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Supplement to the

Fidelity® Select Portfolios®

Air Transportation Portfolio (FSAIX), Automotive Portfolio (FSAVX), Banking Portfolio (FSRBX), Biotechnology Portfolio (FBIOX), Brokerage and Investment Management Portfolio (FSLBX), Chemicals Portfolio (FSCHX), Communications Equipment Portfolio (FSDCX), Computers Portfolio (FDCPX), Construction and Housing Portfolio (FSHOX), Consumer Discretionary Portfolio (FSCPX), Consumer Finance Portfolio (FSVLX), Consumer Staples Portfolio (FDFAX), Defense and Aerospace Portfolio (FSDAX), Electronics Portfolio (FSELX), Energy Portfolio (FSENX), Energy Service Portfolio (FSESX), Environment and Alternative Energy Portfolio (FSLEX), Financial Services Portfolio (FIDSX), Gold Portfolio (FSAGX), Health Care Portfolio (FSPHX), Industrial Equipment Portfolio (FSCGX), Industrials Portfolio (FCYIX), Insurance Portfolio (FSPCX), IT Services Portfolio (FBSOX), Leisure Portfolio (FDLSX), Materials Portfolio (FSDPX), Medical Delivery Portfolio (FSHCX), Medical Equipment and Systems Portfolio (FSMEX), Multimedia Portfolio (FBMPX), Natural Gas Portfolio (FSNGX), Natural Resources Portfolio (FNARX), Pharmaceuticals Portfolio (FPHAX), Retailing Portfolio (FSRPX), Software and Computer Services Portfolio (FSCSX), Technology Portfolio (FSPTX), Telecommunications Portfolio (FSTCX), Transportation Portfolio (FSRFX), Utilities Portfolio (FSUTX), and Wireless Portfolio (FWRLX)

Consumer Staples Portfolio is a Class of shares of Consumer Staples Portfolio; Gold Portfolio is a Class of shares of Gold Portfolio; Materials Portfolio is a Class of shares of Materials Portfolio; and Telecommunications Portfolio is a Class of shares of Telecommunications Portfolio

Funds of Fidelity Select Portfolios

STATEMENT OF ADDITIONAL INFORMATION

April 29, 2014

Peter Dixon has replaced Gordon Scott as the portfolio manager of Consumer Discretionary Portfolio.

Kevin Walenta has replaced Anna Davydova as the portfolio manager of Environment and Alternative Energy Portfolio.

The following information replaces similar information found in the "Trustees and Officers" section beginning on page 52.

The following table sets forth information describing the dollar range of equity securities beneficially owned by each Trustee in each fund and in all funds in the aggregate within the same fund family overseen by the Trustee for the calendar year ended December 31, 2013 (or as of March 31, 2014 for Mr. Hogan, Trustee as of March 18, 2014).

Interested Trustees

DOLLAR RANGE OF
FUND SHARES

Brian B. Hogan

 

Air Transportation Portfolio

none

 

Automotive Portfolio

none

 

Banking Portfolio

none

 

Biotechnology Portfolio

over $100,000

 

Brokerage and Investment Management Portfolio

none

 

Chemicals Portfolio

none

 

Communications Equipment Portfolio

none

 

Computers Portfolio

none

 

Construction and Housing Portfolio

none

 

Consumer Discretionary Portfolio

none

 

Consumer Finance Portfolio

none

 

Consumer Staples Portfolio

none

 

Defense and Aerospace Portfolio

over $100,000

 

Electronics Portfolio

none

 

Energy Portfolio

none

 

Energy Service Portfolio

over $100,000

 

Environment and Alternative Energy Portfolio

none

 

Financial Services Portfolio

none

 

Gold Portfolio

over $100,000

 

Health Care Portfolio

over $100,000

 

Industrial Equipment Portfolio

none

 

Industrials Portfolio

over $100,000

 

Insurance Portfolio

none

 

IT Services Portfolio

none

 

Leisure Portfolio

none

 

Materials Portfolio

$10,001 - $50,000

 

Medical Delivery Portfolio

none

 

Medical Equipment and Systems Portfolio

$50,001 - $100,000

 

Multimedia Portfolio

none

 

Natural Gas Portfolio

over $100,000

 

Natural Resources Portfolio

none

 

Pharmaceuticals Portfolio

over $100,000

 

Retailing Portfolio

none

 

Software and Computer Services Portfolio

none

 

Technology Portfolio

over $100,000

 

Telecommunications Portfolio

$10,001 - $50,000

 

Transportation Portfolio

none

 

Utilities Portfolio

$10,001 - $50,000

 

Wireless Portfolio

none

 

AGGREGATE DOLLAR RANGE OF
FUND SHARES IN ALL FUNDS
OVERSEEN WITHIN FUND FAMILY

over $100,000

 
Independent Trustees

DOLLAR RANGE OF
FUND SHARES

Ned C. Lautenbach

David A. Rosow

Garnett A. Smith

William S.
Stavropoulos

Michael E. Wiley

Air Transportation Portfolio

none

none

none

none

none

Automotive Portfolio

none

none

none

none

none

Banking Portfolio

none

none

none

none

none

Biotechnology Portfolio

none

over $100,000

none

none

over $100,000

Brokerage and Investment Management Portfolio

none

none

none

none

none

Chemicals Portfolio

none

none

none

none

$10,001 - $50,000

Communications Equipment Portfolio

none

none

none

none

none

Computers Portfolio

none

$10,001 - $50,000

none

none

none

Construction and Housing Portfolio

none

over $100,000

none

none

none

Consumer Discretionary Portfolio

none

$50,001 - $100,000

none

none

none

Consumer Finance Portfolio

none

$10,001 - $50,000

none

none

none

Consumer Staples Portfolio

none

$50,001 - $100,000

none

none

none

Defense and Aerospace Portfolio

none

none

none

none

none

Electronics Portfolio

none

none

none

none

none

Energy Portfolio

none

$10,001 - $50,000

none

none

none

Energy Service Portfolio

none

none

none

none

none

Environment and Alternative Energy Portfolio

none

none

none

none

none

Financial Services Portfolio

none

$10,001 - $50,000

none

none

none

Gold Portfolio

none

none

none

none

none

Health Care Portfolio

none

$50,001 - $100,000

$10,001 - $50,000

none

none

Industrial Equipment Portfolio

none

none

none

none

none

Industrials Portfolio

none

$10,001 - $50,000

none

none

$10,001 - $50,000

Insurance Portfolio

none

$10,001 - $50,000

none

none

$10,001 - $50,000

IT Services Portfolio

none

$10,001 - $50,000

none

none

$10,001 - $50,000

Leisure Portfolio

none

none

none

none

none

Materials Portfolio

none

$10,001 - $50,000

none

none

none

Medical Delivery Portfolio

none

none

none

none

none

Medical Equipment and Systems Portfolio

none

$10,001 - $50,000

none

none

none

Multimedia Portfolio

none

$50,001 - $100,000

none

none

none

Natural Gas Portfolio

none

none

none

none

none

Natural Resources Portfolio

none

none

none

none

none

Pharmaceuticals Portfolio

none

none

none

none

$10,001 - $50,000

Retailing Portfolio

none

none

none

none

none

Software and Computer Services Portfolio

none

none

none

none

none

Technology Portfolio

none

none

none

none

none

Telecommunications Portfolio

none

none

none

none

none

Transportation Portfolio

none

none

none

none

none

Utilities Portfolio

none

none

none

none

none

Wireless Portfolio

none

none

none

none

none

AGGREGATE DOLLAR RANGE OF
FUND SHARES IN ALL FUNDS
OVERSEEN WITHIN FUND FAMILY

over $100,000

over $100,000

$10,001 - $50,000

over $100,000

over $100,000

Ali Khan serves as lead portfolio manager of Communications Equipment Portfolio.

Colin Anderson serves as co-manager of Communications Equipment Portfolio.

The following information supplements information found in the "Management Contracts"section beginning on page 62.

The following table provides information relating to other accounts managed by Mr. Anderson as of October 31, 2014:

 

Registered
Investment
Companies*

Other Pooled
Investment
Vehicles

Other
Accounts

Number of Accounts Managed

2

none

none

Number of Accounts Managed with Performance-Based Advisory Fees

none

none

none

Assets Managed (in millions)

$ 266

none

none

Assets Managed with Performance-Based Advisory Fees (in millions)

none

none

none

* Includes Communications Equipment Portfolio ($252 (in millions) assets managed).

Sector Fund Manager

Select Fund(s)

Dollar Range of Shares owned
as of October 31, 2014

Colin Anderson

Communications Equipment Portfolio

$10,001-$50,000

The following information supplements similar information found in the "Management Contracts" section beginning on page 62.

The following table provides information relating to other accounts managed by Mr. Dixon as of July 31, 2014:

 

Registered
Investment
Companies*

Other Pooled
Investment
Vehicles

Other
Accounts

Number of Accounts Managed

7

none

none

Number of Accounts Managed with Performance-Based Advisory Fees

1

none

none

Assets Managed (in millions)

$ 3,116

none

none

Assets Managed with Performance-Based Advisory Fees (in millions)

$ 474

none

none

* Includes Consumer Discretionary Portfolio ($779 (in millions) assets managed).

Sector Fund Manager

Select Fund(s)

Dollar Range of Shares owned
as of July 31, 2014

Peter Dixon

Consumer Discretionary Portfolio

none

The following information replaces similar information found in the "Management Contracts" section beginning on page 62.

The following table provides information relating to other accounts managed by Mr. Walenta as of November 30, 2014:

 

Registered
Investment
Companies
*

Other Pooled
Investment
Vehicles

Other
Accounts

Number of Accounts Managed

1

none

none

Number of Accounts Managed with Performance-Based Advisory Fees

none

none

none

Assets Managed (in millions)

$ 90

none

none

Assets Managed with Performance-Based Advisory Fees (in millions)

none

none

none

* Includes Environment and Alternative Energy Portfolio ($90 (in millions) assets managed).

Sector Fund Manager

Select Fund(s)

Dollar Range of Shares owned
as of November 30, 2014

Kevin Walenta

Environment and Alternative Energy Portfolio

none

Deena Friedman serves as co-manager of Retailing Portfolio.

The following information supplements similar information found in the "Management Contracts" section beginning on page 62.

The following table provides information relating to other accounts managed by Ms. Friedman as of July 31, 2014:

 

Registered
Investment
Companies*

Other Pooled
Investment
Vehicles

Other
Accounts

Number of Accounts Managed

1

none

none

Number of Accounts Managed with Performance-Based Advisory Fees

none

none

none

Assets Managed (in millions)

$ 753

none

none

Assets Managed with Performance-Based Advisory Fees (in millions)

none

none

none

* Includes Retailing Portfolio ($753 (in millions) assets managed).

Sector Fund Manager

Select Fund(s)

Dollar Range of Shares owned
as of July 31, 2014

Deena Friedman

Retailing Portfolio

$10,001-$50,000

Ali Khan serves as co-manager of Software and Computer Services Portfolio.

The following information supplements similar information found in the "Management Contracts" section beginning on page 62.

The following table provides information relating to other accounts managed by Mr. Khan as of July 31, 2014:

 

Registered
Investment
Companies*

Other Pooled
Investment
Vehicles

Other
Accounts

Number of Accounts Managed

3

none

none

Number of Accounts Managed with Performance-Based Advisory Fees

none

none

none

Assets Managed (in millions)

$ 3,286

none

none

Assets Managed with Performance-Based Advisory Fees (in millions)

none

none

none

* Includes Software and Computer Services Portfolio ($3,011 (in millions) assets managed).

Sector Fund Manager

Select Fund(s)

Dollar Range of Shares owned
as of July 31, 2014

Ali Khan

Software and Computer Services Portfolio

$10,001-$50,000