officer and a member of the Board of The Depository Trust & Clearing Corporation (DTCC) (1999-2003). He also served as President, Chief Operating Officer, and Board member of The Depository Trust Company (DTC) (1999-2003) and President and Board member of the National Securities Clearing Corporation (NSCC) (1999-2003). In addition, Mr. Dirks served as Chief Executive Officer and Board member of the Government Securities Clearing Corporation (2001-2003) and Chief Executive Officer and Board member of the Mortgage-Backed Securities Clearing Corporation (2001-2003). Mr. Dirks also serves as a Trustee and a member of the Finance Committee of Manhattan College (2005-
present) and a Trustee and a member of the Finance Committee of AHRC of Nassau County (2006-present).

Albert R. Gamper, Jr. (65)

Year of Election or Appointment: 2006

Prior to his retirement in December 2004, Mr. Gamper served as Chairman of the Board of CIT Group Inc. (commercial finance). During his tenure with CIT Group Inc. Mr. Gamper served in numerous senior management positions, including Chairman (1987-1989; 1999-2001; 2002-2004), Chief Executive Officer (1987-2004), and President (1989-2002). He currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2001-present), Chairman of the Board of Governors, Rutgers University (2004-present), and Chairman of the Board of Saint Barnabas Health Care System.

George H. Heilmeier (71)

Year of Election or Appointment: 2004

Dr. Heilmeier is Chairman Emeritus of Telcordia Technologies (communication software and systems), where prior to his retirement, he served as company Chairman and Chief Executive Officer. He currently serves on the Boards of Directors of The Mitre Corporation (systems engineering and information technology support for the government), and HRL Laboratories (private research and development, 2004-present). He is Chairman of the General Motors Science & Technology Advisory Board and a Life Fellow of the Institute of Electrical and Electronics Engineers (IEEE). Dr. Heilmeier is a member of the Defense Science Board and the National Security Agency Advisory Board. He is also a member of the National Academy of Engineering, the American Academy of Arts and Sciences, and the Board of Overseers of the School of Engineering and Applied Science of the University of Pennsylvania. Previously, Dr. Heilmeier served as a Director of TRW Inc. (automotive, space, defense, and information technology, 1992-2002), Compaq (1994-2002), Automatic Data Processing, Inc. (ADP) (technology-based business outsourcing, 1995-2002), INET Technologies Inc. (telecommunications network surveillance, 2001-2004), and Teletech Holdings (customer management services). He is the recipient of the 2005 Kyoto Prize in Advanced Technology for his invention of the liquid crystal display, and a member of the Consumer Electronics Hall of Fame.

James H. Keyes (67)

Year of Election or Appointment: 2007

Prior to his retirement in 2003, Mr. Keyes was Chairman, President, and Chief Executive Officer of Johnson Controls, Inc. (automotive supplier, 1993-2003). He currently serves as a member of the boards of LSI Logic Corporation (semiconductor technologies), Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, 2002-present), and Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions).

Marie L. Knowles (61)

Year of Election or Appointment: 2001

Prior to Ms. Knowles' retirement in June 2000, she served as Executive Vice President and Chief Financial Officer of Atlantic Richfield Company (ARCO) (diversified energy, 1996-2000). From 1993 to 1996, she was a Senior Vice President of ARCO and President of ARCO Transportation Company. She served as a Director of ARCO from 1996 to 1998. She currently serves as a Director of Phelps Dodge Corporation (copper mining and manufacturing) and McKesson Corporation (healthcare service, 2002-present). Ms. Knowles is a Trustee of the Brookings Institution and the Catalina Island Conservancy and also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California.

Ned C. Lautenbach (63)

Year of Election or Appointment: 2000

Mr. Lautenbach is Chairman of the Independent Trustees (2006-present). Mr. Lautenbach has been a partner of Clayton, Dubilier & Rice, Inc. (private equity investment firm) since September 1998. Previously, Mr. Lautenbach was with the International Business Machines Corporation (IBM) from 1968 until his retirement in 1998. Mr. Lautenbach serves as a Director of Sony Corporation (2006-present) and Eaton Corporation (diversified industrial) as well as the Philharmonic Center for the Arts in Naples, Florida. He also is a member of the Board of Trustees of Fairfield University (2005-present), as well as a member of the Council on Foreign Relations.

Cornelia M. Small (63)

Year of Election or Appointment: 2005

Ms. Small is a member (2000-present) and Chairperson (2002-present) of the Investment Committee, and a member (2002-present) of the Board of Trustees of Smith College. Previously, she served as Chief Investment Officer (1999-2000), Director of Global Equity Investments (1996-1999), and a member of the Board of Directors of Scudder, Stevens & Clark (1990-1997) and Scudder Kemper Investments (1997-
1999). In addition, Ms. Small served as Co-Chair (2000-2003) of the Annual Fund for the Fletcher School of Law and Diplomacy.

William S. Stavropoulos (68)

Year of Election or Appointment: 2001

Mr. Stavropoulos is Chairman Emeritus of the Board of Directors of The Dow Chemical Company. Since joining The Dow Chemical Company in 1967, Mr. Stavropoulos served in numerous senior management positions, including President (1993-2000; 2002-2003), CEO (1995-2000; 2002-2004), and Chairman of the Executive Committee (2000-2004). Currently, he is a Director of NCR Corporation (data warehousing and technology solutions), Chemical Financial Corporation, Maersk Inc. (industrial conglomerate, 2002-present), Tyco International, Inc. (multinational manufacturing and services, 2007-present), and a member of the Advisory Board for Metalmark Capital (private equity investment firm, 2005-present). He is a special advisor to Clayton, Dubilier & Rice, Inc., a private equity investment firm. He also serves as a member of the Board of Trustees of the American Enterprise Institute for Public Policy Research. In addition, Mr. Stavropoulos is a member of The Business Council, J.P. Morgan International Council and the University of Notre Dame Advisory Council for the College of Science.

Kenneth L. Wolfe (68)

Year of Election or Appointment: 2005

Mr. Wolfe is Chairman and a Director of Hershey Foods Corporation (2007-present), where prior to his retirement in 2001, he was Chairman and Chief Executive Officer. Mr. Wolfe currently serves as a member of the board of Revlon Inc. (2004-present). Previously, Mr. Wolfe served as a member of the boards of Adelphia Communications Corporation (2003-2006) and Bausch & Lomb, Inc. (1993-2007).

Advisory Board Members and Executive Officers**:

Correspondence intended for Mr. Mauriello, Mr. Thomas, Mr. Wiley, Mr. Lacy, and Mr. Arthur Johnson may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235. Correspondence intended for each executive officer and Mr. Lynch may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Arthur E. Johnson (60)

Year of Election or Appointment: 2008

Member of the Advisory Board of Fidelity Contrafund. Mr. Johnson serves as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor). In addition, Mr. Johnson serves as a member of the Board of Directors of AGL Resources, Inc. (holding company, 2002-present), and IKON Office Solutions, Inc. (document management systems and services). Mr. Arthur E. Johnson and Mr. Edward C. Johnson 3d are not related.

Alan J. Lacy (54)

Year of Election or Appointment: 2008

Member of the Advisory Board of Fidelity Contrafund. Mr. Lacy serves as Senior Adviser (2007-present) of Oak Hill Capital Partners, L.P. (a private equity firm). Mr. Lacy also served as Vice Chairman and Chief Executive Officer of Sears Holdings Corporation and Sears, Roebuck and Co. (retail, 2005-2006; 2000-2005). In addition, Mr. Lacy serves as a member of the Board of Directors of The Western Union Company (global money transfer, 2006-present) and Bristol-Myers Squibb (global pharmaceuticals, 2007-present). Mr. Lacy is a Trustee of the National Parks Conservation Association and The Field Museum of Natural History.

Peter S. Lynch (63)

Year of Election or Appointment: 2003

Member of the Advisory Board of Fidelity Contrafund. Mr. Lynch is Vice Chairman and a Director of FMR, and Vice Chairman (2001-present) and a Director of FMR Co., Inc. Previously, Mr. Lynch served as a Trustee of the Fidelity funds (1990-2003). In addition, he serves as a Trustee of Boston College and as the Chairman of the Inner-City Scholarship Fund.

Joseph Mauriello (63)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Prior to his retirement in January 2006, Mr. Mauriello served in numerous senior management positions including Deputy Chairman and Chief Operating Officer (2004-2005), and Vice Chairman of Financial Services (2002-
2004) of KPMG LLP US (professional services firm, 1965-2005). Mr. Mauriello currently serves as a member of the Board of Directors of XL Capital Ltd. (global insurance and re-insurance company, 2006-
present) and of Arcadia Resources Inc. (health care services and products, 2007-present). He also served as a Director of the Hamilton Funds of the Bank of New York (2006-2007).

David M. Thomas (58)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Previously, Mr. Thomas served as Executive Chairman (2005-2006) and Chairman and Chief Executive Officer (2000-2005) of IMS Health, Inc. (pharmaceutical and healthcare information solutions). In addition, Mr. Thomas serves as a member of the Board of Directors of Fortune Brands, Inc. (consumer products holding company), and Interpublic Group of Companies, Inc. (marketing communication, 2004-present).

Michael E. Wiley (57)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Mr. Wiley also serves as a member of the Board of Trustees of the University of Tulsa (2000-2006; 2007-present). He serves as a Director of Tesoro Corporation (independent oil refiner and marketer, 2005-present), and a Director of Bill Barrett Corporation (exploration and production company, 2005-present). In addition, he also serves as a Director of Post Oak Bank (privately-held bank, 2004-present). Previously, Mr. Wiley served as a Sr. Energy Advisor of Katzenbach Partners, LLC (consulting firm, 2006-2007), as an Advisory Director of Riverstone Holdings (private investment firm), Chairman, President, and CEO of Baker Hughes, Inc. (oilfield services company, 2000-2004), and as Director of Spinnaker Exploration Company (exploration and production company, 2001-2005).

Kimberley H. Monasterio (44)

Year of Election or Appointment: 2007

President and Treasurer of Advisor New Insights. Ms. Monasterio also serves as President and Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2004-present). Previously, Ms. Monasterio served as Deputy Treasurer of the Fidelity funds (2004-2006). Before joining Fidelity Investments, Ms. Monasterio served as Treasurer (2000-
2004) and Chief Financial Officer (2002-2004) of the Franklin Templeton Funds and Senior Vice President of Franklin Templeton Services, LLC (2000-2004).

Walter C. Donovan (45)

Year of Election or Appointment: 2007

Vice President of the Advisor New Insights. Mr. Donovan also serves as Vice President of Fidelity's Equity Funds (2007-present). Mr. Donovan also serves as Executive Vice President of FMR (2005-present) and FMR Co., Inc. (2005-present). Previously, Mr. Donovan served as Vice President of Fidelity's High Income Funds (2005-2007), Fixed-Income Funds (2005-2006), certain Asset Allocation Funds (2005-2006), certain Balanced Funds (2005-2006), and as Vice President and Director of Fidelity's International Equity Trading group (1998-2005).

Bruce T. Herring (42)

Year of Election or Appointment: 2006

Vice President of Advisor New Insights. Mr. Herring also serves as Vice President of certain Equity Funds (2006-present). Mr. Herring is Senior Vice President of FMR (2006-present) and Vice President of FMR Co., Inc. (2001-present). Previously, Mr. Herring served as a portfolio manager for Fidelity U.S. Equity Funds (2001-2005).

Eric D. Roiter (59)

Year of Election or Appointment: 2003

Secretary of Advisor New Insights. He also serves as Secretary of other Fidelity funds; Vice President, General Counsel, and Secretary of FMR Co., Inc. (2001-present) and FMR; Assistant Secretary of Fidelity Management & Research (U.K.) Inc. (2001-present), Fidelity Research & Analysis Company (2001-present), and Fidelity Investments Money Management, Inc. (2001-present). Mr. Roiter is an Adjunct Member, Faculty of Law, at Boston College Law School (2003-present). Previously, Mr. Roiter served as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (1998-2005).

John B. McGinty, Jr. (45)

Year of Election or Appointment: 2008

Assistant Secretary of Advisor New Insights. Mr. McGinty also serves as Assistant Secretary of other Fidelity funds (2008-present) and is an employee of FMR LLC (2004-present). Mr. McGinty also serves as Senior Vice President, Secretary, and Chief Legal Officer of FDC (2007-
present). Before joining Fidelity Investments, Mr. McGinty practiced law at Ropes & Gray, LLP.

R. Stephen Ganis (41)

Year of Election or Appointment: 2006

Anti-Money Laundering (AML) officer of Advisor New Insights. Mr. Ganis also serves as AML officer of other Fidelity funds (2006-present) and FMR LLC (2003-present). Before joining Fidelity Investments, Mr. Ganis practiced law at Goodwin Procter, LLP (2000-2002).

Joseph B. Hollis (59)

Year of Election or Appointment: 2006

Chief Financial Officer of Advisor New Insights. Mr. Hollis also serves as Chief Financial Officer of other Fidelity funds. Mr. Hollis is President of Fidelity Pricing and Cash Management Services (FPCMS) (2005-
present). Mr. Hollis also serves as President and Director of Fidelity Service Company, Inc. (2006-present). Previously, Mr. Hollis served as Senior Vice President of Cash Management Services (1999-2002) and Investment Management Operations (2002-2005).

Kenneth A. Rathgeber (60)

Year of Election or Appointment: 2004

Chief Compliance Officer of Advisor New Insights. Mr. Rathgeber also serves as Chief Compliance Officer of other Fidelity funds (2004-
present) and Executive Vice President of Risk Oversight for Fidelity Investments (2002-present). He is Chief Compliance Officer of FMR (2005-present), FMR Co., Inc. (2005-present), Fidelity Management & Research (U.K.) Inc. (2005-present), Fidelity Research & Analysis Company (2005-present), Fidelity Investments Money Management, Inc. (2005-present), and Strategic Advisers, Inc. (2005-present). Previously, Mr. Rathgeber served as Executive Vice President and Chief Operating Officer for Fidelity Investments Institutional Services Company, Inc. (1998-2002).

Bryan A. Mehrmann (46)

Year of Election or Appointment: 2005

Deputy Treasurer of Advisor New Insights. Mr. Mehrmann also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR. Previously, Mr. Mehrmann served as Vice President of Fidelity Investments Institutional Services Group (FIIS)/Fidelity Investments Institutional Operations Corporation, Inc. (FIIOC) Client Services (1998-2004).

Kenneth B. Robins (38)

Year of Election or Appointment: 2005

Deputy Treasurer of Advisor New Insights. Mr. Robins also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2004-present). Before joining Fidelity Investments, Mr. Robins worked at KPMG LLP, where he was a partner in KPMG's department of professional practice (2002-2004) and a Senior Manager (1999-2000). In addition, Mr. Robins served as Assistant Chief Accountant, United States Securities and Exchange Commission (2000-2002).

Robert G. Byrnes (41)

Year of Election or Appointment: 2005

Assistant Treasurer of Advisor New Insights. Mr. Byrnes also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Byrnes served as Vice President of FPCMS (2003-2005). Before joining Fidelity Investments, Mr. Byrnes worked at Deutsche Asset Management where he served as Vice President of the Investment Operations Group (2000-2003).

Peter L. Lydecker (53)

Year of Election or Appointment: 2004

Assistant Treasurer of Advisor New Insights. Mr. Lydecker also serves as Assistant Treasurer of other Fidelity funds (2004) and is an employee of FMR.

Paul M. Murphy (60)

Year of Election or Appointment: 2007

Assistant Treasurer of Advisor New Insights. Mr. Murphy also serves as Assistant Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2007-present). Previously, Mr. Murphy served as Chief Financial Officer of the Fidelity Funds (2005-2006), Vice President and Associate General Counsel of FMR (2007), and Senior Vice President of Fidelity Pricing and Cash Management Services Group (FPCMS) (1994-2007).

Gary W. Ryan (49)

Year of Election or Appointment: 2005

Assistant Treasurer of Advisor New Insights. Mr. Ryan also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Ryan served as Vice President of Fund Reporting in FPCMS (1999-2005).

** FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Annual Report

Distributions

The Board of Trustees of Fidelity Advisor New Insights Fund voted to pay to shareholders of record at the opening of business on record date, the following distributions per share derived from capital gains realized from sales of portfolio securities:

Pay Date

Record Date

Capital Gains

Class A

02/19/08

02/15/08

$0.115

Class T

02/19/08

02/15/08

$0.115

Class B

02/19/08

02/15/08

$0.115

Class C

02/19/08

02/15/08

$0.115

The fund hereby designates as a capital gain dividend with respect to the taxable year ended December 31, 2007, $235,532,113, or, if subsequently determined to be different, the net capital gain of such year.

Class A designates 100% of the dividends distributed during the fiscal year as qualifying for the dividends-received deduction for corporate shareholders.

Class A designates 100% of the dividends distributed during the fiscal year as amounts which may be taken into account as a dividend for purposes of the maximum rate under section 1(h)(11) of the Internal Revenue Code.

The fund will notify shareholders in January 2008 of amounts for use in preparing 2007 income tax returns.

Annual Report

Proxy Voting Results

A special meeting of the fund's shareholders was held on September 19, 2007. The results of votes taken among shareholders on the proposal before them are reported below. Each vote reported represents one dollar of net asset value held on the record date for the meeting.

PROPOSAL 1

To approve an amended management contract that includes adding a performance adjustment component to the fund's management fee and giving the Trustees the authority to change the fund's performance adjustment index going forward, without a shareholder vote, subject to applicable law.

# of
Votes

% of
Votes

Affirmative

2,870,956,135.65

69.687

Against

866,498,065.68

21.033

Abstain

199,841,166.01

4.850

Uninstructed

182,506,666.00

4.430

TOTAL

4,119,802,033.34

100.000

Annual Report

Board Approval of Investment Advisory Contracts and Management Fees

Advisor New Insights Fund

Each year, typically in July, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract and sub-advisory agreements (together, the Advisory Contracts) for the fund. The Board, assisted by the advice of fund counsel and Independent Trustees' counsel, requests and considers a broad range of information throughout the year.

The Board meets regularly each month except August and takes into account throughout the year matters bearing on Advisory Contracts. The Board, acting directly and through its separate committees, considers at each of its meetings factors that are relevant to the annual renewal of the fund's Advisory Contracts, including the services and support provided to the fund and its shareholders. At the time of the renewal, the Board had 12 standing committees, each composed of Independent Trustees with varying backgrounds, to which the Board has assigned specific subject matter responsibilities in order to enhance effective decision-making by the Board. Each committee has adopted a written charter outlining the structure and purposes of the committee. One such committee, the Equity Contract Committee, meets periodically as needed throughout the year to consider matters specifically related to the annual renewal of Advisory Contracts. The committee requests and receives information on, and makes recommendations to the Independent Trustees concerning, the approval and annual review of the Advisory Contracts.

At its July 2007 meeting, the Board of Trustees, including the Independent Trustees, unanimously determined to renew the Advisory Contracts for the fund. In reaching its determination, the Board considered all factors it believed relevant, including (i) the nature, extent, and quality of the services to be provided to the fund and its shareholders (including the investment performance of the fund); (ii) the competitiveness of the management fee and total expenses of the fund; (iii) the total costs of the services to be provided by and the profits to be realized by the investment adviser and its affiliates from the relationship with the fund; (iv) the extent to which economies of scale would be realized as the fund grows; and (v) whether fee levels reflect these economies of scale, if any, for the benefit of fund shareholders. The Board also approved amendments to the fund's agreements with foreign sub-advisers to clarify that each sub-adviser provides services as an independent contractor.

In determining whether to renew the Advisory Contracts for the fund, the Board ultimately reached a determination, with the assistance of fund counsel and Independent Trustees' counsel, that the renewal of the Advisory Contracts and the compensation to be received by Fidelity under the management contract is consistent with Fidelity's fiduciary duty under applicable law. In addition to evaluating the specific factors noted above, the Board, in reaching its determination, is aware that shareholders in the fund have a broad range of investment choices available to them, including a wide choice among mutual funds offered by competitors to Fidelity, and that the fund's shareholders, with the opportunity to review and weigh the disclosure provided by the fund in its prospectus and other public disclosures, have chosen to invest in this fund, managed by Fidelity.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Nature, Extent, and Quality of Services Provided. The Board considered staffing within the investment adviser, FMR, and the sub-advisers (together, the Investment Advisers), including the background of the fund's portfolio manager and the fund's investment objective and discipline. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the portfolio manager compensation program and whether this structure provides appropriate incentives.

Resources Dedicated to Investment Management and Support Services. The Board reviewed the size, education, and experience of the Investment Advisers' investment staff, their use of technology, and the Investment Advisers' approach to recruiting, training, and retaining portfolio managers and other research, advisory, and management personnel. The Board considered Fidelity's extensive global research capabilities that enable the Investment Advisers to aggregate data from various sources in an effort to produce positive investment results. The Board noted that Fidelity's analysts have access to a variety of technological tools that enable them to perform both fundamental and quantitative analysis and to specialize in various disciplines. The Board also considered that Fidelity's portfolio managers and analysts have access to daily portfolio attribution that allows for monitoring of a fund's portfolio, as well as an electronic communication system that provides immediate real-time access to research concerning issuers and credit enhancers.

Shareholder and Administrative Services. The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, distribution, and shareholder services performed by the Investment Advisers and their affiliates under the Advisory Contracts and under separate agreements covering transfer agency, pricing and bookkeeping, and securities lending services for the fund; (ii) the nature and extent of the Investment Advisers' supervision of third party service providers, principally custodians and subcustodians; and (iii) the resources devoted to, and the record of compliance with, the fund's compliance policies and procedures. The Board reviewed the allocation of fund brokerage, including allocations to brokers affiliated with the Investment Advisers, the use of brokerage commissions to pay fund expenses, and the use of "soft" commission dollars to pay for research services. The Board also considered that Fidelity voluntarily pays for market data out of its own resources. The Board also considered the agreement reached between the Independent Trustees and Fidelity in December 2006 following an independent review of matters relating to receipt of travel, entertainment, gifts and gratuities in violation of Fidelity policies.

Annual Report

The Board noted that the growth of fund assets across the complex allows Fidelity to reinvest in the development of services designed to enhance the value or convenience of the Fidelity funds as investment vehicles. These services include 24-hour access to account information and market information through phone representatives and over the Internet, and investor education materials and asset allocation tools.

Investment in a Large Fund Family. The Board considered the benefits to shareholders of investing in a Fidelity fund, including the benefits of investing in a fund that is part of a large family of funds offering a variety of investment disciplines and providing for a large variety of mutual fund investor services. For example, fund shareholders are offered the privilege of exchanging shares of the fund for shares of other Fidelity funds, as set forth in the fund's prospectus, without paying a sales charge. The Board noted that, since the last Advisory Contract renewals in July 2006, Fidelity has taken a number of actions that benefited particular funds, including (i) dedicating additional resources to investment research and to restructure the investment research teams; (ii) contractually agreeing to reduce the management fee on Fidelity Advisor Floating Rate High Income Fund; (iii) contractually agreeing to reduce the management fees on Fidelity's California, Massachusetts, New Jersey, and New York AMT Tax-Free Money Market Funds, launching new Institutional Classes and Service Classes of these funds, and contractually agreeing to impose expense limitations on these funds; (iv) eliminating the exchange fee on the Fidelity Select Portfolios and reducing the pricing and bookkeeping fee rates for these funds; (v) reducing the maximum transfer agency fee rates on high income funds and certain equity funds; (vi) proposing amended management contracts that, if approved by shareholders, will add a performance adjustment component to the management fees paid by 18 Fidelity Advisor equity funds; (vii) contractually agreeing to reduce fees for Ultra-Short Central Fund and the money market Central Funds; (viii) waiving the Fidelity Advisor funds' contingent deferred sales charge on certain redemptions made through systematic withdrawal programs; and (ix) amending the management contracts for equity and fixed-income funds whose management contracts incorporate a "group fee" structure by adding four new fee "breakpoints" to the group fee rate schedules.

Investment Performance and Compliance. The Board considered whether the fund has operated within its investment objective, as well as its record of compliance with its investment restrictions. It also reviewed the fund's absolute investment performance for each class, as well as the fund's relative investment performance for each class measured against (i) a broad-based securities market index, and (ii) a custom peer group of mutual funds deemed appropriate by the Board over multiple periods. Because the fund had been in existence less than five calendar years, the following charts considered by the Board show, over the one- and three-year periods ended December 31, 2006, the cumulative total returns of Institutional Class (Class I) and Class B of the fund, the cumulative total returns of a broad-based securities market index ("benchmark"), and a range of cumulative total returns of a custom peer group of mutual funds defined by FMR based on categories assigned by Morningstar, Inc. The returns of Institutional Class (Class I) and Class B show the performance of the highest and lowest performing classes, respectively (based on three-year performance). The box within each chart shows the 25th percentile return (bottom of box) and the 75th percentile return (top of box) of the peer group. Returns shown above the box are in the first quartile and returns shown below the box are in the fourth quartile. The percentage beaten numbers noted below each chart correspond to the percentile box and represent the percentage of funds in the peer group whose performance was equal to or lower than that of the class indicated. The fund's custom peer group, defined by FMR, is a peer group that FMR believes provides a more meaningful performance comparison than the peer group assigned by Morningstar, Inc. Morningstar, Inc. assigns mutual funds to categories based on their investment styles as measured by their underlying portfolio holdings.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Advisor New Insights Fund

The Board reviewed the fund's relative investment performance against its peer group and stated that the performance of Institutional Class (Class I) of the fund was in the third quartile for the one-year period and the first quartile for the three-year period. The Board also stated that the investment performance of the fund was lower than its benchmark for the one-year period, although the three-year cumulative total return of Institutional Class (Class I) compared favorably to its benchmark. The Board considered that the variations in performance among the fund's classes reflect the variations in class expenses, which result in lower performance for higher expense classes.

The Board considered that FMR has taken steps to refocus and strengthen equity research, equity portfolio management, and compliance.

Annual Report

Based on its review, and giving particular weight to the nature and quality of the resources dedicated by the Investment Advisers to maintain and improve relative performance, the Board concluded that the nature, extent, and quality of the services provided to the fund will benefit the fund's shareholders, particularly in light of the Board's view that the fund's shareholders benefit from investing in a fund that is part of a large family of funds offering a variety of investment disciplines and services.

Competitiveness of Management Fee and Total Fund Expenses. The Board considered the fund's management fee and total expenses compared to "mapped groups" of competitive funds and classes. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable management fee characteristics. Combining Lipper investment objective categories aids the Board's management fee and total expense comparisons by broadening the competitive group used for comparison and by reducing the number of universes to which various Fidelity funds are compared. The Board also considered supplemental information about how the fund's management fee and total expenses ranked relative to groups based on Lipper classifications, which take into account a fund's market capitalization and style.

The Board considered two proprietary management fee comparisons for the 12-month (or shorter) periods shown in the chart below. The group of Lipper funds used by the Board for management fee comparisons is referred to below as the "Total Mapped Group." The Total Mapped Group comparison focuses on a fund's standing relative to the total universe of comparable funds available to investors, in terms of gross management fees before expense reimbursements or caps. "TMG %" represents the percentage of funds in the Total Mapped Group that had management fees that were lower than the fund's. For example, a TMG % of 9% means that 91% of the funds in the Total Mapped Group had higher management fees than the fund. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to non-Fidelity funds similar in size to the fund within the Total Mapped Group. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee characteristics, subject to a minimum of 50 funds (or all funds in the Total Mapped Group if fewer than 50). Additional information, such as the ASPG quartile in which the fund's management fee ranked, is also included in the chart and considered by the Board.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Advisor New Insights Fund

The Board noted that the fund's management fee ranked below the median of its Total Mapped Group and below the median of its ASPG for 2006.

Furthermore, the Board considered that, on December 14, 2006, it had approved an amended management contract for the fund that, if approved by shareholders, will add a performance adjustment component to the management fee paid by the fund (that is, the fund's management fee will be subject to upward or downward adjustment depending upon whether, and to what extent, the fund's investment performance for the performance period exceeds, or is exceeded by, the record (over the same period) of a Board-approved performance adjustment index).

Based on its review, the Board concluded that the fund's management fee was fair and reasonable in light of the services that the fund receives and the other factors considered.

In its review of each class's total expenses, the Board considered the fund's management fee as well as other fund or class expenses, as applicable, such as transfer agent fees, pricing and bookkeeping fees, fund-paid 12b-1 fees, and custodial, legal, and audit fees. The Board also noted the effects of any waivers and reimbursements on fees and expenses. As part of its review, the Board also considered current and historical total expenses of each class of the fund compared to competitive fund median expenses. Each class of the fund is compared to those funds and classes in the Total Mapped Group (used by the Board for management fee comparisons) that have a similar sales load structure.

The Board noted that the total expenses of each class ranked below its competitive median for 2006.

Annual Report

In its review of total expenses, the Board also considered Fidelity fee structures and other information on clients that FMR and its affiliates service in other competitive markets, such as other mutual funds advised or subadvised by FMR or its affiliates, pension plan clients, and other institutional clients.

Based on its review, the Board concluded that the total expenses of each class of the fund were reasonable in light of the services that the fund and its shareholders receive and the other factors considered.

Costs of the Services and Profitability. The Board considered the revenues earned and the expenses incurred by Fidelity in conducting the business of developing, marketing, distributing, managing, administering and servicing the fund and its shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, FMR presents to the Board Fidelity's profitability for the fund. Fidelity calculates the profitability for each fund, as well as aggregate profitability for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the audited books and records of Fidelity. The Audit Committee of the Board reviews any significant changes from the prior year's methodologies.

PricewaterhouseCoopers LLP (PwC), independent registered public accounting firm and auditor to Fidelity and certain Fidelity funds, has been engaged annually by the Board as part of the Board's assessment of the results of Fidelity's profitability analysis. PwC's engagement includes the review and assessment of Fidelity's methodologies used in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures surrounding the mathematical accuracy of fund profitability and its conformity to allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board believes that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board has also reviewed Fidelity's non-fund businesses and any fall-out benefits related to the mutual fund business as well as cases where Fidelity's affiliates may benefit from or be related to the fund's business.

The Board considered the costs of the services provided by and the profits realized by Fidelity in connection with the operation of the fund and determined that the amount of profit is a fair entrepreneurial profit for the management of the fund.

Economies of Scale. The Board considered whether there have been economies of scale in respect of the management of the Fidelity funds, whether the Fidelity funds (including the fund) have appropriately benefited from any such economies of scale, and whether there is potential for realization of any further economies of scale. The Board considered the extent to which the fund will benefit from economies of scale through increased services to the fund, through waivers or reimbursements, or through fee or expense reductions, including reductions that occur through operation of the transfer agent agreement. The transfer agent fee varies in part based on the number of accounts in the fund. If the number of accounts decreases or the average account size increases, the overall transfer agent fee rate decreases.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

The Board recognized that the fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total fund assets under FMR's management increase, and for higher group fee rates as total fund assets under FMR's management decrease. FMR determines the group fee rates based on a tiered asset "breakpoint" schedule. In connection with the renewal of the fund's management contract, the Board approved amendments to the fund's management contract that added four new fee breakpoints to the group fee rate schedule for assets under FMR's management above $1,386 billion. The Board considered that the group fee rate declines under both the present and amended schedules, but that under the amended schedule, the group fee rate declines faster as assets under FMR's management exceed $1,386 billion. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total fund assets increase, even if assets of any particular fund are unchanged or have declined, because some portion of Fidelity's costs are attributable to services provided to all Fidelity funds, and all funds benefit if those costs can be allocated among more assets. The Board also considered that although the fund is partially closed to new investors, it continues to incur investment management expenses, and marketing and distribution expenses related to the retention of existing shareholders and assets. The Board further noted that the fund may continue to realize benefits from the group fee structure, even though assets may not be expected to grow significantly at the fund level. The Board concluded that, given the group fee structure, fund shareholders will achieve a certain level of economies of scale as assets under FMR's management increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board further concluded that any potential economies of scale are being shared between fund shareholders and Fidelity in an appropriate manner.

Additional Information Requested by the Board. In order to develop fully the factual basis for consideration of the Fidelity funds' Advisory Contracts, the Board requested and received additional information on several topics, including (i) fund performance trends and actions to be taken by FMR to improve certain funds' overall performance; (ii) Fidelity's portfolio manager compensation structure, including its effects on fund profitability and the extent to which portfolio manager compensation is linked to fund performance; (iii) Fidelity's fee structures; (iv) the funds' sub-advisory arrangements; and (v) accounts managed by Fidelity other than the Fidelity funds.

Annual Report

Based on its evaluation of all of the conclusions noted above, and after considering all material factors, the Board ultimately concluded that the advisory fee structures are fair and reasonable, and that the fund's Advisory Contracts should be renewed.

Annual Report

Investment Adviser

Fidelity Management & Research Company

Boston, MA

Investment Sub-Adviser

FMR Co., Inc.

Fidelity Management & Research
(U.K.) Inc.

Fidelity Research & Analysis Company

Fidelity Investments Japan Limited

Fidelity International Investment Advisors

Fidelity International Investment
Advisors (U.K.) Limited

General Distributor

Fidelity Distributors Corporation

Boston, MA

Transfer and Service Agents

Fidelity Investments Institutional Operations Company, Inc.

Boston, MA

Fidelity Service Company, Inc.

Boston, MA

Custodian

Brown Brothers Harriman & Co.

Boston, MA

ANIF-UANN-0208
1.796408.104

(Fidelity Investment logo)(registered trademark)

(Fidelity Investment logo)(registered trademark)
Fidelity® Advisor
New Insights
Fund - Institutional Class

Annual Report

December 31, 2007

(2_fidelity_logos) (Registered_Trademark)

Contents

Chairman's Message

<Click Here>

Ned Johnson's message to shareholders.

Note to Shareholders

<Click Here>

An explanation of the changes to the fund.

Performance

<Click Here>

How the fund has done over time.

Management's Discussion

<Click Here>

The manager's review of fund performance, strategy and outlook.

Shareholder Expense Example

<Click Here>

An example of shareholder expenses.

Investment Changes

<Click Here>

A summary of major shifts in the fund's investments over the past six months.

Investments

<Click Here>

A complete list of the fund's investments with their market values.

Financial Statements

<Click Here>

Statements of assets and liabilities, operations, and changes in net assets,
as well as financial highlights.

Notes

<Click Here>

Notes to the financial statements.

Report of Independent Registered Public Accounting Firm

<Click Here>

Trustees and Officers

<Click Here>

Distributions

<Click Here>

Proxy Voting Results

<Click Here>

Board Approval of Investment Advisory Contracts and Management Fees

<Click Here>

To view a fund's proxy voting guidelines and proxy voting record for the 12-month period ended June 30, visit http://www.fidelity.com (search for "proxy voting guidelines") or visit the Securities and Exchange Commission's (SEC) web site at http://www.sec.gov. You may also call 1-800-544-8544 to request a free copy of the proxy voting guidelines.

Standard & Poor's, S&P and S&P 500 are registered service marks of The McGraw-Hill Companies, Inc. and have been licensed for use by Fidelity Distributors Corporation.

Other third party marks appearing herein are the property of their respective owners.

All other marks appearing herein are registered or unregistered trademarks or service marks of FMR LLC or an affiliated company.

Annual Report

This report and the financial statements contained herein are submitted for the general information of the shareholders of the fund. This report is not authorized for distribution to prospective investors in the fund unless preceded or accompanied by an effective prospectus.

A fund files its complete schedule of portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-Q. Forms N-Q are available on the SEC's web site at http://www.sec.gov. A fund's Forms N-Q may be reviewed and copied at the SEC's Public Reference Room in Washington, DC. Information regarding the operation of the SEC's Public Reference Room may be obtained by calling 1-800-SEC-0330. For a complete list of a fund's portfolio holdings, view the most recent holdings listing, semiannual report, or annual report on Fidelity's web site at http://www.fidelity.com or http://www.advisor.fidelity.com, as applicable.

NOT FDIC INSURED · MAY LOSE VALUE · NO BANK GUARANTEE

Neither the fund nor Fidelity Distributors Corporation is a bank.

Annual Report

Chairman's Message

(photo_of_Edward_C_Johnson_3d)

Dear Shareholder:

Many stock and bond markets around the world have been unsettled of late; however, volatility can often lead to opportunity for patient investors. Financial markets are always unpredictable, but there are a number of time-tested principles that can put the historical odds in your favor.

One of the basic tenets is to invest for the long term. Over time, riding out the markets' inevitable ups and downs has proven much more effective than selling into panic or chasing the hottest trend. Even missing only a few of the markets' best days can significantly diminish investor returns. Patience also affords the benefits of compounding - of earning interest on additional income or reinvested dividends and capital gains. There are tax advantages and cost benefits to consider as well. The more you sell, the more taxes you pay, and the more you trade, the higher the costs. While staying the course doesn't eliminate risk, it can considerably lessen the effect of short-term declines.

You can further manage your investing risk through diversification. And today, more than ever, geographic diversification should be taken into account. Studies indicate that asset allocation is the single most important determinant of a portfolio's long-term success. The right mix of stocks, bonds and cash - aligned to your particular risk tolerance and investment objective - is very important. Age-appropriate rebalancing is also an essential aspect of asset allocation. For younger investors, an emphasis on equities - which historically have been the best-performing asset class over time - is encouraged. As investors near their specific goal, such as retirement or sending a child to college, consideration may be given to replacing volatile assets (e.g. common stocks) with more-stable fixed investments (bonds or savings plans).

A third investment principle - investing regularly - can help lower the average cost of your purchases. Investing a certain amount of money each month or quarter helps ensure you won't pay for all your shares at market highs. This strategy - known as dollar cost averaging - also reduces unconstructive "emotion" from investing, helping shareholders avoid selling weak performers just prior to an upswing, or chasing a hot performer just before a correction.

We invite you to contact us via the Internet, through our Investor Centers or over the phone. It is our privilege to provide you the information you need to make the investments that are right for you.

Sincerely,

/s/Edward C. Johnson 3d

Edward C. Johnson 3d

Annual Report

Note to Shareholders:

On September 19, 2007, shareholders of Fidelity® Advisor New Insights Fund approved a new management contract for the fund, effective October 1, 2007, which adds a performance adjustment component to the management fee based on the fund's performance versus the Standard & Poor's 500SM Index. The new contract also allows the Board of Trustees to designate an alternate performance adjustment index in the future, without a shareholder vote, when permitted by applicable law.

Annual Report

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of the class' dividend income and capital gains (the profits earned upon the sale of securities that have grown in value, if any) and assuming a constant rate of performance each year. The $10,000 table and the fund's returns do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. During periods of reimbursement by Fidelity, a fund's total return will be greater than it would be had the reimbursement not occurred. How a fund did yesterday is no guarantee of how it will do tomorrow.

Average Annual Total Returns

Periods ended December 31, 2007

Past 1
year

Life of
fund
A

Institutional Class

20.57%

20.32%

A From July 31, 2003.

$10,000 Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity® Advisor New Insights Fund - Institutional Class on July 31, 2003, when the fund started. The chart shows how the value of your investment would have changed, and also shows how the Standard & Poor's 500SM Index performed over the same period.



Annual Report

Management's Discussion of Fund Performance

Comments from William Danoff, Portfolio Manager of Fidelity® Advisor New Insights Fund

U.S. stock markets, as measured by the bellwether Dow Jones Industrial AverageSM and the Standard & Poor's 500SM Index, registered their fifth consecutive year of positive returns in 2007. The Dow rose 8.88% in that time, while the S&P 500® index advanced 5.49%. The tech-heavy NASDAQ Composite® Index did even better, gaining 10.55%. However, credit- and recession-related concerns carved deeply into equity prices late in 2007, pushing some market measures into negative territory for the year overall, particularly smaller-cap and value-oriented benchmarks. In fact, the entire second half of 2007 was negative for many equity yardsticks, as the credit crunch - precipitated by the housing market slowdown and the subprime mortgage crisis - weighed heavily on investor sentiment. Meanwhile, sharply higher energy prices pressured consumer spending, adding a further layer of anxiety in much of the back half of the period. In an attempt to re-stimulate the economy, the Federal Reserve Board lowered its discount rate and made three cuts to the federal funds target rate. Despite these actions, stocks generally slumped across the board in November and December.

Advisor New Insights had a very good year: Its Institutional Class shares returned 20.57%, beating the S&P 500 by a wide margin. The fund's healthy outperformance relative to the index was driven by three main factors: its growth-stock bias during a period when growth outpaced value by more than 10 percentage points; extremely productive stock selection, especially in the technology sector; and astute industry positioning by avoiding the most-toxic areas of the weak financials group. The fund's three top relative contributors, leading competitors in the strong Internet and wireless markets, were consumer electronics giant Apple, search engine Google and Research In Motion, a Canada-based out-of-index holding whose popular BlackBerry brand dominates the wireless messaging market. Also making sizable contributions were such stocks as America Movil, a leading wireless provider in Mexico, and insurance conglomerate Berkshire Hathaway. Relative performance was tempered by a large stake in biopharmaceutical firm Genentech, which stumbled on market worries about delays in its product pipeline. Performance also suffered from holding no stake or only minimal stakes in some of the S&P 500's best-performing stocks, including such names as integrated oil company Chevron and software leader Microsoft.

Note to shareholders: The fund reopened to new accounts on November 1, 2007.

The views expressed above reflect those of the portfolio manager(s) only through the end of the period as stated on the cover of this report and do not necessarily represent the views of Fidelity or any other person in the Fidelity organization. Any such views are subject to change at any time based upon market or other conditions and Fidelity disclaims any responsibility to update such views. These views may not be relied on as investment advice and, because investment decisions for a Fidelity fund are based on numerous factors, may not be relied on as an indication of trading intent on behalf of any Fidelity fund.

Annual Report

Shareholder Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads) on purchase payments or redemption proceeds, and (2) ongoing costs, including management fees, distribution and/or service (12b-1) fees and other Fund expenses. This Example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

The Example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period (July 1, 2007 to December 31, 2007).

Actual Expenses

The first line of the accompanying table for each class of the Fund provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000.00 (for example, an $8,600 account value divided by $1,000.00 = 8.6), then multiply the result by the number in the first line for a class of the Fund under the heading entitled "Expenses Paid During Period" to estimate the expenses you paid on your account during this period. In addition, the Fund, as a shareholder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Hypothetical Example for Comparison Purposes

The second line of the accompanying table for each class of the Fund provides information about hypothetical account values and hypothetical expenses based on a Class' actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Class' actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. In addition, the Fund, as a share-holder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Annual Report

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

Beginning
Account Value
July 1, 2007

Ending
Account Value
December 31, 2007

Expenses Paid
During Period
*
July 1, 2007 to
December 31, 2007

Class A

Actual

$ 1,000.00

$ 1,099.60

$ 5.82

Hypothetical A

$ 1,000.00

$ 1,019.66

$ 5.60

Class T

Actual

$ 1,000.00

$ 1,099.00

$ 7.04

Hypothetical A

$ 1,000.00

$ 1,018.50

$ 6.77

Class B

Actual

$ 1,000.00

$ 1,095.50

$ 10.04

Hypothetical A

$ 1,000.00

$ 1,015.63

$ 9.65

Class C

Actual

$ 1,000.00

$ 1,095.70

$ 9.72

Hypothetical A

$ 1,000.00

$ 1,015.93

$ 9.35

Institutional Class

Actual

$ 1,000.00

$ 1,101.10

$ 4.40

Hypothetical A

$ 1,000.00

$ 1,021.02

$ 4.23

A 5% return per year before expenses

* Expenses are equal to each Class' annualized expense ratio (shown in the table below); multiplied by the average account value over the period, multiplied by 184/365 (to reflect the one-half year period).

Annualized
Expense Ratio

Class A

1.10%

Class T

1.33%

Class B

1.90%

Class C

1.84%

Institutional Class

.83%

Annual Report

Investment Changes

Top Ten Stocks as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Google, Inc. Class A (sub. vtg.)

5.5

4.5

Apple, Inc.

3.5

2.6

Hewlett-Packard Co.

3.4

3.4

Berkshire Hathaway, Inc. Class A

3.1

2.6

Exxon Mobil Corp.

2.6

2.5

Procter & Gamble Co.

2.0

1.8

Schlumberger Ltd. (NY Shares)

1.7

1.7

America Movil SAB de CV Series L sponsored ADR

1.7

2.6

Genentech, Inc.

1.5

1.9

The Walt Disney Co.

1.3

1.5

26.3

Top Five Market Sectors as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Information Technology

23.2

21.2

Energy

11.0

10.4

Financials

11.0

14.8

Health Care

10.2

11.3

Industrials

8.3

8.8

Asset Allocation (% of fund's net assets)

As of December 31, 2007 *

As of June 30, 2007 **

Stocks 86.7%

Stocks 93.4%

Convertible
Securities 0.2%

Convertible
Securities 0.2%

Short-Term
Investments and
Net Other Assets 13.1%

Short-Term
Investments and
Net Other Assets 6.4%

* Foreign investments

24.3%

** Foreign investments

25.1%

Annual Report

Investments December 31, 2007

Showing Percentage of Net Assets

Common Stocks - 86.7%

Shares

Value (000s)

CONSUMER DISCRETIONARY - 6.1%

Auto Components - 0.1%

Gentex Corp.

44,300

$ 787

Johnson Controls, Inc.

160,800

5,795

The Goodyear Tire & Rubber Co. (a)

47,900

1,352

WABCO Holdings, Inc.

9,100

456

8,390

Automobiles - 0.2%

DaimlerChrysler AG

53,600

5,126

Toyota Motor Corp.

248,100

13,170

18,296

Diversified Consumer Services - 0.0%

Strayer Education, Inc.

5,200

887

Hotels, Restaurants & Leisure - 1.5%

California Pizza Kitchen, Inc. (a)

168,350

2,621

Chipotle Mexican Grill, Inc.:

Class A (a)

235,400

34,620

Class B (a)

5,528

680

IHOP Corp.

27,300

999

McDonald's Corp.

993,027

58,499

PokerTek, Inc. (a)(d)

200,000

1,550

Red Robin Gourmet Burgers, Inc. (a)

19,000

608

Tim Hortons, Inc. (d)

1,074,500

39,681

139,258

Household Durables - 0.9%

Fourlis Holdings SA

527,400

20,859

Gafisa SA ADR (a)(d)

240,900

9,022

Garmin Ltd.

428,800

41,594

Snap-On, Inc.

178,200

8,596

80,071

Internet & Catalog Retail - 0.3%

Amazon.com, Inc. (a)

82,700

7,661

Blue Nile, Inc. (a)

13,700

932

Liberty Media Corp. - Interactive Series A (a)

312,000

5,953

Priceline.com, Inc. (a)

119,400

13,714

28,260

Media - 1.6%

CKX, Inc. (a)

41,529

498

Dolan Media Co.

443,800

12,946

E.W. Scripps Co. Class A

67,100

3,020

Focus Media Holding Ltd. ADR (a)(d)

294,500

16,731

Common Stocks - continued

Shares

Value (000s)

CONSUMER DISCRETIONARY - continued

Media - continued

The Walt Disney Co.

3,676,900

$ 118,690

The Weinstein Co. III Holdings, LLC Class A-1 (e)

2,267

2,267

Vivendi

19,739

904

155,056

Multiline Retail - 0.3%

Marks & Spencer Group PLC

2,748,600

30,582

Specialty Retail - 0.9%

Advance Auto Parts, Inc.

24,800

942

Gamestop Corp. Class A (a)

509,800

31,664

H&M Hennes & Mauritz AB (B Shares)

33,150

2,017

Inditex SA

92,600

5,679

J. Crew Group, Inc. (a)

601,800

29,013

TJX Companies, Inc.

635,200

18,249

87,564

Textiles, Apparel & Luxury Goods - 0.3%

China Hongxing Sports Ltd.

6,000,000

3,996

Gildan Activewear, Inc. (a)

45,500

1,875

Lululemon Athletica, Inc. (d)

13,800

654

NIKE, Inc. Class B

358,400

23,024

29,549

TOTAL CONSUMER DISCRETIONARY

577,913

CONSUMER STAPLES - 7.1%

Beverages - 2.7%

Boston Beer Co., Inc. Class A (a)

48,500

1,826

Diageo PLC sponsored ADR

199,700

17,140

PepsiCo, Inc.

1,546,500

117,379

The Coca-Cola Co.

1,912,300

117,358

253,703

Food & Staples Retailing - 0.7%

Costco Wholesale Corp.

192,000

13,394

CVS Caremark Corp.

255,300

10,148

Koninklijke Ahold NV sponsored ADR

319,100

4,404

Susser Holdings Corp. (a)

215,962

4,427

Tesco PLC

4,131,500

39,176

71,549

Food Products - 1.0%

Bunge Ltd.

56,300

6,554

Common Stocks - continued

Shares

Value (000s)

CONSUMER STAPLES - continued

Food Products - continued

Cosan Ltd. Class A

350,000

$ 4,410

Groupe Danone

213,400

19,259

Hain Celestial Group, Inc. (a)

54,500

1,744

Kellogg Co.

254,800

13,359

Kraft Foods, Inc. Class A

70,200

2,291

McCormick & Co., Inc. (non-vtg.)

23,200

880

Nestle SA (Reg.)

57,655

26,406

Smart Balance, Inc. (a)(d)

500,000

5,465

TreeHouse Foods, Inc. (a)

432,993

9,955

Unilever NV (NY Shares)

50,300

1,834

Wm. Wrigley Jr. Co.

46,700

2,734

94,891

Household Products - 2.7%

Colgate-Palmolive Co.

847,200

66,048

Procter & Gamble Co.

2,579,967

189,421

255,469

Personal Products - 0.0%

Chattem, Inc. (a)

12,400

937

TOTAL CONSUMER STAPLES

676,549

ENERGY - 11.0%

Energy Equipment & Services - 2.7%

Atwood Oceanics, Inc. (a)

32,000

3,208

Cameron International Corp. (a)

20,600

991

FMC Technologies, Inc. (a)

148,700

8,431

Halliburton Co.

25,200

955

National Oilwell Varco, Inc. (a)

245,000

17,998

Schlumberger Ltd. (NY Shares)

1,667,800

164,061

Smith International, Inc.

756,744

55,886

Transocean, Inc. (a)

39,347

5,633

257,163

Oil, Gas & Consumable Fuels - 8.3%

Addax Petroleum, Inc.

56,800

2,455

Apache Corp.

84,600

9,098

BG Group PLC sponsored ADR

80,400

9,186

Canadian Natural Resources Ltd.

301,400

22,018

Canadian Oil Sands Trust

368,900

14,373

Chesapeake Energy Corp.

389,800

15,280

Devon Energy Corp.

10,700

951

Common Stocks - continued

Shares

Value (000s)

ENERGY - continued

Oil, Gas & Consumable Fuels - continued

EnCana Corp.

1,525,100

$ 103,613

EOG Resources, Inc.

380,600

33,969

Exxon Mobil Corp.

2,656,602

248,897

Hess Corp.

77,600

7,827

Murphy Oil Corp.

261,000

22,143

Newfield Exploration Co. (a)

24,600

1,296

Noble Energy, Inc.

749,000

59,560

Occidental Petroleum Corp.

109,300

8,415

Petroleo Brasileiro SA - Petrobras sponsored ADR

730,100

84,137

Petroplus Holdings AG

474,912

36,751

Range Resources Corp.

52,200

2,681

SandRidge Energy, Inc.

128,100

4,594

Sasol Ltd. sponsored ADR

16,300

806

Southwestern Energy Co. (a)

38,000

2,117

Suncor Energy, Inc.

123,300

13,392

Valero Energy Corp.

789,734

55,305

W&T Offshore, Inc.

120,800

3,619

Williams Companies, Inc.

25,300

905

XTO Energy, Inc.

544,000

27,940

791,328

TOTAL ENERGY

1,048,491

FINANCIALS - 11.0%

Capital Markets - 1.2%

Bank of New York Mellon Corp.

449,100

21,898

BlackRock, Inc. Class A

9,200

1,995

Charles Schwab Corp.

1,292,500

33,023

Franklin Resources, Inc.

70,000

8,010

Goldman Sachs Group, Inc.

101,600

21,849

Invesco Ltd.

153,700

4,823

Legg Mason, Inc.

25,800

1,887

SEI Investments Co.

308,700

9,931

T. Rowe Price Group, Inc.

103,200

6,283

109,699

Commercial Banks - 1.5%

Allied Irish Banks PLC

158,100

3,632

Banco do Brasil SA

271,300

4,588

Banco Itau Holding Financeira SA sponsored ADR (non-vtg.)

336,000

8,689

Banco Santander SA sponsored ADR

1,705,800

36,743

Common Stocks - continued

Shares

Value (000s)

FINANCIALS - continued

Commercial Banks - continued

Center Financial Corp., California

50,000

$ 616

M&T Bank Corp.

29,600

2,414

National Australia Bank Ltd.

117,372

3,885

Standard Chartered PLC (United Kingdom)

249,500

9,141

Toronto-Dominion Bank

110,100

7,702

Uniao de Bancos Brasileiros SA (Unibanco) GDR

35,400

4,943

Wells Fargo & Co.

1,954,200

58,997

141,350

Consumer Finance - 0.8%

American Express Co.

1,469,100

76,423

Diversified Financial Services - 0.8%

Bolsa de Mercadorias & Futuros - BM&F SA

504,200

7,011

Bovespa Holding SA

53,000

993

Citigroup, Inc.

1,110,500

32,693

CME Group, Inc.

18,106

12,421

Govi High Power Exploration, Inc. warrants 1/1/49 (a)(e)

2,750,000

5,500

IntercontinentalExchange, Inc. (a)

26,600

5,121

JPMorgan Chase & Co.

244,500

10,672

MSCI, Inc. Class A

20,600

791

75,202

Insurance - 6.7%

Admiral Group PLC

944,200

20,636

Allstate Corp.

558,300

29,160

American International Group, Inc.

988,600

57,635

Arch Capital Group Ltd. (a)

23,000

1,618

Assurant, Inc.

158,700

10,617

Axis Capital Holdings Ltd.

344,500

13,425

Berkshire Hathaway, Inc. Class A (a)

2,074

293,678

Everest Re Group Ltd.

39,665

3,982

Loews Corp.

721,900

36,340

Markel Corp. (a)

9,400

4,616

MetLife, Inc.

631,600

38,919

MetLife, Inc. unit

406,600

12,438

Principal Financial Group, Inc.

13,800

950

Prudential Financial, Inc.

440,000

40,938

The Chubb Corp.

1,097,200

59,885

W.R. Berkley Corp.

188,761

5,627

White Mountains Insurance Group Ltd.

5,827

2,995

Common Stocks - continued

Shares

Value (000s)

FINANCIALS - continued

Insurance - continued

Willis Group Holdings Ltd.

125,480

$ 4,764

Zenith National Insurance Corp.

12,500

559

638,782

TOTAL FINANCIALS

1,041,456

HEALTH CARE - 10.0%

Biotechnology - 3.2%

Celgene Corp. (a)

359,700

16,622

Cougar Biotechnology, Inc. (a)

622,500

20,356

Cougar Biotechnology, Inc. (a)

71,461

2,103

CSL Ltd.

227,152

7,234

Genentech, Inc. (a)

2,106,900

141,310

Genmab AS (a)

83,200

5,032

Gilead Sciences, Inc. (a)

1,858,900

85,528

GTx, Inc. (a)

124,009

1,780

Human Genome Sciences, Inc. (a)

59,800

624

MannKind Corp. (a)(d)

685,533

5,457

MannKind Corp. warrants 8/3/10 (a)(e)

29,881

71

Medarex, Inc. (a)(d)

761,900

7,939

Omrix Biopharmaceuticals, Inc. (a)

46,600

1,619

ONYX Pharmaceuticals, Inc. (a)

15,200

845

OREXIGEN Therapeutics, Inc.

71,495

1,019

Seattle Genetics, Inc. (a)

94,500

1,077

Targacept, Inc. (a)

841,800

6,953

305,569

Health Care Equipment & Supplies - 1.7%

Alcon, Inc.

185,000

26,462

Becton, Dickinson & Co.

272,700

22,792

C.R. Bard, Inc.

219,799

20,837

China Medical Technologies, Inc. sponsored ADR (d)

21,300

946

DENTSPLY International, Inc.

526,700

23,712

Gen-Probe, Inc. (a)

58,800

3,700

Hologic, Inc. (a)

122,600

8,415

Intuitive Surgical, Inc. (a)

12,400

4,024

Inverness Medical Innovations, Inc. (a)

163,800

9,202

IRIS International, Inc. (a)

445,400

8,739

Mindray Medical International Ltd. sponsored ADR

131,200

5,638

NuVasive, Inc. (a)

120,500

4,762

Smith & Nephew PLC

125,200

1,438

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - continued

Health Care Equipment & Supplies - continued

Stereotaxis, Inc. (a)

64,900

$ 793

Stryker Corp.

237,600

17,753

TomoTherapy, Inc. (d)

143,800

2,813

162,026

Health Care Providers & Services - 0.8%

Aetna, Inc.

127,700

7,372

Amedisys, Inc. (a)

45,100

2,188

athenahealth, Inc.

23,300

839

Henry Schein, Inc. (a)

60,400

3,709

HMS Holdings Corp. (a)

508,900

16,901

Humana, Inc. (a)

29,857

2,249

McKesson Corp.

79,700

5,221

Medco Health Solutions, Inc. (a)

245,200

24,863

Nighthawk Radiology Holdings, Inc. (a)

210,992

4,441

VCA Antech, Inc. (a)

106,800

4,724

72,507

Health Care Technology - 0.1%

HLTH Corp. (a)

467,100

6,259

Life Sciences Tools & Services - 0.7%

Covance, Inc. (a)

11,300

979

Dionex Corp. (a)(d)

33,300

2,759

ICON PLC sponsored ADR (a)

288,000

17,816

Invitrogen Corp. (a)

60,300

5,633

Medivation, Inc. (a)

58,200

838

Millipore Corp. (a)

27,100

1,983

QIAGEN NV (a)

143,700

3,025

Techne Corp. (a)

73,700

4,868

Thermo Fisher Scientific, Inc. (a)

158,500

9,142

Waters Corp. (a)

321,300

25,405

72,448

Pharmaceuticals - 3.5%

Abbott Laboratories

491,000

27,570

Allergan, Inc.

309,500

19,882

BioMimetic Therapeutics, Inc. (a)

74,000

1,285

Bristol-Myers Squibb Co.

596,600

15,822

Johnson & Johnson

330,400

22,038

Merck & Co., Inc.

2,036,300

118,329

Novo Nordisk AS Series B

166,400

10,910

Pronova BioPharma ASA

1,000,000

4,048

Roche Holding AG (participation certificate)

395,355

67,527

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - continued

Pharmaceuticals - continued

Schering-Plough Corp.

1,669,000

$ 44,462

Sirtris Pharmaceuticals, Inc. (d)

41,800

572

Teva Pharmaceutical Industries Ltd. sponsored ADR

18,400

855

XenoPort, Inc. (a)

44,700

2,498

335,798

TOTAL HEALTH CARE

954,607

INDUSTRIALS - 8.3%

Aerospace & Defense - 1.2%

General Dynamics Corp.

59,400

5,286

Heico Corp. Class A

18,000

767

Lockheed Martin Corp.

522,200

54,967

Precision Castparts Corp.

95,400

13,232

Raytheon Co.

80,800

4,905

Spirit AeroSystems Holdings, Inc. Class A

312,000

10,764

Teledyne Technologies, Inc. (a)

66,600

3,552

The Boeing Co.

223,400

19,539

United Technologies Corp.

32,000

2,449

115,461

Air Freight & Logistics - 0.4%

C.H. Robinson Worldwide, Inc. (d)

781,672

42,304

Airlines - 0.1%

Ryanair Holdings PLC sponsored ADR (a)

162,026

6,390

Commercial Services & Supplies - 0.3%

Advisory Board Co. (a)

16,400

1,053

Covanta Holding Corp. (a)

136,700

3,781

FTI Consulting, Inc. (a)

15,200

937

Fuel Tech, Inc. (a)

21,100

478

IHS, Inc. Class A (a)

45,100

2,731

InnerWorkings, Inc. (a)

55,500

958

Interface, Inc. Class A

189,400

3,091

Robert Half International, Inc.

72,000

1,947

Seek Ltd.

1,000,000

7,007

Stericycle, Inc. (a)

40,800

2,424

24,407

Construction & Engineering - 0.9%

Jacobs Engineering Group, Inc. (a)

787,400

75,283

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Construction & Engineering - continued

KBR, Inc.

161,400

$ 6,262

URS Corp. (a)

73,000

3,966

85,511

Electrical Equipment - 2.6%

ABB Ltd. sponsored ADR

498,100

14,345

Alstom SA

4,100

880

Cooper Industries Ltd. Class A

1,490,700

78,828

Emerson Electric Co.

16,300

924

First Solar, Inc. (a)

6,900

1,843

GrafTech International Ltd. (a)

500,000

8,875

Q-Cells AG (a)

361,100

51,434

Renewable Energy Corp. AS (a)

845,500

42,940

Roper Industries, Inc.

12,900

807

SolarWorld AG

435,400

26,529

Sunpower Corp. Class A (a)

72,300

9,427

Suntech Power Holdings Co. Ltd. sponsored ADR (a)

97,100

7,993

Vestas Wind Systems AS (a)

10,000

1,080

245,905

Industrial Conglomerates - 0.2%

General Electric Co.

43,600

1,616

Hutchison Whampoa Ltd.

374,000

4,243

Koninklijke Philips Electronics NV (NY Shares)

49,200

2,103

McDermott International, Inc. (a)

14,400

850

Siemens AG sponsored ADR

55,900

8,796

17,608

Machinery - 2.2%

Astec Industries, Inc. (a)

10,600

394

Bucyrus International, Inc. Class A

34,000

3,379

Cummins, Inc.

115,000

14,648

Danaher Corp.

958,377

84,088

Deere & Co.

217,900

20,291

IDEX Corp.

280,100

10,120

Ingersoll-Rand Co. Ltd. Class A

48,400

2,249

ITT Corp.

44,500

2,939

Kennametal, Inc.

82,000

3,105

Manitowoc Co., Inc.

19,700

962

PACCAR, Inc.

936,223

51,005

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Machinery - continued

Pall Corp.

256,500

$ 10,342

SPX Corp.

36,300

3,733

207,255

Road & Rail - 0.4%

Burlington Northern Santa Fe Corp.

87,100

7,249

Canadian National Railway Co.

548,700

25,763

CSX Corp.

41,900

1,843

Union Pacific Corp.

34,700

4,359

39,214

TOTAL INDUSTRIALS

784,055

INFORMATION TECHNOLOGY - 23.2%

Communications Equipment - 2.7%

Aruba Networks, Inc.

445,401

6,641

Blue Coat Systems, Inc. (a)

67,800

2,229

Ciena Corp. (a)

78,400

2,674

Cisco Systems, Inc. (a)

2,117,400

57,318

Juniper Networks, Inc. (a)

28,600

950

Nice Systems Ltd. sponsored ADR (a)

91,000

3,123

Nokia Corp. sponsored ADR

1,648,200

63,274

Nortel Networks Corp. (a)

201,200

3,034

Research In Motion Ltd. (a)

1,041,700

118,129

Riverbed Technology, Inc. (a)

124,900

3,340

Starent Networks Corp.

37,569

686

261,398

Computers & Peripherals - 7.8%

Apple, Inc. (a)

1,695,400

335,825

Dell, Inc. (a)

1,249,400

30,623

EMC Corp. (a)

930,600

17,244

Hewlett-Packard Co.

6,435,500

324,864

Logitech International SA (a)

183,700

6,731

NCR Corp. (a)

579,000

14,533

Netezza Corp.

26,400

364

Synaptics, Inc. (a)

48,700

2,004

Teradata Corp. (a)

83,800

2,297

Western Digital Corp. (a)

317,000

9,577

744,062

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Electronic Equipment & Instruments - 1.0%

Agilent Technologies, Inc. (a)

49,800

$ 1,830

Amphenol Corp. Class A

889,640

41,253

Flextronics International Ltd. (a)

149,900

1,808

FLIR Systems, Inc. (a)

723,800

22,655

Hon Hai Precision Industry Co. Ltd. (Foxconn)

864,468

5,385

Mettler-Toledo International, Inc. (a)

83,500

9,502

Trimble Navigation Ltd. (a)

159,200

4,814

Tyco Electronics Ltd.

125,000

4,641

91,888

Internet Software & Services - 6.3%

Akamai Technologies, Inc. (a)

354,500

12,266

Bankrate, Inc. (a)(d)

127,500

6,131

Constant Contact, Inc. (d)

174,900

3,760

Dice Holdings, Inc.

83,800

670

Equinix, Inc. (a)

43,500

4,397

Google, Inc. Class A (sub. vtg.) (a)

750,867

519,204

Mercadolibre, Inc.

60,900

4,499

NHN Corp. (a)

14,486

3,499

Open Text Corp. (a)

25,900

818

VeriSign, Inc. (a)

825,500

31,047

VistaPrint Ltd. (a)

296,000

12,684

598,975

IT Services - 1.6%

Accenture Ltd. Class A

764,000

27,527

ExlService Holdings, Inc. (a)

40,100

926

Mastercard, Inc. Class A

269,000

57,889

Paychex, Inc. (d)

416,100

15,071

Redecard SA

123,200

2,007

Sapient Corp. (a)

748,600

6,595

SRA International, Inc. Class A (a)

201,561

5,936

The Western Union Co.

363,900

8,835

VeriFone Holdings, Inc. (a)(d)

945,600

21,985

Wright Express Corp. (a)

29,800

1,058

147,829

Semiconductors & Semiconductor Equipment - 1.2%

Applied Materials, Inc.

397,400

7,058

ASML Holding NV (NY Shares) (a)

191,477

5,991

Atheros Communications, Inc. (a)

28,983

885

Broadcom Corp. Class A (a)

32,600

852

Cavium Networks, Inc.

110,162

2,536

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Semiconductors & Semiconductor Equipment - continued

Intel Corp.

1,285,750

$ 34,278

Lam Research Corp. (a)

356,100

15,394

Marvell Technology Group Ltd. (a)

633,200

8,852

MEMC Electronic Materials, Inc. (a)

76,700

6,787

NVIDIA Corp. (a)

495,100

16,843

O2Micro International Ltd. sponsored ADR (a)

3,000

35

ON Semiconductor Corp. (a)

488,000

4,333

Sigma Designs, Inc. (a)

27,100

1,496

Silicon Motion Technology Corp. sponsored ADR (a)

168,600

2,998

Taiwan Semiconductor Manufacturing Co. Ltd. sponsored ADR

185,700

1,850

Tessera Technologies, Inc. (a)

56,500

2,350

Varian Semiconductor Equipment Associates, Inc. (a)

73,900

2,734

Zoran Corp. (a)

47,500

1,069

116,341

Software - 2.6%

Activision, Inc. (a)

661,900

19,658

Adobe Systems, Inc. (a)

1,421,306

60,732

Autonomy Corp. PLC (a)

169,300

2,974

BMC Software, Inc. (a)

333,700

11,893

CommVault Systems, Inc. (a)

569,168

12,055

Electronic Arts, Inc. (a)

103,300

6,034

Gameloft (a)

291,000

2,548

GSE Systems, Inc. (a)

500,000

5,120

Longtop Financial Technologies Ltd. ADR

5,700

135

McAfee, Inc. (a)

584,200

21,908

Nintendo Co. Ltd.

47,400

28,080

Nuance Communications, Inc. (a)(d)

202,900

3,790

Oracle Corp. (a)

302,750

6,836

Salesforce.com, Inc. (a)

289,200

18,130

Taleo Corp. Class A (a)

116,165

3,459

Ubisoft Entertainment SA (a)

186,000

18,858

Ultimate Software Group, Inc. (a)

168,339

5,298

Utimaco Safeware AG

350,000

5,210

VMware, Inc. Class A (d)

169,000

14,363

247,081

TOTAL INFORMATION TECHNOLOGY

2,207,574

Common Stocks - continued

Shares

Value (000s)

MATERIALS - 6.7%

Chemicals - 2.1%

Bayer AG

473,700

$ 43,107

Ecolab, Inc.

697,000

35,693

Monsanto Co.

429,700

47,993

Nalco Holding Co.

308,500

7,460

Potash Corp. of Saskatchewan, Inc.

38,800

5,586

Praxair, Inc.

550,400

48,826

Rohm & Haas Co.

16,800

892

The Mosaic Co. (a)

56,500

5,330

Wacker Chemie AG

17,000

4,905

199,792

Metals & Mining - 4.5%

Agnico-Eagle Mines Ltd.

102,800

5,631

Anglo American PLC ADR

1,329,071

40,364

Anglo Platinum Ltd.

8,600

1,266

Aquarius Platinum Ltd. (Australia)

1,794,000

20,381

ArcelorMittal SA (NY Reg.) Class A

166,200

12,856

B2Gold Corp. (a)(e)

1,000,000

2,129

B2Gold Corp. (a)

500,000

1,183

Barrick Gold Corp.

855,000

35,954

BHP Billiton Ltd. sponsored ADR (d)

815,500

57,118

Companhia Vale do Rio Doce sponsored ADR

216,000

7,057

Compania de Minas Buenaventura SA sponsored ADR

99,100

5,609

Eldorado Gold Corp. (a)

259,700

1,524

First Quantum Minerals Ltd.

10,000

856

Franco-Nevada Corp.

435,700

6,644

Freeport-McMoRan Copper & Gold, Inc. Class B

431,900

44,244

Goldcorp, Inc.

1,862,001

63,344

Impala Platinum Holdings Ltd.

84,900

2,936

Ivanhoe Mines Ltd. (a)

1,665,000

18,099

Kinross Gold Corp. (a)

1,123,376

20,691

Lihir Gold Ltd. (a)

6,545,468

20,697

Lundin Mining Corp. (a)

470,300

4,516

Newcrest Mining Ltd.

468,618

13,586

Novamerican Steel, Inc.

172,700

744

Novamerican Steel, Inc. warrants 3/7/11 (a)

172,700

173

POSCO sponsored ADR

116,200

17,478

Randgold Resources Ltd. sponsored ADR

180,100

6,687

Red Back Mining, Inc. (a)

707,900

5,052

Rio Tinto PLC (Reg.)

43,300

4,545

Silver Bear Resources, Inc.

275,700

777

Common Stocks - continued

Shares

Value (000s)

MATERIALS - continued

Metals & Mining - continued

Silvercorp Metals, Inc.

84,600

$ 799

Teck Cominco Ltd. Class B (sub. vtg.)

66,800

2,382

Vedanta Resources PLC

20,300

825

Xstrata PLC

13,500

952

427,099

Paper & Forest Products - 0.1%

Lee & Man Paper Manufacturing Ltd.

379,600

1,667

Nine Dragons Paper (Holdings) Ltd.

1,748,000

4,421

6,088

TOTAL MATERIALS

632,979

TELECOMMUNICATION SERVICES - 2.5%

Diversified Telecommunication Services - 0.5%

AT&T, Inc.

760,632

31,612

Cbeyond, Inc. (a)

41,564

1,621

Iliad Group SA

29,700

3,190

Telefonica SA sponsored ADR

49,500

4,831

41,254

Wireless Telecommunication Services - 2.0%

America Movil SAB de CV Series L sponsored ADR

2,596,900

159,424

American Tower Corp. Class A (a)

45,427

1,935

Bharti Airtel Ltd. (a)

885,954

22,402

NII Holdings, Inc. (a)

153,847

7,434

Vodafone Group PLC sponsored ADR

25,000

933

192,128

TOTAL TELECOMMUNICATION SERVICES

233,382

UTILITIES - 0.8%

Electric Utilities - 0.5%

Allegheny Energy, Inc.

174,300

11,087

E.ON AG sponsored ADR

178,900

12,586

Edison International

16,400

875

Entergy Corp.

52,600

6,287

Exelon Corp.

62,400

5,094

FirstEnergy Corp.

44,200

3,197

Common Stocks - continued

Shares

Value (000s)

UTILITIES - continued

Electric Utilities - continued

FPL Group, Inc.

25,900

$ 1,756

PPL Corp.

89,800

4,678

45,560

Gas Utilities - 0.1%

Questar Corp.

15,100

817

Southern Union Co.

118,275

3,473

4,290

Independent Power Producers & Energy Traders - 0.1%

Constellation Energy Group, Inc.

73,800

7,567

International Power PLC

650,100

5,997

13,564

Multi-Utilities - 0.1%

Veolia Environnement

48,414

4,412

YTL Corp. Bhd

2,133,100

5,096

YTL Corp. Bhd rights 1/7/08 (a)

142,206

73

9,581

TOTAL UTILITIES

72,995

TOTAL COMMON STOCKS

(Cost $5,846,330)

8,230,001

Convertible Preferred Stocks - 0.2%

HEALTH CARE - 0.2%

Biotechnology - 0.2%

Fluidigm Corp. (e)

481,170

1,925

Light Sciences Oncology, Inc. Series B (e)

1,792,115

15,000

16,925

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost $16,925)

16,925

Money Market Funds - 13.8%

Shares

Value (000s)

Fidelity Cash Central Fund, 4.58% (b)

1,216,587,820

$ 1,216,588

Fidelity Securities Lending Cash Central Fund, 4.65% (b)(c)

92,726,988

92,727

TOTAL MONEY MARKET FUNDS

(Cost $1,309,315)

1,309,315

TOTAL INVESTMENT PORTFOLIO - 100.7%

(Cost $7,172,570)

9,556,241

NET OTHER ASSETS - (0.7)%

(62,976)

NET ASSETS - 100%

$ 9,493,265

Legend

(a) Non-income producing

(b) Affiliated fund that is available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request.

(c) Investment made with cash collateral received from securities on loan.

(d) Security or a portion of the security is on loan at period end.

(e) Restricted securities - Investment in securities not registered under the Securities Act of 1933 (excluding 144A issues). At the end of the period, the value of restricted securities (excluding 144A issues) amounted to $26,891,000 or 0.3% of net assets.

Additional information on each holding is as follows:

Security

Acquisition Date

Acquisition Cost (000s)

B2Gold Corp.

10/24/07

$ 1,032

Fluidigm Corp.

10/9/07

$ 1,925

Govi High Power Exploration, Inc. warrants 1/1/49

9/28/07

$ 5,500

Light Sciences Oncology, Inc. Series B

4/4/07

$ 15,000

MannKind Corp. warrants 8/3/10

8/3/05

$ 1

The Weinstein Co. III Holdings, LLC Class A-1

10/19/05

$ 2,267

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund

Income earned
(Amounts in thousands)

Fidelity Cash Central Fund

$ 31,243

Fidelity Securities Lending Cash Central Fund

1,785

Total

$ 33,028

Other Affiliated Issuers

An affiliated company is a company in which the fund has ownership of at least 5% of the voting securities. Fiscal year to date transactions with companies which are or were affiliates are as follows:

Affiliate
(Amounts in thousands)

Value, beginning of period

Purchases

Sales Proceeds

Dividend Income

Value,
end of
period

Double-Take Software, Inc.

$ -

$ 21,535

$ 19,955

$ -

$ -

Other Information

Distribution of investments by country of issue, as a percentage of total net assets, is as follows:

United States of America

75.7%

Canada

5.2%

Bermuda

2.2%

Switzerland

2.0%

United Kingdom

1.9%

Netherlands Antilles

1.7%

Mexico

1.7%

Germany

1.6%

Brazil

1.5%

Others (individually less than 1%)

6.5%

100.0%

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements

Statement of Assets and Liabilities

Amounts in thousands (except per-share amounts)

December 31, 2007

Assets

Investment in securities, at value (including securities loaned of $89,560) - See accompanying schedule:

Unaffiliated issuers (cost $5,863,255)

$ 8,246,926

Fidelity Central Funds (cost $1,309,315)

1,309,315

Total Investments (cost $7,172,570)

$ 9,556,241

Receivable for investments sold

7,821

Receivable for fund shares sold

39,006

Dividends receivable

8,199

Distributions receivable from Fidelity Central Funds

4,740

Prepaid expenses

28

Other receivables

97

Total assets

9,616,132

Liabilities

Payable for investments purchased

$ 4,218

Payable for fund shares redeemed

14,520

Distributions payable

82

Accrued management fee

4,337

Distribution fees payable

3,396

Other affiliated payables

1,644

Other payables and accrued expenses

1,943

Collateral on securities loaned, at value

92,727

Total liabilities

122,867

Net Assets

$ 9,493,265

Net Assets consist of:

Paid in capital

$ 7,049,543

Undistributed net investment income

1,226

Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions

58,856

Net unrealized appreciation (depreciation) on investments and assets and liabilities in foreign currencies

2,383,640

Net Assets

$ 9,493,265

See accompanying notes which are an integral part of the financial statements.

Annual Report

Statement of Assets and Liabilities - continued

Amounts in thousands (except per-share amounts)

December 31, 2007

Calculation of Maximum Offering Price
Class A:
Net Asset Value
and redemption price per share ($2,630,055 ÷ 121,456 shares)

$ 21.65

Maximum offering price per share (100/94.25 of $21.65)

$ 22.97

Class T:
Net Asset Value
and redemption price per share ($2,185,491 ÷ 101,386 shares)

$ 21.56

Maximum offering price per share (100/96.50 of $21.56)

$ 22.34

Class B:
Net Asset Value
and offering price per share ($489,316 ÷ 23,252 shares)A

$ 21.04

Class C:
Net Asset Value
and offering price per share ($1,878,915 ÷ 89,040 shares)A

$ 21.10

Institutional Class:
Net Asset Value
, offering price and redemption price per share ($2,309,488 ÷ 105,731 shares)

$ 21.84

A Redemption price per share is equal to net asset value less any applicable contingent deferred sales charge.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements - continued

Statement of Operations

Amounts in thousands

Year ended December 31, 2007

Investment Income

Dividends

$ 90,293

Interest

36

Income from Fidelity Central Funds

33,028

Total income

123,357

Expenses

Management fee

$ 45,961

Transfer agent fees

17,290

Distribution fees

37,779

Accounting and security lending fees

1,249

Custodian fees and expenses

497

Independent trustees' compensation

28

Registration fees

86

Audit

101

Legal

59

Miscellaneous

2,632

Total expenses before reductions

105,682

Expense reductions

(363)

105,319

Net investment income (loss)

18,038

Realized and Unrealized Gain (Loss)

Net realized gain (loss) on:

Investment securities:

Unaffiliated issuers

342,693

Other affiliated issuers

(1,580)

Foreign currency transactions

(30)

Total net realized gain (loss)

341,083

Change in net unrealized appreciation (depreciation) on:

Investment securities (net of increase in deferred foreign taxes of $1)

1,132,792

Assets and liabilities in foreign currencies

(15)

Total change in net unrealized appreciation (depreciation)

1,132,777

Net gain (loss)

1,473,860

Net increase (decrease) in net assets resulting from operations

$ 1,491,898

See accompanying notes which are an integral part of the financial statements.

Annual Report

Statement of Changes in Net Assets

Amounts in thousands

Year ended
December 31, 2007

Year ended
December 31, 2006

Increase (Decrease) in Net Assets

Operations

Net investment income (loss)

$ 18,038

$ 9,962

Net realized gain (loss)

341,083

(97,322)

Change in net unrealized appreciation (depreciation)

1,132,777

700,051

Net increase (decrease) in net assets resulting
from operations

1,491,898

612,691

Distributions to shareholders from net investment income

(17,144)

(10,473)

Distributions to shareholders from net realized gain

(168,267)

(24,707)

Total distributions

(185,411)

(35,180)

Share transactions - net increase (decrease)

610,558

2,743,651

Total increase (decrease) in net assets

1,917,045

3,321,162

Net Assets

Beginning of period

7,576,220

4,255,058

End of period (including undistributed net investment income of $1,226 and $0, respectively)

$ 9,493,265

$ 7,576,220

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class A

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.37

$ 16.65

$ 13.99

$ 11.79

$ 10.00

Income from Investment Operations

Net investment income (loss)E

.08

.06

.02

(.03)

(.04)

Net realized and unrealized gain (loss)

3.65

1.78

2.64

2.24

1.87

Total from investment operations

3.73

1.84

2.66

2.21

1.83

Distributions from net investment income

(.06)

(.03)

-

(.01)

(.03)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.45)

(.12)J

-

(.01)

(.04)

Net asset value, end of period

$ 21.65

$ 18.37

$ 16.65

$ 13.99

$ 11.79

Total ReturnB,C,D

20.26%

11.06%

19.01%

18.76%

18.23%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.09%

1.12%

1.17%

1.22%

1.39%A

Expenses net of fee waivers, if any

1.09%

1.12%

1.17%

1.22%

1.39%A

Expenses net of all reductions

1.08%

1.11%

1.13%

1.17%

1.28%A

Net investment income (loss)

.42%

.37%

.13%

(.26)%

(.81)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,630

$ 1,823

$ 1,019

$ 230

$ 37

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the sales charges.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.12 per share is comprised of distributions from net investment income of $.034 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class T

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.29

$ 16.57

$ 13.96

$ 11.78

$ 10.00

Income from Investment Operations

Net investment income (loss)E

.04

.03

(.01)

(.06)

(.05)

Net realized and unrealized gain (loss)

3.62

1.77

2.62

2.25

1.86

Total from investment operations

3.66

1.80

2.61

2.19

1.81

Distributions from net investment income

-

-

-

(.01)

(.02)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.39)

(.08)J

-

(.01)

(.03)

Net asset value, end of period

$ 21.56

$ 18.29

$ 16.57

$ 13.96

$ 11.78

Total ReturnB,C,D

20.00%

10.90%

18.70%

18.60%

18.08%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.31%

1.32%

1.38%

1.43%

1.62%A

Expenses net of fee waivers, if any

1.31%

1.32%

1.38%

1.43%

1.62%A

Expenses net of all reductions

1.31%

1.31%

1.34%

1.39%

1.51%A

Net investment income (loss)

.19%

.17%

(.08)%

(.48)%

(1.04)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,185

$ 2,165

$ 1,393

$ 325

$ 62

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the sales charges.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.08 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class B

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 17.97

$ 16.35

$ 13.85

$ 11.76

$ 10.00

Income from Investment Operations

Net investment income (loss)E

(.08)

(.07)

(.10)

(.13)

(.07)

Net realized and unrealized gain (loss)

3.54

1.74

2.60

2.23

1.85

Total from investment operations

3.46

1.67

2.50

2.10

1.78

Distributions from net investment income

-

-

-

(.01)

(.01)

Distributions from net realized gain

(.39)

(.05)

-

-

(.01)

Total distributions

(.39)

(.05)J

-

(.01)

(.02)

Net asset value, end of period

$ 21.04

$ 17.97

$ 16.35

$ 13.85

$ 11.76

Total ReturnB,C,D

19.24%

10.23%

18.05%

17.87%

17.75%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.89%

1.93%

1.98%

2.02%

2.19%A

Expenses net of fee waivers, if any

1.89%

1.93%

1.98%

2.02%

2.19%A

Expenses net of all reductions

1.89%

1.92%

1.94%

1.97%

2.08%A

Net investment income (loss)

(.39)%

(.44)%

(.68)%

(1.06)%

(1.61)%A

Supplemental Data

Net assets, end of period (in millions)

$ 489

$ 452

$ 339

$ 109

$ 27

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the contingent deferred sales charge.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.05 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.050 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Class C

Years ended December 31,

2007

2006

2005

2004

2003H

Selected Per-Share Data

Net asset value, beginning of period

$ 18.00

$ 16.37

$ 13.86

$ 11.76

$ 10.00

Income from Investment Operations

Net investment income (loss)E

(.06)

(.06)

(.09)

(.12)

(.07)

Net realized and unrealized gain (loss)

3.55

1.74

2.60

2.23

1.85

Total from investment operations

3.49

1.68

2.51

2.11

1.78

Distributions from net investment income

-

-

-

(.01)

(.01)

Distributions from net realized gain

(.39)

(.05)

-

-

(.01)

Total distributions

(.39)

(.05)J

-

(.01)

(.02)

Net asset value, end of period

$ 21.10

$ 18.00

$ 16.37

$ 13.86

$ 11.76

Total ReturnB,C,D

19.37%

10.28%

18.11%

17.95%

17.77%

Ratios to Average Net AssetsF,I

Expenses before reductions

1.82%

1.85%

1.89%

1.94%

2.14%A

Expenses net of fee waivers, if any

1.82%

1.85%

1.89%

1.94%

2.14%A

Expenses net of all reductions

1.82%

1.83%

1.85%

1.89%

2.03%A

Net investment income (loss)

(.32)%

(.35)%

(.59)%

(.98)%

(1.55)%A

Supplemental Data

Net assets, end of period (in millions)

$ 1,879

$ 1,596

$ 1,006

$ 246

$ 49

Portfolio turnover rateG

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Total returns do not include the effect of the contingent deferred sales charge.

E Calculated based on average shares outstanding during the period.

F Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

G Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

H For the period July 31, 2003 (commencement of operations) to December 31, 2003.

I Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

J Total distributions of $.05 per share is comprised of distributions from net investment income of $.000 and distributions from net realized gain of $.050 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights - Institutional Class

Years ended December 31,

2007

2006

2005

2004

2003G

Selected Per-Share Data

Net asset value, beginning of period

$ 18.52

$ 16.78

$ 14.05

$ 11.79

$ 10.00

Income from Investment Operations

Net investment income (loss)D

.14

.12

.07

.01

(.02)

Net realized and unrealized gain (loss)

3.67

1.79

2.66

2.26

1.86

Total from investment operations

3.81

1.91

2.73

2.27

1.84

Distributions from net investment income

(.10)

(.09)

-

(.01)

(.04)

Distributions from net realized gain

(.39)

(.08)

-

-

(.01)

Total distributions

(.49)

(.17)I

-

(.01)

(.05)

Net asset value, end of period

$ 21.84

$ 18.52

$ 16.78

$ 14.05

$ 11.79

Total ReturnB,C

20.57%

11.40%

19.43%

19.27%

18.31%

Ratios to Average Net AssetsE,H

Expenses before reductions

.81%

.83%

.84%

.86%

1.07%A

Expenses net of fee waivers, if any

.81%

.83%

.84%

.86%

1.07%A

Expenses net of all reductions

.81%

.82%

.79%

.82%

.96%A

Net investment income (loss)

.69%

.66%

.47%

.10%

(.49)%A

Supplemental Data

Net assets, end of period (in millions)

$ 2,309

$ 1,540

$ 498

$ 120

$ 23

Portfolio turnover rateF

57%

79%

65%

87%

77%A

A Annualized

B Total returns for periods of less than one year are not annualized.

C Total returns would have been lower had certain expenses not been reduced during the periods shown.

D Calculated based on average shares outstanding during the period.

E Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

F Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

G For the period July 31, 2003 (commencement of operations) to December 31, 2003.

H Expense ratios reflect operating expenses of the class. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the class during periods when reimbursements or reductions occur. Expense ratios before reductions for start-up periods may not be representative of longer-term operating periods. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the class.

I Total distributions of $.17 per share is comprised of distributions from net investment income of $.086 and distributions from net realized gain of $.083 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Notes to Financial Statements

For the period ended December 31, 2007

(Amounts in Thousands except ratios)

1. Organization.

Fidelity Advisor New Insights Fund (the Fund) is a fund of Fidelity Contrafund (the trust) and is authorized to issue an unlimited number of shares. The trust is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company organized as a Massachusetts business trust. The Fund offers Class A, Class T, Class B, Class C and Institutional Class shares, each of which has equal rights as to assets and voting privileges. Each class has exclusive voting rights with respect to matters that affect that class. Class B shares will automatically convert to Class A shares after a holding period of seven years from the initial date of purchase. Investment income, realized and unrealized capital gains and losses, the common expenses of the Fund, and certain fund-level expense reductions, if any, are allocated on a pro rata basis to each class based on the relative net assets of each class to the total net assets of the Fund. Each class differs with respect to transfer agent and distribution and service plan fees incurred. Certain expense reductions also differ by class.

2. Investments in Fidelity Central Funds.

The Fund may invest in Fidelity Central Funds, which are open-end investment companies available only to other investment companies and accounts managed by Fidelity Management & Research Company (FMR) and its affiliates. The Fund's Schedule of Investments lists each of the Fidelity Central Funds as an investment of the Fund, but does not include the underlying holdings of each Fidelity Central Fund. As an Investing Fund, the Fund indirectly bears its proportionate share of the expenses of the underlying Fidelity Central Funds.

The Money Market Central Funds seek preservation of capital and current income and are managed by Fidelity Investments Money Management, Inc. (FIMM), an affiliate of FMR.

A complete list of holdings for each Fidelity Central Fund is available upon request or at the SEC's web site at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's web site or upon request.

3. Significant Accounting Policies.

The financial statements have been prepared in conformity with accounting principles generally accepted in the United States of America, which require management to make certain estimates and assumptions at the date of the financial statements. The following summarizes the significant accounting policies of the Fund:

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

3. Significant Accounting Policies - continued

Security Valuation. Investments are valued and net asset value (NAV) per share is calculated (NAV calculation) as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time. Wherever possible, the Fund uses independent pricing services approved by the Board of Trustees to value its investments.

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by an independent pricing service on the primary market or exchange on which they are traded. In the event there were no sales during the day or closing prices are not available, securities are valued at the last quoted bid price. Investments in open-end mutual funds, including the Fidelity Central Funds are valued at their closing net asset value each business day. Short-term securities with remaining maturities of sixty days or less for which quotations are not readily available are valued at amortized cost, which approximates value.

When current market prices or quotations are not readily available or do not accurately reflect fair value, valuations may be determined in accordance with procedures adopted by the Board of Trustees. For example, when developments occur between the close of a market and the close of the NYSE that may materially affect the value of some or all of the securities, or when trading in a security is halted, those securities may be fair valued. Factors used in the determination of fair value may include monitoring news to identify significant market or security specific events such as changes in the value of U.S. securities markets, reviewing developments in foreign markets and evaluating the performance of ADRs, futures contracts and exchange-traded funds. Because the Fund's utilization of fair value pricing depends on market activity, the frequency with which fair value pricing is used cannot be predicted and may be utilized to a significant extent. The value of securities used for NAV calculation under fair value pricing may differ from published prices for the same securities.

Foreign Currency. The Fund uses foreign currency contracts to facilitate transactions in foreign-denominated securities. Losses from these transactions may arise from changes in the value of the foreign currency or if the counterparties do not perform under the contracts' terms.

Foreign-denominated assets, including investment securities, and liabilities are translated into U.S. dollars at the exchange rate at period end. Purchases and sales of investment securities, income and dividends received and expenses denominated in foreign currencies are translated into U.S. dollars at the exchange rate in effect on the transaction date.

Annual Report

3. Significant Accounting Policies - continued

Foreign Currency - continued

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Investment Transactions and Income. For financial reporting purposes, the Fund's investment holdings and NAV include trades executed through the end of the last business day of the period. The NAV for processing shareholder transactions includes trades executed through the end of the prior business day. Gains and losses on securities sold are determined on the basis of identified cost and may include proceeds received from litigation. Dividend income is recorded on the ex-dividend date, except for certain dividends from foreign securities where the ex-dividend date may have passed, which are recorded as soon as the Fund is informed of the ex-dividend date. Non-cash dividends included in dividend income, if any, are recorded at the fair market value of the securities received. Distributions received on securities that represent a return of capital or capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The Fund estimates the components of distributions received that may be considered return of capital distributions or capital gain distributions. Interest income and distributions from the Fidelity Central Funds are accrued as earned. Interest income includes coupon interest and amortization of premium and accretion of discount on debt securities. Investment income is recorded net of foreign taxes withheld where recovery of such taxes is uncertain.

Expenses. Most expenses of the trust can be directly attributed to a fund. Expenses which cannot be directly attributed are apportioned among each Fund in the trust. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known.

Income Tax Information and Distributions to Shareholders. Each year, the Fund intends to qualify as a regulated investment company by distributing substantially all of its taxable income and realized gains under Subchapter M of the Internal Revenue Code and filing its U.S. federal tax return. As a result, no provision for income taxes is required. The Fund adopted the provisions of FASB Interpretation No. 48, Accounting for Uncertainties in Income Taxes (FIN 48), on June 29, 2007. FIN 48 sets forth a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. The implementation of FIN 48 did not result in any unrecognized tax benefits in the accompanying financial statements. Each of the Fund's federal tax returns for the prior three fiscal years remains subject to examination by the Internal Revenue Service. Foreign taxes are provided for based on the Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests.

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

3. Significant Accounting Policies - continued

Income Tax Information and Distributions to Shareholders - continued

Distributions are recorded on the ex-dividend date. Income dividends and capital gain distributions are declared separately for each class. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. In addition, the Fund will claim a portion of the payment made to redeeming shareholders as a distribution for income tax purposes.

Capital accounts within the financial statements are adjusted for permanent book-tax differences. These adjustments have no impact on net assets or the results of operations. Temporary book-tax differences will reverse in a subsequent period.

Book-tax differences are primarily due to foreign currency transactions, certain foreign taxes, passive foreign investment companies (PFIC), partnerships, capital loss carryforwards and losses deferred due to wash sales.

The tax-basis components of distributable earnings and the federal tax cost as of period end were as follows:

Unrealized appreciation

$ 2,516,759

Unrealized depreciation

(142,685)

Net unrealized appreciation (depreciation)

2,374,074

Undistributed long-term capital gain

53,909

Cost for federal income tax purposes

$ 7,182,167

The tax character of distributions paid was as follows:

December 31, 2007

December 31, 2006

Ordinary Income

$ 17,144

$ 20,374

Long-term Capital Gains

168,267

14,806

Total

$ 185,411

$ 35,180

New Accounting Pronouncement. In September 2006, Statement of Financial Accounting Standards No. 157, Fair Value Measurements (SFAS 157), was issued and is effective for fiscal years beginning after November 15, 2007. SFAS 157 defines fair value, establishes a framework for measuring fair value and expands disclosures about fair value measurements. Management is currently evaluating the impact the adoption of SFAS 157 will have on the Fund's financial statement disclosures.

Annual Report

4. Operating Policies.

Repurchase Agreements. Fidelity Management and Research Company (FMR) has received an Exemptive Order from the Securities and Exchange Commission (the SEC) which permits the Fund and other affiliated entities of FMR to transfer uninvested cash

balances into joint trading accounts which are then invested in repurchase agreements. The Fund may also invest directly with institutions in repurchase agreements. Repurchase agreements are collateralized by government or non-government securities. Upon settlement date, collateral is held in segregated accounts with custodian banks and may be obtained in the event of a default of the counterparty. The Fund monitors, on a daily basis, the value of the collateral to ensure it is at least equal to the principal amount of the repurchase agreement (including accrued interest). In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the value of the collateral may decline.

Restricted Securities. The Fund may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities is included at the end of the Fund's Schedule of Investments.

5. Purchases and Sales of Investments.

Purchases and sales of securities, other than short-term securities aggregated $4,333,991 and $4,574,648, respectively.

6. Fees and Other Transactions with Affiliates.

Management Fee. FMR and its affiliates provide the Fund with investment management related services for which the Fund pays a monthly management fee. The management fee is the sum of an individual fund fee rate that is based on an annual rate of .30% of the Fund's average net assets and a group fee rate that averaged .26% during the period. The group fee rate is based upon the average net assets of all the mutual funds advised by FMR. The group fee rate decreases as assets under management increase and increases as assets under management decrease. In addition, on September 19, 2007, shareholders approved a new management contract which adds a performance adjustment to the management fee (up to a maximum of ± .20% of the Fund's average net assets over a 36 month performance period). The upward or downward adjustment to the management fee is based on the relative investment performance of the Fund's Institutional Class as compared to an appropriate benchmark index. The Fund's performance period began on October 1, 2007. The performance adjustment will take effect starting with the twelfth month of the performance period (September, 2008). Subsequent months will be added until the performance period

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

6. Fees and Other Transactions with Affiliates - continued

Management Fee - continued

includes 36 months. For the period, the total annualized management fee rate was .56% of the Fund's average net assets.

Distribution and Service Plan. In accordance with Rule 12b-1 of the 1940 Act, the Fund has adopted separate Distribution and Service Plans for each class of shares. Certain classes pay Fidelity Distributors Corporation (FDC), an affiliate of FMR, separate Distribution and Service Fees, each of which is based on an annual percentage of each class' average net assets. In addition, FDC may pay financial intermediaries for selling shares of the Fund and providing shareholder support services. For the period, the Distribution and Service Fee rates and the total amounts paid to and retained by FDC were as follows:

Distribution
Fee

Service
Fee

Paid to
FDC

Retained
by FDC

Class A

-%

.25%

$ 5,212

$ 448

Class T

.25%

.25%

11,068

252

Class B

.75%

.25%

4,627

3,472

Class C

.75%

.25%

16,872

1,915

$ 37,779

$ 6,087

Sales Load. FDC receives a front-end sales charge of up to 5.75% for selling Class A shares, and 3.50% for selling Class T shares, some of which is paid to financial intermediaries for selling shares of the Fund. FDC receives the proceeds of contingent deferred sales charges levied on Class A, Class T, Class B, and Class C redemptions. These charges depend on the holding period. The deferred sales charges range from 5% to 1% for Class B, 1% for Class C, 1.00% to .50% for certain purchases of Class A shares and .25% for certain purchases of Class T shares.

For the period, sales charge amounts retained by FDC were as follows:

Retained
by FDC

Class A

$ 577

Class T

205

Class B*

684

Class C*

100

$ 1,566

* When Class B and Class C shares are initially sold, FDC pays commissions from its own resources to financial intermediaries through which the sales are made.

Transfer Agent Fees. Fidelity Investments Institutional Operations Company, Inc., (FIIOC), an affiliate of FMR, is the transfer, dividend disbursing and shareholder servicing agent for each class of the Fund. FIIOC receives account fees and asset-based fees that vary according to the account size and type of account of the shareholders of the respective classes of the Fund. FIIOC pays for typesetting, printing and mailing of

Annual Report

6. Fees and Other Transactions with Affiliates - continued

Transfer Agent Fees - continued

shareholder reports, except proxy statements. For the period, the total transfer agent fees paid by each class to FIIOC were as follows:

Amount

% of
Average
Net Assets

Class A

$ 4,620

.22

Class T

4,335

.20

Class B

1,276

.28

Class C

3,520

.21

Institutional Class

3,539

.20

$ 17,290

Accounting and Security Lending Fees. Fidelity Service Company, Inc. (FSC), an affiliate of FMR, maintains the Fund's accounting records. The accounting fee is based on the level of average net assets for the month. Under a separate contract, FSC administers the security lending program. The security lending fee is based on the number and duration of lending transactions.

Brokerage Commissions. The Fund placed a portion of its portfolio transactions with brokerage firms which are affiliates of the investment adviser. The commissions paid to these affiliated firms were $35 for the period.

7. Committed Line of Credit.

The Fund participates with other funds managed by FMR in a $4.2 billion credit facility (the "line of credit") to be utilized for temporary or emergency purposes to fund shareholder redemptions or for other short-term liquidity purposes. The Fund has agreed to pay commitment fees on its pro rata portion of the line of credit, which amounted to $16 and is reflected in Miscellaneous Expense on the Statement of Operations. During the period, there were no borrowings on this line of credit.

8. Security Lending.

The Fund lends portfolio securities from time to time in order to earn additional income. On the settlement date of the loan, the Fund receives collateral (in the form of U.S. Treasury obligations, letters of credit and/or cash) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of the loaned securities during the period of the loan. The market value of the loaned securities is determined at the close of business of the Fund and any additional required collateral is delivered to the Fund on the next business day. If the borrower defaults on its obligation

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

8. Security Lending - continued

to return the securities loaned because of insolvency or other reasons, a fund could experience delays and costs in recovering the securities loaned or in gaining access to the collateral. Any cash collateral received is invested in the Fidelity Securities Lending Cash Central Fund. The value of loaned securities and cash collateral at period end are disclosed on the Fund's Statement of Assets and Liabilities. Security lending income represents the income earned on investing cash collateral, less fees and expenses associated with the loan, plus any premium payments that may be received on the loan of certain types of securities. Security lending income is presented in the Statement of Operations as a component of income from Fidelity Central Funds. Net income from lending portfolio securities during the period amounted to $1,785.

9. Expense Reductions.

Many of the brokers with whom FMR places trades on behalf of the Fund provided services to the Fund in addition to trade execution. These services included payments of certain expenses on behalf of the Fund totaling $272 for the period. In addition, through arrangements with the Fund's custodian and each class' transfer agent, credits realized as a result of uninvested cash balances were used to reduce the Fund's expenses. During the period, these credits reduced the Fund's custody expenses by $13. During the period, credits reduced each class' transfer agent expense as noted in the table below.

Transfer Agent
expense reduction

Class A

$ 34

Class T

21

Institutional Class

7

$ 63

10. Other.

The Fund's organizational documents provide former and current trustees and officers with a limited indemnification against liabilities arising in connection with the performance of their duties to the Fund. In the normal course of business, the Fund may also enter into contracts that provide general indemnifications. The Fund's maximum exposure under these arrangements is unknown as this would be dependent on future claims that may be made against the Fund. The risk of material loss from such claims is considered remote.

In September 2006, FIIOC, the Fund's transfer agent, notified the Fund that the Fund's books and records did not reflect a conversion of certain Class B to Class A shares upon their conversion date. In March 2007, FIIOC converted the relevant Class B shares to Class A shares and recorded the conversion in the books and records of the Fund which

Annual Report

10. Other - continued

did not result in a material impact to the Fund's reported net assets or results of operations in the accompanying financial statements. FIIOC has remediated affected shareholders and reimbursed the Fund for all related audit and legal expenses.

The United States Securities and Exchange Commission ("SEC") is conducting an investigation of FMR (covering the years 2002 to 2004) arising from gifts, gratuities and business entertainment provided by certain brokers to certain individuals who were employed on FMR's domestic equity trading desk during that period. FMR is in discussions with the SEC staff regarding the possible resolution of the matter, but as of period-end no final resolution has been reached.

In December 2006, the Independent Trustees completed their own investigation of the matter with the assistance of independent counsel. The Independent Trustees and FMR agree that, despite the absence of proof that the Fidelity mutual funds experienced diminished execution quality as a result of the improper receipt of gifts and business entertainment, the conduct at issue was serious and is worthy of redress. Accordingly, the Independent Trustees have requested and FMR has agreed to pay $42 million to Fidelity mutual funds, plus interest to be determined at the time that payment is made. A method of allocating this payment among the funds has not yet been determined. The total payment to the Fund is not anticipated to have a material impact on the Fund's net assets. In addition, FMR reimbursed related legal expenses which are recorded in the accompanying Statement of Operations as an expense reduction.

11. Distributions to Shareholders.

Distributions to shareholders of each class were as follows:

Years ended December 31,

2007

2006

From net investment income

Class A

$ 6,522

$ 3,373

Institutional Class

10,622

7,100

Total

$ 17,144

$ 10,473

From net realized gain

Class A

$ 46,240

$ 6,877

Class T

38,909

8,598

Class B

8,910

1,130

Class C

33,987

3,506

Institutional Class

40,221

4,596

Total

$ 168,267

$ 24,707

Annual Report

Notes to Financial Statements - continued

(Amounts in Thousands except ratios)

12. Share Transactions.

Transactions for each class of shares were as follows:

Shares

Dollars

Years ended December 31,

2007

2006

2007

2006

Class A

Shares sold

41,083

56,857

$ 854,701

$ 987,944

Reinvestment of distributions

2,200

510

47,987

9,102

Shares redeemed

(21,029)

(19,382)

(422,867)

(338,857)

Net increase (decrease)

22,254

37,985

$ 479,821

$ 658,189

Class T

Shares sold

12,545

49,748

$ 252,804

$ 860,917

Reinvestment of distributions

1,686

464

36,596

8,157

Shares redeemed

(31,235)

(15,864)

(633,560)

(273,911)

Net increase (decrease)

(17,004)

34,348

$ (344,160)

$ 595,163

Class B

Shares sold

2,077

8,880

$ 41,743

$ 151,398

Reinvestment of distributions

352

56

7,470

941

Shares redeemed

(4,354)

(4,507)

(84,616)

(76,579)

Net increase (decrease)

(1,925)

4,429

$ (35,403)

$ 75,760

Class C

Shares sold

11,087

36,136

$ 226,470

$ 616,428

Reinvestment of distributions

1,198

154

25,448

2,604

Shares redeemed

(11,884)

(9,125)

(231,726)

(154,499)

Net increase (decrease)

401

27,165

$ 20,192

$ 464,533

Institutional Class

Shares sold

40,372

68,189

$ 849,560

$ 1,206,339

Reinvestment of distributions

1,513

432

33,288

7,867

Shares redeemed

(19,329)

(15,120)

(392,740)

(264,200)

Net increase (decrease)

22,556

53,501

$ 490,108

$ 950,006

Annual Report

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Contrafund and the Shareholders of Fidelity Advisor New Insights Fund:

In our opinion, the accompanying statement of assets and liabilities, including the schedule of investments, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Fidelity Advisor New Insights Fund (a fund of Fidelity Contrafund) at December 31, 2007, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as "financial statements") are the responsibility of the Fidelity Advisor New Insights Fund's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at December 31, 2007 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion.

/s/ PricewaterhouseCoopers LLP

PricewaterhouseCoopers LLP

Boston, Massachusetts

February 19, 2008

Annual Report

Trustees and Officers

The Trustees, Members of the Advisory Board, and executive officers of the trust and fund, as applicable, are listed below. The Board of Trustees governs the fund and is responsible for protecting the interests of shareholders. The Trustees are experienced executives who meet periodically throughout the year to oversee the fund's activities, review contractual arrangements with companies that provide services to the fund, and review the fund's performance. Except for James C. Curvey, each of the Trustees oversees 373 funds advised by FMR or an affiliate. Mr. Curvey oversees 368 funds advised by FMR or an affiliate.

The Trustees hold office without limit in time except that (a) any Trustee may resign; (b) any Trustee may be removed by written instrument, signed by at least two-thirds of the number of Trustees prior to such removal; (c) any Trustee who requests to be retired or who has become incapacitated by illness or injury may be retired by written instrument signed by a majority of the other Trustees; and (d) any Trustee may be removed at any special meeting of shareholders by a two-thirds vote of the outstanding voting securities of the trust. Each Trustee who is not an interested person (as defined in the 1940 Act) (Independent Trustee), shall retire not later than the last day of the calendar year in which his or her 72nd birthday occurs. The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees. The executive officers and Advisory Board Members hold office without limit in time, except that any officer and Advisory Board Member may resign or may be removed by a vote of a majority of the Trustees at any regular meeting or any special meeting of the Trustees. Except as indicated, each individual has held the office shown or other offices in the same company for the past five years.

The fund's Statement of Additional Information (SAI) includes more information about the Trustees. To request a free copy, call Fidelity at 1-877-208-0098.

Interested Trustees*:

Correspondence intended for each Trustee who is an interested person may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Edward C. Johnson 3d (77)

Year of Election or Appointment: 1984

Mr. Johnson is Chairman of the Board of Trustees. Mr. Johnson serves as President (2006-present), Chief Executive Officer, Chairman, and a Director of FMR LLC; Chairman and a Director of FMR; Chairman and a Director of Fidelity Research & Analysis Company (FRAC); Chairman and a Director of Fidelity Investments Money Management, Inc.; and Chairman (2001-present) and a Director of FMR Co., Inc. In addition, Mr. Johnson serves as Chairman and Director of Fidelity International Limited (FIL). Mr. Edward C. Johnson 3d and Mr. Arthur E. Johnson are not related.

James C. Curvey (72)

Year of Election or Appointment: 2007

Mr. Curvey also serves as Trustee (2007-present) or Member of the Advisory Board (2007-present) of other investment companies advised by FMR. Mr. Curvey is a Director of FMR and FMR Co., Inc. (2007-
present). Mr. Curvey is also Vice Chairman (2006-present) and Director of FMR LLC. Mr. Curvey joined Fidelity in 1982 and served in numerous senior management positions, including President and Chief Operating Officer of FMR LLC (1997-2000) and President of Fidelity Strategic Investments (2000-2002). In addition, he serves as a member of the Board of Directors of Geerlings & Wade, Inc. (wine distribution).

* Trustees have been determined to be "Interested Trustees" by virtue of, among other things, their affiliation with the trust or various entities under common control with FMR. FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Independent Trustees:

Correspondence intended for each Independent Trustee (that is, the Trustees other than the Interested Trustees) may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Age; Principal Occupation

Dennis J. Dirks (59)

Year of Election or Appointment: 2005

Prior to his retirement in May 2003, Mr. Dirks was Chief Operating Officer and a member of the Board of The Depository Trust & Clearing Corporation (DTCC) (1999-2003). He also served as President, Chief Operating Officer, and Board member of The Depository Trust Company (DTC) (1999-2003) and President and Board member of the National Securities Clearing Corporation (NSCC) (1999-2003). In addition, Mr. Dirks served as Chief Executive Officer and Board member of the Government Securities Clearing Corporation (2001-2003) and Chief Executive Officer and Board member of the Mortgage-Backed Securities Clearing Corporation (2001-2003). Mr. Dirks also serves as a Trustee and a member of the Finance Committee of Manhattan College (2005-
present) and a Trustee and a member of the Finance Committee of AHRC of Nassau County (2006-present).

Albert R. Gamper, Jr. (65)

Year of Election or Appointment: 2006

Prior to his retirement in December 2004, Mr. Gamper served as Chairman of the Board of CIT Group Inc. (commercial finance). During his tenure with CIT Group Inc. Mr. Gamper served in numerous senior management positions, including Chairman (1987-1989; 1999-2001; 2002-2004), Chief Executive Officer (1987-2004), and President (1989-2002). He currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2001-present), Chairman of the Board of Governors, Rutgers University (2004-present), and Chairman of the Board of Saint Barnabas Health Care System.

George H. Heilmeier (71)

Year of Election or Appointment: 2004

Dr. Heilmeier is Chairman Emeritus of Telcordia Technologies (communication software and systems), where prior to his retirement, he served as company Chairman and Chief Executive Officer. He currently serves on the Boards of Directors of The Mitre Corporation (systems engineering and information technology support for the government), and HRL Laboratories (private research and development, 2004-present). He is Chairman of the General Motors Science & Technology Advisory Board and a Life Fellow of the Institute of Electrical and Electronics Engineers (IEEE). Dr. Heilmeier is a member of the Defense Science Board and the National Security Agency Advisory Board. He is also a member of the National Academy of Engineering, the American Academy of Arts and Sciences, and the Board of Overseers of the School of Engineering and Applied Science of the University of Pennsylvania. Previously, Dr. Heilmeier served as a Director of TRW Inc. (automotive, space, defense, and information technology, 1992-2002), Compaq (1994-2002), Automatic Data Processing, Inc. (ADP) (technology-based business outsourcing, 1995-2002), INET Technologies Inc. (telecommunications network surveillance, 2001-2004), and Teletech Holdings (customer management services). He is the recipient of the 2005 Kyoto Prize in Advanced Technology for his invention of the liquid crystal display, and a member of the Consumer Electronics Hall of Fame.

James H. Keyes (67)

Year of Election or Appointment: 2007

Prior to his retirement in 2003, Mr. Keyes was Chairman, President, and Chief Executive Officer of Johnson Controls, Inc. (automotive supplier, 1993-2003). He currently serves as a member of the boards of LSI Logic Corporation (semiconductor technologies), Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, 2002-present), and Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions).

Marie L. Knowles (61)

Year of Election or Appointment: 2001

Prior to Ms. Knowles' retirement in June 2000, she served as Executive Vice President and Chief Financial Officer of Atlantic Richfield Company (ARCO) (diversified energy, 1996-2000). From 1993 to 1996, she was a Senior Vice President of ARCO and President of ARCO Transportation Company. She served as a Director of ARCO from 1996 to 1998. She currently serves as a Director of Phelps Dodge Corporation (copper mining and manufacturing) and McKesson Corporation (healthcare service, 2002-present). Ms. Knowles is a Trustee of the Brookings Institution and the Catalina Island Conservancy and also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California.

Ned C. Lautenbach (63)

Year of Election or Appointment: 2000

Mr. Lautenbach is Chairman of the Independent Trustees (2006-present). Mr. Lautenbach has been a partner of Clayton, Dubilier & Rice, Inc. (private equity investment firm) since September 1998. Previously, Mr. Lautenbach was with the International Business Machines Corporation (IBM) from 1968 until his retirement in 1998. Mr. Lautenbach serves as a Director of Sony Corporation (2006-present) and Eaton Corporation (diversified industrial) as well as the Philharmonic Center for the Arts in Naples, Florida. He also is a member of the Board of Trustees of Fairfield University (2005-present), as well as a member of the Council on Foreign Relations.

Cornelia M. Small (63)

Year of Election or Appointment: 2005

Ms. Small is a member (2000-present) and Chairperson (2002-present) of the Investment Committee, and a member (2002-present) of the Board of Trustees of Smith College. Previously, she served as Chief Investment Officer (1999-2000), Director of Global Equity Investments (1996-1999), and a member of the Board of Directors of Scudder, Stevens & Clark (1990-1997) and Scudder Kemper Investments (1997-
1999). In addition, Ms. Small served as Co-Chair (2000-2003) of the Annual Fund for the Fletcher School of Law and Diplomacy.

William S. Stavropoulos (68)

Year of Election or Appointment: 2001

Mr. Stavropoulos is Chairman Emeritus of the Board of Directors of The Dow Chemical Company. Since joining The Dow Chemical Company in 1967, Mr. Stavropoulos served in numerous senior management positions, including President (1993-2000; 2002-2003), CEO (1995-2000; 2002-2004), and Chairman of the Executive Committee (2000-2004). Currently, he is a Director of NCR Corporation (data warehousing and technology solutions), Chemical Financial Corporation, Maersk Inc. (industrial conglomerate, 2002-present), Tyco International, Inc. (multinational manufacturing and services, 2007-present), and a member of the Advisory Board for Metalmark Capital (private equity investment firm, 2005-present). He is a special advisor to Clayton, Dubilier & Rice, Inc., a private equity investment firm. He also serves as a member of the Board of Trustees of the American Enterprise Institute for Public Policy Research. In addition, Mr. Stavropoulos is a member of The Business Council, J.P. Morgan International Council and the University of Notre Dame Advisory Council for the College of Science.

Kenneth L. Wolfe (68)

Year of Election or Appointment: 2005

Mr. Wolfe is Chairman and a Director of Hershey Foods Corporation (2007-present), where prior to his retirement in 2001, he was Chairman and Chief Executive Officer. Mr. Wolfe currently serves as a member of the board of Revlon Inc. (2004-present). Previously, Mr. Wolfe served as a member of the boards of Adelphia Communications Corporation (2003-2006) and Bausch & Lomb, Inc. (1993-2007).

Advisory Board Members and Executive Officers**:

Correspondence intended for Mr. Mauriello, Mr. Thomas, Mr. Wiley, Mr. Lacy, and Mr. Arthur Johnson may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235. Correspondence intended for each executive officer and Mr. Lynch may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Arthur E. Johnson (60)

Year of Election or Appointment: 2008

Member of the Advisory Board of Fidelity Contrafund. Mr. Johnson serves as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor). In addition, Mr. Johnson serves as a member of the Board of Directors of AGL Resources, Inc. (holding company, 2002-present), and IKON Office Solutions, Inc. (document management systems and services). Mr. Arthur E. Johnson and Mr. Edward C. Johnson 3d are not related.

Alan J. Lacy (54)

Year of Election or Appointment: 2008

Member of the Advisory Board of Fidelity Contrafund. Mr. Lacy serves as Senior Adviser (2007-present) of Oak Hill Capital Partners, L.P. (a private equity firm). Mr. Lacy also served as Vice Chairman and Chief Executive Officer of Sears Holdings Corporation and Sears, Roebuck and Co. (retail, 2005-2006; 2000-2005). In addition, Mr. Lacy serves as a member of the Board of Directors of The Western Union Company (global money transfer, 2006-present) and Bristol-Myers Squibb (global pharmaceuticals, 2007-present). Mr. Lacy is a Trustee of the National Parks Conservation Association and The Field Museum of Natural History.

Peter S. Lynch (63)

Year of Election or Appointment: 2003

Member of the Advisory Board of Fidelity Contrafund. Mr. Lynch is Vice Chairman and a Director of FMR, and Vice Chairman (2001-present) and a Director of FMR Co., Inc. Previously, Mr. Lynch served as a Trustee of the Fidelity funds (1990-2003). In addition, he serves as a Trustee of Boston College and as the Chairman of the Inner-City Scholarship Fund.

Joseph Mauriello (63)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Prior to his retirement in January 2006, Mr. Mauriello served in numerous senior management positions including Deputy Chairman and Chief Operating Officer (2004-2005), and Vice Chairman of Financial Services (2002-
2004) of KPMG LLP US (professional services firm, 1965-2005). Mr. Mauriello currently serves as a member of the Board of Directors of XL Capital Ltd. (global insurance and re-insurance company, 2006-
present) and of Arcadia Resources Inc. (health care services and products, 2007-present). He also served as a Director of the Hamilton Funds of the Bank of New York (2006-2007).

David M. Thomas (58)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Previously, Mr. Thomas served as Executive Chairman (2005-2006) and Chairman and Chief Executive Officer (2000-2005) of IMS Health, Inc. (pharmaceutical and healthcare information solutions). In addition, Mr. Thomas serves as a member of the Board of Directors of Fortune Brands, Inc. (consumer products holding company), and Interpublic Group of Companies, Inc. (marketing communication, 2004-present).

Michael E. Wiley (57)

Year of Election or Appointment: 2007

Member of the Advisory Board of Fidelity Contrafund. Mr. Wiley also serves as a member of the Board of Trustees of the University of Tulsa (2000-2006; 2007-present). He serves as a Director of Tesoro Corporation (independent oil refiner and marketer, 2005-present), and a Director of Bill Barrett Corporation (exploration and production company, 2005-present). In addition, he also serves as a Director of Post Oak Bank (privately-held bank, 2004-present). Previously, Mr. Wiley served as a Sr. Energy Advisor of Katzenbach Partners, LLC (consulting firm, 2006-2007), as an Advisory Director of Riverstone Holdings (private investment firm), Chairman, President, and CEO of Baker Hughes, Inc. (oilfield services company, 2000-2004), and as Director of Spinnaker Exploration Company (exploration and production company, 2001-2005).

Kimberley H. Monasterio (44)

Year of Election or Appointment: 2007

President and Treasurer of Advisor New Insights. Ms. Monasterio also serves as President and Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2004-present). Previously, Ms. Monasterio served as Deputy Treasurer of the Fidelity funds (2004-2006). Before joining Fidelity Investments, Ms. Monasterio served as Treasurer (2000-
2004) and Chief Financial Officer (2002-2004) of the Franklin Templeton Funds and Senior Vice President of Franklin Templeton Services, LLC (2000-2004).

Walter C. Donovan (45)

Year of Election or Appointment: 2007

Vice President of the Advisor New Insights. Mr. Donovan also serves as Vice President of Fidelity's Equity Funds (2007-present). Mr. Donovan also serves as Executive Vice President of FMR (2005-present) and FMR Co., Inc. (2005-present). Previously, Mr. Donovan served as Vice President of Fidelity's High Income Funds (2005-2007), Fixed-Income Funds (2005-2006), certain Asset Allocation Funds (2005-2006), certain Balanced Funds (2005-2006), and as Vice President and Director of Fidelity's International Equity Trading group (1998-2005).

Bruce T. Herring (42)

Year of Election or Appointment: 2006

Vice President of Advisor New Insights. Mr. Herring also serves as Vice President of certain Equity Funds (2006-present). Mr. Herring is Senior Vice President of FMR (2006-present) and Vice President of FMR Co., Inc. (2001-present). Previously, Mr. Herring served as a portfolio manager for Fidelity U.S. Equity Funds (2001-2005).

Eric D. Roiter (59)

Year of Election or Appointment: 2003

Secretary of Advisor New Insights. He also serves as Secretary of other Fidelity funds; Vice President, General Counsel, and Secretary of FMR Co., Inc. (2001-present) and FMR; Assistant Secretary of Fidelity Management & Research (U.K.) Inc. (2001-present), Fidelity Research & Analysis Company (2001-present), and Fidelity Investments Money Management, Inc. (2001-present). Mr. Roiter is an Adjunct Member, Faculty of Law, at Boston College Law School (2003-present). Previously, Mr. Roiter served as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (1998-2005).

John B. McGinty, Jr. (45)

Year of Election or Appointment: 2008

Assistant Secretary of Advisor New Insights. Mr. McGinty also serves as Assistant Secretary of other Fidelity funds (2008-present) and is an employee of FMR LLC (2004-present). Mr. McGinty also serves as Senior Vice President, Secretary, and Chief Legal Officer of FDC (2007-
present). Before joining Fidelity Investments, Mr. McGinty practiced law at Ropes & Gray, LLP.

R. Stephen Ganis (41)

Year of Election or Appointment: 2006

Anti-Money Laundering (AML) officer of Advisor New Insights. Mr. Ganis also serves as AML officer of other Fidelity funds (2006-present) and FMR LLC (2003-present). Before joining Fidelity Investments, Mr. Ganis practiced law at Goodwin Procter, LLP (2000-2002).

Joseph B. Hollis (59)

Year of Election or Appointment: 2006

Chief Financial Officer of Advisor New Insights. Mr. Hollis also serves as Chief Financial Officer of other Fidelity funds. Mr. Hollis is President of Fidelity Pricing and Cash Management Services (FPCMS) (2005-
present). Mr. Hollis also serves as President and Director of Fidelity Service Company, Inc. (2006-present). Previously, Mr. Hollis served as Senior Vice President of Cash Management Services (1999-2002) and Investment Management Operations (2002-2005).

Kenneth A. Rathgeber (60)

Year of Election or Appointment: 2004

Chief Compliance Officer of Advisor New Insights. Mr. Rathgeber also serves as Chief Compliance Officer of other Fidelity funds (2004-
present) and Executive Vice President of Risk Oversight for Fidelity Investments (2002-present). He is Chief Compliance Officer of FMR (2005-present), FMR Co., Inc. (2005-present), Fidelity Management & Research (U.K.) Inc. (2005-present), Fidelity Research & Analysis Company (2005-present), Fidelity Investments Money Management, Inc. (2005-present), and Strategic Advisers, Inc. (2005-present). Previously, Mr. Rathgeber served as Executive Vice President and Chief Operating Officer for Fidelity Investments Institutional Services Company, Inc. (1998-2002).

Bryan A. Mehrmann (46)

Year of Election or Appointment: 2005

Deputy Treasurer of Advisor New Insights. Mr. Mehrmann also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR. Previously, Mr. Mehrmann served as Vice President of Fidelity Investments Institutional Services Group (FIIS)/Fidelity Investments Institutional Operations Corporation, Inc. (FIIOC) Client Services (1998-2004).

Kenneth B. Robins (38)

Year of Election or Appointment: 2005

Deputy Treasurer of Advisor New Insights. Mr. Robins also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2004-present). Before joining Fidelity Investments, Mr. Robins worked at KPMG LLP, where he was a partner in KPMG's department of professional practice (2002-2004) and a Senior Manager (1999-2000). In addition, Mr. Robins served as Assistant Chief Accountant, United States Securities and Exchange Commission (2000-2002).

Robert G. Byrnes (41)

Year of Election or Appointment: 2005

Assistant Treasurer of Advisor New Insights. Mr. Byrnes also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Byrnes served as Vice President of FPCMS (2003-2005). Before joining Fidelity Investments, Mr. Byrnes worked at Deutsche Asset Management where he served as Vice President of the Investment Operations Group (2000-2003).

Peter L. Lydecker (53)

Year of Election or Appointment: 2004

Assistant Treasurer of Advisor New Insights. Mr. Lydecker also serves as Assistant Treasurer of other Fidelity funds (2004) and is an employee of FMR.

Paul M. Murphy (60)

Year of Election or Appointment: 2007

Assistant Treasurer of Advisor New Insights. Mr. Murphy also serves as Assistant Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2007-present). Previously, Mr. Murphy served as Chief Financial Officer of the Fidelity Funds (2005-2006), Vice President and Associate General Counsel of FMR (2007), and Senior Vice President of Fidelity Pricing and Cash Management Services Group (FPCMS) (1994-2007).

Gary W. Ryan (49)

Year of Election or Appointment: 2005

Assistant Treasurer of Advisor New Insights. Mr. Ryan also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Ryan served as Vice President of Fund Reporting in FPCMS (1999-2005).

** FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Annual Report

Distributions

The Board of Trustees of Fidelity Advisor New Insights Fund voted to pay to shareholders of record at the opening of business on record date, the following distributions per share derived from capital gains realized from sales of portfolio securities:

Pay Date

Record Date

Capital Gains

Institutional Class

02/19/08

02/15/08

$0.115

The fund hereby designates as a capital gain dividend with respect to the taxable year ended December 31, 2007, $235,532,113, or, if subsequently determined to be different, the net capital gain of such year.

The Institutional Class designates 100% of the dividends distributed during the fiscal year as qualifying for the dividends-received deduction for corporate shareholders.

The Institutional Class designates 100% of the dividends distributed during the fiscal year as amounts which may be taken into account as a dividend for purposes of the maximum rate under section 1(h)(11) of the Internal Revenue Code.

The fund will notify shareholders in January 2008 of amounts for use in preparing 2007 income tax returns.

Annual Report

Proxy Voting Results

A special meeting of the fund's shareholders was held on September 19, 2007. The results of votes taken among shareholders on the proposal before them are reported below. Each vote reported represents one dollar of net asset value held on the record date for the meeting.

PROPOSAL 1

To approve an amended management contract that includes adding a performance adjustment component to the fund's management fee and giving the Trustees the authority to change the fund's performance adjustment index going forward, without a shareholder vote, subject to applicable law.

# of
Votes

% of
Votes

Affirmative

2,870,956,135.65

69.687

Against

866,498,065.68

21.033

Abstain

199,841,166.01

4.850

Uninstructed

182,506,666.00

4.430

TOTAL

4,119,802,033.34

100.000

Annual Report

Board Approval of Investment Advisory Contracts and Management Fees

Advisor New Insights Fund

Each year, typically in July, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract and sub-advisory agreements (together, the Advisory Contracts) for the fund. The Board, assisted by the advice of fund counsel and Independent Trustees' counsel, requests and considers a broad range of information throughout the year.

The Board meets regularly each month except August and takes into account throughout the year matters bearing on Advisory Contracts. The Board, acting directly and through its separate committees, considers at each of its meetings factors that are relevant to the annual renewal of the fund's Advisory Contracts, including the services and support provided to the fund and its shareholders. At the time of the renewal, the Board had 12 standing committees, each composed of Independent Trustees with varying backgrounds, to which the Board has assigned specific subject matter responsibilities in order to enhance effective decision-making by the Board. Each committee has adopted a written charter outlining the structure and purposes of the committee. One such committee, the Equity Contract Committee, meets periodically as needed throughout the year to consider matters specifically related to the annual renewal of Advisory Contracts. The committee requests and receives information on, and makes recommendations to the Independent Trustees concerning, the approval and annual review of the Advisory Contracts.

At its July 2007 meeting, the Board of Trustees, including the Independent Trustees, unanimously determined to renew the Advisory Contracts for the fund. In reaching its determination, the Board considered all factors it believed relevant, including (i) the nature, extent, and quality of the services to be provided to the fund and its shareholders (including the investment performance of the fund); (ii) the competitiveness of the management fee and total expenses of the fund; (iii) the total costs of the services to be provided by and the profits to be realized by the investment adviser and its affiliates from the relationship with the fund; (iv) the extent to which economies of scale would be realized as the fund grows; and (v) whether fee levels reflect these economies of scale, if any, for the benefit of fund shareholders. The Board also approved amendments to the fund's agreements with foreign sub-advisers to clarify that each sub-adviser provides services as an independent contractor.

In determining whether to renew the Advisory Contracts for the fund, the Board ultimately reached a determination, with the assistance of fund counsel and Independent Trustees' counsel, that the renewal of the Advisory Contracts and the compensation to be received by Fidelity under the management contract is consistent with Fidelity's fiduciary duty under applicable law. In addition to evaluating the specific factors noted above, the Board, in reaching its determination, is aware that shareholders in the fund have a broad range of investment choices available to them, including a wide choice among mutual funds offered by competitors to Fidelity, and that the fund's shareholders, with the opportunity to review and weigh the disclosure provided by the fund in its prospectus and other public disclosures, have chosen to invest in this fund, managed by Fidelity.

Annual Report

Nature, Extent, and Quality of Services Provided. The Board considered staffing within the investment adviser, FMR, and the sub-advisers (together, the Investment Advisers), including the background of the fund's portfolio manager and the fund's investment objective and discipline. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the portfolio manager compensation program and whether this structure provides appropriate incentives.

Resources Dedicated to Investment Management and Support Services. The Board reviewed the size, education, and experience of the Investment Advisers' investment staff, their use of technology, and the Investment Advisers' approach to recruiting, training, and retaining portfolio managers and other research, advisory, and management personnel. The Board considered Fidelity's extensive global research capabilities that enable the Investment Advisers to aggregate data from various sources in an effort to produce positive investment results. The Board noted that Fidelity's analysts have access to a variety of technological tools that enable them to perform both fundamental and quantitative analysis and to specialize in various disciplines. The Board also considered that Fidelity's portfolio managers and analysts have access to daily portfolio attribution that allows for monitoring of a fund's portfolio, as well as an electronic communication system that provides immediate real-time access to research concerning issuers and credit enhancers.

Shareholder and Administrative Services. The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, distribution, and shareholder services performed by the Investment Advisers and their affiliates under the Advisory Contracts and under separate agreements covering transfer agency, pricing and bookkeeping, and securities lending services for the fund; (ii) the nature and extent of the Investment Advisers' supervision of third party service providers, principally custodians and subcustodians; and (iii) the resources devoted to, and the record of compliance with, the fund's compliance policies and procedures. The Board reviewed the allocation of fund brokerage, including allocations to brokers affiliated with the Investment Advisers, the use of brokerage commissions to pay fund expenses, and the use of "soft" commission dollars to pay for research services. The Board also considered that Fidelity voluntarily pays for market data out of its own resources. The Board also considered the agreement reached between the Independent Trustees and Fidelity in December 2006 following an independent review of matters relating to receipt of travel, entertainment, gifts and gratuities in violation of Fidelity policies.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

The Board noted that the growth of fund assets across the complex allows Fidelity to reinvest in the development of services designed to enhance the value or convenience of the Fidelity funds as investment vehicles. These services include 24-hour access to account information and market information through phone representatives and over the Internet, and investor education materials and asset allocation tools.

Investment in a Large Fund Family. The Board considered the benefits to shareholders of investing in a Fidelity fund, including the benefits of investing in a fund that is part of a large family of funds offering a variety of investment disciplines and providing for a large variety of mutual fund investor services. For example, fund shareholders are offered the privilege of exchanging shares of the fund for shares of other Fidelity funds, as set forth in the fund's prospectus, without paying a sales charge. The Board noted that, since the last Advisory Contract renewals in July 2006, Fidelity has taken a number of actions that benefited particular funds, including (i) dedicating additional resources to investment research and to restructure the investment research teams; (ii) contractually agreeing to reduce the management fee on Fidelity Advisor Floating Rate High Income Fund; (iii) contractually agreeing to reduce the management fees on Fidelity's California, Massachusetts, New Jersey, and New York AMT Tax-Free Money Market Funds, launching new Institutional Classes and Service Classes of these funds, and contractually agreeing to impose expense limitations on these funds; (iv) eliminating the exchange fee on the Fidelity Select Portfolios and reducing the pricing and bookkeeping fee rates for these funds; (v) reducing the maximum transfer agency fee rates on high income funds and certain equity funds; (vi) proposing amended management contracts that, if approved by shareholders, will add a performance adjustment component to the management fees paid by 18 Fidelity Advisor equity funds; (vii) contractually agreeing to reduce fees for Ultra-Short Central Fund and the money market Central Funds; (viii) waiving the Fidelity Advisor funds' contingent deferred sales charge on certain redemptions made through systematic withdrawal programs; and (ix) amending the management contracts for equity and fixed-income funds whose management contracts incorporate a "group fee" structure by adding four new fee "breakpoints" to the group fee rate schedules.

Investment Performance and Compliance. The Board considered whether the fund has operated within its investment objective, as well as its record of compliance with its investment restrictions. It also reviewed the fund's absolute investment performance for each class, as well as the fund's relative investment performance for each class measured against (i) a broad-based securities market index, and (ii) a custom peer group of mutual funds deemed appropriate by the Board over multiple periods. Because the fund had been in existence less than five calendar years, the following charts considered by the Board show, over the one- and three-year periods ended December 31, 2006, the cumulative total returns of Institutional Class (Class I) and Class B of the fund, the cumulative total returns of a broad-based securities market index ("benchmark"), and a range of cumulative total returns of a custom peer group of mutual funds defined by FMR based on categories assigned by Morningstar, Inc. The returns of Institutional Class (Class I) and Class B show the performance of the highest and lowest performing classes, respectively (based on three-year performance). The box within each chart shows the 25th percentile return (bottom of box) and the 75th percentile return (top of box) of the peer group. Returns shown above the box are in the first quartile and returns shown below the box are in the fourth quartile. The percentage beaten numbers noted below each chart correspond to the percentile box and represent the percentage of funds in the peer group whose performance was equal to or lower than that of the class indicated. The fund's custom peer group, defined by FMR, is a peer group that FMR believes provides a more meaningful performance comparison than the peer group assigned by Morningstar, Inc. Morningstar, Inc. assigns mutual funds to categories based on their investment styles as measured by their underlying portfolio holdings.

Annual Report

Advisor New Insights Fund

The Board reviewed the fund's relative investment performance against its peer group and stated that the performance of Institutional Class (Class I) of the fund was in the third quartile for the one-year period and the first quartile for the three-year period. The Board also stated that the investment performance of the fund was lower than its benchmark for the one-year period, although the three-year cumulative total return of Institutional Class (Class I) compared favorably to its benchmark. The Board considered that the variations in performance among the fund's classes reflect the variations in class expenses, which result in lower performance for higher expense classes.

The Board considered that FMR has taken steps to refocus and strengthen equity research, equity portfolio management, and compliance.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Based on its review, and giving particular weight to the nature and quality of the resources dedicated by the Investment Advisers to maintain and improve relative performance, the Board concluded that the nature, extent, and quality of the services provided to the fund will benefit the fund's shareholders, particularly in light of the Board's view that the fund's shareholders benefit from investing in a fund that is part of a large family of funds offering a variety of investment disciplines and services.

Competitiveness of Management Fee and Total Fund Expenses. The Board considered the fund's management fee and total expenses compared to "mapped groups" of competitive funds and classes. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable management fee characteristics. Combining Lipper investment objective categories aids the Board's management fee and total expense comparisons by broadening the competitive group used for comparison and by reducing the number of universes to which various Fidelity funds are compared. The Board also considered supplemental information about how the fund's management fee and total expenses ranked relative to groups based on Lipper classifications, which take into account a fund's market capitalization and style.

The Board considered two proprietary management fee comparisons for the 12-month (or shorter) periods shown in the chart below. The group of Lipper funds used by the Board for management fee comparisons is referred to below as the "Total Mapped Group." The Total Mapped Group comparison focuses on a fund's standing relative to the total universe of comparable funds available to investors, in terms of gross management fees before expense reimbursements or caps. "TMG %" represents the percentage of funds in the Total Mapped Group that had management fees that were lower than the fund's. For example, a TMG % of 9% means that 91% of the funds in the Total Mapped Group had higher management fees than the fund. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to non-Fidelity funds similar in size to the fund within the Total Mapped Group. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee characteristics, subject to a minimum of 50 funds (or all funds in the Total Mapped Group if fewer than 50). Additional information, such as the ASPG quartile in which the fund's management fee ranked, is also included in the chart and considered by the Board.

Annual Report

Advisor New Insights Fund

The Board noted that the fund's management fee ranked below the median of its Total Mapped Group and below the median of its ASPG for 2006.

Furthermore, the Board considered that, on December 14, 2006, it had approved an amended management contract for the fund that, if approved by shareholders, will add a performance adjustment component to the management fee paid by the fund (that is, the fund's management fee will be subject to upward or downward adjustment depending upon whether, and to what extent, the fund's investment performance for the performance period exceeds, or is exceeded by, the record (over the same period) of a Board-approved performance adjustment index).

Based on its review, the Board concluded that the fund's management fee was fair and reasonable in light of the services that the fund receives and the other factors considered.

In its review of each class's total expenses, the Board considered the fund's management fee as well as other fund or class expenses, as applicable, such as transfer agent fees, pricing and bookkeeping fees, fund-paid 12b-1 fees, and custodial, legal, and audit fees. The Board also noted the effects of any waivers and reimbursements on fees and expenses. As part of its review, the Board also considered current and historical total expenses of each class of the fund compared to competitive fund median expenses. Each class of the fund is compared to those funds and classes in the Total Mapped Group (used by the Board for management fee comparisons) that have a similar sales load structure.

The Board noted that the total expenses of each class ranked below its competitive median for 2006.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

In its review of total expenses, the Board also considered Fidelity fee structures and other information on clients that FMR and its affiliates service in other competitive markets, such as other mutual funds advised or subadvised by FMR or its affiliates, pension plan clients, and other institutional clients.

Based on its review, the Board concluded that the total expenses of each class of the fund were reasonable in light of the services that the fund and its shareholders receive and the other factors considered.

Costs of the Services and Profitability. The Board considered the revenues earned and the expenses incurred by Fidelity in conducting the business of developing, marketing, distributing, managing, administering and servicing the fund and its shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, FMR presents to the Board Fidelity's profitability for the fund. Fidelity calculates the profitability for each fund, as well as aggregate profitability for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the audited books and records of Fidelity. The Audit Committee of the Board reviews any significant changes from the prior year's methodologies.

PricewaterhouseCoopers LLP (PwC), independent registered public accounting firm and auditor to Fidelity and certain Fidelity funds, has been engaged annually by the Board as part of the Board's assessment of the results of Fidelity's profitability analysis. PwC's engagement includes the review and assessment of Fidelity's methodologies used in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures surrounding the mathematical accuracy of fund profitability and its conformity to allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board believes that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board has also reviewed Fidelity's non-fund businesses and any fall-out benefits related to the mutual fund business as well as cases where Fidelity's affiliates may benefit from or be related to the fund's business.

The Board considered the costs of the services provided by and the profits realized by Fidelity in connection with the operation of the fund and determined that the amount of profit is a fair entrepreneurial profit for the management of the fund.

Economies of Scale. The Board considered whether there have been economies of scale in respect of the management of the Fidelity funds, whether the Fidelity funds (including the fund) have appropriately benefited from any such economies of scale, and whether there is potential for realization of any further economies of scale. The Board considered the extent to which the fund will benefit from economies of scale through increased services to the fund, through waivers or reimbursements, or through fee or expense reductions, including reductions that occur through operation of the transfer agent agreement. The transfer agent fee varies in part based on the number of accounts in the fund. If the number of accounts decreases or the average account size increases, the overall transfer agent fee rate decreases.

Annual Report

The Board recognized that the fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total fund assets under FMR's management increase, and for higher group fee rates as total fund assets under FMR's management decrease. FMR determines the group fee rates based on a tiered asset "breakpoint" schedule. In connection with the renewal of the fund's management contract, the Board approved amendments to the fund's management contract that added four new fee breakpoints to the group fee rate schedule for assets under FMR's management above $1,386 billion. The Board considered that the group fee rate declines under both the present and amended schedules, but that under the amended schedule, the group fee rate declines faster as assets under FMR's management exceed $1,386 billion. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total fund assets increase, even if assets of any particular fund are unchanged or have declined, because some portion of Fidelity's costs are attributable to services provided to all Fidelity funds, and all funds benefit if those costs can be allocated among more assets. The Board also considered that although the fund is partially closed to new investors, it continues to incur investment management expenses, and marketing and distribution expenses related to the retention of existing shareholders and assets. The Board further noted that the fund may continue to realize benefits from the group fee structure, even though assets may not be expected to grow significantly at the fund level. The Board concluded that, given the group fee structure, fund shareholders will achieve a certain level of economies of scale as assets under FMR's management increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board further concluded that any potential economies of scale are being shared between fund shareholders and Fidelity in an appropriate manner.

Additional Information Requested by the Board. In order to develop fully the factual basis for consideration of the Fidelity funds' Advisory Contracts, the Board requested and received additional information on several topics, including (i) fund performance trends and actions to be taken by FMR to improve certain funds' overall performance; (ii) Fidelity's portfolio manager compensation structure, including its effects on fund profitability and the extent to which portfolio manager compensation is linked to fund performance; (iii) Fidelity's fee structures; (iv) the funds' sub-advisory arrangements; and (v) accounts managed by Fidelity other than the Fidelity funds.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Based on its evaluation of all of the conclusions noted above, and after considering all material factors, the Board ultimately concluded that the advisory fee structures are fair and reasonable, and that the fund's Advisory Contracts should be renewed.

Annual Report

Annual Report

Investment Adviser

Fidelity Management & Research Company

Boston, MA

Investment Sub-Adviser

FMR Co., Inc.

Fidelity Management & Research
(U.K.) Inc.

Fidelity Research & Analysis Company

Fidelity Investments Japan Limited

Fidelity International Investment Advisors

Fidelity International Investment
Advisors (U.K.) Limited

General Distributor

Fidelity Distributors Corporation

Boston, MA

Transfer and Service Agents

Fidelity Investments Institutional Operations Company, Inc.

Boston, MA

Fidelity Service Company, Inc.

Boston, MA

Custodian

Brown Brothers Harriman & Co.

Boston, MA

ANIFI-UANN-0208
1.796411.104

(Fidelity Investment logo)(registered trademark)

Fidelity®
Contrafund®

Annual Report

December 31, 2007

(2_fidelity_logos) (Registered_Trademark)

Contents

Chairman's Message

<Click Here>

Ned Johnson's message to shareholders.

Performance

<Click Here>

How the fund has done over time.

Management's Discussion

<Click Here>

The manager's review of fund performance, strategy and outlook.

Shareholder Expense Example

<Click Here>

An example of shareholder expenses.

Investment Changes

<Click Here>

A summary of major shifts in the fund's investments over the past six months.

Investments

<Click Here>

A complete list of the fund's investments with their market values.

Financial Statements

<Click Here>

Statements of assets and liabilities, operations, and changes in net assets,
as well as financial highlights.

Notes

<Click Here>

Notes to the financial statements.

Report of Independent Registered Public Accounting Firm

<Click Here>

Trustees and Officers

<Click Here>

Distributions

<Click Here>

Board Approval of Investment Advisory Contracts and Management Fees

<Click Here>

To view a fund's proxy voting guidelines and proxy voting record for the 12-month period ended June 30, visit http://www.fidelity.com (search for "proxy voting guidelines") or visit the Securities and Exchange Commission's (SEC) web site at http://www.sec.gov. You may also call 1-800-544-8544 to request a free copy of the proxy voting guidelines.

Standard & Poor's, S&P and S&P 500 are registered service marks of The McGraw-Hill Companies, Inc. and have been licensed for use by Fidelity Distributors Corporation.

Other third party marks appearing herein are the property of their respective owners.

All other marks appearing herein are registered or unregistered trademarks or service marks of FMR LLC or an affiliated company.

Annual Report

This report and the financial statements contained herein are submitted for the general information of the shareholders of the fund. This report is not authorized for distribution to prospective investors in the fund unless preceded or accompanied by an effective prospectus.

A fund files its complete schedule of portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-Q. Forms N-Q are available on the SEC's web site at http://www.sec.gov. A fund's Forms N-Q may be reviewed and copied at the SEC's Public Reference Room in Washington, DC. Information regarding the operation of the SEC's Public Reference Room may be obtained by calling 1-800-SEC-0330. For a complete list of a fund's portfolio holdings, view the most recent holdings listing, semiannual report, or annual report on Fidelity's web site at http://www.fidelity.com or http://www.advisor.fidelity.com, as applicable.

NOT FDIC INSURED · MAY LOSE VALUE · NO BANK GUARANTEE

Neither the fund nor Fidelity Distributors Corporation is a bank.

Annual Report

Chairman's Message

(photo_of_Edward_C_Johnson_3d)

Dear Shareholder:

Many stock and bond markets around the world have been unsettled of late; however, volatility can often lead to opportunity for patient investors. Financial markets are always unpredictable, but there are a number of time-tested principles that can put the historical odds in your favor.

One of the basic tenets is to invest for the long term. Over time, riding out the markets' inevitable ups and downs has proven much more effective than selling into panic or chasing the hottest trend. Even missing only a few of the markets' best days can significantly diminish investor returns. Patience also affords the benefits of compounding - of earning interest on additional income or reinvested dividends and capital gains. There are tax advantages and cost benefits to consider as well. The more you sell, the more taxes you pay, and the more you trade, the higher the costs. While staying the course doesn't eliminate risk, it can considerably lessen the effect of short-term declines.

You can further manage your investing risk through diversification. And today, more than ever, geographic diversification should be taken into account. Studies indicate that asset allocation is the single most important determinant of a portfolio's long-term success. The right mix of stocks, bonds and cash - aligned to your particular risk tolerance and investment objective - is very important. Age-appropriate rebalancing is also an essential aspect of asset allocation. For younger investors, an emphasis on equities - which historically have been the best-performing asset class over time - is encouraged. As investors near their specific goal, such as retirement or sending a child to college, consideration may be given to replacing volatile assets (e.g. common stocks) with more-stable fixed investments (bonds or savings plans).

A third investment principle - investing regularly - can help lower the average cost of your purchases. Investing a certain amount of money each month or quarter helps ensure you won't pay for all your shares at market highs. This strategy - known as dollar cost averaging - also reduces unconstructive "emotion" from investing, helping shareholders avoid selling weak performers just prior to an upswing, or chasing a hot performer just before a correction.

We invite you to contact us via the Internet, through our Investor Centers or over the phone. It is our privilege to provide you the information you need to make the investments that are right for you.

Sincerely,

/s/Edward C. Johnson 3d

Edward C. Johnson 3d

Annual Report

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of the fund's dividend income and capital gains (the profits earned upon the sale of securities that have grown in value, if any) and assuming a constant rate of performance each year. The $10,000 table and the fund's returns do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. During periods of reimbursement by Fidelity, a fund's total return will be greater than it would be had the reimbursement not occurred. How a fund did yesterday is no guarantee of how it will do tomorrow.

Average Annual Total Returns

Periods ended December 31, 2007

Past 1
year

Past 5
years

Past 10
years

Fidelity® Contrafund®

19.78%

17.99%

10.72%

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity® Contrafund® on December 31, 1997. The chart shows how the value of your investment would have changed, and also shows how the Standard & Poor's 500SM Index (S&P 500®) performed over the same period.



Annual Report

Management's Discussion of Fund Performance

Comments from William Danoff, Portfolio Manager of Fidelity® Contrafund®

U.S. stock markets, as measured by the bellwether Dow Jones Industrial AverageSM and the Standard & Poor's 500SM Index, registered their fifth consecutive year of positive returns in 2007. The Dow rose 8.88% in that time, while the S&P 500® index advanced 5.49%. The tech-heavy NASDAQ Composite® Index did even better, gaining 10.55%. However, credit-and recession-related concerns carved deeply into equity prices late in 2007, pushing some market measures into negative territory for the year overall, particularly smaller-cap and value-oriented benchmarks. In fact, the entire second half of 2007 was negative for many equity yardsticks, as the credit crunch - precipitated by the housing market slowdown and the subprime mortgage crisis - weighed heavily on investor sentiment. Meanwhile, sharply higher energy prices pressured consumer spending, adding a further layer of anxiety in much of the back half of the period. In an attempt to re-stimulate the economy, the Federal Reserve Board lowered its discount rate and made three cuts to the federal funds target rate. Despite these actions, stocks generally slumped across the board in November and December.

Contrafund had a very good year, returning 19.78% and beating the S&P 500 by a wide margin. The fund's healthy outperformance relative to the index was driven by three main factors: its growth stock bias during a period when growth outpaced value by more than 10 percentage points; extremely productive stock selection, especially in the technology sector; and astute industry positioning by avoiding the most-toxic areas of the weak financials group. The fund's three top relative contributors, leading competitors in the strong Internet and wireless markets, were consumer electronics giant Apple, paid-search engine Google and Research In Motion, a Canada-based out-of-index holding whose popular BlackBerry brand dominates the wireless messaging market. Also making sizable contributions were such stocks as America Movil, a leading wireless provider in Mexico, and insurance conglomerate Berkshire Hathaway. Relative performance was tempered by a large stake in biopharmaceutical firm Genentech, which stumbled on market worries about delays in its product pipeline. Performance also suffered from holding no stake or only minimal stakes in some of the S&P 500's best-performing stocks, including such names as integrated oil company Chevron and software leader Microsoft.

The views expressed above reflect those of the portfolio manager(s) only through the end of the period as stated on the cover of this report and do not necessarily represent the views of Fidelity or any other person in the Fidelity organization. Any such views are subject to change at any time based upon market or other conditions and Fidelity disclaims any responsibility to update such views. These views may not be relied on as investment advice and, because investment decisions for a Fidelity fund are based on numerous factors, may not be relied on as an indication of trading intent on behalf of any Fidelity fund.

Annual Report

Shareholder Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, and (2) ongoing costs, including management fees and other Fund expenses. This Example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

The Example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period (July 1, 2007 to December 31, 2007).

Actual Expenses

The first line of the accompanying table provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000.00 (for example, an $8,600 account value divided by $1,000.00 = 8.6), then multiply the result by the number in the first line under the heading entitled "Expenses Paid During Period" to estimate the expenses you paid on your account during this period. A small balance maintenance fee of $12.00 that is charged once a year may apply for certain accounts with a value of less than $2,000. This fee is not included in the table below. If it was, the estimate of expenses you paid during the period would be higher, and your ending account value lower, by this amount. In addition, the Fund, as a shareholder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Hypothetical Example for Comparison Purposes

The second line of the accompanying table provides information about hypothetical account values and hypothetical expenses based on the Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. A small balance maintenance fee of $12.00 that is charged once a year may apply for certain accounts with a value of less than $2,000. This fee is not included in the table below. If it was, the estimate of expenses you paid during the period would be higher, and your ending account value lower, by this amount. In addition, the Fund, as a shareholder in the underlying Fidelity Central Funds, will indirectly bear its pro rata share of the fees and expenses incurred by the underlying Fidelity Central Funds. These fees and expenses are not included in the Fund's annualized expense ratio used to calculate the expense estimate in the table below.

Annual Report

Shareholder Expense Example - continued

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds.

Beginning
Account Value
July 1, 2007

Ending
Account Value
December 31, 2007

Expenses Paid
During Period
*
July 1, 2007 to
December 31, 2007

Actual

$ 1,000.00

$ 1,098.70

$ 4.71

Hypothetical (5% return per year before expenses)

$ 1,000.00

$ 1,020.72

$ 4.53

* Expenses are equal to the Fund's annualized expense ratio of .89%; multiplied by the average account value over the period, multiplied by 184/365 (to reflect the one-half year period).

Annual Report

Investment Changes

Top Ten Stocks as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Google, Inc. Class A (sub. vtg.)

5.4

4.4

Apple, Inc.

3.7

2.6

Berkshire Hathaway, Inc. Class A

3.2

2.5

Exxon Mobil Corp.

2.9

2.6

Hewlett-Packard Co.

2.9

2.6

Procter & Gamble Co.

2.1

1.8

Schlumberger Ltd. (NY Shares)

1.8

1.6

America Movil SAB de CV Series
L sponsored ADR

1.7

2.4

Genentech, Inc.

1.5

1.8

The Walt Disney Co.

1.3

1.5

26.5

Top Five Market Sectors as of December 31, 2007

% of fund's
net assets

% of fund's net assets
6 months ago

Information Technology

23.8

20.4

Energy

11.9

10.5

Financials

11.4

15.0

Health Care

10.0

10.6

Industrials

8.6

8.3

Asset Allocation (% of fund's net assets)

As of December 31, 2007*

As of June 30, 2007**

Stocks 89.6%

Stocks 91.4%

Short-Term
Investments and
Net Other Assets 10.4%

Short-Term
Investments and
Net Other Assets 8.6%

* Foreign investments

25.3%

** Foreign investments

24.4%

Annual Report

Investments December 31, 2007

Showing Percentage of Net Assets

Common Stocks - 89.6%

Shares

Value (000s)

CONSUMER DISCRETIONARY - 6.2%

Auto Components - 0.1%

Gentex Corp.

806,400

$ 14,330

Johnson Controls, Inc.

1,146,300

41,313

WABCO Holdings, Inc.

158,900

7,959

63,602

Automobiles - 0.2%

DaimlerChrysler AG

483,600

46,247

Toyota Motor Corp.

2,011,100

106,759

153,006

Diversified Consumer Services - 0.0%

Strayer Education, Inc.

60,000

10,235

Hotels, Restaurants & Leisure - 1.6%

California Pizza Kitchen, Inc. (a)(e)

1,596,102

24,851

Chipotle Mexican Grill, Inc.:

Class A (a)(d)

2,337,450

343,769

Class B (a)

83,272

10,247

IHOP Corp.

202,309

7,400

McDonald's Corp.

9,195,170

541,687

Tim Hortons, Inc. (e)

9,618,032

355,194

1,283,148

Household Durables - 0.7%

Gafisa SA ADR (a)(d)

2,365,895

88,603

Garmin Ltd.

3,915,540

379,807

Snap-On, Inc. (d)

1,745,086

84,183

552,593

Internet & Catalog Retail - 0.3%

Amazon.com, Inc. (a)

897,808

83,173

Blue Nile, Inc. (a)

145,500

9,903

Liberty Media Corp. - Interactive Series A (a)

2,470,890

47,145

Priceline.com, Inc. (a)

1,150,300

132,123

272,344

Media - 1.6%

Dolan Media Co.

618,350

18,037

E.W. Scripps Co. Class A

622,190

28,005

Focus Media Holding Ltd. ADR (a)(d)

2,470,738

140,363

The Walt Disney Co.

33,658,806

1,086,506

The Weinstein Co. Holdings, LLC Class A-1 (f)

41,234

41,234

Vivendi

214,997

9,846

1,323,991

Common Stocks - continued

Shares

Value (000s)

CONSUMER DISCRETIONARY - continued

Multiline Retail - 0.4%

Marks & Spencer Group PLC

25,940,047

$ 288,618

Specialty Retail - 1.0%

Advance Auto Parts, Inc.

270,500

10,276

Gamestop Corp. Class A (a)

4,773,340

296,472

H&M Hennes & Mauritz AB (B Shares)

377,728

22,988

Inditex SA

1,214,800

74,496

J. Crew Group, Inc. (a)(d)(e)

5,911,949

285,015

TJX Companies, Inc.

5,374,448

154,408

843,655

Textiles, Apparel & Luxury Goods - 0.3%

Gildan Activewear, Inc. (a)

398,300

16,412

Lululemon Athletica, Inc. (d)

126,200

5,978

NIKE, Inc. Class B (d)

3,583,400

230,198

252,588

TOTAL CONSUMER DISCRETIONARY

5,043,780

CONSUMER STAPLES - 7.2%

Beverages - 2.6%

Boston Beer Co., Inc. Class A (a)

204,600

7,703

Diageo PLC sponsored ADR

1,570,100

134,762

PepsiCo, Inc.

12,844,373

974,888

The Coca-Cola Co.

16,473,891

1,011,003

2,128,356

Food & Staples Retailing - 0.8%

Costco Wholesale Corp.

1,836,023

128,081

CVS Caremark Corp.

2,461,100

97,829

Koninklijke Ahold NV sponsored ADR

2,760,413

38,094

Susser Holdings Corp. (a)(e)

1,441,800

29,557

Tesco PLC

36,796,637

348,915

642,476

Food Products - 1.0%

Bunge Ltd.

564,600

65,725

Cosan Ltd. Class A

3,542,700

44,638

Groupe Danone

1,978,344

178,546

Hain Celestial Group, Inc. (a)

504,433

16,142

Kellogg Co.

2,241,434

117,518

Kraft Foods, Inc. Class A

610,300

19,914

McCormick & Co., Inc. (non-vtg.)

265,700

10,073

Common Stocks - continued

Shares

Value (000s)

CONSUMER STAPLES - continued

Food Products - continued

Nestle SA (Reg.)

535,828

$ 245,409

TreeHouse Foods, Inc. (a)(e)

3,119,827

71,725

Unilever NV (NY Shares)

565,300

20,611

Wm. Wrigley Jr. Co.

455,910

26,694

816,995

Household Products - 2.8%

Colgate-Palmolive Co.

7,221,111

562,958

Procter & Gamble Co.

23,175,470

1,701,543

2,264,501

Personal Products - 0.0%

Chattem, Inc. (a)

106,494

8,045

TOTAL CONSUMER STAPLES

5,860,373

ENERGY - 11.9%

Energy Equipment & Services - 2.8%

Cameron International Corp. (a)

190,600

9,174

FMC Technologies, Inc. (a)

1,470,368

83,370

Halliburton Co.

274,200

10,395

National Oilwell Varco, Inc. (a)

2,564,046

188,355

Schlumberger Ltd. (NY Shares)

14,750,315

1,450,988

Smith International, Inc.

6,918,579

510,937

Transocean, Inc. (a)

432,371

61,894

2,315,113

Oil, Gas & Consumable Fuels - 9.1%

Addax Petroleum, Inc.

559,800

24,199

Apache Corp.

836,400

89,946

BG Group PLC sponsored ADR

778,500

88,944

Canadian Natural Resources Ltd.

2,794,906

204,171

Canadian Oil Sands Trust

2,789,300

108,675

Chesapeake Energy Corp.

3,607,695

141,422

Devon Energy Corp.

102,200

9,087

EnCana Corp.

13,713,448

931,667

EOG Resources, Inc.

3,952,029

352,719

Exxon Mobil Corp.

25,203,837

2,361,347

Hess Corp.

538,800

54,343

Murphy Oil Corp.

2,465,400

209,165

Newfield Exploration Co. (a)

227,700

12,000

Noble Energy, Inc.

7,153,136

568,817

Occidental Petroleum Corp.

1,008,302

77,629

Common Stocks - continued

Shares

Value (000s)

ENERGY - continued

Oil, Gas & Consumable Fuels - continued

Petroleo Brasileiro SA - Petrobras sponsored ADR

7,036,800

$ 810,921

Petroplus Holdings AG (e)

4,141,422

320,482

Range Resources Corp.

466,700

23,970

SandRidge Energy, Inc.

1,310,300

46,987

Sasol Ltd. sponsored ADR

187,000

9,251

Southwestern Energy Co. (a)

393,300

21,915

Suncor Energy, Inc.

1,188,100

129,040

Valero Energy Corp.

6,897,005

482,997

W&T Offshore, Inc.

1,134,700

33,996

Williams Companies, Inc.

232,100

8,305

XTO Energy, Inc.

4,816,541

247,378

7,369,373

TOTAL ENERGY

9,684,486

FINANCIALS - 11.4%

Capital Markets - 1.3%

Bank of New York Mellon Corp.

4,485,118

218,694

BlackRock, Inc. Class A

150,000

32,520

Charles Schwab Corp.

11,737,394

299,890

Franklin Resources, Inc.

655,695

75,031

Goldman Sachs Group, Inc.

864,700

185,954

Invesco Ltd.

1,416,400

44,447

Legg Mason, Inc.

274,800

20,102

SEI Investments Co.

3,137,781

100,942

State Street Corp.

9,500

771

T. Rowe Price Group, Inc.

1,057,400

64,375

1,042,726

Commercial Banks - 1.3%

Allied Irish Banks PLC

1,556,900

35,762

Banco do Brasil SA

2,335,700

39,497

Banco Itau Holding Financeira SA sponsored ADR (non-vtg.)

3,204,600

82,871

Banco Santander SA sponsored ADR

7,965,800

171,583

HSBC Holdings PLC sponsored ADR

32,100

2,687

M&T Bank Corp.

39,500

3,222

National Australia Bank Ltd.

1,415,755

46,862

Standard Chartered PLC (United Kingdom)

2,222,500

81,427

Toronto-Dominion Bank

1,124,300

78,646

Common Stocks - continued

Shares

Value (000s)

FINANCIALS - continued

Commercial Banks - continued

Uniao de Bancos Brasileiros SA (Unibanco) GDR

336,500

$ 46,989

Wells Fargo & Co.

16,653,298

502,763

1,092,309

Consumer Finance - 0.8%

American Express Co.

12,593,150

655,096

Diversified Financial Services - 0.8%

Bolsa de Mercadorias & Futuros - BM&F SA

4,133,500

57,474

Bovespa Holding SA

483,000

9,047

Citigroup, Inc.

10,416,578

306,664

CME Group, Inc.

183,850

126,121

IntercontinentalExchange, Inc. (a)

239,500

46,104

JPMorgan Chase & Co.

2,006,000

87,562

MSCI, Inc. Class A

183,300

7,039

640,011

Insurance - 7.2%

Admiral Group PLC

9,241,322

201,972

Allstate Corp.

4,587,884

239,625

American International Group, Inc.

9,854,426

574,513

Arch Capital Group Ltd. (a)

224,420

15,788

Assurant, Inc.

1,287,120

86,108

Axis Capital Holdings Ltd.

3,066,500

119,502

Berkshire Hathaway, Inc. Class A (a)

18,201

2,577,262

Everest Re Group Ltd.

1,269,820

127,490

Loews Corp.

6,050,784

304,596

Markel Corp. (a)

46,252

22,714

MetLife, Inc.

5,361,184

330,356

MetLife, Inc. unit

3,634,300

111,173

Principal Financial Group, Inc.

140,800

9,693

Prudential Financial, Inc.

3,511,634

326,722

The Chubb Corp.

9,782,700

533,940

W.R. Berkley Corp.

4,111,400

122,561

White Mountains Insurance Group Ltd.

131,850

67,777

Willis Group Holdings Ltd.

1,411,238

53,585

Zenith National Insurance Corp.

408,300

18,263

5,843,640

TOTAL FINANCIALS

9,273,782

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - 10.0%

Biotechnology - 3.0%

Celgene Corp. (a)

2,918,504

$ 134,864

CSL Ltd.

2,044,692

65,119

Genentech, Inc. (a)

18,603,442

1,247,733

Genmab AS (a)(d)

954,000

57,694

Gilead Sciences, Inc. (a)

16,216,194

746,107

GTx, Inc. (a)

921,507

13,224

MannKind Corp. (a)(d)(e)

6,656,676

52,987

MannKind Corp. warrants 8/3/10 (a)(f)

304,338

721

Medarex, Inc. (a)(d)(e)

6,774,903

70,594

Omrix Biopharmaceuticals, Inc. (a)

378,653

13,154

ONYX Pharmaceuticals, Inc. (a)

170,400

9,478

OREXIGEN Therapeutics, Inc.

440,928

6,283

Seattle Genetics, Inc. (a)

849,376

9,683

2,427,641

Health Care Equipment & Supplies - 1.8%

Alcon, Inc.

1,619,300

231,625

Becton, Dickinson & Co.

2,520,240

210,642

C.R. Bard, Inc.

1,965,740

186,352

China Medical Technologies, Inc. sponsored ADR (d)

190,200

8,443

DENTSPLY International, Inc.

4,792,374

215,753

Gen-Probe, Inc. (a)

1,438,000

90,493

Hologic, Inc. (a)(d)

1,395,625

95,796

Intuitive Surgical, Inc. (a)

84,553

27,437

Inverness Medical Innovations, Inc. (a)

1,430,413

80,361

Mindray Medical International Ltd. sponsored ADR

1,017,175

43,708

NuVasive, Inc. (a)

1,163,663

45,988

Smith & Nephew PLC

1,212,200

13,921

Stereotaxis, Inc. (a)

646,514

7,900

Stryker Corp.

2,230,800

166,685

TomoTherapy, Inc.

1,338,090

26,173

1,451,277

Health Care Providers & Services - 0.7%

Aetna, Inc.

1,421,300

82,052

Amedisys, Inc. (a)

472,200

22,911

athenahealth, Inc.

213,300

7,679

Henry Schein, Inc. (a)

565,051

34,694

HMS Holdings Corp. (a)

81,599

2,710

Humana, Inc. (a)

295,406

22,247

McKesson Corp.

749,300

49,087

Medco Health Solutions, Inc. (a)

2,376,254

240,952

Common Stocks - continued

Shares

Value (000s)

HEALTH CARE - continued

Health Care Providers & Services - continued

Nighthawk Radiology Holdings, Inc. (a)(e)

1,602,450

$ 33,732

Patterson Companies, Inc. (a)

170,571

5,791

UnitedHealth Group, Inc.

374,409

21,791

VCA Antech, Inc. (a)

1,140,151

50,429

574,075

Health Care Technology - 0.1%

HLTH Corp. (a)

3,831,679

51,344

Life Sciences Tools & Services - 0.6%

Covance, Inc. (a)

126,300

10,940

Dionex Corp. (a)

319,137

26,444

Invitrogen Corp. (a)

655,300

61,212

Medivation, Inc. (a)

633,843

9,127

Millipore Corp. (a)

236,212

17,286

QIAGEN NV (a)

1,375,600

28,956

Techne Corp. (a)

700,216

46,249

Thermo Fisher Scientific, Inc. (a)

1,684,005

97,133

Waters Corp. (a)

2,954,061

233,578

530,925

Pharmaceuticals - 3.8%

Abbott Laboratories

4,790,783

269,002

Allergan, Inc.

2,991,094

192,148

BioMimetic Therapeutics, Inc. (a)

651,741

11,321

Bristol-Myers Squibb Co.

5,738,300

152,180

Johnson & Johnson

3,244,300

216,395

Merck & Co., Inc.

17,615,250

1,023,622

Novo Nordisk AS Series B

1,560,600

102,320

Pronova BioPharma ASA

7,608,200

30,800

Roche Holding AG (participation certificate)

3,621,825

618,608

Schering-Plough Corp.

16,068,162

428,056

Sirtris Pharmaceuticals, Inc. (d)

159,286

2,181

Teva Pharmaceutical Industries Ltd. sponsored ADR

182,900

8,501

XenoPort, Inc. (a)

438,010

24,476

3,079,610

TOTAL HEALTH CARE

8,114,872

INDUSTRIALS - 8.6%

Aerospace & Defense - 1.3%

General Dynamics Corp.

579,654

51,583

Lockheed Martin Corp.

4,524,913

476,292

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Aerospace & Defense - continued

Precision Castparts Corp.

862,200

$ 119,587

Raytheon Co.

774,600

47,018

Spirit AeroSystems Holdings, Inc. Class A

2,535,200

87,464

Teledyne Technologies, Inc. (a)

635,602

33,897

The Boeing Co.

1,951,674

170,693

United Technologies Corp.

622,200

47,623

1,034,157

Air Freight & Logistics - 0.5%

C.H. Robinson Worldwide, Inc.

6,755,325

365,598

Airlines - 0.1%

Ryanair Holdings PLC sponsored ADR (a)

1,806,002

71,229

Commercial Services & Supplies - 0.2%

Advisory Board Co. (a)

154,619

9,925

Covanta Holding Corp. (a)

1,508,790

41,733

FTI Consulting, Inc. (a)

170,000

10,479

IHS, Inc. Class A (a)

419,851

25,426

InnerWorkings, Inc. (a)

595,200

10,273

Interface, Inc. Class A

1,771,403

28,909

Robert Half International, Inc.

786,200

21,259

Stericycle, Inc. (a)

268,100

15,925

163,929

Construction & Engineering - 1.0%

Jacobs Engineering Group, Inc. (a)(e)

7,210,254

689,372

KBR, Inc.

1,637,100

63,519

URS Corp. (a)

727,100

39,503

792,394

Electrical Equipment - 2.6%

ABB Ltd. sponsored ADR

4,815,000

138,672

Alstom SA

45,700

9,804

Cooper Industries Ltd. Class A

12,846,841

679,341

Emerson Electric Co.

143,700

8,142

First Solar, Inc. (a)

131,348

35,088

Q-Cells AG (a)

3,213,187

457,678

Renewable Energy Corp. AS (a)(d)

8,389,175

426,058

Roper Industries, Inc.

125,600

7,855

SolarWorld AG

2,724,984

166,033

Sunpower Corp. Class A (a)(d)

664,537

86,649

Common Stocks - continued

Shares

Value (000s)

INDUSTRIALS - continued

Electrical Equipment - continued

Suntech Power Holdings Co. Ltd. sponsored ADR (a)

933,800

$ 76,870

Vestas Wind Systems AS (a)

100,000

10,804

2,102,994

Industrial Conglomerates - 0.2%

General Electric Co.

444,833

16,490

Hutchison Whampoa Ltd.

3,826,000

43,402

Koninklijke Philips Electronics NV (NY Shares)

474,700

20,293

McDermott International, Inc. (a)

95,801

5,655

Siemens AG sponsored ADR

614,400

96,682

182,522

Machinery - 2.3%

Astec Industries, Inc. (a)

58,206

2,165

Bucyrus International, Inc. Class A

344,700

34,260

Cummins, Inc.

1,057,095

134,642

Danaher Corp.

8,847,309

776,263

Deere & Co.

2,144,000

199,649

IDEX Corp.

1,715,549

61,983

Ingersoll-Rand Co. Ltd. Class A

436,100

20,266

ITT Corp.

460,800

30,431

Kennametal, Inc.

807,442

30,570

Manitowoc Co., Inc.

208,900

10,201

PACCAR, Inc.

8,650,141

471,260

Pall Corp.

2,324,700

93,732

SPX Corp.

387,790

39,884

1,905,306

Road & Rail - 0.4%

Burlington Northern Santa Fe Corp.

709,000

59,010

Canadian National Railway Co.

4,982,100

233,924

CSX Corp.

394,900

17,368

Union Pacific Corp.

274,500

34,483

344,785

TOTAL INDUSTRIALS

6,962,914

INFORMATION TECHNOLOGY - 23.8%

Communications Equipment - 2.9%

Aruba Networks, Inc. (e)

4,047,477

60,348

Blue Coat Systems, Inc. (a)

549,407

18,059

Ciena Corp. (a)

739,500

25,224

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Communications Equipment - continued

Cisco Systems, Inc. (a)

19,490,000

$ 527,594

Juniper Networks, Inc. (a)

300,000

9,960

Nice Systems Ltd. sponsored ADR (a)

58,800

2,018

Nokia Corp. sponsored ADR

14,838,486

569,649

Nortel Networks Corp. (a)

2,051,700

30,934

Research In Motion Ltd. (a)

9,441,809

1,070,701

Riverbed Technology, Inc. (a)

1,144,636

30,608

Starent Networks Corp.

341,204

6,227

2,351,322

Computers & Peripherals - 7.5%

Apple, Inc. (a)

15,131,237

2,997,195

Dell, Inc. (a)

9,901,363

242,682

EMC Corp. (a)

9,102,600

168,671

Hewlett-Packard Co.

45,785,000

2,311,227

Logitech International SA (a)

1,896,500

69,488

NCR Corp. (a)

5,468,400

137,257

Netezza Corp.

238,300

3,289

Synaptics, Inc. (a)

444,703

18,304

Teradata Corp. (a)

724,900

19,870

Western Digital Corp. (a)

3,050,600

92,159

6,060,142

Electronic Equipment & Instruments - 1.3%

Agilent Technologies, Inc. (a)

393,200

14,446

Amphenol Corp. Class A

8,203,412

380,392

Flextronics International Ltd. (a)

1,463,500

17,650

FLIR Systems, Inc. (a)(e)

7,363,538

230,479

Hon Hai Precision Industry Co. Ltd. (Foxconn)

25,220,142

157,091

Mettler-Toledo International, Inc. (a)

1,233,600

140,384

Trimble Navigation Ltd. (a)

1,671,575

50,548

Tyco Electronics Ltd.

1,400,000

51,982

1,042,972

Internet Software & Services - 6.4%

Akamai Technologies, Inc. (a)

3,380,692

116,972

Bankrate, Inc. (a)(d)(e)

1,187,000

57,083

Constant Contact, Inc. (d)(e)

1,486,116

31,951

Dice Holdings, Inc.

567,610

4,535

Equinix, Inc. (a)

401,300

40,559

Google, Inc. Class A (sub. vtg.) (a)

6,340,219

4,384,135

Mercadolibre, Inc.

528,500

39,046

NHN Corp. (a)

159,566

38,541

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Internet Software & Services - continued

Open Text Corp. (a)

300,000

$ 9,475

VeriSign, Inc. (a)

9,059,984

340,746

VistaPrint Ltd. (a)(e)

2,538,487

108,774

5,171,817

IT Services - 1.7%

Accenture Ltd. Class A

6,952,400

250,495

ExlService Holdings, Inc. (a)

399,100

9,211

Mastercard, Inc. Class A (d)

2,473,441

532,285

Paychex, Inc.

3,732,421

135,188

Redecard SA

1,070,600

17,442

Sapient Corp. (a)(e)

7,164,100

63,116

SRA International, Inc. Class A (a)

3,726,200

109,737

The Western Union Co.

3,459,768

84,003

VeriFone Holdings, Inc. (a)(d)(e)

6,710,817

156,026

Wright Express Corp. (a)

384,682

13,652

1,371,155

Semiconductors & Semiconductor Equipment - 1.3%

Applied Materials, Inc.

2,553,300

45,347

ASML Holding NV (NY Shares) (a)

1,692,322

52,953

Broadcom Corp. Class A (a)

345,200

9,024

Cavium Networks, Inc.

1,009,091

23,229

FEI Co. (a)

325,459

8,081

Intel Corp.

13,021,350

347,149

Lam Research Corp. (a)

2,722,165

117,679

Marvell Technology Group Ltd. (a)

5,648,552

78,967

MEMC Electronic Materials, Inc. (a)

1,392,800

123,249

NVIDIA Corp. (a)

4,911,173

167,078

Samsung Electronics Co. Ltd.

36,956

21,950

Sigma Designs, Inc. (a)

292,000

16,118

Taiwan Semiconductor Manufacturing Co. Ltd. sponsored ADR

1,961,900

19,541

Tessera Technologies, Inc. (a)

575,044

23,922

Varian Semiconductor Equipment Associates, Inc. (a)

652,800

24,154

Zoran Corp. (a)

758,721

17,079

1,095,520

Software - 2.7%

Activision, Inc. (a)

5,809,700

172,548

Adobe Systems, Inc. (a)

13,589,308

580,671

Autonomy Corp. PLC (a)

1,628,653

28,605

BMC Software, Inc. (a)

2,422,950

86,354

CommVault Systems, Inc. (a)(e)

4,296,222

90,994

Common Stocks - continued

Shares

Value (000s)

INFORMATION TECHNOLOGY - continued

Software - continued

Electronic Arts, Inc. (a)

1,011,400

$ 59,076

Gameloft (a)

2,545,730

22,291

Longtop Financial Technologies Ltd. ADR

51,400

1,217

McAfee, Inc. (a)

5,531,135

207,418

Nintendo Co. Ltd.

459,000

271,912

Nuance Communications, Inc. (a)(d)

1,570,957

29,345

Oracle Corp. (a)

3,867,400

87,326

Salesforce.com, Inc. (a)

3,258,818

204,295

Taleo Corp. Class A (a)

969,251

28,864

Ubisoft Entertainment SA (a)

1,644,957

166,773

Ultimate Software Group, Inc. (a)(e)

1,565,056

49,252

VMware, Inc. Class A (d)

1,484,000

126,125

2,213,066

TOTAL INFORMATION TECHNOLOGY

19,305,994

MATERIALS - 6.9%

Chemicals - 2.2%

Bayer AG

4,183,732

380,720

Ecolab, Inc.

6,099,063

312,333

Monsanto Co.

4,031,465

450,274

Nalco Holding Co.

3,301,771

79,837

Potash Corp. of Saskatchewan, Inc.

227,900

32,808

Praxair, Inc.

5,041,068

447,193

Rohm & Haas Co.

142,100

7,541

The Mosaic Co. (a)

614,700

57,991

Wacker Chemie AG

169,400

48,876

1,817,573

Metals & Mining - 4.6%

Agnico-Eagle Mines Ltd.

879,300

48,162

Anglo American PLC ADR

12,064,441

366,397

Anglo Platinum Ltd.

45,931

6,762

ArcelorMittal SA (NY Reg.) Class A

1,713,129

132,511

B2Gold Corp. (a)

5,000,000

11,826

Barrick Gold Corp.

8,342,200

350,800

BHP Billiton Ltd. sponsored ADR (d)

7,512,220

526,156

Companhia Vale do Rio Doce sponsored ADR

2,209,800

72,194

Compania de Minas Buenaventura SA sponsored ADR

950,129

53,777

Eldorado Gold Corp. (a)

5,577,400

32,727

First Quantum Minerals Ltd.

71,500

6,122

Common Stocks - continued

Shares

Value (000s)

MATERIALS - continued

Metals & Mining - continued

Franco-Nevada Corp.

3,797,400

$ 57,904

Freeport-McMoRan Copper & Gold, Inc. Class B

3,934,561

403,056

Goldcorp, Inc.

15,349,183

522,170

Impala Platinum Holdings Ltd.

555,200

19,199

Ivanhoe Mines Ltd. (a)

16,627,200

180,740

Kinross Gold Corp. (a)

11,157,179

205,502

Lihir Gold Ltd. (a)

58,532,976

185,081

Lundin Mining Corp. (a)

4,446,200

42,692

Newcrest Mining Ltd.

4,555,994

132,089

Novamerican Steel, Inc.

820,500

3,536

Novamerican Steel, Inc. warrants 3/7/11 (a)

820,500

821

POSCO sponsored ADR

1,049,800

157,900

Randgold Resources Ltd. sponsored ADR

1,633,797

60,663

Red Back Mining, Inc. (a)

6,119,200

43,667

Rio Tinto PLC (Reg.)

422,926

44,397

Silver Bear Resources, Inc. (e)

2,391,300

6,739

Silvercorp Metals, Inc.

770,400

7,273

Vedanta Resources PLC

209,300

8,508

Xstrata PLC

127,800

9,014

3,698,385

Paper & Forest Products - 0.1%

Lee & Man Paper Manufacturing Ltd.

2,890,400

12,697

Nine Dragons Paper (Holdings) Ltd.

20,920,000

52,910

65,607

TOTAL MATERIALS

5,581,565

TELECOMMUNICATION SERVICES - 2.6%

Diversified Telecommunication Services - 0.5%

AT&T, Inc.

6,249,343

259,723

Cbeyond, Inc. (a)

487,220

18,997

Iliad Group SA

291,860

31,349

Telefonica SA sponsored ADR

445,900

43,515

353,584

Wireless Telecommunication Services - 2.1%

America Movil SAB de CV Series L sponsored ADR

23,042,400

1,414,573

American Tower Corp. Class A (a)

226,274

9,639

Bharti Airtel Ltd. (a)

7,972,568

201,595

Common Stocks - continued

Shares

Value (000s)

TELECOMMUNICATION SERVICES - continued

Wireless Telecommunication Services - continued

NII Holdings, Inc. (a)

1,988,000

$ 96,060

Vodafone Group PLC sponsored ADR

275,000

10,263

1,732,130

TOTAL TELECOMMUNICATION SERVICES

2,085,714

UTILITIES - 1.0%

Electric Utilities - 0.6%

Allegheny Energy, Inc.

1,633,500

103,907

E.ON AG sponsored ADR

1,715,900

120,714

Edison International

183,400

9,788

Entergy Corp.

609,300

72,824

Exelon Corp.

967,500

78,987

FirstEnergy Corp.

570,600

41,277

FPL Group, Inc.

281,900

19,107

PPL Corp.

1,000,900

52,137

498,741

Gas Utilities - 0.1%

Questar Corp.

141,000

7,628

Southern Union Co.

1,749,130

51,354

58,982

Independent Power Producers & Energy Traders - 0.2%

Constellation Energy Group, Inc.

715,485

73,359

International Power PLC

5,890,400

54,339

127,698

Multi-Utilities - 0.1%

Veolia Environnement

486,986

44,384

YTL Corp. Bhd

20,877,500

49,874

YTL Corp. Bhd rights 1/7/08 (a)

1,391,833

715

94,973

TOTAL UTILITIES

780,394

TOTAL COMMON STOCKS

(Cost $48,072,087)

72,693,874

Convertible Preferred Stocks - 0.0%

Shares

Value (000s)

HEALTH CARE - 0.0%

Biotechnology - 0.0%

Fluidigm Corp. (f)

4,389,865

$ 17,559

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost $17,559)

17,559

Money Market Funds - 11.0%

Fidelity Cash Central Fund, 4.58% (b)

8,065,387,372

8,065,387

Fidelity Securities Lending Cash Central Fund, 4.65% (b)(c)

829,911,713

829,912

TOTAL MONEY MARKET FUNDS

(Cost $8,895,299)

8,895,299

Cash Equivalents - 0.0%

Maturity Amount (000s)

Investments in repurchase agreements in a joint trading account at 1.28%, dated 12/31/07 due 1/2/08 (Collateralized by U.S. Government Obligations) #
(Cost $3,944)

$ 3,944

3,944

TOTAL INVESTMENT PORTFOLIO - 100.6%

(Cost $56,988,889)

81,610,676

NET OTHER ASSETS - (0.6)%

(466,709)

NET ASSETS - 100%

$ 81,143,967

Legend

(a) Non-income producing

(b) Affiliated fund that is available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request.

(c) Investment made with cash collateral received from securities on loan.

(d) Security or a portion of the security is on loan at period end.

(e) Affiliated company

(f) Restricted securities - Investment in securities not registered under the Securities Act of 1933 (excluding 144A issues). At the end of the period, the value of restricted securities (excluding 144A issues) amounted to $59,514,000 or 0.1% of net assets.

Additional information on each holding is as follows:

Security

Acquisition Date

Acquisition Cost (000s)

Fluidigm Corp.

10/9/07

$ 17,559

MannKind Corp. warrants 8/3/10

8/3/05

$ 8

The Weinstein Co. Holdings, LLC Class A-1

10/19/05

$ 41,234

# Additional Information on each counterparty to the repurchase agreement is as follows:

Repurchase Agreement / Counterparty

Value
(Amounts in thousands)

$3,944,000 due 1/02/08 at 1.28%

Banc of America Securities LLC

$ 750

Barclays Capital, Inc.

1,287

Goldman, Sachs & Co.

1,907

$ 3,944

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund

Income earned
(Amounts in thousands)

Fidelity Cash Central Fund

$ 316,087

Fidelity Securities Lending Cash Central Fund

14,546

Total

$ 330,633

Other Affiliated Issuers

An affiliated company is a company in which the fund has ownership of at least 5% of the voting securities. Fiscal year to date transactions with companies which are or were affiliates are as follows:

Affiliates
(Amounts in thousands)

Value, beginning of period

Purchases

Sales Proceeds

Dividend Income

Value,
end of
period

Akamai Technologies, Inc.

$ 447,760

$ 33,447

$ 226,133

$ -

$ -

American Commercial Lines, Inc.

141,680

-

118,677

-

-

Arena Pharmaceuticals, Inc.

43,762

-

28,651

-

-

Aruba Networks, Inc.

-

78,217

-

-

60,348

Bankrate, Inc.

-

56,545

-

-

57,083

California Pizza Kitchen, Inc.

25,536

25,742

9,753

-

24,851

CommVault Systems, Inc.

-

74,992

-

-

90,994

Constant Contact, Inc.

-

37,759

-

-

31,951

FLIR Systems, Inc.

50,142

90,462

-

-

230,479

J. Crew Group, Inc.

129,543

103,420

1,880

-

285,015

Jacobs Engineering Group, Inc.

143,128

200,843

16,944

-

689,372

Kyphon, Inc.

95,357

6,889

179,520

-

-

MannKind Corp.

78,647

17,042

-

-

52,987

Medarex, Inc.

116,476

8,617

18,107

-

70,594

Nighthawk Radiology Holdings, Inc.

44,047

9,849

10,654

-

33,732

NII Holdings, Inc.

628,113

51,535

507,483

-

-

Opsware, Inc.

54,592

-

88,201

-

-

Panera Bread Co. Class A

140,063

-

142,154

-

-

Petroplus Holdings AG

134,674

154,082

-

-

320,482

Sapient Corp.

-

59,537

-

-

63,116

Silver Bear Resources, Inc.

-

7,137

-

-

6,739

Susser Holdings Corp.

16,957

10,120

-

-

29,557

Taleo Corp. Class A

-

29,490

9,721

-

-

Tim Hortons, Inc.

234,667

57,350

16,173

2,619

355,194

TreeHouse Foods, Inc.

79,336

17,304

-

-

71,725

Ultimate Software Group, Inc.

-

50,183

-

-

49,252

VeriFone Holdings, Inc.

117,286

137,468

7,641

-

156,026

VistaPrint Ltd.

52,539

37,585

-

-

108,774

Zumiez, Inc.

-

64,077

49,523

-

-

Total

$ 2,774,305

$ 1,419,692

$ 1,431,215

$ 2,619

$ 2,788,271

Other Information

Distribution of investments by country of issue, as a percentage of total net assets, is as follows:

United States of America

74.7%

Canada

5.5%

Bermuda

2.2%

United Kingdom

2.1%

Switzerland

2.1%

Netherlands Antilles

1.8%

Mexico

1.7%

Germany

1.7%

Brazil

1.5%

Australia

1.0%

Others (individually less than 1%)

5.7%

100.0%

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements

Statement of Assets and Liabilities

Amounts in thousands (except per-share amount)

December 31, 2007

Assets

Investment in securities, at value (including securities loaned of $803,014 and repurchase agreements of $3,944) - See accompanying schedule:

Unaffiliated issuers (cost $45,957,197)

$ 69,927,106

Fidelity Central Funds (cost $8,895,299)

8,895,299

Other affiliated issuers (cost $2,136,393)

2,788,271

Total Investments (cost $56,988,889)

$ 81,610,676

Receivable for investments sold

88,466

Receivable for fund shares sold

486,798

Dividends receivable

73,311

Distributions receivable from Fidelity Central Funds

34,092

Prepaid expenses

573

Other receivables

2,188

Total assets

82,296,104

Liabilities

Payable to custodian bank

$ 108

Payable for investments purchased

43,910

Payable for fund shares redeemed

206,760

Distributions payable

10,049

Accrued management fee

47,916

Other affiliated payables

11,253

Other payables and accrued expenses

2,229

Collateral on securities loaned, at value

829,912

Total liabilities

1,152,137

Net Assets

$ 81,143,967

Net Assets consist of:

Paid in capital

$ 55,526,124

Undistributed net investment income

37,973

Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions

958,472

Net unrealized appreciation (depreciation) on investments and assets and liabilities in foreign currencies

24,621,398

Net Assets, for 1,109,833 shares outstanding

$ 81,143,967

Net Asset Value, offering price and redemption price per share ($81,143,967 ÷ 1,109,833 shares)

$ 73.11

See accompanying notes which are an integral part of the financial statements.

Annual Report

Statement of Operations

Amounts in thousands

Year ended December 31, 2007

Investment Income

Dividends (including $2,619 earned from other affiliated issuers)

$ 821,152

Interest

568

Income from Fidelity Central Funds

330,633

Total income

1,152,353

Expenses

Management fee
Basic fee

$ 412,335

Performance adjustment

115,225

Transfer agent fees

124,382

Accounting and security lending fees

3,029

Custodian fees and expenses

2,894

Independent trustees' compensation

253

Appreciation in deferred trustee compensation account

5

Registration fees

(339)

Audit

429

Legal

414

Interest

4

Miscellaneous

752

Total expenses before reductions

659,383

Expense reductions

(5,525)

653,858

Net investment income (loss)

498,495

Realized and Unrealized Gain (Loss)

Net realized gain (loss) on:

Investment securities:

Unaffiliated issuers

4,726,451

Other affiliated issuers

344,288

Foreign currency transactions

(1,259)

Total net realized gain (loss)

5,069,480

Change in net unrealized appreciation (depreciation) on:

Investment securities (net of increase in deferred foreign taxes of $86)

7,732,969

Assets and liabilities in foreign currencies

(176)

Total change in net unrealized appreciation (depreciation)

7,732,793

Net gain (loss)

12,802,273

Net increase (decrease) in net assets resulting from operations

$ 13,300,768

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Statements - continued

Statement of Changes in Net Assets

Amounts in thousands

Year ended
December 31,
2007

Year ended
December 31,
2006

Increase (Decrease) in Net Assets

Operations

Net investment income (loss)

$ 498,495

$ 401,287

Net realized gain (loss)

5,069,480

6,309,858

Change in net unrealized appreciation (depreciation)

7,732,793

323,789

Net increase (decrease) in net assets resulting
from operations

13,300,768

7,034,934

Distributions to shareholders from net investment income

(460,400)

(378,165)

Distributions to shareholders from net realized gain

(4,689,324)

(6,270,983)

Total distributions

(5,149,724)

(6,649,148)

Share transactions
Proceeds from sales of shares

10,836,141

12,219,016

Reinvestment of distributions

5,046,930

6,514,186

Cost of shares redeemed

(11,466,420)

(10,685,444)

Net increase (decrease) in net assets resulting from share transactions

4,416,651

8,047,758

Total increase (decrease) in net assets

12,567,695

8,433,544

Net Assets

Beginning of period

68,576,272

60,142,728

End of period (including undistributed net investment income of $37,973 and undistributed net investment income of $14,332, respectively)

$ 81,143,967

$ 68,576,272

Other Information

Shares

Sold

152,510

183,232

Issued in reinvestment of distributions

69,556

100,360

Redeemed

(163,926)

(160,606)

Net increase (decrease)

58,140

122,986

See accompanying notes which are an integral part of the financial statements.

Annual Report

Financial Highlights

Years ended December 31,

2007

2006

2005

2004

2003

Selected Per-Share Data

Net asset value, beginning of period

$ 65.21

$ 64.76

$ 56.74

$ 49.35

$ 38.60

Income from Investment Operations

Net investment income (loss) C

.48

.41

.27

.04

- G

Net realized and unrealized gain (loss)

12.34

6.92

8.95

7.40

10.79

Total from investment operations

12.82

7.33

9.22

7.44

10.79

Distributions from net investment income

(.44)

(.39)

(.23)

(.05)

(.04)

Distributions from net realized gain

(4.48)

(6.49)

(.97)

-

-

Total distributions

(4.92)

(6.88)

(1.20)

(.05)

(.04)

Net asset value, end of period

$ 73.11

$ 65.21

$ 64.76

$ 56.74

$ 49.35

Total Return A, B

19.78%

11.54%

16.23%

15.07%

27.95%

Ratios to Average Net Assets D, F

Expenses before reductions

.89%

.90%

.91%

.94%

1.00%

Expenses net of fee waivers, if any

.89%

.90%

.91%

.94%

1.00%

Expenses net of all reductions

.89%

.89%

.88%

.92%

.98%

Net investment income (loss)

.68%

.62%

.46%

.08%

.01%

Supplemental Data

Net assets, end of period (in millions)

$ 81,144

$ 68,576

$ 60,143

$ 44,477

$ 35,933

Portfolio turnover rate E

56%

76%

60%

64%

67%

A Total returns would have been lower had certain expenses not been reduced during the periods shown.

B Total returns do not include the effect of the former sales charges.

C Calculated based on average shares outstanding during the period.

D Fees and expenses of the underlying Fidelity Central Funds are not included in the Fund's expense ratio. The Fund indirectly bears its proportionate share of the expenses of any underlying Fidelity Central Funds.

E Amount does not include the portfolio activity of any underlying Fidelity Central Funds.

F Expense ratios reflect operating expenses of the Fund. Expenses before reductions do not reflect amounts reimbursed by the investment adviser or reductions from brokerage service arrangements or other expense offset arrangements and do not represent the amount paid by the Fund during periods when reimbursements or reductions occur. Expenses net of fee waivers reflect expenses after reimbursement by the investment adviser but prior to reductions from brokerage service arrangements or other expense offset arrangements. Expenses net of all reductions represent the net expenses paid by the Fund.

G Amount represents less than $.01 per share.

See accompanying notes which are an integral part of the financial statements.

Annual Report

Notes to Financial Statements

For the period ended December 31, 2007

(Amounts in thousands except ratios)

1. Organization.

Fidelity Contrafund (the Fund) is a fund of Fidelity Contrafund (the trust) and is authorized to issue an unlimited number of shares. The Fund is currently closed to most new accounts. The trust is registered under the Investment Company Act of 1940, as amended (the 1940 Act), as an open-end management investment company organized as a Massachusetts business trust.

2. Investments in Fidelity Central Funds.

The Fund may invest in Fidelity Central Funds, which are open-end investment companies available only to other investment companies and accounts managed by Fidelity Management & Research Company (FMR) and its affiliates. The Fund's Schedule of Investments lists each of the Fidelity Central Funds as an investment of the Fund, but does not include the underlying holdings of each Fidelity Central Fund. As an Investing Fund, the Fund indirectly bears its proportionate share of the expenses of the underlying Fidelity Central Funds.

The Money Market Central Funds seek preservation of capital and current income and are managed by Fidelity Investments Money Management, Inc. (FIMM), an affiliate of FMR.

A complete list of holdings for each Fidelity Central Fund is available upon request or at the SEC's web site at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's web site or upon request.

3. Significant Accounting Policies.

The financial statements have been prepared in conformity with accounting principles generally accepted in the United States of America, which require management to make certain estimates and assumptions at the date of the financial statements. The following summarizes the significant accounting policies of the Fund:

Security Valuation. Investments are valued and net asset value (NAV) per share is calculated (NAV calculation) as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time. Wherever possible, the Fund uses independent pricing services approved by the Board of Trustees to value its investments.

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by an independent pricing service on the primary market or exchange on which they are traded. In the event there were no sales during the day or closing prices are not available, securities are valued at the last quoted bid price. Investments in open-end mutual funds,

Annual Report

3. Significant Accounting Policies - continued

Security Valuation - continued

including the Fidelity Central Funds, are valued at their closing net asset value each business day. Short-term securities with remaining maturities of sixty days or less for which quotations are not readily available are valued at amortized cost, which approximates value.

When current market prices or quotations are not readily available or do not accurately reflect fair value, valuations may be determined in accordance with procedures adopted by the Board of Trustees. For example, when developments occur between the close of a market and the close of the NYSE that may materially affect the value of some or all of the securities, or when trading in a security is halted, those securities may be fair valued. Factors used in the determination of fair value may include monitoring news to identify significant market or security specific events such as changes in the value of U.S. securities markets, reviewing developments in foreign markets and evaluating the performance of ADRs, futures contracts and exchange-traded funds. Because the Fund's utilization of fair value pricing depends on market activity, the frequency with which fair value pricing is used cannot be predicted and may be utilized to a significant extent. The value of securities used for NAV calculation under fair value pricing may differ from published prices for the same securities.

Foreign Currency. The Fund uses foreign currency contracts to facilitate transactions in foreign-denominated securities. Losses from these transactions may arise from changes in the value of the foreign currency or if the counterparties do not perform under the contracts' terms.

Foreign-denominated assets, including investment securities, and liabilities are translated into U.S. dollars at the exchange rate at period end. Purchases and sales of investment securities, income and dividends received and expenses denominated in foreign currencies are translated into U.S. dollars at the exchange rate in effect on the transaction date.

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Investment Transactions and Income. For financial reporting purposes, the Fund's investment holdings and NAV include trades executed through the end of the last business day of the period. The NAV for processing shareholder transactions includes trades executed through the end of the prior business day. Gains and losses on securities sold are determined on the basis of identified cost and may include proceeds received from litigation. Dividend income is recorded on the ex-dividend date, except for certain dividends

Annual Report

Notes to Financial Statements - continued

(Amounts in thousands except ratios)

3. Significant Accounting Policies - continued

Investment Transactions and Income - continued

from foreign securities where the ex-dividend date may have passed, which are recorded as soon as the Fund is informed of the ex-dividend date. Non-cash dividends included in dividend income, if any, are recorded at the fair market value of the securities received. Distributions received on securities that represent a return of capital or capital gain are recorded as a reduction of cost of investments and/or as a realized gain. The Fund estimates the components of distributions received that may be considered return of capital distributions or capital gain distributions. Interest income and distributions from the Fidelity Central Funds are accrued as earned. Interest income includes coupon interest and amortization of premium and accretion of discount on debt securities. Investment income is recorded net of foreign taxes withheld where recovery of such taxes is uncertain.

Expenses. Most expenses of the trust can be directly attributed to a fund. Expenses which cannot be directly attributed are apportioned among each Fund in the trust. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known.

Deferred Trustee Compensation. Under a Deferred Compensation Plan (the Plan), Independent Trustees must defer receipt of a portion of, and may elect to defer receipt of an additional portion of, their annual compensation. Deferred amounts are invested in a cross-section of Fidelity funds, are marked-to-market and remain in the Fund until distributed in accordance with the Plan. The investment of deferred amounts and the offsetting payable to the Trustees are included in the accompanying Statement of Assets and Liabilities.

Income Tax Information and Distributions to Shareholders. Each year, the Fund intends to qualify as a regulated investment company by distributing substantially all of its taxable income and realized gains under Subchapter M of the Internal Revenue Code and filing its U.S. federal tax return. As a result, no provision for income taxes is required. The Fund adopted the provisions of FASB Interpretation No. 48, Accounting for Uncertainties in Income Taxes (FIN 48), on June 29, 2007. FIN 48 sets forth a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. The implementation of FIN 48 did not result in any unrecognized tax benefits in the accompanying financial statements. Each of the Fund's federal tax returns for the prior three fiscal years remains subject to examination by the Internal Revenue Service. Foreign taxes are provided for based on the Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests.

Annual Report

3. Significant Accounting Policies - continued

Income Tax Information and Distributions to Shareholders - continued

Distributions are recorded on the ex-dividend date. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. In addition, the Fund will claim a portion of the payment made to redeeming shareholders as a distribution for income tax purposes.

Capital accounts within the financial statements are adjusted for permanent book-tax differences. These adjustments have no impact on net assets or the results of operations. Temporary book-tax differences will reverse in a subsequent period.

Book-tax differences are primarily due to foreign currency transactions, passive foreign investment companies (PFIC), partnerships, deferred trustees compensation and losses deferred due to wash sales.

The tax-basis components of distributable earnings and the federal tax cost as of period end were as follows:

Unrealized appreciation

$ 25,569,653

Unrealized depreciation

(1,038,412)

Net unrealized appreciation (depreciation)

24,531,241

Undistributed long-term capital gain

715,642

Cost for federal income tax purposes

$ 57,079,435

The tax character of distributions paid was as follows:

December 31, 2007

December 31, 2006

Ordinary Income

$ 554,573

$ 473,416

Long-term Capital Gains

4,595,151

6,175,732

Total

$ 5,149,724

$ 6,649,148

New Accounting Pronouncement. In September 2006, Statement of Financial Accounting Standards No. 157, Fair Value Measurements (SFAS 157), was issued and is effective for fiscal years beginning after November 15, 2007. SFAS 157 defines fair value, establishes a framework for measuring fair value and expands disclosures about fair value measurements. Management is currently evaluating the impact the adoption of SFAS 157 will have on the Fund's financial statement disclosures.

Annual Report

Notes to Financial Statements - continued

(Amounts in thousands except ratios)

4. Operating Policies.

Repurchase Agreements. FMR has received an Exemptive Order from the Securities and Exchange Commission (the SEC) which permits the Fund and other affiliated entities of FMR to transfer uninvested cash balances into joint trading accounts which are then invested in repurchase agreements. The Fund may also invest directly with institutions in repurchase agreements. Repurchase agreements are collateralized by government or non-government securities. Upon settlement date, collateral is held in segregated accounts with custodian banks and may be obtained in the event of a default of the counterparty. The Fund monitors, on a daily basis, the value of the collateral to ensure it is at least equal to the principal amount of the repurchase agreement (including accrued interest). In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the value of the collateral may decline.

Restricted Securities. The Fund may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities is included at the end of the Fund's Schedule of Investments.

5. Purchases and Sales of Investments.

Purchases and sales of securities, other than short-term securities, aggregated $37,861,241 and $41,378,833, respectively.

6. Fees and Other Transactions with Affiliates.

Management Fee. FMR and its affiliates provide the Fund with investment management related services for which the Fund pays a monthly management fee. The management fee is the sum of an individual fund fee rate that is based on an annual rate of .30% of the Fund's average net assets and a group fee rate that averaged .26% during the period. The group fee rate is based upon the average net assets of all the mutual funds advised by FMR. The group fee rate decreases as assets under management increase and increases as assets under management decrease. In addition, the management fee is subject to a performance adjustment (up to a maximum of ± .20% of the Fund's average net assets over a 36 month performance period). The upward or downward adjustment to the management fee is based on the Fund's relative investment performance as compared to an appropriate benchmark index. For the period, the total annual management fee rate, including the performance adjustment, was .71% of the Fund's average net assets.

Annual Report

6. Fees and Other Transactions with Affiliates - continued

Transfer Agent Fees. Fidelity Service Company, Inc. (FSC), an affiliate of FMR, is the Fund's transfer, dividend disbursing and shareholder servicing agent. FSC receives account fees and asset-based fees that vary according to account size and type of account. FSC pays for typesetting, printing and mailing of shareholder reports, except proxy statements. For the period the transfer agent fees were equivalent to an annual rate of .17% of average net assets. Effective January 1, 2008, Fidelity Investments Institutional Operations Company, Inc. (FIIOC), an affiliate of FMR replaced FSC as transfer agent for the Fund.

Accounting and Security Lending Fees. FSC maintains the Fund's accounting records. The accounting fee is based on the level of average net assets for the month. Under a separate contract, FSC administers the security lending program. The security lending fee is based on the number and duration of lending transactions.

Brokerage Commissions. The Fund placed a portion of its portfolio transactions with brokerage firms which are affiliates of the investment adviser. The commissions paid to these affiliated firms were $294 for the period.

7. Committed Line of Credit.

The Fund participates with other funds managed by FMR in a $4.2 billion credit facility (the "line of credit") to be utilized for temporary or emergency purposes to fund shareholder redemptions or for other short-term liquidity purposes. The Fund has agreed to pay commitment fees on its pro rata portion of the line of credit, which amounted to $148 and is reflected in Miscellaneous Expense on the Statement of Operations. During the period, there were no borrowings on this line of credit.

8. Security Lending.

The Fund lends portfolio securities from time to time in order to earn additional income. On the settlement date of the loan, the Fund receives collateral (in the form of U.S. Treasury obligations, letters of credit and/or cash) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of the loaned securities during the period of the loan. The market value of the loaned securities is determined at the close of business of the Fund and any additional required collateral is delivered to the Fund on the next business day. If the borrower defaults on its obligation to return the securities loaned because of insolvency or other reasons, a fund could experience delays and costs in recovering the securities loaned or in gaining access to the collateral. Any cash collateral received is invested in the Fidelity Securities Lending Cash Central Fund. The value of loaned securities and cash collateral at period end are disclosed on the Fund's Statement of Assets and Liabilities. Security lending income represents the income earned on investing cash collateral, less fees and expenses associated

Annual Report

Notes to Financial Statements - continued

(Amounts in thousands except ratios)

8. Security Lending - continued

with the loan, plus any premium payments that may be received on the loan of certain types of securities. Security lending income is presented in the Statement of Operations as a component of income from Fidelity Central Funds. Net income from lending portfolio securities during the period amounted to $14,546.

9. Bank Borrowings.

The Fund is permitted to have bank borrowings for temporary or emergency purposes to fund shareholder redemptions. The Fund has established borrowing arrangements with certain banks. The interest rate on the borrowings is the bank's base rate, as revised from time to time. The average daily loan balance during the period for which loans were outstanding amounted to $7,653. The weighted average interest rate was 5.56%. The interest expense amounted to $4 under the bank borrowing program. At period end, there were no bank borrowings outstanding.

10. Expense Reductions.

Many of the brokers with whom FMR places trades on behalf of the Fund provided services to the Fund in addition to trade execution. These services included payments of certain expenses on behalf of the Fund totaling $2,430 for the period. In addition, through arrangements with the Fund's custodian and transfer agent, credits realized as a result of uninvested cash balances were used to reduce the Fund's expenses. During the period, these credits reduced the Fund's custody and transfer agent expenses by $81 and $2,999 respectively.

11. Other.

The Fund's organizational documents provide former and current trustees and officers with a limited indemnification against liabilities arising in connection with the performance of their duties to the Fund. In the normal course of business, the Fund may also enter into contracts that provide general indemnifications. The Fund's maximum exposure under these arrangements is unknown as this would be dependent on future claims that may be made against the Fund. The risk of material loss from such claims is considered remote.

The United States Securities and Exchange Commission ("SEC") is conducting an investigation of FMR (covering the years 2002 to 2004) arising from gifts, gratuities and business entertainment provided by certain brokers to certain individuals who were employed on FMR's domestic equity trading desk during that period. FMR is in discussions with the SEC staff regarding the possible resolution of the matter, but as of period-end no final resolution has been reached.

Annual Report

11. Other - continued

In December 2006, the Independent Trustees completed their own investigation of the matter with the assistance of independent counsel. The Independent Trustees and FMR agree that, despite the absence of proof that the Fidelity mutual funds experienced diminished execution quality as a result of the improper receipt of gifts and business entertainment, the conduct at issue was serious and is worthy of redress. Accordingly, the Independent Trustees have requested and FMR has agreed to pay $42 million to Fidelity mutual funds, plus interest to be determined at the time that payment is made. A method of allocating this payment among the funds has not yet been determined. The total payment to the Fund is not anticipated to have a material impact on the Fund's net assets. In addition, FMR reimbursed related legal expenses which are recorded in the accompanying Statement of Operations as an expense reduction.

Annual Report

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Contrafund and the Shareholders of Fidelity Contrafund:

In our opinion, the accompanying statement of assets and liabilities, including the schedule of investments, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Fidelity Contrafund (a fund of Fidelity Contrafund) at December 31, 2007, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as "financial statements") are the responsibility of the Fidelity Contrafund's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at December 31, 2007 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion.

/s/ PricewaterhouseCoopers LLP

PricewaterhouseCoopers LLP

Boston, Massachusetts

February 14, 2008

Annual Report

Trustees and Officers

The Trustees, Members of the Advisory Board, and executive officers of the trust and fund, as applicable, are listed below. The Board of Trustees governs the fund and is responsible for protecting the interests of shareholders. The Trustees are experienced executives who meet periodically throughout the year to oversee the fund's activities, review contractual arrangements with companies that provide services to the fund, and review the fund's performance. Except for James C. Curvey, each of the Trustees oversees 373 funds advised by FMR or an affiliate. Mr. Curvey oversees 368 funds advised by FMR or an affiliate.

The Trustees hold office without limit in time except that (a) any Trustee may resign; (b) any Trustee may be removed by written instrument, signed by at least two-thirds of the number of Trustees prior to such removal; (c) any Trustee who requests to be retired or who has become incapacitated by illness or injury may be retired by written instrument signed by a majority of the other Trustees; and (d) any Trustee may be removed at any special meeting of shareholders by a two-thirds vote of the outstanding voting securities of the trust. Each Trustee who is not an interested person (as defined in the 1940 Act) (Independent Trustee), shall retire not later than the last day of the calendar year in which his or her 72nd birthday occurs. The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees. The executive officers and Advisory Board Members hold office without limit in time, except that any officer and Advisory Board Member may resign or may be removed by a vote of a majority of the Trustees at any regular meeting or any special meeting of the Trustees. Except as indicated, each individual has held the office shown or other offices in the same company for the past five years.

The fund's Statement of Additional Information (SAI) includes more information about the Trustees. To request a free copy, call Fidelity at 1-800-544-8544.

Interested Trustees*:

Correspondence intended for each Trustee who is an interested person may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Edward C. Johnson 3d (77)

Year of Election or Appointment: 1984

Mr. Johnson is Chairman of the Board of Trustees. Mr. Johnson serves as President (2006-present), Chief Executive Officer, Chairman, and a Director of FMR LLC; Chairman and a Director of FMR; Chairman and a Director of Fidelity Research & Analysis Company (FRAC); Chairman and a Director of Fidelity Investments Money Management, Inc.; and Chairman (2001-present) and a Director of FMR Co., Inc. In addition, Mr. Johnson serves as Chairman and Director of Fidelity International Limited (FIL). Mr. Edward C. Johnson 3d and Mr. Arthur E. Johnson are not related.

James C. Curvey (72)

Year of Election or Appointment: 2007

Mr. Curvey also serves as Trustee (2007-present) or Member of the Advisory Board (2007-present) of other investment companies advised by FMR. Mr. Curvey is a Director of FMR and FMR Co., Inc. (2007-present). Mr. Curvey is also Vice Chairman (2006-present) and Director of FMR LLC. Mr. Curvey joined Fidelity in 1982 and served in numerous senior management positions, including President and Chief Operating Officer of FMR LLC (1997-2000) and President of Fidelity Strategic Investments (2000-2002). In addition, he serves as a member of the Board of Directors of Geerlings & Wade, Inc. (wine distribution).

* Trustees have been determined to be "Interested Trustees" by virtue of, among other things, their affiliation with the trust or various entities under common control with FMR. FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Independent Trustees:

Correspondence intended for each Independent Trustee (that is, the Trustees other than the Interested Trustees) may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Age; Principal Occupation

Dennis J. Dirks (59)

Year of Election or Appointment: 2005

Prior to his retirement in May 2003, Mr. Dirks was Chief Operating Officer and a member of the Board of The Depository Trust & Clearing Corporation (DTCC) (1999-2003). He also served as President, Chief Operating Officer, and Board member of The Depository Trust Company (DTC) (1999-2003) and President and Board member of the National Securities Clearing Corporation (NSCC) (1999-2003). In addition, Mr. Dirks served as Chief Executive Officer and Board member of the Government Securities Clearing Corporation (2001-2003) and Chief Executive Officer and Board member of the Mortgage-Backed Securities Clearing Corporation (2001-2003). Mr. Dirks also serves as a Trustee and a member of the Finance Committee of Manhattan College (2005-present) and a Trustee and a member of the Finance Committee of AHRC of Nassau County (2006-present).

Albert R. Gamper, Jr. (65)

Year of Election or Appointment: 2006

Prior to his retirement in December 2004, Mr. Gamper served as Chairman of the Board of CIT Group Inc. (commercial finance). During his tenure with CIT Group Inc. Mr. Gamper served in numerous senior management positions, including Chairman (1987-1989; 1999-2001; 2002-2004), Chief Executive Officer (1987-2004), and President (1989-2002). He currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2001-present), Chairman of the Board of Governors, Rutgers University (2004-present), and Chairman of the Board of Saint Barnabas Health Care System.

George H. Heilmeier (71)

Year of Election or Appointment: 2004

Dr. Heilmeier is Chairman Emeritus of Telcordia Technologies (communication software and systems), where prior to his retirement, he served as company Chairman and Chief Executive Officer. He currently serves on the Boards of Directors of The Mitre Corporation (systems engineering and information technology support for the government), and HRL Laboratories (private research and development, 2004-present). He is Chairman of the General Motors Science & Technology Advisory Board and a Life Fellow of the Institute of Electrical and Electronics Engineers (IEEE). Dr. Heilmeier is a member of the Defense Science Board and the National Security Agency Advisory Board. He is also a member of the National Academy of Engineering, the American Academy of Arts and Sciences, and the Board of Overseers of the School of Engineering and Applied Science of the University of Pennsylvania. Previously, Dr. Heilmeier served as a Director of TRW Inc. (automotive, space, defense, and information technology, 1992-2002), Compaq (1994-2002), Automatic Data Processing, Inc. (ADP) (technology-based business outsourcing, 1995-2002), INET Technologies Inc. (telecommunications network surveillance, 2001-2004), and Teletech Holdings (customer management services). He is the recipient of the 2005 Kyoto Prize in Advanced Technology for his invention of the liquid crystal display, and a member of the Consumer Electronics Hall of Fame.

James H. Keyes (67)

Year of Election or Appointment: 2007

Prior to his retirement in 2003, Mr. Keyes was Chairman, President, and Chief Executive Officer of Johnson Controls, Inc. (automotive supplier, 1993-2003). He currently serves as a member of the boards of LSI Logic Corporation (semiconductor technologies), Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, 2002-present), and Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions).

Marie L. Knowles (61)

Year of Election or Appointment: 2001

Prior to Ms. Knowles' retirement in June 2000, she served as Executive Vice President and Chief Financial Officer of Atlantic Richfield Company (ARCO) (diversified energy, 1996-2000). From 1993 to 1996, she was a Senior Vice President of ARCO and President of ARCO Transportation Company. She served as a Director of ARCO from 1996 to 1998. She currently serves as a Director of Phelps Dodge Corporation (copper mining and manufacturing) and McKesson Corporation (healthcare service, 2002-present). Ms. Knowles is a Trustee of the Brookings Institution and the Catalina Island Conservancy and also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California.

Ned C. Lautenbach (63)

Year of Election or Appointment: 2000

Mr. Lautenbach is Chairman of the Independent Trustees (2006-present). Mr. Lautenbach has been a partner of Clayton, Dubilier & Rice, Inc. (private equity investment firm) since September 1998. Previously, Mr. Lautenbach was with the International Business Machines Corporation (IBM) from 1968 until his retirement in 1998. Mr. Lautenbach serves as a Director of Sony Corporation (2006-present) and Eaton Corporation (diversified industrial) as well as the Philharmonic Center for the Arts in Naples, Florida. He also is a member of the Board of Trustees of Fairfield University (2005-present), as well as a member of the Council on Foreign Relations.

Cornelia M. Small (63)

Year of Election or Appointment: 2005

Ms. Small is a member (2000-present) and Chairperson (2002-present) of the Investment Committee, and a member (2002-present) of the Board of Trustees of Smith College. Previously, she served as Chief Investment Officer (1999-2000), Director of Global Equity Investments (1996-1999), and a member of the Board of Directors of Scudder, Stevens & Clark (1990-1997) and Scudder Kemper Investments (1997-1999). In addition, Ms. Small served as Co-Chair (2000-2003) of the Annual Fund for the Fletcher School of Law and Diplomacy.

William S. Stavropoulos (68)

Year of Election or Appointment: 2001

Mr. Stavropoulos is Chairman Emeritus of the Board of Directors of The Dow Chemical Company. Since joining The Dow Chemical Company in 1967, Mr. Stavropoulos served in numerous senior management positions, including President (1993-2000; 2002-2003), CEO (1995-2000; 2002-2004), and Chairman of the Executive Committee (2000-2004). Currently, he is a Director of NCR Corporation (data warehousing and technology solutions), Chemical Financial Corporation, Maersk Inc. (industrial conglomerate, 2002-present), Tyco International, Inc. (multinational manufacturing and services, 2007-present), and a member of the Advisory Board for Metalmark Capital (private equity investment firm, 2005-present). He is a special advisor to Clayton, Dubilier & Rice, Inc., a private equity investment firm. He also serves as a member of the Board of Trustees of the American Enterprise Institute for Public Policy Research. In addition, Mr. Stavropoulos is a member of The Business Council, J.P. Morgan International Council and the University of Notre Dame Advisory Council for the College of Science.

Kenneth L. Wolfe (68)

Year of Election or Appointment: 2005

Mr. Wolfe is Chairman and a Director of Hershey Foods Corporation (2007-present), where prior to his retirement in 2001, he was Chairman and Chief Executive Officer. Mr. Wolfe currently serves as a member of the board of Revlon Inc. (2004-present). Previously, Mr. Wolfe served as a member of the boards of Adelphia Communications Corporation (2003-2006) and Bausch & Lomb, Inc. (1993-2007).

Advisory Board Members and Executive Officers**:

Correspondence intended for Mr. Mauriello, Mr. Thomas, Mr. Wiley, Mr. Lacy, and Mr. Arthur Johnson may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235. Correspondence intended for each executive officer and Mr. Lynch may be sent to Fidelity Investments, 82 Devonshire Street, Boston, Massachusetts 02109.

Name, Age; Principal Occupation

Arthur E. Johnson (60)

Year of Election or Appointment: 2008

Member of the Advisory Board of Contrafund. Mr. Johnson serves as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor). In addition, Mr. Johnson serves as a member of the Board of Directors of AGL Resources, Inc. (holding company, 2002-present), and IKON Office Solutions, Inc. (document management systems and services). Mr. Arthur E. Johnson and Mr. Edward C. Johnson 3d are not related.

Alan J. Lacy (54)

Year of Election or Appointment: 2008

Member of the Advisory Board of Contrafund. Mr. Lacy serves as Senior Adviser (2007-present) of Oak Hill Capital Partners, L.P. (a private equity firm). Mr. Lacy also served as Vice Chairman and Chief Executive Officer of Sears Holdings Corporation and Sears, Roebuck and Co. (retail, 2005-2006; 2000-2005). In addition, Mr. Lacy serves as a member of the Board of Directors of The Western Union Company (global money transfer, 2006-present) and Bristol-Myers Squibb (global pharmaceuticals, 2007-present). Mr. Lacy is a Trustee of the National Parks Conservation Association and The Field Museum of Natural History.

Peter S. Lynch (63)

Year of Election or Appointment: 2003

Member of the Advisory Board of Contrafund. Mr. Lynch is Vice Chairman and a Director of FMR, and Vice Chairman (2001-present) and a Director of FMR Co., Inc. Previously, Mr. Lynch served as a Trustee of the Fidelity funds (1990-2003). In addition, he serves as a Trustee of Boston College and as the Chairman of the Inner-City Scholarship Fund.

Joseph Mauriello (63)

Year of Election or Appointment: 2007

Member of the Advisory Board of Contrafund. Prior to his retirement in January 2006, Mr. Mauriello served in numerous senior management positions including Deputy Chairman and Chief Operating Officer (2004-2005), and Vice Chairman of Financial Services (2002-2004) of KPMG LLP US (professional services firm, 1965-2005). Mr. Mauriello currently serves as a member of the Board of Directors of XL Capital Ltd. (global insurance and re-insurance company, 2006-present) and of Arcadia Resources Inc. (health care services and products, 2007-present). He also served as a Director of the Hamilton Funds of the Bank of New York (2006-2007).

David M. Thomas (58)

Year of Election or Appointment: 2007

Member of the Advisory Board of Contrafund. Previously, Mr. Thomas served as Executive Chairman (2005-2006) and Chairman and Chief Executive Officer (2000-2005) of IMS Health, Inc. (pharmaceutical and healthcare information solutions). In addition, Mr. Thomas serves as a member of the Board of Directors of Fortune Brands, Inc. (consumer products holding company), and Interpublic Group of Companies, Inc. (marketing communication, 2004-present).

Michael E. Wiley (57)

Year of Election or Appointment: 2007

Member of the Advisory Board of Contrafund. Mr. Wiley also serves as a member of the Board of Trustees of the University of Tulsa (2000-2006; 2007-present). He serves as a Director of Tesoro Corporation (independent oil refiner and marketer, 2005-present), and a Director of Bill Barrett Corporation (exploration and production company, 2005-present). In addition, he also serves as a Director of Post Oak Bank (privately-held bank, 2004-present). Previously, Mr. Wiley served as a Sr. Energy Advisor of Katzenbach Partners, LLC (consulting firm, 2006-2007), as an Advisory Director of Riverstone Holdings (private investment firm), Chairman, President, and CEO of Baker Hughes, Inc. (oilfield services company, 2000-2004), and as Director of Spinnaker Exploration Company (exploration and production company, 2001-2005).

Kimberley H. Monasterio (44)

Year of Election or Appointment: 2007

President and Treasurer of Contrafund. Ms. Monasterio also serves as President and Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2004-present). Previously, Ms. Monasterio served as Deputy Treasurer of the Fidelity funds (2004-2006). Before joining Fidelity Investments, Ms. Monasterio served as Treasurer (2000-2004) and Chief Financial Officer (2002-2004) of the Franklin Templeton Funds and Senior Vice President of Franklin Templeton Services, LLC (2000-2004).

Walter C. Donovan (45)

Year of Election or Appointment: 2007

Vice President of Contrafund. Mr. Donovan also serves as Vice President of Fidelity's Equity Funds (2007-present). Mr. Donovan also serves as Executive Vice President of FMR (2005-present) and FMR Co., Inc. (2005-present). Previously, Mr. Donovan served as Vice President of Fidelity's High Income Funds (2005-2007), Fixed-Income Funds (2005-2006), certain Asset Allocation Funds (2005-2006), certain Balanced Funds (2005-2006), and as Vice President and Director of Fidelity's International Equity Trading group (1998-2005).

Bruce T. Herring (42)

Year of Election or Appointment: 2006

Vice President of Contrafund. Mr. Herring also serves as Vice President of certain Equity Funds (2006-present). Mr. Herring is Senior Vice President of FMR (2006-present) and Vice President of FMR Co., Inc. (2001-present). Previously, Mr. Herring served as a portfolio manager for Fidelity U.S. Equity Funds (2001-2005).

Eric D. Roiter (59)

Year of Election or Appointment: 1998

Secretary of Contrafund. He also serves as Secretary of other Fidelity funds; Vice President, General Counsel, and Secretary of FMR Co., Inc. (2001-present) and FMR; Assistant Secretary of Fidelity Management & Research (U.K.) Inc. (2001-present), Fidelity Research & Analysis Company (2001-present), and Fidelity Investments Money Management, Inc. (2001-present). Mr. Roiter is an Adjunct Member, Faculty of Law, at Boston College Law School (2003-present). Previously, Mr. Roiter served as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (1998-2005).

John B. McGinty, Jr. (45)

Year of Election or Appointment: 2008

Assistant Secretary of Contrafund. Mr. McGinty also serves as Assistant Secretary of other Fidelity funds (2008-present) and is an employee of FMR LLC (2004-present). Mr. McGinty also serves as Senior Vice President, Secretary, and Chief Legal Officer of FDC (2007-present). Before joining Fidelity Investments, Mr. McGinty practiced law at Ropes & Gray, LLP.

R. Stephen Ganis (41)

Year of Election or Appointment: 2006

Anti-Money Laundering (AML) officer of Contrafund. Mr. Ganis also serves as AML officer of other Fidelity funds (2006-present) and FMR LLC (2003-present). Before joining Fidelity Investments, Mr. Ganis practiced law at Goodwin Procter, LLP (2000-2002).

Joseph B. Hollis (59)

Year of Election or Appointment: 2006

Chief Financial Officer of Contrafund. Mr. Hollis also serves as Chief Financial Officer of other Fidelity funds. Mr. Hollis is President of Fidelity Pricing and Cash Management Services (FPCMS) (2005-present). Mr. Hollis also serves as President and Director of Fidelity Service Company, Inc. (2006-present). Previously, Mr. Hollis served as Senior Vice President of Cash Management Services (1999-2002) and Investment Management Operations (2002-2005).

Kenneth A. Rathgeber (60)

Year of Election or Appointment: 2004

Chief Compliance Officer of Contrafund. Mr. Rathgeber also serves as Chief Compliance Officer of other Fidelity funds (2004-present) and Executive Vice President of Risk Oversight for Fidelity Investments (2002-present). He is Chief Compliance Officer of FMR (2005-present), FMR Co., Inc. (2005-present), Fidelity Management & Research (U.K.) Inc. (2005-present), Fidelity Research & Analysis Company (2005-present), Fidelity Investments Money Management, Inc. (2005-present), and Strategic Advisers, Inc. (2005-present). Previously, Mr. Rathgeber served as Executive Vice President and Chief Operating Officer for Fidelity Investments Institutional Services Company, Inc. (1998-2002).

Bryan A. Mehrmann (46)

Year of Election or Appointment: 2005

Deputy Treasurer of Contrafund. Mr. Mehrmann also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR. Previously, Mr. Mehrmann served as Vice President of Fidelity Investments Institutional Services Group (FIIS)/Fidelity Investments Institutional Operations Corporation, Inc. (FIIOC) Client Services (1998-2004).

Kenneth B. Robins (38)

Year of Election or Appointment: 2005

Deputy Treasurer of Contrafund. Mr. Robins also serves as Deputy Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2004-present). Before joining Fidelity Investments, Mr. Robins worked at KPMG LLP, where he was a partner in KPMG's department of professional practice (2002-2004) and a Senior Manager (1999-2000). In addition, Mr. Robins served as Assistant Chief Accountant, United States Securities and Exchange Commission (2000-2002).

Robert G. Byrnes (41)

Year of Election or Appointment: 2005

Assistant Treasurer of Contrafund. Mr. Byrnes also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Byrnes served as Vice President of FPCMS (2003-2005). Before joining Fidelity Investments, Mr. Byrnes worked at Deutsche Asset Management where he served as Vice President of the Investment Operations Group (2000-2003).

Peter L. Lydecker (53)

Year of Election or Appointment: 2004

Assistant Treasurer of Contrafund. Mr. Lydecker also serves as Assistant Treasurer of other Fidelity funds (2004) and is an employee of FMR.

Paul M. Murphy (60)

Year of Election or Appointment: 2007

Assistant Treasurer of Contrafund. Mr. Murphy also serves as Assistant Treasurer of other Fidelity funds (2007-present) and is an employee of FMR (2007-present). Previously, Mr. Murphy served as Chief Financial Officer of the Fidelity Funds (2005-2006), Vice President and Associate General Counsel of FMR (2007), and Senior Vice President of Fidelity Pricing and Cash Management Services Group (FPCMS) (1994-2007).

Gary W. Ryan (49)

Year of Election or Appointment: 2005

Assistant Treasurer of Contrafund. Mr. Ryan also serves as Assistant Treasurer of other Fidelity funds (2005-present) and is an employee of FMR (2005-present). Previously, Mr. Ryan served as Vice President of Fund Reporting in FPCMS (1999-2005).

** FMR Corp. merged with and into FMR LLC on October 1, 2007. Any references to FMR LLC for prior periods are deemed to be references to the prior entity.

Annual Report

Distributions

The Board of Trustees of Fidelity Contrafund voted to pay on February 11, 2008, to shareholders of record at the opening of business on February 8, 2008 a distribution of $.65 per share derived from capital gains realized from sales of portfolio securities.

The fund hereby designates as a capital gain dividend with respect to the taxable year ended December 31, 2007, $4,630,922,170 or, if subsequently determined to be different, the net capital gain of such year.

The fund designates 98% of the dividend distributed during the fiscal year as qualifying for the dividends-received deduction for corporate shareholders.

The fund designates 100% of the dividends distributed during the fiscal year as amounts which may be taken into account as a dividend for the purposes of the maximum rate under section 1(h)(11) of the Internal Revenue Code.

The fund will notify shareholders in January 2008 of amounts for use in preparing 2007 income tax returns.

Annual Report

Board Approval of Investment Advisory Contracts and Management Fees

Fidelity Contrafund

Each year, typically in July, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract and sub-advisory agreements (together, the Advisory Contracts) for the fund. The Board, assisted by the advice of fund counsel and Independent Trustees' counsel, requests and considers a broad range of information throughout the year.

The Board meets regularly each month except August and takes into account throughout the year matters bearing on Advisory Contracts. The Board, acting directly and through its separate committees, considers at each of its meetings factors that are relevant to the annual renewal of the fund's Advisory Contracts, including the services and support provided to the fund and its shareholders. At the time of the renewal, the Board had 12 standing committees, each composed of Independent Trustees with varying backgrounds, to which the Board has assigned specific subject matter responsibilities in order to enhance effective decision-making by the Board. Each committee has adopted a written charter outlining the structure and purposes of the committee. One such committee, the Equity Contract Committee, meets periodically as needed throughout the year to consider matters specifically related to the annual renewal of Advisory Contracts. The committee requests and receives information on, and makes recommendations to the Independent Trustees concerning, the approval and annual review of the Advisory Contracts.

At its July 2007 meeting, the Board of Trustees, including the Independent Trustees, unanimously determined to renew the Advisory Contracts for the fund. In reaching its determination, the Board considered all factors it believed relevant, including (i) the nature, extent, and quality of the services to be provided to the fund and its shareholders (including the investment performance of the fund); (ii) the competitiveness of the management fee and total expenses of the fund; (iii) the total costs of the services to be provided by and the profits to be realized by the investment adviser and its affiliates from the relationship with the fund; (iv) the extent to which economies of scale would be realized as the fund grows; and (v) whether fee levels reflect these economies of scale, if any, for the benefit of fund shareholders. The Board also approved amendments to the fund's agreements with foreign sub-advisers to clarify that each sub-adviser provides services as an independent contractor.

In determining whether to renew the Advisory Contracts for the fund, the Board ultimately reached a determination, with the assistance of fund counsel and Independent Trustees' counsel, that the renewal of the Advisory Contracts and the compensation to be received by Fidelity under the management contract is consistent with Fidelity's fiduciary duty under applicable law. In addition to evaluating the specific factors noted above, the Board, in reaching its determination, is aware that shareholders in the fund have a broad range of investment choices available to them, including a wide choice among mutual funds offered by competitors to Fidelity, and that the fund's shareholders, with the opportunity to review and weigh the disclosure provided by the fund in its prospectus and other public disclosures, have chosen to invest in this fund, managed by Fidelity.

Annual Report

Nature, Extent, and Quality of Services Provided. The Board considered staffing within the investment adviser, FMR, and the sub-advisers (together, the Investment Advisers), including the background of the fund's portfolio manager and the fund's investment objective and discipline. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the portfolio manager compensation program and whether this structure provides appropriate incentives.

Resources Dedicated to Investment Management and Support Services. The Board reviewed the size, education, and experience of the Investment Advisers' investment staff, their use of technology, and the Investment Advisers' approach to recruiting, training, and retaining portfolio managers and other research, advisory, and management personnel. The Board considered Fidelity's extensive global research capabilities that enable the Investment Advisers to aggregate data from various sources in an effort to produce positive investment results. The Board noted that Fidelity's analysts have access to a variety of technological tools that enable them to perform both fundamental and quantitative analysis and to specialize in various disciplines. The Board also considered that Fidelity's portfolio managers and analysts have access to daily portfolio attribution that allows for monitoring of a fund's portfolio, as well as an electronic communication system that provides immediate real-time access to research concerning issuers and credit enhancers.

Shareholder and Administrative Services. The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, distribution, and shareholder services performed by the Investment Advisers and their affiliates under the Advisory Contracts and under separate agreements covering transfer agency, pricing and bookkeeping, and securities lending services for the fund; (ii) the nature and extent of the Investment Advisers' supervision of third party service providers, principally custodians and subcustodians; and (iii) the resources devoted to, and the record of compliance with, the fund's compliance policies and procedures. The Board reviewed the allocation of fund brokerage, including allocations to brokers affiliated with the Investment Advisers, the use of brokerage commissions to pay fund expenses, and the use of "soft" commission dollars to pay for research services. The Board also considered that Fidelity voluntarily pays for market data out of its own resources. The Board also considered the agreement reached between the Independent Trustees and Fidelity in December 2006 following an independent review of matters relating to receipt of travel, entertainment, gifts and gratuities in violation of Fidelity policies.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

The Board noted that the growth of fund assets across the complex allows Fidelity to reinvest in the development of services designed to enhance the value or convenience of the Fidelity funds as investment vehicles. These services include 24-hour access to account information and market information through phone representatives and over the Internet, and investor education materials and asset allocation tools.

Investment in a Large Fund Family. The Board considered the benefits to shareholders of investing in a Fidelity fund, including the benefits of investing in a fund that is part of a large family of funds offering a variety of investment disciplines and providing for a large variety of mutual fund investor services. For example, fund shareholders are offered the privilege of exchanging shares of the fund for shares of other Fidelity funds, as set forth in the fund's prospectus, without paying a sales charge. The Board noted that, since the last Advisory Contract renewals in July 2006, Fidelity has taken a number of actions that benefited particular funds, including (i) dedicating additional resources to investment research and to restructure the investment research teams; (ii) contractually agreeing to reduce the management fee on Fidelity Advisor Floating Rate High Income Fund; (iii) contractually agreeing to reduce the management fees on Fidelity's California, Massachusetts, New Jersey, and New York AMT Tax-Free Money Market Funds, launching new Institutional Classes and Service Classes of these funds, and contractually agreeing to impose expense limitations on these funds; (iv) eliminating the exchange fee on the Fidelity Select Portfolios and reducing the pricing and bookkeeping fee rates for these funds; (v) reducing the maximum transfer agency fee rates on high income funds and certain equity funds; (vi) proposing amended management contracts that, if approved by shareholders, will add a performance adjustment component to the management fees paid by 18 Fidelity Advisor equity funds; (vii) contractually agreeing to reduce fees for Ultra-Short Central Fund and the money market Central Funds; (viii) waiving the Fidelity Advisor funds' contingent deferred sales charge on certain redemptions made through systematic withdrawal programs; and (ix) amending the management contracts for equity and fixed-income funds whose management contracts incorporate a "group fee" structure by adding four new fee "breakpoints" to the group fee rate schedules.

Investment Performance and Compliance. The Board considered whether the fund has operated within its investment objective, as well as its record of compliance with its investment restrictions. It also reviewed the fund's absolute investment performance, as well as the fund's relative investment performance measured against (i) a broad-based securities market index, and (ii) a custom peer group of mutual funds deemed appropriate by the Board over multiple periods. The following charts considered by the Board show, over the one-, three-, and five-year periods ended December 31, 2006, the fund's cumulative total returns, the cumulative total returns of a broad-based securities market index ("benchmark"), and a range of cumulative total returns of a custom peer group of mutual funds defined by FMR based on categories assigned by Morningstar, Inc. The box within each chart shows the 25th percentile return (bottom of box) and the 75th percentile return (top of box) of the peer group. Returns shown above the box are in the first quartile and returns shown below the box are in the fourth quartile. The percentage beaten number noted below each chart corresponds to the percentile box and represents the percentage of funds in the peer group whose performance was equal to or lower than that of the fund. The fund's custom peer group, defined by FMR, is a peer group that FMR believes provides a more meaningful performance comparison than the peer group assigned by Morningstar, Inc. Morningstar, Inc. assigns mutual funds to categories based on their investment styles as measured by their underlying portfolio holdings.

Annual Report

Fidelity Contrafund

The Board reviewed the fund's relative investment performance against its peer group and stated that the performance of the fund was in the third quartile for the one-year period and the first quartile for the three- and five-year periods. The Board also stated that the investment performance of the fund compared favorably to its benchmark for the three- and five-year periods, although the fund's one-year cumulative total return was lower than its benchmark.

The Board also considered that the fund's management fee is subject to upward or downward adjustment depending upon whether, and to what extent, the fund's investment performance for the performance period exceeds, or is exceeded by, the record (over the same period) of a Board-approved performance adjustment index. The Board realizes that the performance adjustment provides FMR with a strong economic incentive to seek to achieve superior performance for the fund's shareholders and helps to more closely align the interests of FMR and the fund's shareholders.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

The Board considered that FMR has taken steps to refocus and strengthen equity research, equity portfolio management, and compliance.

Based on its review, and giving particular weight to the nature and quality of the resources dedicated by the Investment Advisers to maintain and improve relative performance, the Board concluded that the nature, extent, and quality of the services provided to the fund will benefit the fund's shareholders, particularly in light of the Board's view that the fund's shareholders benefit from investing in a fund that is part of a large family of funds offering a variety of investment disciplines and services.

Competitiveness of Management Fee and Total Fund Expenses. The Board considered the fund's management fee and total expenses compared to "mapped groups" of competitive funds and classes. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable management fee characteristics. Combining Lipper investment objective categories aids the Board's management fee and total expense comparisons by broadening the competitive group used for comparison and by reducing the number of universes to which various Fidelity funds are compared. The Board also considered supplemental information about how the fund's management fee and total expenses ranked relative to groups based on Lipper classifications, which take into account a fund's market capitalization and style.

The Board considered two proprietary management fee comparisons for the 12-month periods shown in the chart below. The group of Lipper funds used by the Board for management fee comparisons is referred to below as the "Total Mapped Group." The Total Mapped Group comparison focuses on a fund's standing relative to the total universe of comparable funds available to investors, in terms of gross management fees before expense reimbursements or caps, and without giving effect to the fund's performance adjustment. "TMG %" represents the percentage of funds in the Total Mapped Group that had management fees that were lower than the fund's. For example, a TMG % of 10% means that 90% of the funds in the Total Mapped Group had higher management fees than the fund. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to non-Fidelity funds similar in size to the fund within the Total Mapped Group. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee characteristics, subject to a minimum of 50 funds (or all funds in the Total Mapped Group if fewer than 50). Additional information, such as the ASPG quartile in which the fund's management fee ranked and the impact of the fund's performance adjustment, is also included in the chart and considered by the Board.

Annual Report

Fidelity Contrafund

The Board noted that the fund's management fee ranked below the median of its Total Mapped Group and below the median of its ASPG for 2006. The Board also noted the effect of the fund's positive performance adjustment on the fund's management fee ranking. The Board noted that the performance adjustment for each year represents calculations for performance periods that differ from the periods shown in the performance charts above.

Based on its review, the Board concluded that the fund's management fee was fair and reasonable in light of the services that the fund receives and the other factors considered.

In its review of the fund's total expenses, the Board considered the fund's management fee as well as other fund expenses, such as transfer agent fees, pricing and bookkeeping fees, and custodial, legal, and audit fees. The Board also noted the effects of any waivers and reimbursements on fees and expenses, as well as the fund's positive performance adjustment. As part of its review, the Board also considered current and historical total expenses of the fund compared to competitive fund median expenses. The fund is compared to those funds and classes in the Total Mapped Group (used by the Board for management fee comparisons) that have a similar sales load structure.

The Board noted that the fund's total expenses ranked below its competitive median for 2006.

In its review of total expenses, the Board also considered Fidelity fee structures and other information on clients that FMR and its affiliates service in other competitive markets, such as other mutual funds advised or subadvised by FMR or its affiliates, pension plan clients, and other institutional clients.

Annual Report

Board Approval of Investment Advisory Contracts and
Management Fees - continued

Based on its review, the Board concluded that the fund's total expenses were reasonable in light of the services that the fund and its shareholders receive and the other factors considered.

Costs of the Services and Profitability. The Board considered the revenues earned and the expenses incurred by Fidelity in conducting the business of developing, marketing, distributing, managing, administering and servicing the fund and its shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, FMR presents to the Board Fidelity's profitability for the fund. Fidelity calculates the profitability for each fund, as well as aggregate profitability for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the audited books and records of Fidelity. The Audit Committee of the Board reviews any significant changes from the prior year's methodologies.

PricewaterhouseCoopers LLP (PwC), independent registered public accounting firm and auditor to Fidelity and certain Fidelity funds, has been engaged annually by the Board as part of the Board's assessment of the results of Fidelity's profitability analysis. PwC's engagement includes the review and assessment of Fidelity's methodologies used in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures surrounding the mathematical accuracy of fund profitability and its conformity to allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board believes that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board has also reviewed Fidelity's non-fund businesses and any fall-out benefits related to the mutual fund business as well as cases where Fidelity's affiliates may benefit from or be related to the fund's business.

The Board considered the costs of the services provided by and the profits realized by Fidelity in connection with the operation of the fund and determined that the amount of profit is a fair entrepreneurial profit for the management of the fund.

Economies of Scale. The Board considered whether there have been economies of scale in respect of the management of the Fidelity funds, whether the Fidelity funds (including the fund) have appropriately benefited from any such economies of scale, and whether there is potential for realization of any further economies of scale. The Board considered the extent to which the fund will benefit from economies of scale through increased services to the fund, through waivers or reimbursements, or through fee or expense reductions, including reductions that occur through operation of the transfer agent agreement. The transfer agent fee varies in part based on the number of accounts in the fund. If the number of accounts decreases or the average account size increases, the overall transfer agent fee rate decreases.

Annual Report

The Board recognized that the fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total fund assets under FMR's management increase, and for higher group fee rates as total fund assets under FMR's management decrease. FMR determines the group fee rates based on a tiered asset "breakpoint" schedule. In connection with the renewal of the fund's management contract, the Board approved amendments to the fund's management contract that added four new fee breakpoints to the group fee rate schedule for assets under FMR's management above $1,386 billion. The Board considered that the group fee rate declines under both the present and amended schedules, but that under the amended schedule, the group fee rate declines faster as assets under FMR's management exceed $1,386 billion. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total fund assets increase, even if assets of any particular fund are unchanged or have declined, because some portion of Fidelity's costs are attributable to services provided to all Fidelity funds, and all funds benefit if those costs can be allocated among more assets. The Board also considered that although the fund is partially closed to new investors, it continues to incur investment management expenses, and marketing and distribution expenses related to the retention of existing shareholders and assets. The Board further noted that the fund may continue to realize benefits from the group fee structure, even though assets may not be expected to grow significantly at the fund level. The Board concluded that, given the group fee structure, fund shareholders will achieve a certain level of economies of scale as assets under FMR's management increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board further concluded that any potential economies of scale are being shared between fund shareholders and Fidelity in an appropriate manner.

Additional Information Requested by the Board. In order to develop fully the factual basis for consideration of the Fidelity funds' Advisory Contracts, the Board requested and received additional information on several topics, including (i) fund performance trends and actions to be taken by FMR to improve certain funds' overall performance; (ii) Fidelity's portfolio manager compensation structure, including its effects on fund profitability and the extent to which portfolio manager compensation is linked to fund performance; (iii) Fidelity's fee structures; (iv) the funds' sub-advisory arrangements; and (v) accounts managed by Fidelity other than the Fidelity funds.

Based on its evaluation of all of the conclusions noted above, and after considering all material factors, the Board ultimately concluded that the advisory fee structures are fair and reasonable, and that the fund's Advisory Contracts should be renewed.

Annual Report

Managing Your Investments

Fidelity offers several ways to conveniently manage your personal investments via your telephone or PC. You can access your account information, conduct trades and research your investments 24 hours a day.

By Phone

Fidelity Automated Service Telephone provides a single toll-free number to access account balances, positions, quotes and trading. It's easy to navigate the service, and on your first call, the system will help you create a personal identification number (PIN) for security.

(phone_graphic)

Fidelity Automated
Service Telephone (FAST
®)
1-800-544-5555

Press

1   For mutual fund and brokerage trading.

2   For quotes.*

3   For account balances and holdings.

4   To review orders and mutual
fund activity.

5   To change your PIN.

*0   To speak to a Fidelity representative.

By PC

Fidelity's web site on the Internet provides a wide range of information, including daily financial news, fund performance, interactive planning tools and news about Fidelity products and services.

(computer_graphic)

Fidelity's Web Site
www.fidelity.com

* When you call the quotes line, please remember that a fund's yield and return will vary and, except for money market funds, share price will also vary. This means that you may have a gain or loss when you sell your shares. There is no assurance that money market funds will be able to maintain a stable $1 share price; an investment in a money market fund is not insured or guaranteed by the U.S. government. Total returns are historical and include changes in share price, reinvestment of dividends and capital gains, and the effects of any sales charges.

Annual Report

To Write Fidelity

We'll give your correspondence immediate attention and send you written confirmation upon completion of your request.

(letter_graphic)

Making Changes
To Your Account

(such as changing name, address, bank, etc.)

Fidelity Investments
P.O. Box 770001
Cincinnati, OH 45277-0002

(letter_graphic)

For Non-Retirement
Accounts

Buying shares

Fidelity Investments
P.O. Box 770001
Cincinnati, OH 45277-0003

Overnight Express
Fidelity Investments
Attn: Distribution Services
100 Crosby Parkway - KC1H
Covington, KY 41015

Selling shares

Fidelity Investments
P.O. Box 770001
Cincinnati, OH 45277-0035

Overnight Express
Fidelity Investments
Attn: Distribution Services
100 Crosby Parkway - KC1H
Covington, KY 41015

General Correspondence

Fidelity Investments
P.O. Box 500
Merrimack, NH 03054-0500

(letter_graphic)

For Retirement
Accounts

Buying shares

Fidelity Investments
P.O. Box 770001
Cincinnati, OH 45277-0003

Selling shares

Fidelity Investments
P.O. Box 770001
Cincinnati, OH 45277-0035

Overnight Express
Fidelity Investments
Attn: Distribution Services
100 Crosby Parkway - KC1H
Covington, KY 41015

General Correspondence

Fidelity Investments
P.O. Box 500
Merrimack, NH 03054-0500

Annual Report

To Visit Fidelity

For directions and hours,
please call 1-800-544-9797.

Arizona

7001 West Ray Road
Chandler, AZ

15445 N. Scottsdale Road
Scottsdale, AZ

California

815 East Birch Street
Brea, CA

1411 Chapin Avenue
Burlingame, CA

851 East Hamilton Avenue
Campbell, CA

19200 Von Karman Avenue
Irvine, CA

601 Larkspur Landing Circle
Larkspur, CA

2000 Avenue of the Stars
Los Angeles, CA

27101 Puerta Real
Mission Viejo, CA

73-575 El Paseo
Palm Desert, CA

251 University Avenue
Palo Alto, CA

123 South Lake Avenue
Pasadena, CA

16656 Bernardo Ctr. Drive
Rancho Bernardo, CA

1220 Roseville Parkway
Roseville, CA

1740 Arden Way
Sacramento, CA

7676 Hazard Center Drive
San Diego, CA

11943 El Camino Real
San Diego, CA

8 Montgomery Street
San Francisco, CA

3793 State Street
Santa Barbara, CA

1200 Wilshire Boulevard
Santa Monica, CA

398 West El Camino Real
Sunnyvale, CA

111 South Westlake Blvd
Thousand Oaks, CA

21701 Hawthorne Boulevard
Torrance, CA

2001 North Main Street
Walnut Creek, CA

6326 Canoga Avenue
Woodland Hills, CA

Colorado

281 East Flatiron Circle
Broomfield, CO

1625 Broadway
Denver, CO

9185 Westview Road
Lone Tree, CO

Connecticut

48 West Putnam Avenue
Greenwich, CT

265 Church Street
New Haven, CT

300 Atlantic Street
Stamford, CT

29 South Main Street
West Hartford, CT

Delaware

400 Delaware Avenue
Wilmington, DE

Florida

175 East Altamonte Drive
Altamonte Springs, FL

4400 N. Federal Highway
Boca Raton, FL

121 Alhambra Plaza
Coral Gables, FL

2948 N. Federal Highway
Ft. Lauderdale, FL

4671 Town Center Parkway
Jacksonville, FL

8880 Tamiami Trail, North
Naples, FL

230 Royal Palm Way
Palm Beach, FL

3501 PGA Boulevard
Palm Beach Gardens, FL

3550 Tamiami Trail, South
Sarasota, FL

1502 N. Westshore Blvd.
Tampa, FL

2465 State Road 7
Wellington, FL

Georgia

3445 Peachtree Road, N.E.
Atlanta, GA

1000 Abernathy Road
Atlanta, GA

Illinois

One North LaSalle Street
Chicago, IL

401 North Michigan Avenue
Chicago, IL

One Skokie Valley Road
Highland Park, IL

1415 West 22nd Street
Oak Brook, IL

15105 S LaGrange Road
Orland Park, IL

1572 East Golf Road
Schaumburg, IL

Indiana

4729 East 82nd Street
Indianapolis, IN

8480 Keystone Crossing
Indianapolis, IN

Kansas

5400 College Boulevard
Overland Park, KS

Maine

Three Canal Plaza
Portland, ME

Maryland

7315 Wisconsin Avenue
Bethesda, MD

610 York Road
Towson, MD

Massachusetts

801 Boylston Street
Boston, MA

155 Congress Street
Boston, MA

300 Granite Street
Braintree, MA

44 Mall Road
Burlington, MA

238 Main Street
Cambridge, MA

200 Endicott Street
Danvers, MA

Annual Report

405 Cochituate Road
Framingham, MA

551 Boston Turnpike
Shrewsbury, MA

Michigan

500 E. Eisenhower Pkwy.
Ann Arbor, MI

280 Old N. Woodward Ave.
Birmingham, MI

30200 Northwestern Hwy.
Farmington Hills, MI

43420 Grand River Avenue
Novi, MI

Minnesota

7740 France Avenue South
Edina, MN

8342 3rd Street North
Oakdale, MN

Missouri

1524 South Lindbergh Blvd.
St. Louis, MO

Nevada

2225 Village Walk Drive
Henderson, NV

New Jersey

501 Route 73 South
Marlton, NJ

150 Essex Street
Millburn, NJ

35 Morris Street
Morristown, NJ

396 Route 17, North
Paramus, NJ

3518 Route 1 North
Princeton, NJ

530 Broad Street
Shrewsbury, NJ

New Mexico

2261 Q Street NE
Albuquerque, NM

New York

1130 Franklin Avenue
Garden City, NY

37 West Jericho Turnpike
Huntington Station, NY

1271 Avenue of the Americas
New York, NY

980 Madison Avenue
New York, NY

61 Broadway
New York, NY

350 Park Avenue
New York, NY

200 Fifth Avenue
New York, NY

733 Third Avenue
New York, NY

11 Penn Plaza
New York, NY

2070 Broadway
New York, NY

1075 Northern Blvd.
Roslyn, NY

799 Central Park Avenue
Scarsdale, NY

North Carolina

4611 Sharon Road
Charlotte, NC

7011 Fayetteville Road
Durham, NC

Ohio

3805 Edwards Road
Cincinnati, OH

1324 Polaris Parkway
Columbus, OH

1800 Crocker Road
Westlake, OH

28699 Chagrin Boulevard
Woodmere Village, OH

Oregon

7493 SW Bridgeport Road
Tigard, OR

Pennsylvania

600 West DeKalb Pike
King of Prussia, PA

1735 Market Street
Philadelphia, PA

12001 Perry Highway
Wexford, PA

Rhode Island

10 Memorial Boulevard
Providence, RI

Tennessee

3018 Peoples Street
Johnson City, TN

7628 West Farmington Blvd.
Germantown, TN

2035 Mallory Lane
Franklin, TN

Texas

10000 Research Boulevard
Austin, TX

4001 Northwest Parkway
Dallas, TX

12532 Memorial Drive
Houston, TX

2701 Drexel Drive
Houston, TX

6560 Fannin Street
Houston, TX

1701 Lake Robbins Drive
The Woodlands, TX

6500 N. MacArthur Blvd.
Irving, TX

6005 West Park Boulevard
Plano, TX

14100 San Pedro
San Antonio, TX

1576 East Southlake Blvd.
Southlake, TX

Utah

279 West South Temple
Salt Lake City, UT

Virginia

1861 International Drive
McLean, VA

Washington

10500 NE 8th Street
Bellevue, WA

1518 6th Avenue
Seattle, WA

Washington, DC

1900 K Street, N.W.
Washington, DC

Wisconsin

16020 West Bluemound Road
Brookfield, WI

Fidelity Brokerage Services, Inc., 100 Summer St., Boston, MA 02110 Member NYSE/SIPC

Annual Report

Investment Adviser

Fidelity Management & Research Company

Boston, MA

Investment Sub-Advisers

FMR Co., Inc.

Fidelity Management & Research
(U.K.) Inc.

Fidelity Research & Analysis Company

Fidelity Investments Japan Limited

Fidelity International Investment
Advisors

Fidelity International Investment
Advisors (U.K.) Limited

General Distributor

Fidelity Distributors Corporation

Boston, MA

Transfer and Service Agent

Fidelity Service Company, Inc. Boston, MA

Custodian

Brown Brothers Harriman & Co.

Boston, MA

The Fidelity Telephone Connection

Mutual Fund 24-Hour Service

Exchanges/Redemptions
and Account Assistance 1-800-544-6666

Product Information 1-800-544-6666

Retirement Accounts 1-800-544-4774
(8 a.m. - 9 p.m.)

TDD Service 1-800-544-0118
for the deaf and hearing impaired
(9 a.m. - 9 p.m. Eastern time)

Fidelity Automated Service
Telephone (FAST®) (automated graphic)    1-800-544-5555

(automated graphic)    Automated line for quickest service

CON-UANN-0208
1.787729.104

(Fidelity Investment logo)(registered trademark)
Corporate Headquarters
82 Devonshire St., Boston, MA 02109
www.fidelity.com

Item 2. Code of Ethics

As of the end of the period, December 31, 2007, Fidelity Contrafund (the trust) has adopted a code of ethics, as defined in Item 2 of Form N-CSR, that applies to its President and Treasurer and its Chief Financial Officer. A copy of the code of ethics is filed as an exhibit to this Form N-CSR.

Item 3. Audit Committee Financial Expert

The Board of Trustees of the trust has determined that Marie L. Knowles is an audit committee financial expert, as defined in Item 3 of Form N-CSR. Ms. Knowles is independent for purposes of Item 3 of Form N-CSR.

Item 4. Principal Accountant Fees and Services

(a) Audit Fees.

For the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Audit Fees billed by PricewaterhouseCoopers LLP (PwC) for professional services rendered for the audits of the financial statements, or services that are normally provided in connection with statutory and regulatory filings or engagements for those fiscal years, for the Fidelity Advisor New Insights Fund and Fidelity Contrafund (the funds) and for all funds in the Fidelity Group of Funds are shown in the table below.

Fund

2007A

2006A

Fidelity Advisor New Insights Fund

$71,000

$62,000

Fidelity Contrafund

$291,000

$278,000

All funds in the Fidelity Group of Funds audited by PwC

$14,700,000

$13,900,000

A

Aggregate amounts may reflect rounding.

(b) Audit-Related Fees.

In each of the fiscal years ended December 31, 2007 and December 31, 2006 the aggregate Audit-Related Fees billed by PwC for services rendered for assurance and related services to each fund that are reasonably related to the performance of the audit or review of the fund's financial statements, but not reported as Audit Fees, are shown in the table below.

Fund

2007A

2006A

Fidelity Advisor New Insights Fund

$0

$0

Fidelity Contrafund

$0

$0

A

Aggregate amounts may reflect rounding.

In each of the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Audit-Related Fees that were billed by PwC that were required to be approved by the Audit Committee for services rendered on behalf of Fidelity Management & Research Company (FMR) and entities controlling, controlled by, or under common control with FMR (not including any sub-adviser whose role is primarily portfolio management and is subcontracted with or overseen by another investment adviser) that provide ongoing services to the funds ("Fund Service Providers") for assurance and related services that relate directly to the operations and financial reporting of each fund that are reasonably related to the performance of the audit or review of the fund's financial statements, but not reported as Audit Fees, are shown in the table below.

Billed By

2007A

2006A

PwC

$0

$0

A

Aggregate amounts may reflect rounding.

Fees included in the audit-related category comprise assurance and related services (e.g., due diligence services) that are traditionally performed by the independent registered public accounting firm. These audit-related services include due diligence related to mergers and acquisitions, accounting consultations and audits in connection with acquisitions, internal control reviews, attest services that are not required by statute or regulation and consultation concerning financial accounting and reporting standards.

(c) Tax Fees.

In each of the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Tax Fees billed by PwC for professional services rendered for tax compliance, tax advice, and tax planning for each fund is shown in the table below.

Fund

2007A

2006A

Fidelity Advisor New Insights Fund

$2,700

$2,600

Fidelity Contrafund

$3,800

$3,600

A

Aggregate amounts may reflect rounding.

In each of the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Tax Fees billed by PwC that were required to be approved by the Audit Committee for professional services rendered on behalf of the Fund Service Providers for tax compliance, tax advice, and tax planning that relate directly to the operations and financial reporting of each fund is shown in the table below.

Billed By

2007A

2006A

PwC

$0

$0

A

Aggregate amounts may reflect rounding.

Fees included in the Tax Fees category comprise all services performed by professional staff in the independent registered public accounting firm's tax division except those services related to the audit. Typically, this category would include fees for tax compliance, tax planning, and tax advice. Tax compliance, tax advice, and tax planning services include preparation of original and amended tax returns, claims for refund and tax payment-planning services, assistance with tax audits and appeals, tax advice related to mergers and acquisitions and requests for rulings or technical advice from taxing authorities.

(d) All Other Fees.

In each of the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Other Fees billed by PwC for all other non-audit services rendered to the funds is shown in the table below.

Fund

2007A

2006A

Fidelity Advisor New Insights Fund

$6,400

$5,200

Fidelity Contrafund

$47,900

$47,000

A

Aggregate amounts may reflect rounding.

In each of the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate Other Fees billed by PwC that were required to be approved by the Audit Committee for all other non-audit services rendered on behalf of the Fund Service Providers that relate directly to the operations and financial reporting of each fund is shown in the table below.

Billed By

2007A

2006A

PwC

$215,000

$125,000

A

Aggregate amounts may reflect rounding.

Fees included in the All Other Fees category include services related to internal control reviews, strategy and other consulting, financial information systems design and implementation, consulting on other information systems, and other tax services unrelated to the fund.

(e) (1)

Audit Committee Pre-Approval Policies and Procedures:

The trust's Audit Committee must pre-approve all audit and non-audit services provided by the independent registered public accounting firm relating to the operations or financial reporting of the funds. Prior to the commencement of any audit or non-audit services to a fund, the Audit Committee reviews the services to determine whether they are appropriate and permissible under applicable law.

The trust's Audit Committee has adopted policies and procedures to, among other purposes, provide a framework for the Committee's consideration of non-audit services by the audit firms that audit the Fidelity funds. The policies and procedures require that any non-audit service provided by a fund audit firm to a Fidelity Fund and any non-audit service provided by a fund auditor to a Fund Service Provider that relates directly to the operations and financial reporting of a Fidelity fund (Covered Service) are subject to approval by the Audit Committee before such service is provided. Non-audit services provided by a fund audit firm for a Fund Service Provider that do not relate directly to the operations and financial reporting of a Fidelity fund (Non-Covered Service) but that are expected to exceed $50,000 are also subject to pre-approval by the Audit Committee.

All Covered Services, as well as Non-Covered Services that are expected to exceed $50,000, must be approved in advance of provision of the service either: (i) by formal resolution of the Audit Committee, or (ii) by oral or written approval of the service by the Chair of the Audit Committee (or if the Chair is unavailable, such other member of the Audit Committee as may be designated by the Chair to act in the Chair's absence). The approval contemplated by (ii) above is permitted where the Treasurer determines that action on such an engagement is necessary before the next meeting of the Audit Committee. Neither pre-approval nor advance notice of Non-Covered Service engagements for which fees are not expected to exceed $50,000 is required; such engagements are to be reported to the Audit Committee monthly.

(e) (2)

Services approved pursuant to paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X:

Audit-Related Fees:

There were no amounts that were approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of each fund.

There were no amounts that were required to be approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of the Fund Service Providers that relate directly to the operations and financial reporting of each fund.

Tax Fees:

There were no amounts that were approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of each fund.

There were no amounts that were required to be approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of the Fund Service Providers that relate directly to the operations and financial reporting of each fund.

All Other Fees:

There were no amounts that were approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of each fund.

There were no amounts that were required to be approved by the Audit Committee pursuant to the de minimis exception for the fiscal years ended December 31, 2007 and December 31, 2006 on behalf of the Fund Service Providers that relate directly to the operations and financial reporting of each fund.

(f) Not applicable.

(g) For the fiscal years ended December 31, 2007 and December 31, 2006, the aggregate fees billed by PwC of $1,530,000A and $1,375,000A for non-audit services rendered on behalf of the funds, FMR (not including any sub-adviser whose role is primarily portfolio management and is subcontracted with or overseen by another investment adviser) and Fund Service Providers relating to Covered Services and Non-Covered Services are shown in the table below.

2007A

2006A

Covered Services

$275,000

$185,000

Non-Covered Services

$1,255,000

$1,190,000

A

Aggregate amounts may reflect rounding.

(h) The trust's Audit Committee has considered Non-Covered Services that were not pre-approved that were provided by PwC to Fund Service Providers to be compatible with maintaining the independence of PwC in its audit of the funds, taking into account representations from PwC, in accordance with Independence Standards Board Standard No.1, regarding its independence from the funds and their related entities.

Item 5. Audit Committee of Listed Registrants

Not applicable.

Item 6. Schedule of Investments

Not applicable.

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies

Not applicable.

Item 8. Portfolio Managers of Closed-End Management Investment Companies

Not applicable.

Item 9. Purchase of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers

Not applicable.

Item 10. Submission of Matters to a Vote of Security Holders

There were no material changes to the procedures by which shareholders may recommend nominees to the trust's Board of Trustees.

Item 11. Controls and Procedures

(a)(i) The President and Treasurer and the Chief Financial Officer have concluded that the trust's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act) provide reasonable assurances that material information relating to the trust is made known to them by the appropriate persons, based on their evaluation of these controls and procedures as of a date within 90 days of the filing date of this report.

(a)(ii) There was no change in the trust's internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act) that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the trust's internal control over financial reporting.

Item 12. Exhibits

(a)

(1)

Code of Ethics pursuant to Item 2 of Form N-CSR is filed and attached hereto as EX-99.CODE ETH.

(a)

(2)

Certification pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) is filed and attached hereto as Exhibit 99.CERT.

(a)

(3)

Not applicable.

(b)

Certification pursuant to Rule 30a-2(b) under the Investment Company Act of 1940 (17 CFR 270.30a-2(b)) is furnished and attached hereto as Exhibit 99.906CERT.

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Fidelity Contrafund

By:

/s/Kimberley Monasterio

Kimberley Monasterio

President and Treasurer

Date:

February 28, 2008

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By:

/s/Kimberley Monasterio

Kimberley Monasterio

President and Treasurer

Date:

February 28, 2008

By:

/s/Joseph B. Hollis

Joseph B. Hollis

Chief Financial Officer

Date:

February 28, 2008

EX-99.CERT 2 contra99cert.htm

Exhibit EX-99.CERT

I, Kimberley Monasterio, certify that:

1. I have reviewed this report on Form N-CSR of Fidelity Contrafund;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a. Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b. Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c. Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based upon such evaluation; and

d. Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

a. All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

b. Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 28, 2008

/s/Kimberley Monasterio

Kimberley Monasterio

President and Treasurer

I, Joseph B. Hollis, certify that:

1. I have reviewed this report on Form N-CSR of Fidelity Contrafund;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a. Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b. Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c. Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based upon such evaluation; and

d. Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

a. All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

b. Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 28, 2008

/s/Joseph B. Hollis

Joseph B. Hollis

Chief Financial Officer

EX-99.906 CERT 3 contra906cert.htm

Exhibit EX-99.906CERT

Certification Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code)

In connection with the attached Report of Fidelity Contrafund (the "Trust") on Form N-CSR to be filed with the Securities and Exchange Commission (the "Report"), each of the undersigned officers of the Trust does hereby certify that, to the best of such officer's knowledge:

1. The Report fully complies with the requirements of 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Trust as of, and for, the periods presented in the Report.

Dated: February 28, 2008

/s/Kimberley Monasterio

Kimberley Monasterio

President and Treasurer

Dated: February 28, 2008

/s/Joseph B. Hollis

Joseph B. Hollis

Chief Financial Officer

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to the Trust and will be retained by the Trust and furnished to the Securities and Exchange Commission or its staff upon request.

EX-99.CODE ETH 4 contracdeth.htm

EXHIBIT EX-99.CODE ETH

FIDELITY FUNDS' CODE OF ETHICS FOR

PRESIDENT, TREASURER AND PRINCIPAL ACCOUNTING OFFICER

I. Purposes of the Code/Covered Officers

This document constitutes the Code of Ethics ("the Code") adopted by the Fidelity Funds (the "Funds") pursuant to the provisions of Rule 30b2-1(a) under the Investment Company Act of 1940), which Rule implements Sections 406 of the Sarbanes-Oxley Act of 2002 with respect to registered investment companies. The Code applies to the Fidelity Funds' President and Treasurer, and Chief Financial Officer (the "Covered Officers"). Fidelity's Ethics Office, a part of Fidelity Enterprise Compliance within Risk Oversight, administers the Code.

The purposes of the Code are to deter wrongdoing and to promote, on the part of the Covered Officers:

  • honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;
  • full, fair, accurate, timely and understandable disclosure in reports and documents that the Fidelity Funds submit to the Securities and Exchange Commission ("SEC"), and in other public communications by a Fidelity Fund;
  • compliance with applicable laws and governmental rules and regulations;
  • the prompt internal reporting to an appropriate person or persons identified in the Code of violations of the Code; and
  • accountability for adherence to the Code.
  • Each Covered Officer should adhere to a high standard of business ethics and should be sensitive to situations that may give rise to actual as well as apparent conflicts of interest.

II. Covered Officers Should Handle Ethically

Actual and Apparent Conflicts of Interest

Overview. A "conflict of interest" occurs when a Covered Officer's private interest interferes with the interests of, or his service to, the Fidelity Funds. For example, a conflict of interest would arise if a Covered Officer, or a member of his family, receives improper personal benefits as a result of his position with the Fidelity Funds.

Certain conflicts of interest arise out of the relationships between Covered Officers and the Fidelity Funds and already are subject to conflict of interest provisions in the Investment Company Act of 1940 ("Investment Company Act") and the Investment Advisers Act of 1940 ("Investment Advisers Act"). For example, Covered Officers may not individually engage in certain transactions (such as the purchase or sale of securities or other property) with a Fidelity Fund because of their status as "affiliated persons" of the Fund. Separate compliance programs and procedures of the Fidelity Funds, Fidelity Management & Research Company ("FMR") and the other Fidelity companies are designed to prevent, or identify and correct, violations of these provisions. This Code does not, and is not intended to, repeat or replace these programs and procedures, and such conflicts fall outside of the parameters of this Code.

Although typically not presenting an opportunity for improper personal benefit, conflicts arise from, or as a result of, the contractual relationship between the Fidelity Funds and FMR (or another Fidelity company) of which the Covered Officers are also officers or employees. As a result, this Code recognizes that the Covered Officers will, in the normal course of their duties (whether formally for the Fidelity Funds, FMR or another Fidelity company), be involved in establishing policies and implementing decisions that have different effects on the Fidelity Funds, FMR and other Fidelity companies. The participation of the Covered Officers in such activities is inherent in the contractual relationship between the Fidelity Funds and FMR (or another Fidelity company), and is consistent with the performance by the Covered Officers of their duties as officers of the Fidelity Funds. Thus, if performed in conformity with the provisions of the Investment Company Act and the Investment Advisers Act, such activities will be deemed to have been handled ethically. In addition, it is recognized by the Funds' Board of Trustees ("Board") that the Covered Officers also may be officers or employees of one or more other Fidelity Funds covered by this Code.

Other conflicts of interest are covered by the Code, even if such conflicts of interest are not subject to provisions in the Investment Company Act and the Investment Advisers Act. The following list provides examples of conflicts of interest under the Code, but Covered Officers should keep in mind that these examples are not exhaustive. The overarching principle is that the personal interest of a Covered Officer should not be placed improperly before the interest of a Fidelity Fund.

* * *

Each Covered Officer must:

  • not use his or her personal influence or personal relationships improperly to influence investment decisions or financial reporting by any Fidelity Fund whereby the Covered Officer would benefit personally to the detriment of any Fidelity Fund;
  • not cause a Fidelity Fund to take action, or fail to take action, for the individual personal benefit of the Covered Officer rather than the benefit of the Fidelity Fund;
  • not engage in any outside business activity, including serving as a director or trustee, that prevents the Covered Officer from devoting appropriate time and attention to the Covered Officer's responsibilities with the Fidelity Funds;
  • not have a consulting or employment relationship with any of the Fidelity Funds' service providers that are not affiliated with Fidelity; and
  • not retaliate against any employee or Covered Officer for reports of actual or potential misconduct, which are made in good faith.

With respect to other fact patterns, if a Covered Officer is in doubt, other potential conflict of interest situations should be described immediately to the Fidelity Ethics Office for resolution. Similarly, any questions a Covered Officer has generally regarding the application or interpretation of the Code should be directed to the Fidelity Ethics Office immediately.

III. Disclosure and Compliance

  • Each Covered Officer should familiarize himself with the disclosure requirements generally applicable to the Fidelity Funds.
  • Each Covered Officer should not knowingly misrepresent, or cause others to misrepresent, facts about any Fidelity Fund to others, whether within or outside Fidelity, including to the Board and auditors, and to governmental regulators and self-regulatory organizations;
  • Each Covered Officer should, to the extent appropriate within his area of responsibility, consult with other officers and employees of the Fidelity Funds, FMR and the Fidelity service providers, and with the Board's Compliance Committee, with the goal of promoting full, fair, accurate, timely and understandable disclosure in the reports and documents the Fidelity Funds file with, or submit to, the SEC and in other public communications made by the Fidelity Funds; and
  • It is the responsibility of each Covered Officer to promote compliance with the standards and restrictions imposed by applicable laws, rules and regulations.

IV. Reporting and Accountability

Each Covered Officer must:

  • upon receipt of the Code, and annually thereafter, submit to the Fidelity Ethics Office an acknowledgement stating that he or she has received, read, and understands the Code; and
  • notify the Fidelity Ethics Office promptly if he or she knows of any violation of the Code. Failure to do so is itself a violation of this Code.

The Fidelity Ethics Office shall take all action it considers appropriate to investigate any actual or potential violations reported to it. Upon completion of the investigation, if necessary, the matter will be reviewed with senior management or other appropriate parties, and a determination will be made as to whether any action should be taken as detailed below. The Covered Officer will be informed of any action determined to be appropriate. The Fidelity Ethics Office will inform the Ethics Oversight Committee of all Code violations and actions taken in response. Without implied limitation, appropriate remedial, disciplinary or preventive action may include a written warning, a letter of censure, suspension, dismissal or, in the event of criminal or other serious violations of law, notification of the SEC or other appropriate law enforcement authorities. Additionally, other legal remedies may be pursued.

The policies and procedures described in the Code do not create any obligations to any person or entity other than the Fidelity Funds. The Code is intended solely for the internal use by the Fidelity Funds and does not constitute a promise, contract or an admission by or on behalf of any Fidelity Fund as to any fact, circumstance, or legal conclusion. The Fidelity Funds, the Fidelity companies and the Fidelity Ethics Officer retain the discretion to decide whether the Code applies to a specific situation, and how it should be interpreted.

V. Oversight

Material violations of this Code will be reported promptly by FMR to the Board's Compliance Committee. In addition, at least once each year, FMR will provide a written report to the Board, which describes any issues arising under the Code since the last report to the Board, including, but not limited to, information about material violations of the Code and action taken in response to the material violations.

VI. Other Policies and Procedures

This Code shall be the sole code of ethics adopted by the Fidelity Funds for purposes of Section 406 of the Sarbanes-Oxley Act and the rules and forms applicable to registered investment companies thereunder. Other Fidelity policies or procedures that cover the behavior or activities of Covered Officers are separate requirements applying to the Covered Officers (and others), and are not part of this Code.

VII. Amendments

Any material amendments or changes to this Code must be approved or ratified by a majority vote of the Board, including a majority of the Trustees who are not interested persons of the Fidelity Funds.

VIII. Records and Confidentiality

Records of any violation of the Code and of the actions taken as a result of such violations will be kept by the Fidelity Ethics Office. All reports and records prepared or maintained pursuant to this Code will be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Fidelity Ethics Office, the Ethics Oversight Committee, the Board, appropriate personnel at the relevant Fidelity company or companies and the legal counsel of any or all of the foregoing.

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