U.S. Treasury Obligations - 6.5%
|
|||
Principal
Amount (a)
|
Value ($)
|
||
U.S. Treasury Bills, yield at date of purchase 5.3% to 5.32% 6/6/24 to 7/18/24 (b)(c)
(Cost $148,601,842)
|
150,000,000
|
148,598,375
|
|
Money Market Funds - 93.0%
|
|||
Shares
|
Value ($)
|
||
Fidelity Cash Central Fund 5.39% (d)
(Cost $2,143,219,882)
|
2,143,042,469
|
2,143,471,077
|
|
TOTAL INVESTMENT IN SECURITIES - 99.5%
(Cost $2,291,821,724)
|
2,292,069,452
|
NET OTHER ASSETS (LIABILITIES) - 0.5%
|
12,658,507
|
NET ASSETS - 100.0%
|
2,304,727,959
|
Futures Contracts
|
|||||
Number
of contracts
|
Expiration
Date
|
Notional
Amount ($)
|
Value ($)
|
Unrealized
Appreciation/
(Depreciation) ($)
|
|
Purchased
|
|||||
Commodity Futures Contracts
|
|||||
CBOT Corn Contracts (United States)
|
835
|
Jul 2024
|
18,651,813
|
71,420
|
71,420
|
CBOT HRW Wheat Contracts (United States)
|
197
|
Jul 2024
|
6,257,213
|
562,141
|
562,141
|
CBOT Soybean Contracts (United States)
|
320
|
Jul 2024
|
18,608,000
|
(411,789)
|
(411,789)
|
CBOT Soybean Meal Contracts (United States)
|
326
|
Jul 2024
|
11,471,940
|
456,214
|
456,214
|
CBOT Soybean Oil Contracts (United States)
|
398
|
Jul 2024
|
10,270,788
|
(1,231,680)
|
(1,231,680)
|
CBOT Wheat Contracts (United States)
|
311
|
Jul 2024
|
9,380,538
|
442,860
|
442,860
|
CME Lean Hogs Contracts (United States)
|
216
|
Jun 2024
|
8,853,840
|
73,941
|
73,941
|
CME Live Cattle Contracts (United States)
|
173
|
Jun 2024
|
12,108,270
|
(617,514)
|
(617,514)
|
COMEX Copper Contracts (United States)
|
189
|
Jul 2024
|
21,531,825
|
1,246,684
|
1,246,684
|
COMEX Gold 100 oz. Contracts (United States)
|
238
|
Jun 2024
|
54,828,060
|
2,466,299
|
2,466,299
|
COMEX Silver Contracts (United States)
|
130
|
Jul 2024
|
17,264,000
|
(1,055,952)
|
(1,055,952)
|
ICE Brent Crude Contracts (United Kingdom)
|
330
|
May 2024
|
28,386,600
|
1,464,064
|
1,464,064
|
ICE Coffee 'C' Contracts (United States)
|
147
|
Jul 2024
|
11,942,831
|
232,115
|
232,115
|
ICE Cotton No. 2 Contracts (United States)
|
133
|
Jul 2024
|
5,215,595
|
(581,152)
|
(581,152)
|
ICE Low Sulphur Gasoil Contracts (United States)
|
126
|
Jul 2024
|
9,758,700
|
(624,877)
|
(624,877)
|
ICE Sugar No. 11 Contracts (United States)
|
404
|
Jun 2024
|
8,782,637
|
(759,923)
|
(759,923)
|
LME Aluminum Contracts (United Kingdom)
|
247
|
Jul 2024
|
15,989,236
|
778,782
|
778,782
|
LME Lead Contracts (United Kingdom)
|
57
|
Jul 2024
|
3,161,021
|
89,972
|
89,972
|
LME Nickel Contracts (United Kingdom)
|
90
|
Jul 2024
|
10,384,740
|
631,928
|
631,928
|
LME Zinc Contracts (United Kingdom)
|
133
|
Jul 2024
|
9,733,771
|
729,858
|
729,858
|
NYMEX Gasoline RBOB Contracts (United States)
|
84
|
Jun 2024
|
9,323,798
|
(233,124)
|
(233,124)
|
NYMEX NY Harbor ULSD Contracts (United States)
|
68
|
Jun 2024
|
7,223,966
|
(493,409)
|
(493,409)
|
NYMEX WTI Crude Oil Contracts (United States)
|
339
|
Jun 2024
|
27,442,050
|
(1,149,611)
|
(1,149,611)
|
TOTAL COMMODITY FUTURES CONTRACTS
|
2,087,247
|
||||
Equity Index Contracts
|
|||||
NYMEX Natural Gas Contracts (United States)
|
1,035
|
Jun 2024
|
23,877,450
|
(542,363)
|
(542,363)
|
TOTAL FUTURES CONTRACTS
|
1,544,884
|
||||
The notional amount of futures purchased as a percentage of Net Assets is 15.4%
|
Total Return Swaps
|
|||||||||||
Underlying Reference(1)
|
Pay/
Receive
Reference
|
Reference
Payment
Frequency
|
Financing
Rate
|
Financing
Frequency
|
Counterparty
|
Maturity
Date
|
Notional
Amount
($)
|
Value ($)
|
Upfront
Premium
Received/
(Paid) ($)
|
Unrealized
Appreciation/
(Depreciation) ($)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Canadian Imperial Bank Of Commerce
|
May 2024
|
80,000,000
|
1,835,109
|
0
|
1,835,109
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Canadian Imperial Bank Of Commerce
|
May 2024
|
29,000,000
|
837,791
|
0
|
837,791
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Canadian Imperial Bank Of Commerce
|
Jun 2024
|
75,000,000
|
(1,008,204)
|
0
|
(1,008,204)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Citibank, N.A.
|
May 2024
|
85,000,000
|
1,950,758
|
0
|
1,950,758
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Citibank, N.A.
|
May 2024
|
75,000,000
|
1,854,532
|
0
|
1,854,532
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Citibank, N.A.
|
May 2024
|
72,000,000
|
3,142,946
|
0
|
3,142,946
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Citibank, N.A.
|
Jul 2024
|
40,000,000
|
(555,727)
|
0
|
(555,727)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Goldman Sachs Bank USA
|
Jun 2024
|
75,000,000
|
(1,022,598)
|
0
|
(1,022,598)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Goldman Sachs Bank USA
|
Jul 2024
|
84,000,000
|
(1,052,608)
|
0
|
(1,052,608)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 13 basis points
|
At Maturity
|
JPMorgan Chase Bank, N.A.
|
May 2024
|
99,000,000
|
806,989
|
0
|
806,989
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 13 basis points
|
At Maturity
|
JPMorgan Chase Bank, N.A.
|
Jun 2024
|
50,000,000
|
(682,335)
|
0
|
(682,335)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 13 basis points
|
At Maturity
|
JPMorgan Chase Bank, N.A.
|
Jul 2024
|
104,000,000
|
(1,178,077)
|
0
|
(1,178,077)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Macquarie Bank Ltd.
|
May 2024
|
83,000,000
|
(318,854)
|
0
|
(318,854)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Macquarie Bank Ltd.
|
Jun 2024
|
75,000,000
|
(1,021,694)
|
0
|
(1,021,694)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Macquarie Bank Ltd.
|
Jun 2024
|
67,000,000
|
(856,268)
|
0
|
(856,268)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 7 basis points
|
At Maturity
|
Merrill Lynch International
|
May 2024
|
89,000,000
|
2,575,417
|
0
|
2,575,417
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Merrill Lynch International
|
May 2024
|
70,000,000
|
2,628,857
|
0
|
2,628,857
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Merrill Lynch International
|
May 2024
|
50,000,000
|
1,048,077
|
0
|
1,048,077
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 9 basis points
|
At Maturity
|
Merrill Lynch International
|
Jun 2024
|
75,000,000
|
(1,006,663)
|
0
|
(1,006,663)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Merrill Lynch International
|
Jun 2024
|
66,000,000
|
(843,994)
|
0
|
(843,994)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Royal Bank of Canada
|
May 2024
|
99,000,000
|
(721,003)
|
0
|
(721,003)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Royal Bank of Canada
|
May 2024
|
33,000,000
|
690,646
|
0
|
690,646
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Royal Bank of Canada
|
Jun 2024
|
75,000,000
|
(1,008,204)
|
0
|
(1,008,204)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 12 basis points
|
At Maturity
|
Royal Bank of Canada
|
Jul 2024
|
91,000,000
|
(1,264,454)
|
0
|
(1,264,454)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Societe Generale
|
May 2024
|
60,000,000
|
1,356,138
|
0
|
1,356,138
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Societe Generale
|
Jun 2024
|
75,000,000
|
(1,007,690)
|
0
|
(1,007,690)
|
|
Bloomberg Commodity Index
|
Receives
|
At Maturity
|
3-month US auction rate T-Bill plus 11 basis points
|
At Maturity
|
Societe Generale
|
Jul 2024
|
63,000,000
|
(713,436)
|
0
|
(713,436)
|
|
TOTAL RETURN SWAPS
|
4,465,451
|
0
|
4,465,451
|
||||||||
(1)Each open total return swap is an agreement to receive the total return of the Bloomberg Commodity Index and pay a floating rate based on the 3-month US auction rate T-Bill plus a specified spread.
|
(a)
|
Amount is stated in United States dollars unless otherwise noted.
|
(b)
|
Security or a portion of the security was pledged to cover margin requirements for futures contracts. At period end, the value of securities pledged amounted to $20,993,513.
|
(c)
|
Security or a portion of the security has been segregated as collateral for open bi-lateral over the counter (OTC) swaps. At period end, the value of securities pledged amounted to $110,157,772.
|
(d)
|
Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.
|
Affiliate
|
Value,
beginning
of period ($)
|
Purchases ($)
|
Sales
Proceeds ($)
|
Dividend
Income ($)
|
Realized
Gain (loss) ($)
|
Change in
Unrealized
appreciation
(depreciation) ($)
|
Value,
end
of period ($)
|
% ownership,
end
of period
|
Fidelity Cash Central Fund 5.39%
|
1,596,851,197
|
1,248,839,877
|
702,200,061
|
64,171,950
|
4,952
|
(24,888)
|
2,143,471,077
|
4.3%
|
Total
|
1,596,851,197
|
1,248,839,877
|
702,200,061
|
64,171,950
|
4,952
|
(24,888)
|
2,143,471,077
|
|