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Smith Stacie M. Smith Stacie M. Smith President and Treasurer XXXX NPORT-EX 2 QTLY_67_20200531.htm

Quarterly Holdings Report
for

Fidelity® Select Portfolio®

Defense and Aerospace Portfolio

May 31, 2020







DEF-QTLY-0720
1.802165.116





Schedule of Investments May 31, 2020 (Unaudited)

Showing Percentage of Net Assets

Common Stocks - 98.6%   
 Shares Value 
Aerospace & Defense - 88.5%   
Aerospace & Defense - 88.5%   
Airbus Group NV 400,000 $25,562,805 
BWX Technologies, Inc. 2,000,000 125,140,000 
CAE, Inc. 3,000,000 45,015,797 
Elbit Systems Ltd. (a) 450,000 63,400,500 
General Dynamics Corp. 700,000 102,781,000 
Harris Corp. 60,000 11,967,000 
HEICO Corp. Class A 1,650,000 138,517,500 
Huntington Ingalls Industries, Inc. 650,000 129,928,500 
Kratos Defense & Security Solutions, Inc. (b) 3,500,000 64,925,000 
Lockheed Martin Corp. 250,000 97,110,000 
Moog, Inc. Class A 1,700,000 92,293,000 
Northrop Grumman Corp. 920,000 308,384,001 
Parsons Corp. 1,150,000 46,759,000 
Raytheon Technologies Corp. 1,500,000 96,780,000 
Teledyne Technologies, Inc. (b) 380,000 142,165,600 
Textron, Inc. 375,000 11,613,750 
The Boeing Co. 675,000 98,448,750 
TransDigm Group, Inc. 425,000 180,548,500 
Vectrus, Inc. (b) 400,000 21,968,000 
Virgin Galactic Holdings, Inc. (a)(b) 850,000 14,484,000 
  1,817,792,703 
IT Services - 5.0%   
IT Consulting & Other Services - 5.0%   
CACI International, Inc. Class A (b) 310,000 77,741,800 
KBR, Inc. 150,000 3,517,500 
Perspecta, Inc. 1,000,000 22,170,000 
  103,429,300 
Machinery - 3.3%   
Industrial Machinery - 3.3%   
ESCO Technologies, Inc. 114,069 9,423,240 
RBC Bearings, Inc. (b) 70,228 9,877,568 
Woodward, Inc. 700,000 48,006,000 
  67,306,808 
Trading Companies & Distributors - 1.8%   
Trading Companies & Distributors - 1.8%   
AerCap Holdings NV (b) 700,000 22,568,000 
Air Lease Corp. Class A 350,000 10,538,500 
Kaman Corp. 110,928 4,437,120 
  37,543,620 
TOTAL COMMON STOCKS   
(Cost $1,544,445,467)  2,026,072,431 
Money Market Funds - 1.6%   
Fidelity Cash Central Fund 0.11% (c) 17,773,185 17,776,739 
Fidelity Securities Lending Cash Central Fund 0.10% (c)(d) 15,359,888 15,361,424 
TOTAL MONEY MARKET FUNDS   
(Cost $33,138,163)  33,138,163 
TOTAL INVESTMENT IN SECURITIES - 100.2%   
(Cost $1,577,583,630)  2,059,210,594 
NET OTHER ASSETS (LIABILITIES) - (0.2)%  (4,216,170) 
NET ASSETS - 100%  $2,054,994,424 

Legend

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

 (b) Non-income producing

 (c) 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.

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

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 
Fidelity Cash Central Fund $1,755 
Fidelity Securities Lending Cash Central Fund 15,085 
Total $16,840 

Amounts in the income column in the above table include any capital gain distributions from underlying funds. Amount for Fidelity Securities Lending Cash Central Fund represents the income earned on investing cash collateral, less rebates paid to borrowers and any lending agent fees associated with the loan, plus any premium payments received for lending certain types of securities.

Investment Valuation

Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. Security transactions are accounted for as of trade date. The Board of Trustees (the Board) has delegated the day to day responsibility for the valuation of the Fund's investments to the Fair Value Committee (the Committee) established by the Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, the Fund attempts to obtain prices from one or more third party pricing vendors or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with procedures adopted by the Board. Factors used in determining fair value vary by investment type and may include market or investment specific events. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees the Fund’s valuation policies and procedures and reports to the Board on the Committee's activities and fair value determinations. The Board monitors the appropriateness of the procedures used in valuing the Fund's investments and ratifies the fair value determinations of the Committee. The Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels: Level 1 - quoted prices in active markets for identical investments: Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds etc.): Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available). Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the Fund's investments by major category are as follows:

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 a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. 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 or may be valued using the last available price and are generally categorized as Level 2 in the hierarchy. For foreign equity securities, when market or security specific events arise, comparisons to the valuation of American Depositary Receipts (ADRs), futures contracts, Exchange-Traded Funds (ETFs) and certain indexes as well as quoted prices for similar securities may be used and would be categorized as Level 2 in the hierarchy. For equity securities, including restricted securities, where observable inputs are limited, assumptions about market activity and risk are used and these securities may be categorized as Level 3 in the hierarchy. 

Investments in open-end mutual funds, including the Fidelity Central Funds, are valued at their closing net asset value each business day and are categorized as Level 1 in the hierarchy.

For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.





The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.

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