0001379491-16-007448.txt : 20161125 0001379491-16-007448.hdr.sgml : 20161124 20161125102522 ACCESSION NUMBER: 0001379491-16-007448 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 87 CONFORMED PERIOD OF REPORT: 20160930 FILED AS OF DATE: 20161125 DATE AS OF CHANGE: 20161125 EFFECTIVENESS DATE: 20161125 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY CHARLES STREET TRUST CENTRAL INDEX KEY: 0000354046 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-03221 FILM NUMBER: 162017846 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY U S GOVERNMENT RESERVES FUND DATE OF NAME CHANGE: 19880201 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY FEDERAL RESERVES DATE OF NAME CHANGE: 19820215 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY UNITED STATES TREASURY TRUST DATE OF NAME CHANGE: 19811020 0000354046 S000005456 Fidelity Asset Manager 50% C000014857 Fidelity Asset Manager 50% FASMX C000037741 Fidelity Advisor Asset Manager 50%: Class A FFAMX C000037743 Fidelity Advisor Asset Manager 50%: Class C FFCMX C000037744 Fidelity Advisor Asset Manager 50%: Class T FFTMX C000037745 Fidelity Advisor Asset Manager 50%: Class I FFIMX 0000354046 S000005457 Fidelity Asset Manager 85% C000014858 Fidelity Asset Manager 85% FAMRX C000037746 Fidelity Advisor Asset Manager 85%: Class I FEYIX C000037747 Fidelity Advisor Asset Manager 85%: Class A FEYAX C000037749 Fidelity Advisor Asset Manager 85%: Class C FEYCX C000037750 Fidelity Advisor Asset Manager 85%: Class T FEYTX 0000354046 S000005458 Fidelity Asset Manager 70% C000014859 Fidelity Asset Manager 70% FASGX C000069447 Fidelity Advisor Asset Manager 70%: Class A FAASX C000069449 Fidelity Advisor Asset Manager 70%: Class C FCASX C000069450 Fidelity Advisor Asset Manager 70%: Class T FTASX C000069451 Fidelity Advisor Asset Manager 70%: Class I FAAIX 0000354046 S000005459 Fidelity Asset Manager 20% C000014860 Fidelity Asset Manager 20% FASIX C000037751 Fidelity Advisor Asset Manager 20%: Class A FTAWX C000037753 Fidelity Advisor Asset Manager 20%: Class C FTCWX C000037754 Fidelity Advisor Asset Manager 20%: Class T FTDWX C000037755 Fidelity Advisor Asset Manager 20%: Class I FTIWX 0000354046 S000018446 Fidelity Series Broad Market Opportunities Fund C000051005 Fidelity Series Broad Market Opportunities Fund FBMAX 0000354046 S000019187 Fidelity Asset Manager 30% C000052989 Fidelity Asset Manager 30% FTANX C000052990 Fidelity Advisor Asset Manager 30%: Class A FTAAX C000052992 Fidelity Advisor Asset Manager 30%: Class C FCANX C000052993 Fidelity Advisor Asset Manager 30%: Class T FTTNX C000052994 Fidelity Advisor Asset Manager 30%: Class I FTINX 0000354046 S000019188 Fidelity Asset Manager 40% C000052995 Fidelity Advisor Asset Manager 40%: Class C FFNCX C000052996 Fidelity Advisor Asset Manager 40%: Class T FFNTX C000052997 Fidelity Advisor Asset Manager 40%: Class I FFNIX C000052998 Fidelity Asset Manager 40% FFANX C000052999 Fidelity Advisor Asset Manager 40%: Class A FFNAX 0000354046 S000019189 Fidelity Asset Manager 60% C000053001 Fidelity Asset Manager 60% FSANX C000053002 Fidelity Advisor Asset Manager 60%: Class A FSAAX C000053004 Fidelity Advisor Asset Manager 60%: Class C FSCNX C000053005 Fidelity Advisor Asset Manager 60%: Class T FSATX C000053006 Fidelity Advisor Asset Manager 60%: Class I FSNIX N-CSR 1 filing694.htm PRIMARY DOCUMENT

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   811-3221  


Fidelity Charles Street Trust

 (Exact name of registrant as specified in charter)


245 Summer St., Boston, Massachusetts  02210

 (Address of principal executive offices)       (Zip code)


Marc Bryant, Secretary

245 Summer St.

Boston, Massachusetts  02210

(Name and address of agent for service)



Registrant's telephone number, including area code:

617-563-7000



Date of fiscal year end:

September 30

 

 

Date of reporting period:

September 30, 2016


Item 1.

Reports to Stockholders








Fidelity Asset Manager® Funds - 20%, 30%, 40%, 50%, 60%, 70%, 85%










Annual Report

September 30, 2016




Fidelity Investments


Contents

Performance

Management's Discussion of Fund Performance

Fidelity Asset Manager® 20%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 30%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 40%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 50%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 60%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 70%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 85%

Investment Summary

Investments

Financial Statements

Notes to Financial Statements

Report of Independent Registered Public Accounting Firm

Trustees and Officers

Shareholder Expense Example

Distributions

Board Approval of Investment Advisory Contracts and Management Fees

Proxy Voting Results


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/proxyvotingresults 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. © 2016 FMR LLC. All rights reserved.



This report and the financial statements contained herein are submitted for the general information of the shareholders of the Funds. This report is not authorized for distribution to prospective investors in the Funds 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, http://www.institutional.fidelity.com, or http://www.401k.com, as applicable.

NOT FDIC INSURED •MAY LOSE VALUE •NO BANK GUARANTEE

Neither the Funds nor Fidelity Distributors Corporation is a bank.



Fidelity Asset Manager® 20%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Fidelity Asset Manager® 20% 6.58% 4.79% 4.24% 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 20%, a class of the fund, on September 30, 2006.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.


Period Ending Values

$15,152Fidelity Asset Manager® 20%

$15,965Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 30%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Fidelity Asset Manager® 30% 7.94% 6.18% 4.15% 

 A From October 9, 2007


$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 30%, a class of the fund, on October 9, 2007, when the fund started.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.


Period Ending Values

$14,404Fidelity Asset Manager® 30%

$15,195Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 40%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Fidelity Asset Manager® 40% 8.76% 7.32% 4.29% 

 A From October 9, 2007


$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 40%, a class of the fund, on October 9, 2007, when the fund started.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.


Period Ending Values

$14,587Fidelity Asset Manager® 40%

$15,195Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 50%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Fidelity Asset Manager® 50% 9.56% 8.36% 5.32% 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 50%, a class of the fund, on September 30, 2006.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.


Period Ending Values

$16,786Fidelity Asset Manager® 50%

$20,114S&P 500® Index

Fidelity Asset Manager® 60%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Fidelity Asset Manager® 60% 10.31% 9.35% 4.48% 

 A From October 9, 2007


$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 60%, a class of the fund, on October 9, 2007, when the fund started.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.


Period Ending Values

$14,828Fidelity Asset Manager® 60%

$16,841S&P 500® Index

Fidelity Asset Manager® 70%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Fidelity Asset Manager® 70% 10.97% 10.34% 5.48% 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 70%, a class of the fund, on September 30, 2006.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.


Period Ending Values

$17,043Fidelity Asset Manager® 70%

$20,114S&P 500® Index

Fidelity Asset Manager® 85%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Fidelity Asset Manager® 85% 11.92% 11.83% 5.69% 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Asset Manager® 85%, a class of the fund, on September 30, 2006.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.


Period Ending Values

$17,395Fidelity Asset Manager® 85%

$20,114S&P 500® Index

Management's Discussion of Fund Performance

Market Recap:  The S&P 500® index rose 15.43% for the year ending September 2016, overcoming uncertainty about the global economy, U.S. Federal Reserve monetary policy and the U.K.’s June vote to leave the European Union (Brexit). Volatility peaked in early 2016, as continued oil-price weakness and U.S.-dollar strength pushed the S&P 500 to its worst January since 2009. Markets regained positive momentum amid U.S. job gains, a rally in energy and materials markets, global economic stimulus and perceived softening of U.S. monetary policy. The June 23 Brexit vote surprised markets, though, and was followed by a two-day near-tumult. Sentiment rebounded rapidly and stayed largely positive through September. For the year, value-oriented and small-cap stocks outperformed. Among S&P 500® sectors, dividend-rich telecom services (+27%) led amid strong demand for yield, especially earlier in the period, as well as increased competition and consolidation. Utilities (+17%) and consumer staples (+16%) also benefited. Added demand for perceived safe-haven investments such as precious metals-related securities boosted materials (+22%). Information technology (+23%) was helped by strong results from some of the largest and best-known tech names. The newly created real estate sector (+17%) finished far ahead of financials (+6%), which was held back by low interest rates that squeezed bank profits.

Comments from Portfolio Manager Geoff Stein:  For the year, the share classes of the seven Asset Manager Funds (excluding sales charges, if applicable) produced gains in the range of roughly 6% to 12%. With the exception of Asset Manager 85%, the Funds mostly outpaced their respective Composite benchmarks. Asset allocation and security selection contributed across all Funds, with the more fixed-income-oriented portfolios benefiting most, fueled by strong selection in the investment-grade bond asset class. My fixed-income allocation strategy of underweighting cash and investment-grade bonds, complemented by various out-of-benchmark positions, aided relative performance. For all but Asset Manager 85%, security selection among investment-grade bonds was the biggest contributor, with picks among government-related securities and corporate bonds adding the most value. Underweighting emerging-markets stocks detracted, while an out-of-benchmark stake in real estate investment trusts (REITs) contributed. Domestic stock selection also helped the Funds’ relative results, whereas selections in foreign developed markets detracted. For the first time in several years, I increased the Funds’ cash levels to about neutral versus the benchmark.

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.

Fidelity Asset Manager® 20%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 10.2 9.9 
Fannie Mae 6.5 5.6 
Freddie Mac 3.2 2.6 
Ginnie Mae 2.0 2.1 
Illinois Gen. Oblig. 1.2 1.4 
 23.1  

Quality Diversification (% of fund's net assets)

As of September 30, 2016 
   U.S. Government and U.S. Government Agency Obligations 21.9% 
   AAA,AA,A 6.9% 
   BBB 13.4% 
   BB and Below 9.3% 
   Not Rated 0.2% 
   Equities* 17.3% 
   Short-Term Investments and Net Other Assets 31.0% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 20.2% 
   AAA,AA,A 8.9% 
   BBB 13.4% 
   BB and Below 10.6% 
   Not Rated 0.3% 
   Equities* 19.4% 
   Short-Term Investments and Net Other Assets 27.2% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.8%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.3 0.3 
Amazon.com, Inc. 0.2 0.2 
Facebook, Inc. Class A 0.2 0.1 
Medtronic PLC 0.2 0.1 
Alphabet, Inc. Class C 0.2 0.1 
 1.1  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 34.9 38.0 
Energy 5.2 5.1 
Consumer Discretionary 4.5 4.8 
Real Estate 3.3 0.0 
Information Technology 3.0 3.4 

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 17.4% 
   Bond Class 51.3% 
   Short-Term Class 31.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


As of March 31, 2016 
   Stock Class and Equity Futures* 20.8% 
   Bond Class 52.9% 
   Short-Term Class 26.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.8%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 12.5% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

Percentages shown as 0.0% may reflect amounts less than 0.05%.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 20%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 17.0%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 7,853,475 $50,105,173 
Fidelity Consumer Discretionary Central Fund (a) 276,084 68,678,608 
Fidelity Consumer Staples Central Fund (a) 225,176 51,340,221 
Fidelity Emerging Markets Equity Central Fund (a) 120,130 24,332,423 
Fidelity Energy Central Fund (a) 324,314 41,337,119 
Fidelity Financials Central Fund (a) 1,340,453 113,590,007 
Fidelity Health Care Central Fund (a) 234,193 81,651,474 
Fidelity Industrials Central Fund (a) 253,258 61,341,585 
Fidelity Information Technology Central Fund (a) 408,540 134,916,295 
Fidelity International Equity Central Fund (a) 1,579,560 118,403,791 
Fidelity Materials Central Fund (a) 88,410 18,861,287 
Fidelity Real Estate Equity Central Fund (a) 314,451 35,580,172 
Fidelity Telecom Services Central Fund (a) 77,717 14,880,458 
Fidelity Utilities Central Fund (a) 121,950 19,868,098 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $496,131,332)  834,886,711 
Fixed-Income Central Funds - 54.2%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 2,623,004 26,780,874 
Fidelity Floating Rate Central Fund (a) 479,493 49,200,757 
Fidelity High Income Central Fund 1 (a) 1,722,053 168,812,887 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  244,794,518 
Investment Grade Fixed-Income Funds - 49.2%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 2,128,987 219,498,579 
Fidelity Investment Grade Bond Central Fund (a) 20,018,251 2,206,811,976 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  2,426,310,555 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $2,454,650,121)  2,671,105,073 
Money Market Central Funds - 28.1%   
Fidelity Cash Central Fund, 0.43% (b) 258,839,890 258,917,542 
Fidelity Money Market Central Fund, 0.86% (b) 1,125,975,423 1,126,200,618 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $1,384,823,112)  1,385,118,160 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.33% 12/1/16   
(Cost $429,760) 430,000 429,880 
 Shares Value 
Investment Companies - 0.8%   
iShares Core MSCI Emerging Markets ETF 780,707 $35,608,046 
iShares S&P 500 Index ETF 11,210 2,438,848 
TOTAL INVESTMENT COMPANIES   
(Cost $37,768,436)  38,046,894 
TOTAL INVESTMENT PORTFOLIO - 100.1%   
(Cost $4,373,802,761)  4,929,586,718 
NET OTHER ASSETS (LIABILITIES) - (0.1)%  (2,864,179) 
NET ASSETS - 100%  $4,926,722,539 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $619,151 
Fidelity Commodity Strategy Central Fund 100,527 
Fidelity Consumer Discretionary Central Fund 1,079,647 
Fidelity Consumer Staples Central Fund 1,166,146 
Fidelity Emerging Markets Debt Central Fund 1,636,599 
Fidelity Emerging Markets Equity Central Fund 459,035 
Fidelity Energy Central Fund 551,110 
Fidelity Financials Central Fund 1,982,516 
Fidelity Floating Rate Central Fund 2,440,065 
Fidelity Health Care Central Fund 601,105 
Fidelity High Income Central Fund 1 14,342,806 
Fidelity Industrials Central Fund 892,185 
Fidelity Inflation-Protected Bond Index Central Fund 36,479 
Fidelity Information Technology Central Fund 996,690 
Fidelity International Equity Central Fund 3,304,552 
Fidelity Investment Grade Bond Central Fund 68,100,228 
Fidelity Materials Central Fund 386,595 
Fidelity Money Market Central Fund 6,657,283 
Fidelity Real Estate Equity Central Fund 1,223,687 
Fidelity Securities Lending Cash Central Fund 56,036 
Fidelity Telecom Services Central Fund 318,388 
Fidelity Utilities Central Fund 535,866 
Total $107,486,696 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $8,696,714 $63,996,333 $26,899,592 $50,105,173 10.6% 
Fidelity Consumer Discretionary Central Fund 69,527,232 2,521,884 7,627,151 68,678,608 4.3% 
Fidelity Consumer Staples Central Fund 47,078,429 2,280,211 3,866,945 51,340,221 4.0% 
Fidelity Emerging Markets Debt Central Fund 23,129,889 2,114,761 1,438,636 26,780,874 22.7% 
Fidelity Emerging Markets Equity Central Fund 10,011,000 14,461,180 2,873,229 24,332,423 5.9% 
Fidelity Energy Central Fund 34,999,849 1,373,760 2,821,123 41,337,119 4.1% 
Fidelity Financials Central Fund 109,655,238 7,427,547 8,522,709 113,590,007 4.5% 
Fidelity Floating Rate Central Fund 48,410,557 3,597,070 3,080,175 49,200,757 3.0% 
Fidelity Health Care Central Fund 78,605,470 4,043,603 6,221,977 81,651,474 4.2% 
Fidelity High Income Central Fund 1 215,697,752 40,283,817 95,327,375 168,812,887 21.2% 
Fidelity Industrials Central Fund 55,272,473 2,192,225 4,484,497 61,341,585 4.5% 
Fidelity Inflation-Protected Bond Index Central Fund 139,715,214 80,981,346 10,664,685 219,498,579 22.8% 
Fidelity Information Technology Central Fund 113,946,781 3,496,065 11,902,105 134,916,295 4.2% 
Fidelity International Equity Central Fund 134,613,233 5,772,501 26,875,579 118,403,791 5.5% 
Fidelity Investment Grade Bond Central Fund 2,319,725,125 133,258,489 329,373,291 2,206,811,976 31.3% 
Fidelity Materials Central Fund 17,208,342 775,714 1,335,939 18,861,287 4.7% 
Fidelity Real Estate Equity Central Fund 52,196,868 2,086,470 26,942,549 35,580,172 20.5% 
Fidelity Telecom Services Central Fund 11,768,054 1,583,661 1,142,473 14,880,458 3.9% 
Fidelity Utilities Central Fund 18,526,202 971,628 1,992,666 19,868,098 4.3% 
Total $3,508,784,422 $373,218,265 $573,392,696 $3,505,991,784  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $834,886,711 $834,886,711 $-- $-- 
Fixed-Income Central Funds 2,671,105,073 2,671,105,073 -- -- 
Money Market Central Funds 1,385,118,160 1,385,118,160 -- -- 
Other Short-Term Investments  429,880 -- 429,880 -- 
Investment Companies 38,046,894 38,046,894 -- -- 
Total Investments in Securities: $4,929,586,718 $4,929,156,838 $429,880 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 87.5% 
United Kingdom 2.4% 
Mexico 1.3% 
Netherlands 1.0% 
Others (Individually Less Than 1%) 7.8% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 20%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $38,198,196) 
$38,476,774  
Fidelity Central Funds (cost $4,335,604,565) 4,891,109,944  
Total Investments (cost $4,373,802,761)  $4,929,586,718 
Receivable for investments sold  4,864,430 
Receivable for fund shares sold  1,940,076 
Distributions receivable from Fidelity Central Funds  84,507 
Prepaid expenses  13,483 
Other receivables  3,078 
Total assets  4,936,492,292 
Liabilities   
Payable for fund shares redeemed $7,583,299  
Accrued management fee 1,676,358  
Distribution and service plan fees payable 43,542  
Other affiliated payables 436,310  
Other payables and accrued expenses 30,244  
Total liabilities  9,769,753 
Net Assets  $4,926,722,539 
Net Assets consist of:   
Paid in capital  $4,690,788,338 
Undistributed net investment income  5,924,233 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (325,773,989) 
Net unrealized appreciation (depreciation) on investments  555,783,957 
Net Assets  $4,926,722,539 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($42,221,217 ÷ 3,188,021 shares)  $13.24 
Maximum offering price per share (100/94.25 of $13.24)  $14.05 
Class T:   
Net Asset Value and redemption price per share ($25,052,225 ÷ 1,895,806 shares)  $13.21 
Maximum offering price per share (100/96.50 of $13.21)  $13.69 
Class C:   
Net Asset Value and offering price per share ($29,337,047 ÷ 2,228,402 shares)(a)  $13.17 
Asset Manager 20%:   
Net Asset Value, offering price and redemption price per share ($4,802,797,440 ÷ 362,107,192 shares)  $13.26 
Class I:   
Net Asset Value, offering price and redemption price per share ($27,314,610 ÷ 2,060,617 shares)  $13.26 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $2,698,285 
Interest  4,267 
Income from Fidelity Central Funds  107,486,696 
Total income  110,189,248 
Expenses   
Management fee $19,662,467  
Transfer agent fees 4,005,804  
Distribution and service plan fees 496,821  
Accounting and security lending fees 1,166,010  
Custodian fees and expenses 1,978  
Independent trustees' fees and expenses 21,140  
Registration fees 174,376  
Audit 40,372  
Legal 17,892  
Miscellaneous (75,039)  
Total expenses before reductions 25,511,821  
Expense reductions (71,853) 25,439,968 
Net investment income (loss)  84,749,280 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 3,324,016  
Fidelity Central Funds (3,165,563)  
Foreign currency transactions 46,465  
Futures contracts 15,071,591  
Capital gain distributions from Fidelity Central Funds 123,366  
Total net realized gain (loss)  15,399,875 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
201,626,384  
Assets and liabilities in foreign currencies 8,058  
Futures contracts 2,584,211  
Total change in net unrealized appreciation (depreciation)  204,218,653 
Net gain (loss)  219,618,528 
Net increase (decrease) in net assets resulting from operations  $304,367,808 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $84,749,280 $81,712,898 
Net realized gain (loss) 15,399,875 90,968,277 
Change in net unrealized appreciation (depreciation) 204,218,653 (170,470,134) 
Net increase (decrease) in net assets resulting from operations 304,367,808 2,211,041 
Distributions to shareholders from net investment income (86,840,636) (78,832,211) 
Distributions to shareholders from net realized gain (98,475,385) (154,642,623) 
Total distributions (185,316,021) (233,474,834) 
Share transactions - net increase (decrease) 18,247,792 (5,269,549) 
Total increase (decrease) in net assets 137,299,579 (236,533,342) 
Net Assets   
Beginning of period 4,789,422,960 5,025,956,302 
End of period $4,926,722,539 $4,789,422,960 
Other Information   
Undistributed net investment income end of period $5,924,233 $7,982,127 

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


Financial Highlights — Fidelity Asset Manager 20% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.93 $13.56 $13.42 $13.37 $12.62 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .16 .14 .18 
Net realized and unrealized gain (loss) .59 (.22) .44 .31 .91 
Total from investment operations .78 (.04) .60 .45 1.09 
Distributions from net investment income (.20) (.17) (.15) (.14) (.18) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.47) (.59) (.46)B (.40)C (.34) 
Net asset value, end of period $13.24 $12.93 $13.56 $13.42 $13.37 
Total ReturnD,E 6.18% (.33)% 4.54% 3.47% 8.76% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .83% .83% .82% .82% .84% 
Expenses net of fee waivers, if any .83% .83% .82% .82% .84% 
Expenses net of all reductions .83% .83% .82% .82% .83% 
Net investment income (loss) 1.47% 1.32% 1.16% 1.03% 1.36% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,221 $38,841 $38,733 $43,449 $46,763 
Portfolio turnover rateH 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.46 per share is comprised of distributions from net investment income of $.154 and distributions from net realized gain of $.302 per share.

 C Total distributions of $.40 per share is comprised of distributions from net investment income of $.137 and distributions from net realized gain of $.266 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.90 $13.53 $13.40 $13.34 $12.60 
Income from Investment Operations      
Net investment income (loss)A .16 .14 .12 .10 .14 
Net realized and unrealized gain (loss) .58 (.21) .43 .33 .90 
Total from investment operations .74 (.07) .55 .43 1.04 
Distributions from net investment income (.17) (.14) (.12) (.10) (.15) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.43)B (.56) (.42) (.37) (.30)C 
Net asset value, end of period $13.21 $12.90 $13.53 $13.40 $13.34 
Total ReturnD,E 5.93% (.59)% 4.20% 3.28% 8.39% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.09% 1.10% 1.10% 1.10% 1.10% 
Expenses net of fee waivers, if any 1.09% 1.10% 1.10% 1.10% 1.10% 
Expenses net of all reductions 1.09% 1.10% 1.09% 1.09% 1.10% 
Net investment income (loss) 1.21% 1.06% .89% .75% 1.09% 
Supplemental Data      
Net assets, end of period (000 omitted) $25,052 $19,162 $21,010 $19,844 $18,870 
Portfolio turnover rateH 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.43 per share is comprised of distributions from net investment income of $.165 and distributions from net realized gain of $.269 per share.

 C Total distributions of $.30 per share is comprised of distributions from net investment income of $.146 and distributions from net realized gain of $.155 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.85 $13.48 $13.35 $13.30 $12.57 
Income from Investment Operations      
Net investment income (loss)A .09 .07 .05 .03 .08 
Net realized and unrealized gain (loss) .60 (.21) .43 .33 .89 
Total from investment operations .69 (.14) .48 .36 .97 
Distributions from net investment income (.10) (.07) (.05) (.04) (.08) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.37) (.49) (.35) (.31) (.24) 
Net asset value, end of period $13.17 $12.85 $13.48 $13.35 $13.30 
Total ReturnB,C 5.49% (1.09)% 3.70% 2.73% 7.80% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.59% 1.60% 1.60% 1.60% 1.60% 
Expenses net of fee waivers, if any 1.59% 1.60% 1.60% 1.60% 1.60% 
Expenses net of all reductions 1.59% 1.60% 1.60% 1.59% 1.60% 
Net investment income (loss) .71% .56% .39% .25% .59% 
Supplemental Data      
Net assets, end of period (000 omitted) $29,337 $28,515 $26,225 $24,910 $22,600 
Portfolio turnover rateF 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.94 $13.57 $13.44 $13.39 $12.64 
Income from Investment Operations      
Net investment income (loss)A .23 .22 .20 .18 .22 
Net realized and unrealized gain (loss) .60 (.22) .43 .31 .91 
Total from investment operations .83 – .63 .49 1.13 
Distributions from net investment income (.24) (.21) (.20) (.18) (.22) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.51) (.63) (.50) (.44)B (.38) 
Net asset value, end of period $13.26 $12.94 $13.57 $13.44 $13.39 
Total ReturnC 6.58% (.04)% 4.80% 3.79% 9.06% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .52% .53% .53% .53% .54% 
Expenses net of fee waivers, if any .52% .53% .53% .53% .54% 
Expenses net of all reductions .52% .52% .52% .52% .54% 
Net investment income (loss) 1.78% 1.63% 1.46% 1.32% 1.65% 
Supplemental Data      
Net assets, end of period (000 omitted) $4,802,797 $4,685,019 $4,923,702 $4,708,494 $4,595,339 
Portfolio turnover rateF 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.44 per share is comprised of distributions from net investment income of $.178 and distributions from net realized gain of $.266 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.94 $13.57 $13.44 $13.38 $12.64 
Income from Investment Operations      
Net investment income (loss)A .22 .21 .19 .17 .21 
Net realized and unrealized gain (loss) .60 (.21) .43 .33 .90 
Total from investment operations .82 – .62 .50 1.11 
Distributions from net investment income (.24) (.21) (.19) (.17) (.22) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.50)B (.63) (.49) (.44) (.37)C 
Net asset value, end of period $13.26 $12.94 $13.57 $13.44 $13.38 
Total ReturnD 6.56% (.08)% 4.74% 3.83% 8.94% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .57% .57% .56% .57% .58% 
Expenses net of fee waivers, if any .57% .57% .56% .57% .58% 
Expenses net of all reductions .57% .57% .56% .56% .57% 
Net investment income (loss) 1.73% 1.59% 1.42% 1.29% 1.62% 
Supplemental Data      
Net assets, end of period (000 omitted) $27,315 $16,388 $14,204 $32,926 $30,383 
Portfolio turnover rateG 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.50 per share is comprised of distributions from net investment income of $.235 and distributions from net realized gain of $.269 per share.

 C Total distributions of $.37 per share is comprised of distributions from net investment income of $.215 and distributions from net realized gain of $.155 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 30%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 10.0 9.9 
Fannie Mae 6.5 5.6 
Freddie Mac 3.2 2.6 
Ginnie Mae 2.0 2.1 
Illinois Gen. Oblig. 1.3 1.4 
 23.0  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 21.7% 
   AAA,AA,A 6.9% 
   BBB 13.4% 
   BB and Below 9.2% 
   Not Rated 0.2% 
   Equities* 28.6% 
   Short-Term Investments and Net Other Assets 20.0% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 20.2% 
   AAA,AA,A 8.9% 
   BBB 13.4% 
   BB and Below 10.6% 
   Not Rated 0.3% 
   Equities* 30.0% 
   Short-Term Investments and Net Other Assets 16.6% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.9%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.5 0.5 
Amazon.com, Inc. 0.4 0.2 
Facebook, Inc. Class A 0.3 0.2 
Medtronic PLC 0.3 0.3 
Alphabet, Inc. Class C 0.2 0.2 
 1.7  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 26.5 28.2 
Energy 6.1 5.7 
Consumer Discretionary 5.7 6.6 
Information Technology 5.5 5.0 
Health Care 4.3 4.2 

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 28.7% 
   Bond Class 50.9% 
   Short-Term Class 20.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


As of March 31, 2016  
   Stock Class and Equity Futures* 31.1% 
   Bond Class 52.6% 
   Short-Term Class 16.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.9%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 18.0% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 30%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 28.7%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 1,755,579 $11,200,594 
Fidelity Consumer Discretionary Central Fund (a) 89,065 22,155,799 
Fidelity Consumer Staples Central Fund (a) 72,913 16,624,110 
Fidelity Emerging Markets Equity Central Fund (a) 141,123 28,584,388 
Fidelity Energy Central Fund (a) 105,100 13,396,050 
Fidelity Financials Central Fund (a) 433,534 36,737,665 
Fidelity Health Care Central Fund (a) 75,740 26,406,580 
Fidelity Industrials Central Fund (a) 81,904 19,838,054 
Fidelity Information Technology Central Fund (a) 132,579 43,782,735 
Fidelity International Equity Central Fund (a) 598,814 44,887,078 
Fidelity Materials Central Fund (a) 28,504 6,081,059 
Fidelity Real Estate Equity Central Fund (a) 64,672 7,317,630 
Fidelity Telecom Services Central Fund (a) 25,087 4,803,468 
Fidelity Utilities Central Fund (a) 39,614 6,453,963 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $204,749,623)  288,269,173 
Fixed-Income Central Funds - 53.9%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 528,812 5,399,172 
Fidelity Floating Rate Central Fund (a) 98,554 10,112,638 
Fidelity High Income Central Fund 1 (a) 351,038 34,412,284 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  49,924,094 
Investment Grade Fixed-Income Funds - 48.9%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 431,843 44,523,012 
Fidelity Investment Grade Bond Central Fund (a) 4,062,403 447,839,272 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  492,362,284 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $515,241,330)  542,286,378 
Money Market Central Funds - 16.9%   
Fidelity Cash Central Fund, 0.43% (b) 49,446,179 49,461,013 
Fidelity Money Market Central Fund, 0.86% (b) 121,053,798 121,078,009 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $170,501,590)  170,539,022 
 Principal Amount Value 
U.S. Treasury Obligations - 0.1%   
U.S. Treasury Bills, yield at date of purchase 0.28% to 0.31% 11/3/16 to 12/29/16 (c)   
(Cost $669,752) 670,000 669,801 
 Shares Value 
Investment Companies - 0.5%   
iShares Core MSCI Emerging Markets ETF 95,415 $4,351,876 
iShares S&P 500 Index ETF 2,285 497,125 
TOTAL INVESTMENT COMPANIES   
(Cost $4,791,829)  4,849,001 
TOTAL INVESTMENT PORTFOLIO - 100.1%   
(Cost $895,954,124)  1,006,613,375 
NET OTHER ASSETS (LIABILITIES) - (0.1)%  (545,560) 
NET ASSETS - 100%  $1,006,067,815 

Futures Contracts    
 Expiration Date Underlying Face Amount at Value Unrealized Appreciation/(Depreciation) 
Sold    
Equity Index Contracts    
316 ICE E-mini MSCI Emerging Markets Index Contracts (United States) Dec. 2016 14,417,500 $181,084 

The face value of futures sold as a percentage of Net Assets is 1.4%

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (c) 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 $669,801.


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 $115,166 
Fidelity Commodity Strategy Central Fund 22,249 
Fidelity Consumer Discretionary Central Fund 336,163 
Fidelity Consumer Staples Central Fund 364,820 
Fidelity Emerging Markets Debt Central Fund 316,828 
Fidelity Emerging Markets Equity Central Fund 524,258 
Fidelity Energy Central Fund 171,155 
Fidelity Financials Central Fund 617,781 
Fidelity Floating Rate Central Fund 481,061 
Fidelity Health Care Central Fund 187,482 
Fidelity High Income Central Fund 1 2,785,291 
Fidelity Industrials Central Fund 278,370 
Fidelity Inflation-Protected Bond Index Central Fund 7,280 
Fidelity Information Technology Central Fund 312,372 
Fidelity International Equity Central Fund 1,192,738 
Fidelity Investment Grade Bond Central Fund 13,239,553 
Fidelity Materials Central Fund 120,189 
Fidelity Money Market Central Fund 649,634 
Fidelity Real Estate Equity Central Fund 241,121 
Fidelity Telecom Services Central Fund 99,610 
Fidelity Utilities Central Fund 168,257 
Total $22,231,378 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $1,697,494 $13,803,458  $5,244,054  $11,200,594 2.4% 
Fidelity Consumer Discretionary Central Fund 20,387,608 3,195,584  2,741,416 22,155,799 1.4% 
Fidelity Consumer Staples Central Fund 13,806,719 2,513,477  1,463,549 16,624,110 1.3% 
Fidelity Emerging Markets Debt Central Fund 4,259,880 901,638  347,452  5,399,172 4.6% 
Fidelity Emerging Markets Equity Central Fund 2,926,000 24,306,805  1,037,853 28,584,388 6.9% 
Fidelity Energy Central Fund 10,256,547 1,726,398 1,073,439 13,396,050 1.3% 
Fidelity Financials Central Fund 32,154,992 6,177,538 3,208,638 36,737,665 1.4% 
Fidelity Floating Rate Central Fund 9,072,077 1,692,183 736,446 10,112,638 0.6% 
Fidelity Health Care Central Fund 23,050,967 4,051,049 2,341,619 26,406,580 1.3% 
Fidelity High Income Central Fund 1 39,802,986 12,121,879 19,246,860 34,412,284 4.3% 
Fidelity Industrials Central Fund 16,214,599 2,762,227 1,703,567 19,838,054 1.4% 
Fidelity Inflation-Protected Bond Index Central Fund 25,813,690 19,437,912 2,585,101 44,523,012 4.6% 
Fidelity Information Technology Central Fund 33,415,994 5,343,643  4,180,263  43,782,735 1.4% 
Fidelity International Equity Central Fund 46,026,721 6,994,354  9,944,128 44,887,078 2.1% 
Fidelity Investment Grade Bond Central Fund 429,038,240 73,350,090 71,052,186 447,839,272 6.4% 
Fidelity Materials Central Fund 5,048,199 855,575 508,260 6,081,059 1.5% 
Fidelity Real Estate Equity Central Fund 9,716,859 1,387,618 5,397,814 7,317,630 4.2% 
Fidelity Telecom Services Central Fund 3,449,973 974,642 444,921 4,803,468 1.3% 
Fidelity Utilities Central Fund 5,434,770 1,016,624 729,219 6,453,963 1.4% 
Total $731,574,315 $182,612,694  $133,986,785  $830,555,551  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $288,269,173 $288,269,173 $-- $-- 
Fixed-Income Central Funds 542,286,378 542,286,378 -- -- 
Money Market Central Funds 170,539,022 170,539,022 -- -- 
Other Short-Term Investments 669,801 -- 669,801 -- 
Investment Companies 4,849,001 4,849,001 -- -- 
Total Investments in Securities: $1,006,613,375 $1,005,943,574 $669,801 $-- 
Derivative Instruments:     
Assets     
Futures Contracts $181,084 $181,084 $-- $-- 
Total Assets $181,084 $181,084 $-- $-- 
Total Derivative Instruments: $181,084 $181,084 $-- $-- 

Value of Derivative Instruments

The following table is a summary of the Fund's value of derivative instruments by primary risk exposure as of September 30, 2016. For additional information on derivative instruments, please refer to the Derivative Instruments section in the accompanying Notes to Financial Statements.

Primary Risk Exposure / Derivative Type Value 
 Asset Liability 
Equity Risk   
Futures Contracts(a) $181,084 $0 
Total Equity Risk 181,084 
Total Value of Derivatives $181,084 $0 

 (a) Reflects gross cumulative appreciation (depreciation) on futures contracts as presented in the Schedule of Investments. In the Statement of Assets and Liabilities, the period end daily variation margin is included in receivable or payable for daily variation margin for derivative instruments, and the net cumulative appreciation (depreciation) is included in net unrealized appreciation (depreciation).


Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 82.0% 
United Kingdom 3.0% 
Netherlands 1.4% 
Mexico 1.3% 
Japan 1.3% 
Others (Individually Less Than 1%) 11.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 30%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $5,461,581) 
$5,518,802  
Fidelity Central Funds (cost $890,492,543) 1,001,094,573  
Total Investments (cost $895,954,124)  $1,006,613,375 
Receivable for investments sold  1,342,755 
Receivable for fund shares sold  825,862 
Distributions receivable from Fidelity Central Funds  15,761 
Prepaid expenses  2,705 
Other receivables  639 
Total assets  1,008,801,097 
Liabilities   
Payable for fund shares redeemed $2,155,074  
Accrued management fee 341,155  
Distribution and service plan fees payable 27,755  
Payable for daily variation margin for derivative instruments 88,480  
Other affiliated payables 95,076  
Other payables and accrued expenses 25,742  
Total liabilities  2,733,282 
Net Assets  $1,006,067,815 
Net Assets consist of:   
Paid in capital  $951,566,089 
Undistributed net investment income  1,334,530 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (57,673,139) 
Net unrealized appreciation (depreciation) on investments  110,840,335 
Net Assets  $1,006,067,815 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($23,868,386 ÷ 2,247,177 shares)  $10.62 
Maximum offering price per share (100/94.25 of $10.62)  $11.27 
Class T:   
Net Asset Value and redemption price per share ($11,833,951 ÷ 1,115,200 shares)  $10.61 
Maximum offering price per share (100/96.50 of $10.61)  $10.99 
Class C:   
Net Asset Value and offering price per share ($21,579,007 ÷ 2,042,462 shares)(a)  $10.57 
Asset Manager 30%:   
Net Asset Value, offering price and redemption price per share ($937,285,054 ÷ 88,212,936 shares)  $10.63 
Class I:   
Net Asset Value, offering price and redemption price per share ($11,501,417 ÷ 1,082,667 shares)  $10.62 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $472,865 
Interest  1,467 
Income from Fidelity Central Funds  22,231,378 
Total income  22,705,710 
Expenses   
Management fee $3,829,926  
Transfer agent fees 747,513  
Distribution and service plan fees 330,379  
Accounting fees and expenses 337,876  
Custodian fees and expenses 1,377  
Independent trustees' fees and expenses 4,072  
Registration fees 101,043  
Audit 40,180  
Legal 3,217  
Miscellaneous (15,456)  
Total expenses before reductions 5,380,127  
Expense reductions (15,925) 5,364,202 
Net investment income (loss)  17,341,508 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 1,356,699  
Fidelity Central Funds (4,476,842)  
Foreign currency transactions 9,746  
Futures contracts 1,600,981  
Capital gain distributions from Fidelity Central Funds 10,854  
Total net realized gain (loss)  (1,498,562) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
55,019,932  
Assets and liabilities in foreign currencies 1,470  
Futures contracts 644,935  
Total change in net unrealized appreciation (depreciation)  55,666,337 
Net gain (loss)  54,167,775 
Net increase (decrease) in net assets resulting from operations  $71,509,283 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $17,341,508 $15,099,160 
Net realized gain (loss) (1,498,562) 707,878 
Change in net unrealized appreciation (depreciation) 55,666,337 (21,533,426) 
Net increase (decrease) in net assets resulting from operations 71,509,283 (5,726,388) 
Distributions to shareholders from net investment income (17,547,432) (14,360,533) 
Distributions to shareholders from net realized gain (13,942,288) (23,090,456) 
Total distributions (31,489,720) (37,450,989) 
Share transactions - net increase (decrease) 84,393,310 108,456,289 
Total increase (decrease) in net assets 124,412,873 65,278,912 
Net Assets   
Beginning of period 881,654,942 816,376,030 
End of period $1,006,067,815 $881,654,942 
Other Information   
Undistributed net investment income end of period $1,334,530 $1,529,997 

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


Financial Highlights — Fidelity Asset Manager 30% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.19 $10.71 $10.43 $10.15 $9.37 
Income from Investment Operations      
Net investment income (loss)A .16 .15 .14 .12 .14 
Net realized and unrealized gain (loss) .60 (.23) .46 .44 .89 
Total from investment operations .76 (.08) .60 .56 1.03 
Distributions from net investment income (.17) (.15) (.13) (.11) (.14) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.33) (.44)B (.32)C (.28) (.25) 
Net asset value, end of period $10.62 $10.19 $10.71 $10.43 $10.15 
Total ReturnD,E 7.61% (.79)% 5.83% 5.64% 11.20% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .85% .86% .85% .87% .89% 
Expenses net of fee waivers, if any .85% .86% .85% .87% .89% 
Expenses net of all reductions .85% .86% .85% .87% .88% 
Net investment income (loss) 1.58% 1.45% 1.29% 1.15% 1.46% 
Supplemental Data      
Net assets, end of period (000 omitted) $23,868 $21,424 $22,071 $15,100 $11,431 
Portfolio turnover rateH 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.44 per share is comprised of distributions from net investment income of $.145 and distributions from net realized gain of $.298 per share.

 C Total distributions of $.32 per share is comprised of distributions from net investment income of $.134 and distributions from net realized gain of $.183 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.18 $10.70 $10.42 $10.14 $9.36 
Income from Investment Operations      
Net investment income (loss)A .14 .13 .11 .09 .12 
Net realized and unrealized gain (loss) .59 (.23) .46 .44 .89 
Total from investment operations .73 (.10) .57 .53 1.01 
Distributions from net investment income (.14) (.12) (.10) (.08) (.12) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.30) (.42) (.29)B (.25) (.23) 
Net asset value, end of period $10.61 $10.18 $10.70 $10.42 $10.14 
Total ReturnC,D 7.33% (1.02)% 5.53% 5.37% 10.91% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.11% 1.12% 1.13% 1.13% 1.14% 
Expenses net of fee waivers, if any 1.11% 1.12% 1.13% 1.13% 1.14% 
Expenses net of all reductions 1.11% 1.12% 1.13% 1.13% 1.13% 
Net investment income (loss) 1.32% 1.18% 1.01% .89% 1.21% 
Supplemental Data      
Net assets, end of period (000 omitted) $11,834 $11,098 $9,932 $7,064 $6,542 
Portfolio turnover rateG 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.29 per share is comprised of distributions from net investment income of $.103 and distributions from net realized gain of $.183 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.14 $10.66 $10.38 $10.12 $9.34 
Income from Investment Operations      
Net investment income (loss)A .08 .07 .06 .04 .07 
Net realized and unrealized gain (loss) .60 (.22) .46 .43 .89 
Total from investment operations .68 (.15) .52 .47 .96 
Distributions from net investment income (.09) (.07) (.06) (.04) (.07) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.25) (.37) (.24) (.21) (.18) 
Net asset value, end of period $10.57 $10.14 $10.66 $10.38 $10.12 
Total ReturnB,C 6.85% (1.51)% 5.09% 4.75% 10.41% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.61% 1.62% 1.62% 1.64% 1.66% 
Expenses net of fee waivers, if any 1.61% 1.62% 1.62% 1.64% 1.65% 
Expenses net of all reductions 1.61% 1.61% 1.61% 1.63% 1.64% 
Net investment income (loss) .82% .69% .52% .39% .69% 
Supplemental Data      
Net assets, end of period (000 omitted) $21,579 $19,621 $16,976 $12,001 $7,937 
Portfolio turnover rateF 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.20 $10.71 $10.43 $10.15 $9.37 
Income from Investment Operations      
Net investment income (loss)A .20 .19 .17 .15 .17 
Net realized and unrealized gain (loss) .59 (.22) .46 .44 .89 
Total from investment operations .79 (.03) .63 .59 1.06 
Distributions from net investment income (.20) (.18) (.17) (.14) (.17) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.36) (.48) (.35) (.31) (.28) 
Net asset value, end of period $10.63 $10.20 $10.71 $10.43 $10.15 
Total ReturnB 7.94% (.38)% 6.19% 5.96% 11.53% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .54% .55% .55% .56% .58% 
Expenses net of fee waivers, if any .54% .55% .55% .56% .58% 
Expenses net of all reductions .53% .54% .55% .56% .58% 
Net investment income (loss) 1.90% 1.76% 1.59% 1.46% 1.76% 
Supplemental Data      
Net assets, end of period (000 omitted) $937,285 $820,206 $757,908 $560,306 $364,386 
Portfolio turnover rateE 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.20 $10.71 $10.43 $10.16 $9.37 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .16 .14 .17 
Net realized and unrealized gain (loss) .59 (.22) .47 .44 .90 
Total from investment operations .78 (.04) .63 .58 1.07 
Distributions from net investment income (.20) (.17) (.16) (.13) (.17) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.36) (.47) (.35)B (.31)C (.28) 
Net asset value, end of period $10.62 $10.20 $10.71 $10.43 $10.16 
Total ReturnD 7.80% (.46)% 6.12% 5.81% 11.56% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .60% .61% .62% .62% .65% 
Expenses net of fee waivers, if any .60% .61% .62% .62% .65% 
Expenses net of all reductions .60% .61% .62% .62% .64% 
Net investment income (loss) 1.84% 1.69% 1.52% 1.40% 1.69% 
Supplemental Data      
Net assets, end of period (000 omitted) $11,501 $8,759 $8,616 $4,663 $2,099 
Portfolio turnover rateG 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.35 per share is comprised of distributions from net investment income of $.163 and distributions from net realized gain of $.183 per share.

 C Total distributions of $.31 per share is comprised of distributions from net investment income of $.133 and distributions from net realized gain of $.174 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, , the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 40%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 9.0 8.8 
Fannie Mae 5.7 4.9 
Freddie Mac 2.8 2.2 
Ginnie Mae 1.7 1.8 
Illinois Gen. Oblig. 1.1 1.2 
 20.3  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 19.2% 
   AAA,AA,A 5.7% 
   BBB 12.1% 
   BB and Below 8.3% 
   Not Rated 0.2% 
   Equities* 37.1% 
   Short-Term Investments and Net Other Assets 17.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 17.7% 
   AAA,AA,A 7.7% 
   BBB 11.9% 
   BB and Below 9.8% 
   Not Rated 0.2% 
   Equities* 38.1% 
   Short-Term Investments and Net Other Assets 14.6% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.6 0.6 
Amazon.com, Inc. 0.5 0.3 
Facebook, Inc. Class A 0.4 0.3 
Medtronic PLC 0.4 0.3 
Alphabet, Inc. Class C 0.3  0.3 
 2.2  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 22.5 22.9 
Consumer Discretionary 6.8 7.5 
Information Technology 6.7 6.0 
Energy 6.0 5.7 
Health Care 5.4 5.0 

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 37.1% 
   Bond Class 45.1% 
   Short-Term Class 17.8% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 40.5% 
   Bond Class 46.4% 
   Short-Term Class 13.1% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 19% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 40%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 36.5%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 2,226,292 $14,203,746 
Fidelity Consumer Discretionary Central Fund (a) 140,592 34,973,621 
Fidelity Consumer Staples Central Fund (a) 115,141 26,252,099 
Fidelity Emerging Markets Equity Central Fund (a) 83,171 16,846,249 
Fidelity Energy Central Fund (a) 165,826 21,136,161 
Fidelity Financials Central Fund (a) 685,000 58,046,913 
Fidelity Health Care Central Fund (a) 119,667 41,721,891 
Fidelity Industrials Central Fund (a) 129,309 31,319,965 
Fidelity Information Technology Central Fund (a) 209,079 69,046,230 
Fidelity International Equity Central Fund (a) 1,050,880 78,773,956 
Fidelity Materials Central Fund (a) 44,985 9,597,095 
Fidelity Real Estate Equity Central Fund (a) 75,833 8,580,493 
Fidelity Telecom Services Central Fund (a) 39,754 7,611,629 
Fidelity Utilities Central Fund (a) 62,646 10,206,237 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $322,884,715)  428,316,285 
Fixed-Income Central Funds - 47.8%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 615,711 6,286,409 
Fidelity Floating Rate Central Fund (a) 115,719 11,873,894 
Fidelity High Income Central Fund 1 (a) 408,898 40,084,318 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  58,244,621 
Investment Grade Fixed-Income Funds - 42.8%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 469,118 48,366,031 
Fidelity Investment Grade Bond Central Fund (a) 4,113,034 453,420,893 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  501,786,924 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $536,134,260)  560,031,545 
Money Market Central Funds - 14.5%   
Fidelity Cash Central Fund, 0.43% (b) 72,304,902 72,326,593 
Fidelity Money Market Central Fund, 0.86% (b) 98,068,435 98,088,048 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $170,375,098)  170,414,641 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $159,917) 160,000 159,960 
 Shares Value 
Investment Companies - 1.2%   
iShares Core MSCI Emerging Markets ETF 204,600 $9,331,807 
iShares S&P 500 Index ETF 19,949 4,340,104 
TOTAL INVESTMENT COMPANIES   
(Cost $13,147,809)  13,671,911 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $1,042,701,799)  1,172,594,342 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (252,392) 
NET ASSETS - 100%  $1,172,341,950 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $226,248 
Fidelity Commodity Strategy Central Fund 28,048 
Fidelity Consumer Discretionary Central Fund 521,669 
Fidelity Consumer Staples Central Fund 565,406 
Fidelity Emerging Markets Debt Central Fund 366,085 
Fidelity Emerging Markets Equity Central Fund 295,940 
Fidelity Energy Central Fund 265,699 
Fidelity Financials Central Fund 956,641 
Fidelity Floating Rate Central Fund 560,266 
Fidelity Health Care Central Fund 290,888 
Fidelity High Income Central Fund 1 3,207,867 
Fidelity Industrials Central Fund 431,545 
Fidelity Inflation-Protected Bond Index Central Fund 7,827 
Fidelity Information Technology Central Fund 485,623 
Fidelity International Equity Central Fund 2,002,320 
Fidelity Investment Grade Bond Central Fund 13,193,569 
Fidelity Materials Central Fund 186,464 
Fidelity Money Market Central Fund 450,075 
Fidelity Real Estate Equity Central Fund 279,723 
Fidelity Telecom Services Central Fund 153,775 
Fidelity Utilities Central Fund 261,341 
Total $24,737,019 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $2,014,752 $16,752,029 $5,749,644 $14,203,746 3.0% 
Fidelity Consumer Discretionary Central Fund 31,124,334 4,996,504 3,105,821 34,973,621 2.2% 
Fidelity Consumer Staples Central Fund 21,075,028 3,895,278 1,424,371 26,252,099 2.0% 
Fidelity Emerging Markets Debt Central Fund 4,858,080 1,043,328 289,027 6,286,409 5.3% 
Fidelity Emerging Markets Equity Central Fund 8,204,387 7,941,364 1,508,405 16,846,249 4.1% 
Fidelity Energy Central Fund 15,640,813 2,705,458 1,032,586 21,136,161 2.1% 
Fidelity Financials Central Fund 49,091,613 9,714,023 3,134,358 58,046,913 2.3% 
Fidelity Floating Rate Central Fund 10,439,176 1,963,223 626,518 11,873,894 0.7% 
Fidelity Health Care Central Fund 35,184,313 6,369,403 2,286,472 41,721,891 2.1% 
Fidelity High Income Central Fund 1 45,170,220 13,970,171 21,041,499 40,084,318 5.0% 
Fidelity Industrials Central Fund 24,751,343 4,306,171 1,645,911 31,319,965 2.3% 
Fidelity Inflation-Protected Bond Index Central Fund 27,305,449 21,040,046 1,971,648 48,366,031 5.0% 
Fidelity Information Technology Central Fund 50,986,908 8,330,688 4,381,837 69,046,230 2.1% 
Fidelity International Equity Central Fund 73,069,208 12,152,815 9,371,640 78,773,956 3.7% 
Fidelity Investment Grade Bond Central Fund 425,077,464 78,366,350 66,409,955 453,420,893 6.4% 
Fidelity Materials Central Fund 7,702,422 1,342,606 488,061 9,597,095 2.4% 
Fidelity Real Estate Equity Central Fund 11,101,926 1,638,375 6,016,868 8,580,493 4.9% 
Fidelity Telecom Services Central Fund 5,267,814 1,492,651 421,263 7,611,629 2.0% 
Fidelity Utilities Central Fund 8,293,008 1,576,130 803,397 10,206,237 2.2% 
Total $856,358,258 $199,596,613 $131,709,281 $988,347,830  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $428,316,285 $428,316,285 $-- $-- 
Fixed-Income Central Funds 560,031,545 560,031,545 -- -- 
Money Market Central Funds 170,414,641 170,414,641 -- -- 
Other Short-Term Investments  159,960 -- 159,960 -- 
Investment Companies 13,671,911 13,671,911 -- -- 
Total Investments in Securities: $1,172,594,342 $1,172,434,382 $159,960 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 81.0% 
United Kingdom 3.1% 
Japan 1.8% 
Netherlands 1.2% 
Mexico 1.2% 
Ireland 1.2% 
Canada 1.0% 
Germany 1.0% 
Others (Individually Less Than 1%) 8.5% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 40%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $13,307,726) 
$13,831,871  
Fidelity Central Funds (cost $1,029,394,073) 1,158,762,471  
Total Investments (cost $1,042,701,799)  $1,172,594,342 
Receivable for investments sold  322,810 
Receivable for fund shares sold  659,049 
Distributions receivable from Fidelity Central Funds  23,913 
Prepaid expenses  3,111 
Other receivables  749 
Total assets  1,173,603,974 
Liabilities   
Payable for investments purchased $65,096  
Payable for fund shares redeemed 630,847  
Accrued management fee 396,239  
Transfer agent fee payable 79,034  
Distribution and service plan fees payable 30,674  
Other affiliated payables 33,875  
Other payables and accrued expenses 26,259  
Total liabilities  1,262,024 
Net Assets  $1,172,341,950 
Net Assets consist of:   
Paid in capital  $1,099,804,287 
Undistributed net investment income  4,373,033 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (61,727,913) 
Net unrealized appreciation (depreciation) on investments  129,892,543 
Net Assets  $1,172,341,950 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($40,045,919 ÷ 3,656,933 shares)  $10.95 
Maximum offering price per share (100/94.25 of $10.95)  $11.62 
Class T:   
Net Asset Value and redemption price per share ($10,296,565 ÷ 941,780 shares)  $10.93 
Maximum offering price per share (100/96.50 of $10.93)  $11.33 
Class C:   
Net Asset Value and offering price per share ($22,063,508 ÷ 2,024,518 shares)(a)  $10.90 
Asset Manager 40%:   
Net Asset Value, offering price and redemption price per share ($1,084,410,821 ÷ 99,000,271 shares)  $10.95 
Class I:   
Net Asset Value, offering price and redemption price per share ($15,525,137 ÷ 1,417,213 shares)  $10.95 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $712,117 
Interest  1,221 
Income from Fidelity Central Funds  24,737,019 
Total income  25,450,357 
Expenses   
Management fee $4,408,166  
Transfer agent fees 902,085  
Distribution and service plan fees 352,699  
Accounting fees and expenses 380,284  
Custodian fees and expenses 1,427  
Independent trustees' fees and expenses 4,678  
Registration fees 116,095  
Audit 40,224  
Legal 3,670  
Miscellaneous (12,063)  
Total expenses before reductions 6,197,265  
Expense reductions (21,804) 6,175,461 
Net investment income (loss)  19,274,896 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 1,415,323  
Fidelity Central Funds (6,257,839)  
Foreign currency transactions 13,864  
Futures contracts 4,343,853  
Capital gain distributions from Fidelity Central Funds 5,976  
Total net realized gain (loss)  (478,823) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
71,043,746  
Assets and liabilities in foreign currencies 1,185  
Futures contracts 637,258  
Total change in net unrealized appreciation (depreciation)  71,682,189 
Net gain (loss)  71,203,366 
Net increase (decrease) in net assets resulting from operations  $90,478,262 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $19,274,896 $16,273,056 
Net realized gain (loss) (478,823) (4,043,806) 
Change in net unrealized appreciation (depreciation) 71,682,189 (26,931,283) 
Net increase (decrease) in net assets resulting from operations 90,478,262 (14,702,033) 
Distributions to shareholders from net investment income (19,559,955) (14,342,957) 
Distributions to shareholders from net realized gain (12,743,655) (24,422,962) 
Total distributions (32,303,610) (38,765,919) 
Share transactions - net increase (decrease) 116,130,128 226,957,042 
Total increase (decrease) in net assets 174,304,780 173,489,090 
Net Assets   
Beginning of period 998,037,170 824,548,080 
End of period $1,172,341,950 $998,037,170 
Other Information   
Undistributed net investment income end of period $4,373,033 $4,646,251 

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


Financial Highlights — Fidelity Asset Manager 40% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .16 .16 .14 .12 .14 
Net realized and unrealized gain (loss) .70 (.28) .59 .66 1.07 
Total from investment operations .86 (.12) .73 .78 1.21 
Distributions from net investment income (.17) (.14) (.15) (.10) (.14) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.30) (.45) (.43) (.23) (.23) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnB,C 8.44% (1.19)% 6.98% 7.88% 13.47% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .84% .85% .85% .87% .90% 
Expenses net of fee waivers, if any .84% .85% .85% .87% .90% 
Expenses net of all reductions .84% .84% .85% .86% .89% 
Net investment income (loss) 1.53% 1.44% 1.31% 1.21% 1.49% 
Supplemental Data      
Net assets, end of period (000 omitted) $40,046 $30,959 $25,419 $16,042 $14,048 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.37 $10.94 $10.64 $10.09 $9.12 
Income from Investment Operations      
Net investment income (loss)A .13 .13 .11 .10 .12 
Net realized and unrealized gain (loss) .70 (.28) .59 .66 1.06 
Total from investment operations .83 (.15) .70 .76 1.18 
Distributions from net investment income (.14) (.11) (.12) (.08) (.12) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.27) (.42) (.40) (.21) (.21) 
Net asset value, end of period $10.93 $10.37 $10.94 $10.64 $10.09 
Total ReturnB,C 8.12% (1.45)% 6.72% 7.62% 13.09% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.12% 1.11% 1.12% 1.14% 1.17% 
Expenses net of fee waivers, if any 1.12% 1.11% 1.12% 1.14% 1.15% 
Expenses net of all reductions 1.12% 1.10% 1.12% 1.13% 1.14% 
Net investment income (loss) 1.25% 1.18% 1.04% .94% 1.24% 
Supplemental Data      
Net assets, end of period (000 omitted) $10,297 $9,309 $8,295 $6,969 $4,803 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 40% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.34 $10.91 $10.62 $10.08 $9.11 
Income from Investment Operations      
Net investment income (loss)A .08 .07 .06 .04 .07 
Net realized and unrealized gain (loss) .70 (.27) .58 .66 1.06 
Total from investment operations .78 (.20) .64 .70 1.13 
Distributions from net investment income (.09) (.06) (.07) (.03) (.08) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.22) (.37) (.35) (.16) (.16)B 
Net asset value, end of period $10.90 $10.34 $10.91 $10.62 $10.08 
Total ReturnC,D 7.62% (1.94)% 6.17% 7.02% 12.59% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.61% 1.62% 1.62% 1.64% 1.67% 
Expenses net of fee waivers, if any 1.61% 1.62% 1.62% 1.64% 1.65% 
Expenses net of all reductions 1.61% 1.62% 1.62% 1.63% 1.64% 
Net investment income (loss) .76% .67% .54% .44% .74% 
Supplemental Data      
Net assets, end of period (000 omitted) $22,064 $19,515 $15,769 $9,272 $6,814 
Portfolio turnover rateG 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.16 per share is comprised of distributions from net investment income of $.075 and distributions from net realized gain of $.088 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .17 .16 .18 
Net realized and unrealized gain (loss) .70 (.28) .59 .65 1.06 
Total from investment operations .89 (.09) .76 .81 1.24 
Distributions from net investment income (.20) (.17) (.18) (.13) (.17) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.33) (.48) (.46) (.26) (.26) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnB 8.76% (.90)% 7.29% 8.21% 13.78% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .54% .55% .56% .57% .59% 
Expenses net of fee waivers, if any .54% .55% .56% .57% .59% 
Expenses net of all reductions .54% .54% .56% .56% .58% 
Net investment income (loss) 1.83% 1.74% 1.60% 1.51% 1.81% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,084,411 $917,607 $769,619 $495,019 $328,995 
Portfolio turnover rateE 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .17 .15 .17 
Net realized and unrealized gain (loss) .69 (.27) .58 .66 1.06 
Total from investment operations .88 (.09) .75 .81 1.23 
Distributions from net investment income (.19) (.17) (.18) (.13) (.16) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.32) (.48) (.45)B (.26) (.25) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnC 8.67% (.90)% 7.25% 8.15% 13.74% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .58% .60% .58% .63% .66% 
Expenses net of fee waivers, if any .58% .60% .58% .63% .65% 
Expenses net of all reductions .58% .60% .57% .62% .64% 
Net investment income (loss) 1.79% 1.69% 1.59% 1.45% 1.74% 
Supplemental Data      
Net assets, end of period (000 omitted) $15,525 $20,038 $4,256 $1,196 $911 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.45 per share is comprised of distributions from net investment income of $.176 and distributions from net realized gain of $.276 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 50%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.8 0.8 
Amazon.com, Inc. 0.7 0.4 
Facebook, Inc. Class A 0.5 0.4 
Medtronic PLC 0.5 0.4 
Alphabet, Inc. Class C 0.4 0.4 
Alphabet, Inc. Class A 0.4 0.4 
General Electric Co. 0.4 0.5 
Allergan PLC 0.4 0.2 
British American Tobacco PLC sponsored ADR 0.4 0.3 
Berkshire Hathaway, Inc. Class B 0.3 0.3 
 4.8  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 18.8 20.0 
Information Technology 8.5 7.6 
Consumer Discretionary 7.9 8.6 
Health Care 6.5 6.1 
Energy 6.4 6.1 

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 8.2 8.0 
Fannie Mae 4.9 4.3 
Freddie Mac 2.4 2.0 
Ginnie Mae 1.7 1.5 
Illinois Gen. Oblig. 0.9 1.0 
 18.1  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 17.2% 
   AAA,AA,A 5.1% 
   BBB 10.2% 
   BB and Below 8.1% 
   Not Rated 0.1% 
   Equities* 46.8% 
   Short-Term Investments and Net Other Assets 12.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 15.8% 
   AAA,AA,A 6.8% 
   BBB 10.3% 
   BB and Below 9.4% 
   Not Rated 0.2% 
   Equities* 47.6% 
   Short-Term Investments and Net Other Assets 9.9% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 46.9% 
   Bond Class 40.2% 
   Short-Term Class 12.9% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   Stock Class and Equity Futures* 50.3% 
   Bond Class 41.4% 
   Short-Term Class 8.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 22.4% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 50%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 46.5%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 14,617,308 $93,258,426 
Fidelity Consumer Discretionary Central Fund (a) 1,191,787 296,469,005 
Fidelity Consumer Staples Central Fund (a) 971,306 221,457,869 
Fidelity Emerging Markets Equity Central Fund (a) 611,482 123,855,678 
Fidelity Energy Central Fund (a) 1,397,089 178,072,990 
Fidelity Financials Central Fund (a) 5,766,135 488,622,266 
Fidelity Health Care Central Fund (a) 1,006,049 350,759,138 
Fidelity Industrials Central Fund (a) 1,092,032 264,500,993 
Fidelity Information Technology Central Fund (a) 1,771,054 584,872,734 
Fidelity International Equity Central Fund (a) 9,639,861 722,603,960 
Fidelity Materials Central Fund (a) 381,252 81,336,374 
Fidelity Real Estate Equity Central Fund (a) 489,484 55,385,111 
Fidelity Telecom Services Central Fund (a) 327,586 62,722,849 
Fidelity Utilities Central Fund (a) 526,070 85,707,338 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $2,202,102,415)  3,609,624,731 
Fixed-Income Central Funds - 42.6%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 4,013,210 40,974,871 
Fidelity Floating Rate Central Fund (a) 765,555 78,553,615 
Fidelity High Income Central Fund 1 (a) 2,704,952 265,166,398 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  384,694,884 
Investment Grade Fixed-Income Funds - 37.6%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 2,940,982 303,215,289 
Fidelity Investment Grade Bond Central Fund (a) 23,715,258 2,614,370,089 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  2,917,585,378 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $3,041,485,428)  3,302,280,262 
Money Market Central Funds - 9.8%   
Fidelity Cash Central Fund, 0.43% (b) 447,778,829 447,913,162 
Fidelity Money Market Central Fund, 0.86% (b) 309,400,933 309,462,813 
Fidelity Securities Lending Cash Central Fund 0.46% (b)(c) 534,643 534,750 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $757,721,125)  757,910,725 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $1,329,322) 1,330,000 1,329,672 
 Shares Value 
Investment Companies - 1.1%   
iShares Core MSCI Emerging Markets ETF (d) 1,600,714 $73,008,568 
iShares S&P 500 Index ETF 77,734 16,911,809 
TOTAL INVESTMENT COMPANIES   
(Cost $89,753,285)  89,920,377 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $6,092,391,575)  7,761,065,767 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (2,469,484) 
NET ASSETS - 100%  $7,758,596,283 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or 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.


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 $1,514,089 
Fidelity Commodity Strategy Central Fund 186,082 
Fidelity Consumer Discretionary Central Fund 4,778,388 
Fidelity Consumer Staples Central Fund 5,164,710 
Fidelity Emerging Markets Debt Central Fund 2,584,807 
Fidelity Emerging Markets Equity Central Fund 2,379,256 
Fidelity Energy Central Fund 2,434,123 
Fidelity Financials Central Fund 8,751,584 
Fidelity Floating Rate Central Fund 4,018,437 
Fidelity Health Care Central Fund 2,657,584 
Fidelity High Income Central Fund 1 23,386,103 
Fidelity Industrials Central Fund 3,940,346 
Fidelity Inflation-Protected Bond Index Central Fund 51,141 
Fidelity Information Technology Central Fund 4,392,924 
Fidelity International Equity Central Fund 19,416,946 
Fidelity Investment Grade Bond Central Fund 82,827,147 
Fidelity Materials Central Fund 1,709,417 
Fidelity Money Market Central Fund 1,074,820 
Fidelity Real Estate Equity Central Fund 1,964,359 
Fidelity Securities Lending Cash Central Fund 117,271 
Fidelity Telecom Services Central Fund 1,407,000 
Fidelity Utilities Central Fund 2,365,803 
Total $177,122,337 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $14,107,624 $113,482,252 $42,708,871  $93,258,426 19.8% 
Fidelity Consumer Discretionary Central Fund 305,753,520 7,894,176 35,850,204 296,469,005 18.8% 
Fidelity Consumer Staples Central Fund 206,996,342 7,440,447 19,107,489 221,457,869 17.2% 
Fidelity Emerging Markets Debt Central Fund 37,113,357 2,957,653  3,755,624  40,974,871 34.8% 
Fidelity Emerging Markets Equity Central Fund 79,664,448 44,319,318  17,178,844  123,855,678 29.9% 
Fidelity Energy Central Fund 153,679,962 4,090,577 14,078,556 178,072,990 17.7% 
Fidelity Financials Central Fund 482,162,133 26,196,156 41,716,260 488,622,266 19.2% 
Fidelity Floating Rate Central Fund 80,941,046 5,093,480 7,840,852 78,553,615 4.9% 
Fidelity Health Care Central Fund 345,575,850 12,886,597 30,481,139 350,759,138 17.9% 
Fidelity High Income Central Fund 1 348,630,207 65,721,003 162,447,401 265,166,398 33.4% 
Fidelity Industrials Central Fund 243,088,770 6,609,219 22,270,767 264,500,993 19.2% 
Fidelity Inflation-Protected Bond Index Central Fund 210,977,007 104,044,802 24,943,579 303,215,289 31.5% 
Fidelity Information Technology Central Fund 500,998,244 9,833,124  54,755,870  584,872,734 18.2% 
Fidelity International Equity Central Fund 730,899,356 39,498,423 76,323,652 722,603,960 33.8% 
Fidelity Investment Grade Bond Central Fund 2,900,282,297 213,063,258 597,577,147 2,614,370,089 37.1% 
Fidelity Materials Central Fund 75,673,855 2,506,687 6,638,332 81,336,374 20.3% 
Fidelity Real Estate Equity Central Fund 84,803,465 2,790,456 45,566,944 55,385,111 31.9% 
Fidelity Telecom Services Central Fund 51,730,713 4,966,154 5,882,957 62,722,849 16.3% 
Fidelity Utilities Central Fund 81,381,954 3,243,003 9,574,967 85,707,338 18.5% 
Total $6,934,460,150 $676,636,785  $1,218,699,455  $6,911,904,993  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $3,609,624,731 $3,609,624,731 $-- $-- 
Fixed-Income Central Funds 3,302,280,262 3,302,280,262 -- -- 
Money Market Central Funds 757,910,725 757,910,725 -- -- 
Other Short-Term Investments 1,329,672 -- 1,329,672 -- 
Investment Companies 89,920,377 89,920,377 -- -- 
Total Investments in Securities: $7,761,065,767 $7,759,736,095 $1,329,672 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 77.6% 
United Kingdom 3.7% 
Japan 2.5% 
Ireland 1.5% 
Netherlands 1.3% 
Canada 1.2% 
Mexico 1.1% 
Germany 1.1% 
France 1.0% 
Others (Individually Less Than 1%) 9.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 50%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value (including securities loaned of $524,515) — See accompanying schedule:
Unaffiliated issuers (cost $91,082,607) 
$91,250,049  
Fidelity Central Funds (cost $6,001,308,968) 7,669,815,718  
Total Investments (cost $6,092,391,575)  $7,761,065,767 
Receivable for investments sold  6,023,306 
Receivable for fund shares sold  2,122,013 
Distributions receivable from Fidelity Central Funds  155,174 
Prepaid expenses  21,405 
Other receivables  220,207 
Total assets  7,769,607,872 
Liabilities   
Payable for fund shares redeemed $5,984,582  
Accrued management fee 3,207,288  
Transfer agent fee payable 849,197  
Distribution and service plan fees payable 65,031  
Other affiliated payables 132,711  
Other payables and accrued expenses 238,030  
Collateral on securities loaned, at value 534,750  
Total liabilities  11,011,589 
Net Assets  $7,758,596,283 
Net Assets consist of:   
Paid in capital  $7,001,714,107 
Undistributed net investment income  27,626,827 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (939,418,843) 
Net unrealized appreciation (depreciation) on investments  1,668,674,192 
Net Assets  $7,758,596,283 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($77,724,471 ÷ 4,595,030 shares)  $16.91 
Maximum offering price per share (100/94.25 of $16.91)  $17.94 
Class T:   
Net Asset Value and redemption price per share ($32,430,670 ÷ 1,919,360 shares)  $16.90 
Maximum offering price per share (100/96.50 of $16.90)  $17.51 
Class C:   
Net Asset Value and offering price per share ($42,705,925 ÷ 2,543,064 shares)(a)  $16.79 
Asset Manager 50%:   
Net Asset Value, offering price and redemption price per share ($7,566,062,210 ÷ 445,526,203 shares)  $16.98 
Class I:   
Net Asset Value, offering price and redemption price per share ($39,673,007 ÷ 2,340,239 shares)  $16.95 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $4,830,340 
Interest  14,802 
Income from Fidelity Central Funds  177,122,337 
Total income  181,967,479 
Expenses   
Management fee $38,228,992  
Transfer agent fees 10,188,719  
Distribution and service plan fees 779,753  
Accounting and security lending fees 1,480,261  
Custodian fees and expenses 2,684  
Independent trustees' fees and expenses 34,280  
Appreciation in deferred trustee compensation account 595  
Registration fees 129,255  
Audit 41,630  
Legal 36,349  
Miscellaneous (63,396)  
Total expenses before reductions 50,859,122  
Expense reductions (200,268) 50,658,854 
Net investment income (loss)  131,308,625 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 8,939,313  
Fidelity Central Funds 32,519,567  
Foreign currency transactions 143,851  
Futures contracts 34,618,111  
Capital gain distributions from Fidelity Central Funds 6,653  
Total net realized gain (loss)  76,227,495 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
488,067,481  
Assets and liabilities in foreign currencies 6,315  
Futures contracts 5,457,558  
Total change in net unrealized appreciation (depreciation)  493,531,354 
Net gain (loss)  569,758,849 
Net increase (decrease) in net assets resulting from operations  $701,067,474 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $131,308,625 $133,185,209 
Net realized gain (loss) 76,227,495 224,814,206 
Change in net unrealized appreciation (depreciation) 493,531,354 (462,905,058) 
Net increase (decrease) in net assets resulting from operations 701,067,474 (104,905,643) 
Distributions to shareholders from net investment income (137,724,737) (123,762,955) 
Distributions to shareholders from net realized gain (287,947,103) (522,702,610) 
Total distributions (425,671,840) (646,465,565) 
Share transactions - net increase (decrease) (200,114,641) 298,082,778 
Total increase (decrease) in net assets 75,280,993 (453,288,430) 
Net Assets   
Beginning of period 7,683,315,290 8,136,603,720 
End of period $7,758,596,283 $7,683,315,290 
Other Information   
Undistributed net investment income end of period $27,626,827 $33,911,470 

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


Financial Highlights — Fidelity Asset Manager 50% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.33 $17.99 $17.78 $16.36 $14.43 
Income from Investment Operations      
Net investment income (loss)A .23 .23 .22 .19 .21 
Net realized and unrealized gain (loss) 1.21 (.50) 1.13 1.43 1.98 
Total from investment operations 1.44 (.27) 1.35 1.62 2.19 
Distributions from net investment income (.25) (.22) (.23) (.19) (.23) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.86)B (1.39) (1.14) (.20)C (.26)D 
Net asset value, end of period $16.91 $16.33 $17.99 $17.78 $16.36 
Total ReturnE,F 9.19% (1.70)% 7.96% 10.01% 15.31% 
Ratios to Average Net AssetsG,H      
Expenses before reductions .96% .96% .95% .99% 1.01% 
Expenses net of fee waivers, if any .96% .96% .95% .99% 1.01% 
Expenses net of all reductions .96% .95% .95% .98% 1.00% 
Net investment income (loss) 1.42% 1.34% 1.24% 1.12% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $77,724 $70,616 $72,246 $74,128 $61,693 
Portfolio turnover rateI 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.86 per share is comprised of distributions from net investment income of $.247 and distributions from net realized gain of $.616 per share.

 C Total distributions of $.20 per share is comprised of distributions from net investment income of $.187 and distributions from net realized gain of $.015 per share.

 D Total distributions of $.26 per share is comprised of distributions from net investment income of $.232 and distributions from net realized gain of $.024 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.31 $17.97 $17.76 $16.34 $14.41 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .17 .15 .17 
Net realized and unrealized gain (loss) 1.22 (.51) 1.14 1.43 1.98 
Total from investment operations 1.41 (.32) 1.31 1.58 2.15 
Distributions from net investment income (.20) (.17) (.19) (.15) (.20) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.82) (1.34) (1.10) (.16)B (.22) 
Net asset value, end of period $16.90 $16.31 $17.97 $17.76 $16.34 
Total ReturnC,D 8.97% (1.98)% 7.69% 9.76% 15.06% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.22% 1.22% 1.22% 1.24% 1.24% 
Expenses net of fee waivers, if any 1.22% 1.22% 1.22% 1.24% 1.24% 
Expenses net of all reductions 1.22% 1.22% 1.22% 1.22% 1.23% 
Net investment income (loss) 1.15% 1.07% .97% .87% 1.12% 
Supplemental Data      
Net assets, end of period (000 omitted) $32,431 $30,381 $32,372 $28,826 $22,505 
Portfolio turnover rateG 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.16 per share is comprised of distributions from net investment income of $.148 and distributions from net realized gain of $.015 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.21 $17.88 $17.68 $16.27 $14.35 
Income from Investment Operations      
Net investment income (loss)A .11 .10 .08 .06 .09 
Net realized and unrealized gain (loss) 1.21 (.52) 1.13 1.43 1.98 
Total from investment operations 1.32 (.42) 1.21 1.49 2.07 
Distributions from net investment income (.12) (.08) (.10) (.07) (.12) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.74) (1.25) (1.01) (.08)B (.15)C 
Net asset value, end of period $16.79 $16.21 $17.88 $17.68 $16.27 
Total ReturnD,E 8.42% (2.52)% 7.16% 9.21% 14.49% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.72% 1.72% 1.72% 1.74% 1.75% 
Expenses net of fee waivers, if any 1.72% 1.72% 1.72% 1.74% 1.75% 
Expenses net of all reductions 1.72% 1.72% 1.72% 1.73% 1.74% 
Net investment income (loss) .66% .57% .47% .37% .61% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,706 $42,095 $38,792 $31,204 $21,859 
Portfolio turnover rateH 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.08 per share is comprised of distributions from net investment income of $.068 and distributions from net realized gain of $.015 per share.

 C Total distributions of $.15 per share is comprised of distributions from net investment income of $.122 and distributions from net realized gain of $.024 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.39 $18.06 $17.84 $16.41 $14.47 
Income from Investment Operations      
Net investment income (loss)A .28 .29 .28 .24 .26 
Net realized and unrealized gain (loss) 1.22 (.52) 1.14 1.44 1.99 
Total from investment operations 1.50 (.23) 1.42 1.68 2.25 
Distributions from net investment income (.30) (.27) (.29) (.24) (.28) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.91)B (1.44) (1.20) (.25)C (.31)D 
Net asset value, end of period $16.98 $16.39 $18.06 $17.84 $16.41 
Total ReturnE 9.56% (1.45)% 8.33% 10.38% 15.71% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .65% .66% .66% .68% .69% 
Expenses net of fee waivers, if any .65% .66% .66% .67% .69% 
Expenses net of all reductions .65% .65% .66% .66% .68% 
Net investment income (loss) 1.72% 1.63% 1.53% 1.43% 1.67% 
Supplemental Data      
Net assets, end of period (000 omitted) $7,566,062 $7,504,374 $7,956,041 $7,384,756 $6,838,743 
Portfolio turnover rateH 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.91 per share is comprised of distributions from net investment income of $.297 and distributions from net realized gain of $.616 per share.

 C Total distributions of $.25 per share is comprised of distributions from net investment income of $.239 and distributions from net realized gain of $.015 per share.

 D Total distributions of $.31 per share is comprised of distributions from net investment income of $.281 and distributions from net realized gain of $.024 per share.

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.36 $18.03 $17.81 $16.39 $14.46 
Income from Investment Operations      
Net investment income (loss)A .27 .28 .27 .24 .25 
Net realized and unrealized gain (loss) 1.23 (.52) 1.14 1.43 1.98 
Total from investment operations 1.50 (.24) 1.41 1.67 2.23 
Distributions from net investment income (.29) (.26) (.28) (.23) (.27) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.91) (1.43) (1.19) (.25) (.30)B 
Net asset value, end of period $16.95 $16.36 $18.03 $17.81 $16.39 
Total ReturnC 9.53% (1.50)% 8.29% 10.28% 15.58% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .70% .70% .71% .72% .75% 
Expenses net of fee waivers, if any .70% .70% .71% .72% .75% 
Expenses net of all reductions .70% .69% .71% .71% .74% 
Net investment income (loss) 1.68% 1.59% 1.48% 1.39% 1.61% 
Supplemental Data      
Net assets, end of period (000 omitted) $39,673 $33,434 $33,575 $21,429 $14,732 
Portfolio turnover rateF 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.30 per share is comprised of distributions from net investment income of $.272 and distributions from net realized gain of $.024 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 60%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.9 0.9 
Amazon.com, Inc. 0.8 0.5 
Medtronic PLC 0.6 0.6 
Facebook, Inc. Class A 0.6 0.5 
Alphabet, Inc. Class C 0.5 0.5 
Alphabet, Inc. Class A 0.5 0.4 
General Electric Co. 0.5 0.6 
Allergan PLC 0.4 0.3 
British American Tobacco PLC sponsored ADR 0.4 0.4 
Berkshire Hathaway, Inc. Class B 0.4 0.4 
 5.6  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 17.1 19.5 
Information Technology 9.8 8.6 
Consumer Discretionary 8.6 9.7 
Health Care 7.6 6.8 
Energy 6.4 6.1 

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 14.9% 
   AAA,AA,A 4.3% 
   BBB 8.3% 
   BB and Below 7.4% 
   Not Rated 0.1% 
   Equities* 56.5% 
   Short-Term Investments and Net Other Assets 8.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 13.5% 
   AAA,AA,A 5.3% 
   BBB 8.7% 
   BB and Below 8.5% 
   Not Rated 0.2% 
   Equities* 57.5% 
   Short-Term Investments and Net Other Assets 6.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 56.7% 
   Bond Class 34.6% 
   Short-Term Class 8.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 60.1% 
   Bond Class 35.4% 
   Short-Term Class 4.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 25% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 60%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 55.7%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 2,917,049 $18,610,775 
Fidelity Consumer Discretionary Central Fund (a) 284,942 70,882,185 
Fidelity Consumer Staples Central Fund (a) 232,668 53,048,360 
Fidelity Emerging Markets Equity Central Fund (a) 145,050 29,379,814 
Fidelity Energy Central Fund (a) 334,747 42,666,865 
Fidelity Financials Central Fund (a) 1,384,934 117,359,278 
Fidelity Health Care Central Fund (a) 241,830 84,314,184 
Fidelity Industrials Central Fund (a) 261,435 63,322,120 
Fidelity Information Technology Central Fund (a) 422,872 139,649,129 
Fidelity International Equity Central Fund (a) 2,410,608 180,699,204 
Fidelity Materials Central Fund (a) 91,094 19,433,946 
Fidelity Real Estate Equity Central Fund (a) 98,909 11,191,603 
Fidelity Telecom Services Central Fund (a) 79,583 15,237,712 
Fidelity Utilities Central Fund (a) 126,225 20,564,537 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $609,669,403)  866,359,712 
Fixed-Income Central Funds - 36.6%   
High Yield Fixed-Income Funds - 4.9%   
Fidelity Emerging Markets Debt Central Fund (a) 804,552 8,214,479 
Fidelity Floating Rate Central Fund (a) 143,399 14,714,215 
Fidelity High Income Central Fund 1 (a) 541,170 53,050,901 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  75,979,595 
Investment Grade Fixed-Income Funds - 31.7%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 588,624 60,687,179 
Fidelity Investment Grade Bond Central Fund (a) 3,926,380 432,844,176 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  493,531,355 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $542,567,817)  569,510,950 
Money Market Central Funds - 5.7%   
Fidelity Cash Central Fund, 0.43% (b) 58,977,862 58,995,555 
Fidelity Money Market Central Fund, 0.86% (b) 29,826,011 29,831,976 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $88,805,684)  88,827,531 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $249,864) 250,000 249,932 
 Shares Value 
Investment Companies - 2.0%   
iShares Core MSCI Emerging Markets ETF 289,233 $13,191,917 
iShares S&P 500 Index ETF 78,619 17,104,351 
TOTAL INVESTMENT COMPANIES   
(Cost $28,128,390)  30,296,268 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $1,269,421,158)  1,555,244,393 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (263,831) 
NET ASSETS - 100%  $1,554,980,562 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $171,417 
Fidelity Commodity Strategy Central Fund 36,958 
Fidelity Consumer Discretionary Central Fund 1,098,168 
Fidelity Consumer Staples Central Fund 1,190,169 
Fidelity Emerging Markets Debt Central Fund 497,900 
Fidelity Emerging Markets Equity Central Fund 539,094 
Fidelity Energy Central Fund 558,855 
Fidelity Financials Central Fund 2,009,809 
Fidelity Floating Rate Central Fund 723,975 
Fidelity Health Care Central Fund 611,834 
Fidelity High Income Central Fund 1 4,417,132 
Fidelity Industrials Central Fund 906,307 
Fidelity Inflation-Protected Bond Index Central Fund 10,032 
Fidelity Information Technology Central Fund 1,015,149 
Fidelity International Equity Central Fund 4,574,897 
Fidelity Investment Grade Bond Central Fund 12,915,831 
Fidelity Materials Central Fund 392,566 
Fidelity Money Market Central Fund 83,015 
Fidelity Real Estate Equity Central Fund 379,411 
Fidelity Telecom Services Central Fund 323,252 
Fidelity Utilities Central Fund 546,440 
Total $33,002,211 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $2,702,710 $22,270,301 $7,978,316 $18,610,775 3.9% 
Fidelity Consumer Discretionary Central Fund 67,628,404 7,111,130 7,982,915 70,882,185 4.5% 
Fidelity Consumer Staples Central Fund 45,787,630 5,589,670 4,165,399 53,048,360 4.1% 
Fidelity Emerging Markets Debt Central Fund 6,766,010 1,094,631 556,334 8,214,479 7.0% 
Fidelity Emerging Markets Equity Central Fund 17,502,737 11,140,137 3,246,886 29,379,814 7.1% 
Fidelity Energy Central Fund 33,982,651 3,746,897 3,012,396 42,666,865 4.2% 
Fidelity Financials Central Fund 106,653,771 14,851,893 8,985,707 117,359,278 4.6% 
Fidelity Floating Rate Central Fund 13,805,161 1,978,008 1,173,345 14,714,215 0.9% 
Fidelity Health Care Central Fund 76,428,696 9,399,752 6,558,905 84,314,184 4.3% 
Fidelity High Income Central Fund 1 63,278,896 16,856,003 29,686,421 53,050,901 6.7% 
Fidelity Industrials Central Fund 53,776,839 6,016,705 4,804,172 63,322,120 4.6% 
Fidelity Inflation-Protected Bond Index Central Fund 38,379,148 23,378,783 3,651,909 60,687,179 6.3% 
Fidelity Information Technology Central Fund 110,818,525 11,551,876 12,163,901 139,649,129 4.3% 
Fidelity International Equity Central Fund 165,603,250 23,212,823 14,596,283 180,699,204 8.5% 
Fidelity Investment Grade Bond Central Fund 423,077,126 69,988,314 76,165,686 432,844,176 6.1% 
Fidelity Materials Central Fund 16,738,695 1,914,360 1,421,690 19,433,946 4.8% 
Fidelity Real Estate Equity Central Fund 15,479,638 1,622,343 8,453,118 11,191,603 6.4% 
Fidelity Telecom Services Central Fund 11,442,186 2,361,236 1,273,692 15,237,712 4.0% 
Fidelity Utilities Central Fund 18,002,811 2,253,473 2,141,553 20,564,537 4.4% 
Total $1,287,854,884 $236,338,335 $198,018,628 $1,435,870,662  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $866,359,712 $866,359,712 $-- $-- 
Fixed-Income Central Funds 569,510,950 569,510,950 -- -- 
Money Market Central Funds 88,827,531 88,827,531 -- -- 
Other Short-Term Investments  249,932 -- 249,932 -- 
Investment Companies 30,296,268 30,296,268 -- -- 
Total Investments in Securities: $1,555,244,393 $1,554,994,461 $249,932 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 75.0% 
United Kingdom 4.1% 
Japan 3.0% 
Ireland 1.7% 
Canada 1.4% 
Germany 1.3% 
Netherlands 1.2% 
France 1.2% 
Switzerland 1.1% 
Mexico 1.0% 
Others (Individually Less Than 1%) 9.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 60%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $28,378,254) 
$30,546,200  
Fidelity Central Funds (cost $1,241,042,904) 1,524,698,193  
Total Investments (cost $1,269,421,158)  $1,555,244,393 
Receivable for investments sold  637,045 
Receivable for fund shares sold  1,562,505 
Distributions receivable from Fidelity Central Funds  19,580 
Prepaid expenses  4,191 
Other receivables  1,036 
Total assets  1,557,468,750 
Liabilities   
Payable for investments purchased $938,319  
Payable for fund shares redeemed 567,205  
Accrued management fee 705,218  
Transfer agent fee payable 151,471  
Distribution and service plan fees payable 47,505  
Other affiliated payables 51,302  
Other payables and accrued expenses 27,168  
Total liabilities  2,488,188 
Net Assets  $1,554,980,562 
Net Assets consist of:   
Paid in capital  $1,405,957,911 
Undistributed net investment income  16,009,546 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (152,810,130) 
Net unrealized appreciation (depreciation) on investments  285,823,235 
Net Assets  $1,554,980,562 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($59,026,858 ÷ 5,253,089 shares)  $11.24 
Maximum offering price per share (100/94.25 of $11.24)  $11.93 
Class T:   
Net Asset Value and redemption price per share ($16,763,374 ÷ 1,500,105 shares)  $11.17 
Maximum offering price per share (100/96.50 of $11.17)  $11.58 
Class C:   
Net Asset Value and offering price per share ($34,037,389 ÷ 3,084,294 shares)(a)  $11.04 
Asset Manager 60%:   
Net Asset Value, offering price and redemption price per share ($1,426,502,169 ÷ 126,339,239 shares)  $11.29 
Class I:   
Net Asset Value, offering price and redemption price per share ($18,650,772 ÷ 1,651,007 shares)  $11.30 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $1,222,607 
Interest  3,104 
Income from Fidelity Central Funds  33,002,211 
Total income  34,227,922 
Expenses   
Management fee $8,079,837  
Transfer agent fees 1,754,081  
Distribution and service plan fees 551,213  
Accounting fees and expenses 589,300  
Custodian fees and expenses 1,658  
Independent trustees' fees and expenses 6,442  
Registration fees 104,637  
Audit 40,374  
Legal 5,152  
Miscellaneous (15,128)  
Total expenses before reductions 11,117,566  
Expense reductions (40,750) 11,076,816 
Net investment income (loss)  23,151,106 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 976,552  
Fidelity Central Funds (8,419,751)  
Foreign currency transactions 28,119  
Futures contracts 6,471,037  
Total net realized gain (loss)  (944,043) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
120,478,363  
Assets and liabilities in foreign currencies 1,132  
Futures contracts 949,696  
Total change in net unrealized appreciation (depreciation)  121,429,191 
Net gain (loss)  120,485,148 
Net increase (decrease) in net assets resulting from operations  $143,636,254 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $23,151,106 $21,161,998 
Net realized gain (loss) (944,043) (3,677,830) 
Change in net unrealized appreciation (depreciation) 121,429,191 (50,318,641) 
Net increase (decrease) in net assets resulting from operations 143,636,254 (32,834,473) 
Distributions to shareholders from net investment income (24,052,987) (17,475,457) 
Distributions to shareholders from net realized gain (32,419,519) (64,516,613) 
Total distributions (56,472,506) (81,992,070) 
Share transactions - net increase (decrease) 75,598,059 210,192,200 
Total increase (decrease) in net assets 162,761,807 95,365,657 
Net Assets   
Beginning of period 1,392,218,755 1,296,853,098 
End of period $1,554,980,562 $1,392,218,755 
Other Information   
Undistributed net investment income end of period $16,009,546 $16,884,619 

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


Financial Highlights — Fidelity Asset Manager 60% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.60 $11.53 $11.17 $10.16 $8.76 
Income from Investment Operations      
Net investment income (loss)A .14 .14 .12 .11 .12 
Net realized and unrealized gain (loss) .90 (.39) .83 1.10 1.38 
Total from investment operations 1.04 (.25) .95 1.21 1.50 
Distributions from net investment income (.15) (.12) (.09) (.09) (.08) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.40) (.68) (.59) (.20) (.10) 
Net asset value, end of period $11.24 $10.60 $11.53 $11.17 $10.16 
Total ReturnB,C 10.10% (2.36)% 8.87% 12.15% 17.27% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.03% 1.04% 1.03% 1.06% 1.09% 
Expenses net of fee waivers, if any 1.03% 1.03% 1.03% 1.06% 1.09% 
Expenses net of all reductions 1.03% 1.03% 1.03% 1.05% 1.08% 
Net investment income (loss) 1.30% 1.20% 1.08% 1.02% 1.26% 
Supplemental Data      
Net assets, end of period (000 omitted) $59,027 $53,879 $53,382 $41,926 $37,312 
Portfolio turnover rateF 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.55 $11.48 $11.12 $10.12 $8.72 
Income from Investment Operations      
Net investment income (loss)A .11 .11 .09 .08 .10 
Net realized and unrealized gain (loss) .88 (.39) .84 1.09 1.38 
Total from investment operations .99 (.28) .93 1.17 1.48 
Distributions from net investment income (.13) (.09) (.07) (.06) (.06) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.37)B (.65) (.57) (.17) (.08) 
Net asset value, end of period $11.17 $10.55 $11.48 $11.12 $10.12 
Total ReturnC,D 9.68% (2.63)% 8.66% 11.78% 17.12% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.29% 1.29% 1.30% 1.32% 1.34% 
Expenses net of fee waivers, if any 1.29% 1.29% 1.30% 1.32% 1.34% 
Expenses net of all reductions 1.28% 1.28% 1.30% 1.31% 1.33% 
Net investment income (loss) 1.04% .94% .81% .76% 1.01% 
Supplemental Data      
Net assets, end of period (000 omitted) $16,763 $16,210 $14,759 $13,639 $11,380 
Portfolio turnover rateG 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.37 per share is comprised of distributions from net investment income of $.127 and distributions from net realized gain of $.247 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 60% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.42 $11.35 $11.04 $10.06 $8.67 
Income from Investment Operations      
Net investment income (loss)A .06 .05 .04 .02 .05 
Net realized and unrealized gain (loss) .88 (.38) .81 1.10 1.38 
Total from investment operations .94 (.33) .85 1.12 1.43 
Distributions from net investment income (.08) (.04) (.04) (.02) (.02) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.32)B (.60) (.54) (.14)C (.04) 
Net asset value, end of period $11.04 $10.42 $11.35 $11.04 $10.06 
Total ReturnD,E 9.27% (3.08)% 7.98% 11.24% 16.55% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.78% 1.80% 1.80% 1.84% 1.88% 
Expenses net of fee waivers, if any 1.78% 1.79% 1.80% 1.84% 1.85% 
Expenses net of all reductions 1.78% 1.79% 1.80% 1.83% 1.84% 
Net investment income (loss) .54% .44% .31% .24% .50% 
Supplemental Data      
Net assets, end of period (000 omitted) $34,037 $30,147 $25,867 $18,390 $10,185 
Portfolio turnover rateH 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.32 per share is comprised of distributions from net investment income of $.076 and distributions from net realized gain of $.247 per share.

 C Total distributions of $.14 per share is comprised of distributions from net investment income of $.024 and distributions from net realized gain of $.112 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.66 $11.59 $11.22 $10.21 $8.80 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .16 .14 .15 
Net realized and unrealized gain (loss) .90 (.39) .84 1.10 1.39 
Total from investment operations 1.07 (.22) 1.00 1.24 1.54 
Distributions from net investment income (.19) (.16) (.13) (.12) (.11) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.44) (.71)B (.63) (.23) (.13) 
Net asset value, end of period $11.29 $10.66 $11.59 $11.22 $10.21 
Total ReturnC 10.31% (2.03)% 9.26% 12.45% 17.73% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .71% .72% .72% .74% .77% 
Expenses net of fee waivers, if any .71% .72% .72% .74% .77% 
Expenses net of all reductions .71% .71% .72% .73% .76% 
Net investment income (loss) 1.61% 1.51% 1.39% 1.34% 1.59% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,426,502 $1,275,181 $1,187,056 $850,361 $557,351 
Portfolio turnover rateF 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.71 per share is comprised of distributions from net investment income of $.155 and distributions from net realized gain of $.555 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.66 $11.59 $11.22 $10.21 $8.79 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .15 .13 .15 
Net realized and unrealized gain (loss) .90 (.39) .83 1.10 1.39 
Total from investment operations 1.07 (.22) .98 1.23 1.54 
Distributions from net investment income (.18) (.15) (.11) (.11) (.10) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.43) (.71) (.61) (.22) (.12) 
Net asset value, end of period $11.30 $10.66 $11.59 $11.22 $10.21 
Total ReturnB 10.37% (2.08)% 9.15% 12.35% 17.73% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .75% .76% .78% .82% .84% 
Expenses net of fee waivers, if any .74% .76% .78% .82% .84% 
Expenses net of all reductions .74% .75% .78% .81% .83% 
Net investment income (loss) 1.58% 1.47% 1.33% 1.26% 1.51% 
Supplemental Data      
Net assets, end of period (000 omitted) $18,651 $15,574 $14,122 $8,540 $8,964 
Portfolio turnover rateE 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 70%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 1.1 1.1 
Amazon.com, Inc. 0.9 0.6 
Medtronic PLC 0.7 0.7 
Facebook, Inc. Class A 0.7 0.5 
Alphabet, Inc. Class C 0.6 0.6 
Alphabet, Inc. Class A 0.6 0.5 
General Electric Co. 0.6 0.7 
British American Tobacco PLC sponsored ADR 0.6 0.5 
Allergan PLC 0.5 0.3 
Berkshire Hathaway, Inc. Class B 0.5 0.5 
 6.8  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 17.0 19.4 
Information Technology 11.8 10.2 
Consumer Discretionary 9.5 10.5 
Health Care 8.5 8.1 
Industrials 7.5 8.0 

Quality Diversification (% of fund's net assets)

As of September 30, 2016 
   U.S. Government and U.S. Government Agency Obligations 11.0% 
   AAA,AA,A 2.9% 
   BBB 5.2% 
   BB and Below 6.3% 
   Not Rated 0.1% 
   Equities* 66.4% 
   Short-Term Investments and Net Other Assets 8.1% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 9.9% 
   AAA,AA,A 3.3% 
   BBB 5.6% 
   BB and Below 7.4% 
   Not Rated 0.2% 
   Equities* 67.1% 
   Short-Term Investments and Net Other Assets 6.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 66.5% 
   Bond Class 25.3% 
   Short-Term Class 8.2% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 69.7% 
   Bond Class 25.9% 
   Short-Term Class 4.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 27.5% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 70%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 65.2%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 8,046,157 $51,334,481 
Fidelity Consumer Discretionary Central Fund (a) 919,572 228,752,701 
Fidelity Consumer Staples Central Fund (a) 750,112 171,025,446 
Fidelity Emerging Markets Equity Central Fund (a) 512,609 103,828,872 
Fidelity Energy Central Fund (a) 1,079,222 137,557,692 
Fidelity Financials Central Fund (a) 4,460,294 377,965,323 
Fidelity Health Care Central Fund (a) 778,796 271,527,129 
Fidelity Industrials Central Fund (a) 843,227 204,238,006 
Fidelity Information Technology Central Fund (a) 1,363,932 450,424,827 
Fidelity International Equity Central Fund (a) 7,874,831 590,297,357 
Fidelity Materials Central Fund (a) 294,112 62,745,788 
Fidelity Real Estate Equity Central Fund (a) 273,651 30,963,572 
Fidelity Telecom Services Central Fund (a) 255,087 48,841,512 
Fidelity Utilities Central Fund (a) 406,380 66,207,420 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $1,856,812,745)  2,795,710,126 
Fixed-Income Central Funds - 26.7%   
High Yield Fixed-Income Funds - 4.9%   
Fidelity Emerging Markets Debt Central Fund (a) 2,212,505 22,589,678 
Fidelity Floating Rate Central Fund (a) 390,223 40,040,732 
Fidelity High Income Central Fund 1 (a) 1,495,564 146,610,179 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  209,240,589 
Investment Grade Fixed-Income Funds - 21.8%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 1,618,812 166,899,519 
Fidelity Investment Grade Bond Central Fund (a) 6,982,693 769,772,053 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  936,671,572 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $1,088,236,276)  1,145,912,161 
Money Market Central Funds - 5.6%   
Fidelity Cash Central Fund, 0.43% (b) 156,803,110 156,850,151 
Fidelity Money Market Central Fund, 0.86% (b) 84,786,085 84,803,042 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $241,593,133)  241,653,193 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $749,621) 750,000 749,817 
 Shares Value 
Investment Companies - 2.5%   
iShares Core MSCI Emerging Markets ETF 871,585 $39,752,992 
iShares S&P 500 Index ETF 309,948 67,432,285 
TOTAL INVESTMENT COMPANIES   
(Cost $98,710,537)  107,185,277 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $3,286,102,312)  4,291,210,574 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (646,642) 
NET ASSETS - 100%  $4,290,563,932 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $522,917 
Fidelity Commodity Strategy Central Fund 102,308 
Fidelity Consumer Discretionary Central Fund 3,656,469 
Fidelity Consumer Staples Central Fund 3,957,166 
Fidelity Emerging Markets Debt Central Fund 1,411,415 
Fidelity Emerging Markets Equity Central Fund 1,974,173 
Fidelity Energy Central Fund 1,862,699 
Fidelity Financials Central Fund 6,695,181 
Fidelity Floating Rate Central Fund 2,037,227 
Fidelity Health Care Central Fund 2,035,760 
Fidelity High Income Central Fund 1 12,556,973 
Fidelity Industrials Central Fund 3,016,972 
Fidelity Inflation-Protected Bond Index Central Fund 28,238 
Fidelity Information Technology Central Fund 3,370,404 
Fidelity International Equity Central Fund 15,286,687 
Fidelity Investment Grade Bond Central Fund 23,652,160 
Fidelity Materials Central Fund 1,308,152 
Fidelity Money Market Central Fund 236,092 
Fidelity Real Estate Equity Central Fund 1,080,781 
Fidelity Securities Lending Cash Central Fund 109,315 
Fidelity Telecom Services Central Fund 1,076,815 
Fidelity Utilities Central Fund 1,812,981 
Total $87,790,885 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $7,698,208 $61,349,988  $22,296,984  $51,334,481 10.9% 
Fidelity Consumer Discretionary Central Fund 230,194,082 9,255,306 24,867,462 228,752,701 14.5% 
Fidelity Consumer Staples Central Fund 155,826,673 7,970,808 12,608,637 171,025,446 13.3% 
Fidelity Emerging Markets Debt Central Fund 19,593,377 1,880,872  1,467,015 22,589,678 19.2% 
Fidelity Emerging Markets Equity Central Fund 70,811,304 28,186,652  10,214,993  103,828,872 25.0% 
Fidelity Energy Central Fund 115,645,084 4,776,295 9,300,515 137,557,692 13.7% 
Fidelity Financials Central Fund 363,033,248 25,526,612 27,450,934 377,965,323 14.9% 
Fidelity Floating Rate Central Fund 39,732,483 3,145,136 3,093,092 40,040,732 2.5% 
Fidelity Health Care Central Fund 260,183,460 13,951,004 19,970,279 271,527,129 13.9% 
Fidelity High Income Central Fund 1 183,582,381 37,860,779 82,121,723 146,610,179 18.4% 
Fidelity Industrials Central Fund 183,034,580 7,696,140 14,738,493 204,238,006 14.8% 
Fidelity Inflation-Protected Bond Index Central Fund 111,370,622 58,771,287 10,508,786 166,899,519 17.4% 
Fidelity Information Technology Central Fund 377,147,444 12,573,202 37,736,088 450,424,827 14.0% 
Fidelity International Equity Central Fund 554,520,131 56,423,750 42,782,192 590,297,357 27.6% 
Fidelity Investment Grade Bond Central Fund 814,208,509 98,141,948 171,089,319 769,772,053 10.9% 
Fidelity Materials Central Fund 56,973,772 2,703,244 4,401,998 62,745,788 15.7% 
Fidelity Real Estate Equity Central Fund 44,949,237 2,139,509 23,452,254 30,963,572 17.8% 
Fidelity Telecom Services Central Fund 38,957,433 4,650,793 3,868,206 48,841,512 12.7% 
Fidelity Utilities Central Fund 61,251,917 3,326,618 6,522,779 66,207,420 14.3% 
Total $3,688,713,945 $440,329,943 $528,491,749 $3,941,622,287  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $2,795,710,126 $2,795,710,126 $-- $-- 
Fixed-Income Central Funds 1,145,912,161 1,145,912,161 -- -- 
Money Market Central Funds 241,653,193 241,653,193 -- -- 
Other Short-Term Investments  749,817 -- 749,817 -- 
Investment Companies 107,185,277 107,185,277 -- -- 
Total Investments in Securities: $4,291,210,574 $4,290,460,757 $749,817 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 72.5% 
United Kingdom 4.3% 
Japan 3.6% 
Ireland 1.9% 
Canada 1.6% 
Netherlands 1.4% 
Switzerland 1.3% 
France 1.3% 
Germany 1.2% 
Cayman Islands 1.1% 
Others (Individually Less Than 1%) 9.8% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 70%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $99,460,158) 
$107,935,094  
Fidelity Central Funds (cost $3,186,642,154) 4,183,275,480  
Total Investments (cost $3,286,102,312)  $4,291,210,574 
Receivable for investments sold  1,830,885 
Receivable for fund shares sold  1,894,125 
Distributions receivable from Fidelity Central Funds  54,116 
Prepaid expenses  11,827 
Other receivables  56,476 
Total assets  4,295,058,003 
Liabilities   
Payable for fund shares redeemed $1,778,768  
Accrued management fee 1,948,837  
Transfer agent fee payable 479,046  
Distribution and service plan fees payable 97,288  
Other affiliated payables 113,253  
Other payables and accrued expenses 76,879  
Total liabilities  4,494,071 
Net Assets  $4,290,563,932 
Net Assets consist of:   
Paid in capital  $3,775,710,507 
Undistributed net investment income  41,027,782 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (531,282,619) 
Net unrealized appreciation (depreciation) on investments  1,005,108,262 
Net Assets  $4,290,563,932 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($146,584,722 ÷ 7,408,886 shares)  $19.78 
Maximum offering price per share (100/94.25 of $19.78)  $20.99 
Class T:   
Net Asset Value and redemption price per share ($48,148,675 ÷ 2,435,120 shares)  $19.77 
Maximum offering price per share (100/96.50 of $19.77)  $20.49 
Class C:   
Net Asset Value and offering price per share ($56,605,352 ÷ 2,883,813 shares)(a)  $19.63 
Asset Manager 70%:   
Net Asset Value, offering price and redemption price per share ($3,996,904,567 ÷ 201,466,751 shares)  $19.84 
Class I:   
Net Asset Value, offering price and redemption price per share ($42,320,616 ÷ 2,131,903 shares)  $19.85 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $3,799,486 
Interest  11,555 
Income from Fidelity Central Funds  87,790,885 
Total income  91,601,926 
Expenses   
Management fee $22,929,951  
Transfer agent fees 5,645,169  
Distribution and service plan fees 1,144,854  
Accounting and security lending fees 1,335,955  
Custodian fees and expenses 2,567  
Independent trustees' fees and expenses 18,509  
Appreciation in deferred trustee compensation account 118  
Registration fees 114,562  
Audit 40,308  
Legal 18,512  
Miscellaneous (21,197)  
Total expenses before reductions 31,229,308  
Expense reductions (127,381) 31,101,927 
Net investment income (loss)  60,499,999 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 758,326  
Fidelity Central Funds (3,562,321)  
Foreign currency transactions 125,012  
Futures contracts 18,296,182  
Total net realized gain (loss)  15,617,199 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
353,650,989  
Assets and liabilities in foreign currencies (156)  
Futures contracts 3,166,125  
Total change in net unrealized appreciation (depreciation)  356,816,958 
Net gain (loss)  372,434,157 
Net increase (decrease) in net assets resulting from operations  $432,934,156 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $60,499,999 $56,908,907 
Net realized gain (loss) 15,617,199 (7,071,822) 
Change in net unrealized appreciation (depreciation) 356,816,958 (166,138,011) 
Net increase (decrease) in net assets resulting from operations 432,934,156 (116,300,926) 
Distributions to shareholders from net investment income (65,006,686) (52,308,569) 
Distributions to shareholders from net realized gain (154,480,473) (305,208,277) 
Total distributions (219,487,159) (357,516,846) 
Share transactions - net increase (decrease) 52,440,170 476,784,885 
Total increase (decrease) in net assets 265,887,167 2,967,113 
Net Assets   
Beginning of period 4,024,676,765 4,021,709,652 
End of period $4,290,563,932 $4,024,676,765 
Other Information   
Undistributed net investment income end of period $41,027,782 $45,440,681 

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


Financial Highlights — Fidelity Asset Manager 70% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.84 $21.24 $19.60 $17.33 $14.72 
Income from Investment Operations      
Net investment income (loss)A .22 .22 .21 .18 .19 
Net realized and unrealized gain (loss) 1.70 (.80) 1.67 2.31 2.64 
Total from investment operations 1.92 (.58) 1.88 2.49 2.83 
Distributions from net investment income (.25) (.22) (.16) (.19) (.19) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.98) (1.82) (.24)B (.22) (.22) 
Net asset value, end of period $19.78 $18.84 $21.24 $19.60 $17.33 
Total ReturnC,D 10.57% (2.96)% 9.65% 14.56% 19.44% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.02% 1.03% 1.03% 1.06% 1.08% 
Expenses net of fee waivers, if any 1.02% 1.03% 1.03% 1.06% 1.08% 
Expenses net of all reductions 1.02% 1.02% 1.03% 1.04% 1.07% 
Net investment income (loss) 1.17% 1.07% 1.00% .98% 1.17% 
Supplemental Data      
Net assets, end of period (000 omitted) $146,585 $134,849 $143,310 $127,865 $120,425 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.24 per share is comprised of distributions from net investment income of $.161 and distributions from net realized gain of $.074 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.82 $21.22 $19.58 $17.30 $14.70 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .15 .13 .15 
Net realized and unrealized gain (loss) 1.70 (.80) 1.67 2.32 2.62 
Total from investment operations 1.87 (.63) 1.82 2.45 2.77 
Distributions from net investment income (.20) (.16) (.11) (.14) (.15) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.92)B (1.77)C (.18) (.17) (.17)D 
Net asset value, end of period $19.77 $18.82 $21.22 $19.58 $17.30 
Total ReturnE,F 10.31% (3.25)% 9.38% 14.31% 19.03% 
Ratios to Average Net AssetsG,H      
Expenses before reductions 1.28% 1.29% 1.29% 1.32% 1.35% 
Expenses net of fee waivers, if any 1.28% 1.28% 1.29% 1.32% 1.35% 
Expenses net of all reductions 1.28% 1.28% 1.29% 1.30% 1.33% 
Net investment income (loss) .91% .81% .74% .72% .91% 
Supplemental Data      
Net assets, end of period (000 omitted) $48,149 $46,685 $49,337 $44,421 $43,064 
Portfolio turnover rateI 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.92 per share is comprised of distributions from net investment income of $.195 and distributions from net realized gain of $.726 per share.

 C Total distributions of $1.77 per share is comprised of distributions from net investment income of $.161 and distributions from net realized gain of $1.604 per share.

 D Total distributions of $.17 per share is comprised of distributions from net investment income of $.147 and distributions from net realized gain of $.025 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.69 $21.08 $19.48 $17.23 $14.63 
Income from Investment Operations      
Net investment income (loss)A .08 .06 .05 .04 .07 
Net realized and unrealized gain (loss) 1.69 (.78) 1.66 2.31 2.62 
Total from investment operations 1.77 (.72) 1.71 2.35 2.69 
Distributions from net investment income (.10) (.07) (.04) (.07) (.07) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.83) (1.67) (.11) (.10) (.09)B 
Net asset value, end of period $19.63 $18.69 $21.08 $19.48 $17.23 
Total ReturnC,D 9.78% (3.69)% 8.82% 13.70% 18.49% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.78% 1.79% 1.79% 1.81% 1.83% 
Expenses net of fee waivers, if any 1.78% 1.78% 1.79% 1.81% 1.83% 
Expenses net of all reductions 1.78% 1.78% 1.78% 1.79% 1.81% 
Net investment income (loss) .41% .32% .25% .23% .43% 
Supplemental Data      
Net assets, end of period (000 omitted) $56,605 $52,860 $55,104 $46,498 $38,245 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.09 per share is comprised of distributions from net investment income of $.067 and distributions from net realized gain of $.025 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.89 $21.30 $19.66 $17.38 $14.77 
Income from Investment Operations      
Net investment income (loss)A .28 .28 .27 .24 .24 
Net realized and unrealized gain (loss) 1.71 (.80) 1.67 2.32 2.64 
Total from investment operations 1.99 (.52) 1.94 2.56 2.88 
Distributions from net investment income (.31) (.28) (.23) (.25) (.25) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (1.04) (1.89)B (.30) (.28) (.27)C 
Net asset value, end of period $19.84 $18.89 $21.30 $19.66 $17.38 
Total ReturnD 10.97% (2.69)% 9.98% 14.94% 19.79% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .72% .72% .73% .75% .76% 
Expenses net of fee waivers, if any .71% .72% .73% .75% .76% 
Expenses net of all reductions .71% .71% .72% .73% .75% 
Net investment income (loss) 1.48% 1.38% 1.31% 1.29% 1.49% 
Supplemental Data      
Net assets, end of period (000 omitted) $3,996,905 $3,745,336 $3,729,256 $3,253,088 $2,758,119 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.89 per share is comprised of distributions from net investment income of $.282 and distributions from net realized gain of $1.604 per share.

 C Total distributions of $.27 per share is comprised of distributions from net investment income of $.247 and distributions from net realized gain of $.025 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.90 $21.31 $19.66 $17.38 $14.78 
Income from Investment Operations      
Net investment income (loss)A .28 .27 .26 .23 .24 
Net realized and unrealized gain (loss) 1.70 (.80) 1.68 2.32 2.63 
Total from investment operations 1.98 (.53) 1.94 2.55 2.87 
Distributions from net investment income (.30) (.27) (.22) (.24) (.24) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (1.03) (1.88)B (.29) (.27) (.27) 
Net asset value, end of period $19.85 $18.90 $21.31 $19.66 $17.38 
Total ReturnC 10.92% (2.73)% 9.98% 14.90% 19.68% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .74% .76% .77% .79% .80% 
Expenses net of fee waivers, if any .74% .76% .77% .79% .80% 
Expenses net of all reductions .74% .75% .77% .77% .79% 
Net investment income (loss) 1.45% 1.34% 1.26% 1.25% 1.45% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,321 $42,581 $40,561 $31,955 $30,418 
Portfolio turnover rateF 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.88 per share is comprised of distributions from net investment income of $.273 and distributions from net realized gain of $1.604 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 85%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 1.4 1.4 
Amazon.com, Inc. 1.1 0.8 
Facebook, Inc. Class A 0.9 0.7 
Medtronic PLC 0.9 0.8 
Alphabet, Inc. Class C 0.8 0.7 
Alphabet, Inc. Class A 0.8 0.7 
General Electric Co. 0.7 0.9 
Allergan PLC 0.6 0.4 
British American Tobacco PLC sponsored ADR 0.6 0.6 
Berkshire Hathaway, Inc. Class B  0.6 0.6 
 8.4  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 15.4 19.0 
Information Technology 14.5 12.7 
Consumer Discretionary 11.2 11.8 
Health Care 10.3 9.7 
Industrials 8.8 9.3 

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 6.9% 
   AAA,AA,A 1.2% 
   BBB 2.1% 
   BB and Below 4.1% 
   Not Rated 0.1% 
   Equities* 82.3% 
   Short-Term Investments and Net Other Assets 3.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.3%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 4.9% 
   AAA,AA,A 1.4% 
   BBB 1.6% 
   BB and Below 4.6% 
   Equities* 82.1% 
   Short-Term Investments and Net Other Assets 5.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 82.2% 
   Bond Class 14.1% 
   Short-Term Class 3.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.3%


As of March 31, 2016  
   Stock Class and Equity Futures* 84.1% 
   Bond Class 12.2% 
   Short-Term Class 3.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 30.7% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 85%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 81.0%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 3,317,404 $21,165,035 
Fidelity Consumer Discretionary Central Fund (a) 440,208 109,506,168 
Fidelity Consumer Staples Central Fund (a) 358,939 81,838,175 
Fidelity Emerging Markets Equity Central Fund (a) 273,651 55,428,042 
Fidelity Energy Central Fund (a) 516,617 65,847,954 
Fidelity Financials Central Fund (a) 2,135,796 180,987,331 
Fidelity Health Care Central Fund (a) 372,895 130,009,719 
Fidelity Industrials Central Fund (a) 403,726 97,786,521 
Fidelity Information Technology Central Fund (a) 653,114 215,684,381 
Fidelity International Equity Central Fund (a) 3,508,371 262,987,486 
Fidelity Materials Central Fund (a) 140,769 30,031,628 
Fidelity Real Estate Equity Central Fund (a) 127,099 14,381,304 
Fidelity Telecom Services Central Fund (a) 122,183 23,394,293 
Fidelity Utilities Central Fund (a) 194,405 31,672,540 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $907,008,394)  1,320,720,577 
Fixed-Income Central Funds - 14.8%   
High Yield Fixed-Income Funds - 3.3%   
Fidelity Emerging Markets Debt Central Fund (a) 3,060 31,247 
Fidelity Floating Rate Central Fund (a) 146,147 14,996,108 
Fidelity High Income Central Fund 1 (a) 401,180 39,327,648 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  54,355,003 
Investment Grade Fixed-Income Funds - 11.5%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 613,036 63,204,048 
Fidelity Investment Grade Bond Central Fund (a) 1,129,224 124,485,676 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  187,689,724 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $234,780,413)  242,044,727 
Money Market Central Funds - 1.9%   
Fidelity Cash Central Fund, 0.43% (b) 24,443,213 24,450,546 
Fidelity Securities Lending Cash Central Fund 0.46% (b)(c) 6,306,614 6,307,875 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $30,752,175)  30,758,421 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $549,729) 550,000 549,871 
 Shares Value 
Investment Companies - 2.7%   
iShares 20+ Year Treasury Bond ETF (d) 67,135 $9,231,734 
iShares Core MSCI Emerging Markets ETF 455,277 20,765,184 
iShares S&P 500 Index ETF 65,116 14,166,637 
TOTAL INVESTMENT COMPANIES   
(Cost $41,947,253)  44,163,555 
TOTAL INVESTMENT PORTFOLIO - 100.4%   
(Cost $1,215,037,964)  1,638,237,151 
NET OTHER ASSETS (LIABILITIES) - (0.4)%  (6,813,162) 
NET ASSETS - 100%  $1,631,423,989 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or 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.


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 $149,567 
Fidelity Commodity Strategy Central Fund 42,213 
Fidelity Consumer Discretionary Central Fund 1,738,010 
Fidelity Consumer Staples Central Fund 1,881,472 
Fidelity Emerging Markets Debt Central Fund 1,888 
Fidelity Emerging Markets Equity Central Fund 974,526 
Fidelity Energy Central Fund 884,962 
Fidelity Financials Central Fund 3,179,358 
Fidelity Floating Rate Central Fund 93,364 
Fidelity Health Care Central Fund 967,562 
Fidelity High Income Central Fund 1 3,574,647 
Fidelity Industrials Central Fund 1,433,709 
Fidelity Inflation-Protected Bond Index Central Fund 10,082 
Fidelity Information Technology Central Fund 1,601,335 
Fidelity International Equity Central Fund 6,857,663 
Fidelity Investment Grade Bond Central Fund 3,435,060 
Fidelity Materials Central Fund 621,554 
Fidelity Real Estate Equity Central Fund 438,943 
Fidelity Securities Lending Cash Central Fund 53,615 
Fidelity Telecom Services Central Fund 511,742 
Fidelity Utilities Central Fund 861,474 
Total $29,312,746 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $-- $27,567,953 $8,173,949 $21,165,035 4.5% 
Fidelity Consumer Discretionary Central Fund 109,622,730 5,725,399 12,588,140 109,506,168 6.9% 
Fidelity Consumer Staples Central Fund 74,206,979 4,738,961 6,540,837 81,838,175 6.4% 
Fidelity Emerging Markets Debt Central Fund 25,900 1,888 -- 31,247 0.0% 
Fidelity Emerging Markets Equity Central Fund 30,615,907 22,471,903 4,769,200 55,428,042 13.4% 
Fidelity Energy Central Fund 55,076,316 2,958,719 4,811,858 65,847,954 6.6% 
Fidelity Financials Central Fund 172,889,091 14,197,803 14,082,035 180,987,331 7.1% 
Fidelity Floating Rate Central Fund 15,019,413 15,046,522 15,126,013 14,996,108 0.9% 
Fidelity Health Care Central Fund 123,896,753 8,133,006 10,225,043 130,009,719 6.6% 
Fidelity High Income Central Fund 1 49,963,955 17,544,008 30,794,682 39,327,648 4.9% 
Fidelity Industrials Central Fund 87,171,964 4,768,357 7,610,538 97,786,521 7.1% 
Fidelity Inflation-Protected Bond Index Central Fund 26,456,810 38,223,031 3,803,191 63,204,048 6.6% 
Fidelity Information Technology Central Fund 179,575,781 8,566,148 19,277,497 215,684,381 6.7% 
Fidelity International Equity Central Fund 255,620,526 31,603,805 34,376,883 262,987,486 12.3% 
Fidelity Investment Grade Bond Central Fund 120,440,753 37,357,775 37,442,968 124,485,676 1.8% 
Fidelity Materials Central Fund 27,131,124 1,617,665 2,278,332 30,031,628 7.5% 
Fidelity Real Estate Equity Central Fund 17,025,892 3,535,304 9,094,307 14,381,304 8.3% 
Fidelity Telecom Services Central Fund 18,551,588 2,478,546 1,972,475 23,394,293 6.1% 
Fidelity Utilities Central Fund 29,166,916 1,968,736 3,365,548 31,672,540 6.8% 
Total $1,392,458,398 $248,505,529 $226,333,496 $1,562,765,304  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $1,320,720,577 $1,320,720,577 $-- $-- 
Fixed-Income Central Funds 242,044,727 242,044,727 -- -- 
Money Market Central Funds 30,758,421 30,758,421 -- -- 
Other Short-Term Investments  549,871 -- 549,871 -- 
Investment Companies 44,163,555 44,163,555 -- -- 
Total Investments in Securities: $1,638,237,151 $1,637,687,280 $549,871 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 69.3% 
United Kingdom 4.6% 
Japan 4.4% 
Ireland 2.4% 
Switzerland 1.6% 
Cayman Islands 1.6% 
Canada 1.5% 
France 1.5% 
Germany 1.2% 
Netherlands 1.0% 
Taiwan 1.0% 
Others (Individually Less Than 1%) 9.9% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 85%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value (including securities loaned of $6,119,195) — See accompanying schedule:
Unaffiliated issuers (cost $42,496,982) 
$44,713,426  
Fidelity Central Funds (cost $1,172,540,982) 1,593,523,725  
Total Investments (cost $1,215,037,964)  $1,638,237,151 
Receivable for investments sold  1,462,244 
Receivable for fund shares sold  501,625 
Distributions receivable from Fidelity Central Funds  11,720 
Prepaid expenses  4,429 
Other receivables  1,298 
Total assets  1,640,218,467 
Liabilities   
Payable for fund shares redeemed $1,413,611  
Accrued management fee 740,927  
Distribution and service plan fees payable 57,020  
Other affiliated payables 249,723  
Other payables and accrued expenses 25,322  
Collateral on securities loaned, at value 6,307,875  
Total liabilities  8,794,478 
Net Assets  $1,631,423,989 
Net Assets consist of:   
Paid in capital  $1,419,110,264 
Undistributed net investment income  12,100,936 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (222,986,398) 
Net unrealized appreciation (depreciation) on investments  423,199,187 
Net Assets  $1,631,423,989 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($78,147,003 ÷ 4,749,606 shares)  $16.45 
Maximum offering price per share (100/94.25 of $16.45)  $17.45 
Class T:   
Net Asset Value and redemption price per share ($19,581,713 ÷ 1,198,243 shares)  $16.34 
Maximum offering price per share (100/96.50 of $16.34)  $16.93 
Class C:   
Net Asset Value and offering price per share ($38,916,044 ÷ 2,411,045 shares)(a)  $16.14 
Asset Manager 85%:   
Net Asset Value, offering price and redemption price per share ($1,454,032,674 ÷ 87,569,276 shares)  $16.60 
Class I:   
Net Asset Value, offering price and redemption price per share ($40,746,555 ÷ 2,462,115 shares)  $16.55 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $1,367,011 
Interest  5,113 
Income from Fidelity Central Funds  29,312,746 
Total income  30,684,870 
Expenses   
Management fee $8,635,263  
Transfer agent fees 2,457,117  
Distribution and service plan fees 668,316  
Accounting and security lending fees 492,878  
Custodian fees and expenses 1,856  
Independent trustees' fees and expenses 6,900  
Registration fees 105,060  
Audit 40,369  
Legal 5,915  
Miscellaneous (11,698)  
Total expenses before reductions 12,401,976  
Expense reductions (53,131) 12,348,845 
Net investment income (loss)  18,336,025 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers (1,198,697)  
Fidelity Central Funds (5,792,727)  
Foreign currency transactions 54,577  
Futures contracts 7,134,072  
Total net realized gain (loss)  197,225 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
157,497,225  
Assets and liabilities in foreign currencies (105)  
Futures contracts 857,554  
Total change in net unrealized appreciation (depreciation)  158,354,674 
Net gain (loss)  158,551,899 
Net increase (decrease) in net assets resulting from operations  $176,887,924 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $18,336,025 $17,512,456 
Net realized gain (loss) 197,225 (24,433,751) 
Change in net unrealized appreciation (depreciation) 158,354,674 (60,698,338) 
Net increase (decrease) in net assets resulting from operations 176,887,924 (67,619,633) 
Distributions to shareholders from net investment income (20,421,168) (18,161,462) 
Distributions to shareholders from net realized gain (51,494,211) (119,223,346) 
Total distributions (71,915,379) (137,384,808) 
Share transactions - net increase (decrease) 16,624,821 122,331,834 
Total increase (decrease) in net assets 121,597,366 (82,672,607) 
Net Assets   
Beginning of period 1,509,826,623 1,592,499,230 
End of period $1,631,423,989 $1,509,826,623 
Other Information   
Undistributed net investment income end of period $12,100,936 $14,146,110 

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


Financial Highlights — Fidelity Asset Manager 85% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.42 $17.64 $16.38 $14.03 $11.62 
Income from Investment Operations      
Net investment income (loss)A .14 .14 .16 .14 .14 
Net realized and unrealized gain (loss) 1.59 (.77) 1.64 2.38 2.43 
Total from investment operations 1.73 (.63) 1.80 2.52 2.57 
Distributions from net investment income (.17) (.17) (.11) (.14) (.14) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.70) (1.59)B (.54)C (.17)D (.16) 
Net asset value, end of period $16.45 $15.42 $17.64 $16.38 $14.03 
Total ReturnE,F 11.62% (3.86)% 11.24% 18.14% 22.30% 
Ratios to Average Net AssetsG,H      
Expenses before reductions 1.05% 1.05% 1.04% 1.05% 1.08% 
Expenses net of fee waivers, if any 1.05% 1.05% 1.04% 1.05% 1.08% 
Expenses net of all reductions 1.05% 1.04% 1.04% 1.03% 1.07% 
Net investment income (loss) .90% .85% .92% .91% 1.07% 
Supplemental Data      
Net assets, end of period (000 omitted) $78,147 $66,006 $66,659 $82,805 $66,048 
Portfolio turnover rateI 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.59 per share is comprised of distributions from net investment income of $.167 and distributions from net realized gain of $1.427 per share.

 C Total distributions of $.54 per share is comprised of distributions from net investment income of $.114 and distributions from net realized gain of $.423 per share.

 D Total distributions of $.17 per share is comprised of distributions from net investment income of $.142 and distributions from net realized gain of $.024 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.32 $17.56 $16.32 $13.97 $11.58 
Income from Investment Operations      
Net investment income (loss)A .10 .10 .11 .09 .10 
Net realized and unrealized gain (loss) 1.58 (.78) 1.63 2.38 2.41 
Total from investment operations 1.68 (.68) 1.74 2.47 2.51 
Distributions from net investment income (.13) (.13) (.08) (.10) (.10) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.66) (1.56) (.50) (.12) (.12) 
Net asset value, end of period $16.34 $15.32 $17.56 $16.32 $13.97 
Total ReturnB,C 11.31% (4.21)% 10.92% 17.85% 21.86% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.32% 1.33% 1.33% 1.35% 1.36% 
Expenses net of fee waivers, if any 1.32% 1.33% 1.33% 1.35% 1.36% 
Expenses net of all reductions 1.32% 1.32% 1.33% 1.33% 1.35% 
Net investment income (loss) .63% .57% .63% .61% .80% 
Supplemental Data      
Net assets, end of period (000 omitted) $19,582 $18,991 $17,690 $13,606 $10,604 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 85% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.14 $17.37 $16.16 $13.85 $11.47 
Income from Investment Operations      
Net investment income (loss)A .02 .02 .03 .02 .04 
Net realized and unrealized gain (loss) 1.57 (.76) 1.61 2.35 2.41 
Total from investment operations 1.59 (.74) 1.64 2.37 2.45 
Distributions from net investment income (.06) (.06) (.01) (.04) (.05) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.59) (1.49) (.43) (.06) (.07) 
Net asset value, end of period $16.14 $15.14 $17.37 $16.16 $13.85 
Total ReturnB,C 10.80% (4.62)% 10.37% 17.22% 21.44% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.80% 1.81% 1.81% 1.84% 1.84% 
Expenses net of fee waivers, if any 1.80% 1.81% 1.81% 1.83% 1.84% 
Expenses net of all reductions 1.80% 1.80% 1.81% 1.81% 1.83% 
Net investment income (loss) .15% .10% .15% .13% .32% 
Supplemental Data      
Net assets, end of period (000 omitted) $38,916 $34,590 $30,717 $21,781 $17,243 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.56 $17.79 $16.52 $14.14 $11.72 
Income from Investment Operations      
Net investment income (loss)A .19 .20 .21 .18 .18 
Net realized and unrealized gain (loss) 1.60 (.78) 1.65 2.40 2.43 
Total from investment operations 1.79 (.58) 1.86 2.58 2.61 
Distributions from net investment income (.22) (.23) (.17) (.18) (.17) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.75) (1.65)B (.59) (.20) (.19) 
Net asset value, end of period $16.60 $15.56 $17.79 $16.52 $14.14 
Total ReturnC 11.92% (3.54)% 11.54% 18.52% 22.53% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .74% .75% .74% .77% .81% 
Expenses net of fee waivers, if any .74% .75% .74% .77% .81% 
Expenses net of all reductions .74% .74% .74% .75% .80% 
Net investment income (loss) 1.21% 1.16% 1.21% 1.19% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,454,033 $1,350,006 $1,433,196 $1,100,838 $706,722 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.65 per share is comprised of distributions from net investment income of $.225 and distributions from net realized gain of $1.427 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.51 $17.74 $16.48 $14.11 $11.69 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .21 .18 .18 
Net realized and unrealized gain (loss) 1.60 (.76) 1.64 2.39 2.43 
Total from investment operations 1.79 (.57) 1.85 2.57 2.61 
Distributions from net investment income (.21) (.23) (.16) (.17) (.17) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.75)B (1.66) (.59)C (.20)D (.19) 
Net asset value, end of period $16.55 $15.51 $17.74 $16.48 $14.11 
Total ReturnE 11.93% (3.52)% 11.49% 18.45% 22.60% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .75% .76% .76% .79% .81% 
Expenses net of fee waivers, if any .75% .76% .76% .79% .81% 
Expenses net of all reductions .75% .75% .76% .77% .79% 
Net investment income (loss) 1.20% 1.15% 1.19% 1.17% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $40,747 $38,697 $41,775 $13,088 $10,710 
Portfolio turnover rateH 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.75 per share is comprised of distributions from net investment income of $.214 and distributions from net realized gain of $.533 per share.

 C Total distributions of $.59 per share is comprised of distributions from net investment income of $.162 and distributions from net realized gain of $.423 per share.

 D Total distributions of $.20 per share is comprised of distributions from net investment income of $.174 and distributions from net realized gain of $.024 per share.

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Notes to Financial Statements

For the period ended September 30, 2016

1. Organization.

Fidelity Asset Manager 20%, Fidelity Asset Manager 30%, Fidelity Asset Manager 40%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70% and Fidelity Asset Manager 85% (the Funds) are funds of Fidelity Charles Street Trust (the Trust). 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. Each Fund is authorized to issue an unlimited number of shares. Each Fund offers Class A, Class T, Class C, Asset Manager and Class I 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.

After the close of business on June 24, 2016, each Fund's outstanding Class B shares were converted to Class A shares. Each Fund's current fiscal period dollar and share amounts for Class B presented in the Notes to Financial Statements are for the period October 1, 2015 through June 24, 2016.

2. Investments in Fidelity Central Funds.

The Funds invest in Fidelity Central Funds, which are open-end investment companies generally available only to other investment companies and accounts managed by the investment adviser and its affiliates. The Funds' Schedules of Investments list each of the Fidelity Central Funds held as of period end, as an investment of each Fund, but do not include the underlying holdings of each Fidelity Central Fund. As an Investing Fund, each Fund indirectly bears its proportionate share of the expenses of the underlying Fidelity Central Funds.

Based on its investment objective, each Fidelity Central Fund may invest or participate in various investment vehicles or strategies that are similar to those of each Fund. These strategies are consistent with the investment objectives of each Fund and may involve certain economic risks which may cause a decline in value of each of the Fidelity Central Funds and thus a decline in the value of each Fund. The following summarizes the Funds' investment in each Fidelity Central Fund.

Fidelity Central Fund Investment Manager Investment Objective Investment Practices Expense Ratio(a) 
Fidelity Commodity Strategy Central Fund Geode Capital Management, LLC (Geode) Seeks to provide investment returns that correspond to the performance of the commodities market. Investment in commodity-related investments through a wholly-owned subsidiary organized under the laws of the Cayman Islands
Futures
 
.06% 
Fidelity Equity Central Funds FMR Co., Inc. (FMRC) Each fund seeks capital appreciation by investing primarily in common stocks, with a concentration in a particular industry. Delayed Delivery & When Issued Securities
Foreign Securities
Restricted Securities 
Less than .005% to .01% 
Fidelity Emerging Markets Debt Central Fund FMRC Seeks high total return by normally investing in debt securities of issuers in emerging markets and other debt investments that are tied economically to emerging markets. Foreign Securities
Loans & Direct Debt Instruments
Restricted Securities
 
.01% 
Fidelity Emerging Markets Equity Central Fund FMRC Seeks capital appreciation by investing primarily in equity securities of issuers in emerging markets. Foreign Securities
Futures
Restricted Securities 
.09% 
Fidelity International Equity Central Fund FMRC Seeks capital appreciation by investing primarily in non-U.S. based common stocks, including securities of issuers located in emerging markets. Foreign Securities
Futures
 
.01% 
Fidelity Floating Rate Central Fund FMRC Seeks a high level of income by normally investing in floating rate loans and other floating rate securities. Loans & Direct Debt Instruments
Restricted Securities
 
Less than .005% 
Fidelity High Income Central Fund 1 FMRC Seeks a high level of income and may also seek capital appreciation by investing primarily in debt securities, preferred stocks, and convertible securities, with an emphasis on lower-quality debt securities. Loans & Direct Debt Instruments
Restricted Securities
 
Less than .005% 
Fidelity Inflation-Protected Bond Index Central Fund Fidelity Investment Money Management, Inc. (FIMM) Seeks to provide investment results that correspond to the performance of the inflation-protected United States Treasury market, and may invest in derivatives.  Less than .005% 
Fidelity Investment Grade Bond Central Fund FIMM Seeks a high level of income by normally investing in investment–grade debt securities. Delayed Delivery & When Issued Securities
Restricted Securities
Swaps 
Less than .005% 
Fidelity Real Estate Equity Central Fund FMRC Seeks above-average income and long-term capital growth by investing primarily in equity securities of issuers in the real estate industry.  .01% 
Fidelity Money Market Central Funds FIMM Each fund seeks to obtain a high level of current income consistent with the preservation of capital and liquidity. Short-term Investments Less than .005% 

 (a) Expenses expressed as a percentage of average net assets and are as of each underlying Central Fund's most recent annual or semi-annual shareholder report.


An unaudited holdings listing for each Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through each fund's investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. A complete unaudited list of holdings for each Fidelity Central Fund is available upon request or at the Securities and Exchange Commission (the SEC) website at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds which contain the significant accounting policies (including investment valuation policies) of those funds, which are not covered by the Funds' Report of Independent Registered Public Accounting Firm, are available on the SEC website 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 (GAAP), which require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from those estimates. Subsequent events, if any, through the date that the financial statements were issued have been evaluated in the preparation of the financial statements. The following summarizes the significant accounting policies of the Funds:

Investment Valuation. Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. The Board of Trustees (the Board) has delegated the day to day responsibility for the valuation of each Fund's investments to the Fair Value Committee (the Committee) established by each Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, each 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, changes in interest rates and credit quality. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees each 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 each Fund's investments and ratifies the fair value determinations of the Committee. Each Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels as shown below:

  • 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)

Valuation techniques used to value each Fund's investments by major category are as follows. Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. U.S. government and government agency obligations are valued by pricing vendors who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type or by broker-supplied prices. When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Exchange-Traded Funds (ETFs) are valued at their last 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 but the exchange reports a closing bid level, ETFs are valued at the closing bid and would be categorized as Level 1 in the hierarchy. In the event there was no closing bid, ETFs may be valued by another method that the Board believes reflects fair value in accordance with the Board's fair value pricing policies and may be categorized as Level 2 in the hierarchy.

Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy. Investments in open-end mutual funds, including the Fidelity Central Funds, are valued at their closing net asset value (NAV) each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. The aggregate value of investments by input level, as of September 30, 2016, is included at the end of each Fund's Schedule of Investments.

Foreign Currency. The Funds may use foreign currency contracts to facilitate transactions in foreign-denominated securities. Gains and 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 rates 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 Funds' investment holdings and NAV include trades executed through the end of the last business day of the period. The NAV per share for processing shareholder transactions is calculated as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time and 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 Funds are 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. Income and capital gain distributions from Fidelity Central Funds, if any, are recorded on the ex-dividend date. 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. Subsequent to ex-dividend date the Funds determine the components of these distributions, based upon receipt of tax filings or other correspondence relating to the underlying investment. Interest income is accrued as earned and includes coupon interest and amortization of premium and accretion of discount on debt securities as applicable. Investment income is recorded net of foreign taxes withheld where recovery of such taxes is uncertain.

Class Allocations and Expenses. Investment income, realized and unrealized capital gains and losses, common expenses of each Fund, and certain fund-level expense reductions, if any, are allocated daily on a pro-rata basis to each class based on the relative net assets of each class to the total net assets of each Fund. Each class differs with respect to transfer agent and distribution and service plan fees incurred. Certain expense reductions may also differ by class. For the reporting period, the allocated portion of income and expenses to each class as a percent of its average net assets may vary due to the timing of recording these transactions in relation to fluctuating net assets of the classes. Expenses directly attributable to a fund are charged to that fund. Expenses attributable to more than one fund are allocated among the respective funds on the basis of relative net assets or other appropriate methods. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known. Expenses included in the accompanying financial statements reflect the expenses of each Fund and do not include any expenses of the Fidelity Central Funds. Although not included in each Fund's expenses, each Fund indirectly bears its proportionate share of the Fidelity Central Funds' expenses through the impact of these expenses on each Fidelity Central Fund's NAV.

Deferred Trustee Compensation. Under a Deferred Compensation Plan (the Plan) for Fidelity Asset Manager 50% and Fidelity Asset Manager 70%, independent Trustees may elect to defer receipt of a 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, each Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code, including distributing substantially all of its taxable income and realized gains. As a result, no provision for U.S. Federal income taxes is required. As of September 30, 2016, each Fund did not have any unrecognized tax benefits in the financial statements; nor is each Fund aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months. Each Fund files a U.S. federal tax return, in addition to state and local tax returns as required. Each Fund's federal income tax returns are subject to examination by the Internal Revenue Service (IRS) for a period of three fiscal years after they are filed. State and local tax returns may be subject to examination for an additional fiscal year depending on the jurisdiction. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests.

Distributions are declared and 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 GAAP.

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. Capital accounts are not adjusted for temporary book-tax differences which will reverse in a subsequent period.

Book-tax differences are primarily due to the short-term gain distributions from Fidelity Central Funds and underlying funds, futures contracts, market discount, partnerships (including allocations from Fidelity Central Funds), foreign currency transactions, deferred trustees compensation and losses deferred due to wash sales and excise tax regulations.

The federal tax cost of investment securities and unrealized appreciation (depreciation) as of period end were as follows for each Fund:

 Tax cost Gross unrealized appreciation Gross unrealized depreciation Net unrealized appreciation (depreciation) on securities 
Fidelity Asset Manager 20%% $4,719,813,710 $210,223,735 $(450,727) $209,773,008 
Fidelity Asset Manager 30%% 952,446,717 54,983,865 (817,207) 54,166,658 
Fidelity Asset Manager 40%% 1,101,544,826 73,874,860 (2,825,344) 71,049,516 
Fidelity Asset Manager 50%% 7,059,240,728 743,240,132 (41,415,093) 701,825,039 
Fidelity Asset Manager 60%% 1,415,017,015 143,017,621 (2,790,243) 140,227,378 
Fidelity Asset Manager 70%% 3,813,601,301 546,187,972 (68,578,699) 477,609,273 
Fidelity Asset Manager 85%% 1,428,738,877 215,612,239 (6,113,965) 209,498,274 

The tax-based components of distributable earnings as of period end were as follows for each Fund:

 Undistributed ordinary income Undistributed long-term capital gain Net unrealized appreciation (depreciation) on securities and other investments 
Fidelity Asset Manager 20%% $10,804,259 $15,357,224 $209,773,008 
Fidelity Asset Manager 30%% 2,550,659 – 54,166,658 
Fidelity Asset Manager 40%% 5,453,668 – 71,049,516 
Fidelity Asset Manager 50%% 33,926,022 21,355,430 701,825,039 
Fidelity Asset Manager 60%% 17,419,652 – 140,227,378 
Fidelity Asset Manager 70%% 44,453,903 – 477,609,273 
Fidelity Asset Manager 85%% 14,502,035 – 209,498,274 

Certain of the Funds intend to elect to defer to the next fiscal year capital losses recognized during the period November 1, 2015 to September 30, 2016. Loss deferrals were as follows:

 Capital losses 
Fidelity Asset Manager 20%% $– 
Fidelity Asset Manager 30%% (2,153,897) 
Fidelity Asset Manager 40%% (3,965,521) 
Fidelity Asset Manager 50%% – 
Fidelity Asset Manager 60%% (8,624,378) 
Fidelity Asset Manager 70%% (7,154,211) 
Fidelity Asset Manager 85%% (11,686,584) 

The tax character of distributions paid was as follows:

September 30, 2016    
 Ordinary Income Long-term Capital Gains Total 
Fidelity Asset Manager 20%% $101,117,737 $84,198,284 $185,316,021 
Fidelity Asset Manager 30%% 18,418,824 13,070,896 31,489,720 
Fidelity Asset Manager 40%% 20,540,236 11,763,374 32,303,610 
Fidelity Asset Manager 50%% 154,552,812 271,119,028 425,671,840 
Fidelity Asset Manager 60%% 26,284,291 30,188,215 56,472,506 
Fidelity Asset Manager 70%% 72,666,561 146,820,598 219,487,159 
Fidelity Asset Manager 85%% 21,675,985 50,239,394 71,915,379 

September 30, 2015    
 Ordinary Income Long-term Capital Gains Total 
Fidelity Asset Manager 20%% $126,697,785 $106,777,049 $233,474,834 
Fidelity Asset Manager 30%% 20,946,737 16,504,252 37,450,989 
Fidelity Asset Manager 40%% 21,320,945 17,444,974 38,765,919 
Fidelity Asset Manager 50%% 275,342,241 371,123,324 646,465,565 
Fidelity Asset Manager 60%% 34,912,378 47,079,692 81,992,070 
Fidelity Asset Manager 70%% 104,442,356 253,074,490 357,516,846 
Fidelity Asset Manager 85%% 49,993,344 87,391,464 137,384,808 

4. Derivative Instruments.

Risk Exposures and the Use of Derivative Instruments. The Funds' investment objective allows the Funds to enter into various types of derivative contracts, including futures contracts. Derivatives are investments whose value is primarily derived from underlying assets, indices or reference rates and may be transacted on an exchange or over-the-counter (OTC). Derivatives may involve a future commitment to buy or sell a specified asset based on specified terms, to exchange future cash flows at periodic intervals based on a notional principal amount, or for one party to make one or more payments upon the occurrence of specified events in exchange for periodic payments from the other party.

The Funds used derivatives to increase returns and to manage exposure to certain risks as defined below. The success of any strategy involving derivatives depends on analysis of numerous economic factors, and if the strategies for investment do not work as intended, the Funds may not achieve their objectives.

The Funds' use of derivatives increased or decreased their exposure to the following risk:

Equity Risk Equity risk relates to the fluctuations in the value of financial instruments as a result of changes in market prices (other than those arising from interest rate risk or foreign exchange risk), whether caused by factors specific to an individual investment, its issuer, or all factors affecting all instruments traded in a market or market segment.
 

The Funds are also exposed to additional risks from investing in derivatives, such as liquidity risk and counterparty credit risk. Liquidity risk is the risk that the Funds will be unable to close out the derivative in the open market in a timely manner. Counterparty credit risk is the risk that the counterparty will not be able to fulfill its obligation to the Funds. Counterparty credit risk related to exchange-traded futures contracts may be mitigated by the protection provided by the exchange on which they trade.

Investing in derivatives may involve greater risks than investing in the underlying assets directly and, to varying degrees, may involve risk of loss in excess of any initial investment and collateral received and amounts recognized in the Statement of Assets and Liabilities. In addition, there may be the risk that the change in value of the derivative contract does not correspond to the change in value of the underlying instrument.

Net Realized Gain (Loss) and Change in Net Unrealized Appreciation (Depreciation) on Derivatives. The table below, which reflects the impacts of derivatives on the financial performance of the Funds, summarizes the net realized gain (loss) and change in net unrealized appreciation (depreciation) for derivatives during the period as presented in the Statement of Operations.

Primary Risk Exposure / Derivative Type Net Realized Gain (Loss) Change in Net Unrealized Appreciation (Depreciation) 
Fidelity Asset Manager 20%   
Equity Risk   
Futures Contracts $15,071,591 $2,584,211 
Totals $15,071,591 $2,584,211 
Fidelity Asset Manager 30%%   
Equity Risk   
Futures Contracts $1,600,981 $644,935 
Totals $1,600,981 $644,935 
Fidelity Asset Manager 40%%   
Equity Risk   
Futures Contracts $4,343,853 $637,258 
Totals $4,343,853 $637,258 
Fidelity Asset Manager 50%%   
Equity Risk   
Futures Contracts $34,618,111 $5,457,558 
Totals $34,618,111 $5,457,558 
Fidelity Asset Manager 60%%   
Equity Risk   
Futures Contracts $6,471,037 $949,696 
Totals $6,471,037 $949,696 
Fidelity Asset Manager 70%%   
Equity Risk   
Futures Contracts $18,296,182 $3,166,125 
Totals $18,296,182 $3,166,125 
Fidelity Asset Manager 85%%   
Equity Risk   
Futures Contracts $7,134,072 $857,554 
Totals $7,134,072 $857,554 

A summary of the value of derivatives by primary risk exposure as of period end, if any, is included at the end of the Schedule of Investments.

Futures Contracts. A futures contract is an agreement between two parties to buy or sell a specified underlying instrument for a fixed price at a specified future date. The Funds used futures contracts to manage their exposure to the stock market.

Upon entering into a futures contract, a fund is required to deposit either cash or securities (initial margin) with a clearing broker in an amount equal to a certain percentage of the face value of the contract. Futures contracts are marked-to-market daily and subsequent daily payments (variation margin) are made or received by a fund depending on the daily fluctuations in the value of the futures contracts and are recorded as unrealized appreciation or (depreciation). This receivable and/or payable, if any, is included in daily variation margin for derivative instruments in the Statement of Assets and Liabilities. Realized gain or (loss) is recorded upon the expiration or closing of a futures contract. The net realized gain (loss) and change in net unrealized appreciation (depreciation) on futures contracts during the period is included in the Statement of Operations.

Any open futures contracts at period end are presented in the Schedule of Investments under the caption "Futures Contracts". The underlying face amount at value reflects each contract's exposure to the underlying instrument or index at period end and is representative of volume of activity during the period. Securities deposited to meet initial margin requirements are identified in the Schedule of Investments.

5. Purchases and Sales of Investments.

Purchases and sales of securities including the Equity and Fixed-Income Central Funds, other than short-term securities, are noted in the table below.

 Purchases ($) Sales ($) 
Fidelity Asset Manager 20%% 683,308,807 858,745,634 
Fidelity Asset Manager 30%% 240,334,567 190,065,927 
Fidelity Asset Manager 40%% 279,965,267 202,397,059 
Fidelity Asset Manager 50%% 1,312,275,384 1,789,067,260 
Fidelity Asset Manager 60%% 361,871,649 299,302,175 
Fidelity Asset Manager 70%% 820,871,931 819,412,793 
Fidelity Asset Manager 85%% 379,017,208 336,146,665 

6. Fees and Other Transactions with Affiliates.

Management Fee. Fidelity Management & Research Company (the investment adviser) and its affiliates provide the Funds with investment management related services for which the Funds pay a monthly management fee. The management fee is the sum of an individual fund fee rate and an annualized group fee rate. The individual fund fee rate is applied to each Fund's average net assets. The group fee rate is based upon the average net assets of all the mutual funds advised by the investment adviser, including any mutual funds previously advised by the investment adviser that are currently advised by Fidelity SelectCo, LLC, an affiliate of the investment adviser. The group fee rate decreases as assets under management increase and increases as assets under management decrease. For the reporting period, each Fund's annual management fee rate expressed as a percentage of each Fund's average net assets was as follows.

 Individual Rate Group Rate Total 
Fidelity Asset Manager 20%% .30% .11% .41% 
Fidelity Asset Manager 30%% .30% .11% .41% 
Fidelity Asset Manager 40%% .30% .11% .41% 
Fidelity Asset Manager 50%% .25% .25% .50% 
Fidelity Asset Manager 60%% .30% .25% .55% 
Fidelity Asset Manager 70%% .30% .25% .55% 
Fidelity Asset Manager 85%% .30% .25% .55% 

The investment adviser pays a portion of the management fees received from the Fund to the Fidelity Central Funds' investment advisers, who are also affiliates, for managing the assets of the Fidelity Central Funds.

Distribution and Service Plan Fees. In accordance with Rule 12b-1 of the 1940 Act, each Fund has adopted separate Distribution and Service Plans for each class of shares. Certain classes pay Fidelity Distributors Corporation (FDC), an affiliate of the investment adviser, 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 each Fund and providing shareholder support services. For the period, the Distribution and Service Fee rates, total fees and amounts retained by FDC were as follows:

 Distribution
Fee 
Service
Fee 
Total Fees Retained
by FDC 
Fidelity Asset Manager 20%     
Class A -% .25% $96,866 $1,744 
Class T .25% .25% 102,604 – 
Class B .75% .25% 9,035 6,776 
Class C .75% .25% 288,316 45,190 
   $496,821 $53,710 
Fidelity Asset Manager 30%%     
Class A -% .25% $57,514 $6,689 
Class T .25% .25% 58,053 – 
Class B .75% .25% 3,676 2,808 
Class C .75% .25% 211,136 40,510 
   $330,379 $50,007 
Fidelity Asset Manager 40%%     
Class A -% .25% $91,023 $6,840 
Class T .25% .25% 51,396 – 
Class B .75% .25% 3,520 2,646 
Class C .75% .25% 206,760 42,610 
   $352,699 $52,096 
Fidelity Asset Manager 50%%     
Class A -% .25% $180,703 $4,320 
Class T .25% .25% 158,796 323 
Class B .75% .25% 16,867 12,660 
Class C .75% .25% 423,387 79,805 
   $779,753 $97,108 
Fidelity Asset Manager 60%%     
Class A -% .25% $141,426 $680 
Class T .25% .25% 84,468 – 
Class B .75% .25% 7,695 5,796 
Class C .75% .25% 317,624 50,740 
   $551,213 $57,216 
Fidelity Asset Manager 70%%     
Class A -% .25% $348,841 $5,522 
Class T .25% .25% 231,539 – 
Class B .75% .25% 14,179 10,636 
Class C .75% .25% 550,295 70,862 
   $1,144,854 $87,020 
Fidelity Asset Manager 85%%     
Class A -% .25% $182,372 $3,321 
Class T .25% .25% 103,292 – 
Class B .75% .25% 9,849 7,387 
Class C .75% .25% 372,803 71,917 
   $668,316 $82,625 

Sales Load. FDC may receive 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 each Fund. Depending on the holding period, FDC may receive contingent deferred sales charges levied on Class A, Class T, Class B, and Class C redemptions. The deferred sales charges range from 5.00% to 1.00% for Class B shares, 1.00% for Class C shares, 1.00% 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 
Fidelity Asset Manager 20%%  
Class A $27,050 
Class T 8,128 
Class B(a) 675 
Class C(a) 12,009 
 $47,862 
Fidelity Asset Manager 30%%  
Class A $16,493 
Class T – 
Class B(a) 42 
Class C(a) 9,704 
 $26,239 
Fidelity Asset Manager 40%%  
Class A $23,854 
Class T 4,548 
Class B(a) 200 
Class C(a) 4,235 
 $32,837 
Fidelity Asset Manager 50%%  
Class A $38,542 
Class T 11,438 
Class B(a) 178 
Class C(a) 8,794 
 $58,952 
Fidelity Asset Manager 60%%  
Class A $32,122 
Class T 6,984 
Class B(a) 64 
Class C(a) 5,720 
 $44,890 
Fidelity Asset Manager 70%%  
Class A $61,534 
Class T 10,368 
Class B(a) 336 
Class C(a) 8,207 
 $80,445 
Fidelity Asset Manager 85%%  
Class A $51,109 
Class T 8,503 
Class B(a) 242 
Class C(a) 7,140 
 $66,994 

 (a) 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 the investment adviser, is the transfer, dividend disbursing and shareholder servicing agent for each class of the Funds. 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 each Fund. FIIOC pays for typesetting, printing and mailing of shareholder reports, except proxy statements. For the period, transfer agent fees for each class were as follows:

 Amount % of
Class-Level Average
Net Assets 
Fidelity Asset Manager 20%   
Class A $55,452 .14 
Class T 31,763 .15 
Class B 1,273 .14 
Class C 45,161 .16 
Asset Manager 20%% 3,844,561 .08 
Class I 27,594 .13 
 $4,005,804  
Fidelity Asset Manager 30%%   
Class A $31,857 .14 
Class T 17,815 .15 
Class B 558 .15 
Class C 31,319 .15 
Asset Manager 30%% 653,276 .08 
Class I 12,688 .14 
 $747,513  
Fidelity Asset Manager 40%%   
Class A $47,727 .13 
Class T 16,332 .16 
Class B 466 .13 
Class C 31,548 .15 
Asset Manager 40%% 784,759 .08 
Class I 21,253 .12 
 $902,085  
Fidelity Asset Manager 50%%   
Class A $136,256 .19 
Class T 64,639 .20 
Class B 2,953 .18 
Class C 84,975 .20 
Asset Manager 50%% 9,834,146 .13 
Class I 65,750 .18 
 $10,188,719  
Fidelity Asset Manager 60%%   
Class A $101,990 .18 
Class T 31,946 .19 
Class B 1,523 .20 
Class C 59,288 .19 
Asset Manager 60%% 1,533,612 .11 
Class I 25,722 .15 
 $1,754,081  
Fidelity Asset Manager 70%%   
Class A $263,700 .19 
Class T 91,885 .20 
Class B 4,010 .28 
Class C 107,437 .20 
Asset Manager 70%% 5,113,079 .13 
Class I 65,058 .16 
 $5,645,169  
Fidelity Asset Manager 85%%   
Class A $154,856 .21 
Class T 48,194 .23 
Class B 2,416 .25 
Class C 79,408 .21 
Asset Manager 85%% 2,112,442 .15 
Class I 59,801 .16 
 $2,457,117  

Accounting and Security Lending Fees. Fidelity Service Company, Inc. (FSC), an affiliate of the investment adviser, maintains each Fund's accounting records. The accounting fee is based on the level of average net assets for each 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.

7. Committed Line of Credit.

Certain Funds participate with other funds managed by the investment adviser or an affiliate in a $4.25 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 participating funds have agreed to pay commitment fees on their pro-rata portion of the line of credit, which are reflected in Miscellaneous expenses on the Statement of Operations, and are as follows:

Fidelity Asset Manager 20%% $9,907 
Fidelity Asset Manager 30%% 1,897 
Fidelity Asset Manager 40%% 2,179 
Fidelity Asset Manager 50%% 15,871 
Fidelity Asset Manager 60%% 3,017 
Fidelity Asset Manager 70%% 8,597 
Fidelity Asset Manager 85%% 3,234 

During the period, the Funds did not borrow on this line of credit.

8. Security Lending.

Certain Funds lend portfolio securities through a lending agent from time to time in order to earn additional income. For equity securities, a lending agent is used and may loan securities to certain qualified borrowers, including Fidelity Capital Markets (FCM), a broker-dealer affiliated with the Funds. On the settlement date of the loan, each applicable 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 Funds and any additional required collateral is delivered to the Funds on the next business day. The Funds or borrower may terminate the loan at any time, and if the borrower defaults on its obligation to return the securities loaned because of insolvency or other reasons, the Funds may apply collateral received from the borrower against the obligation. The Funds may experience delays and costs in recovering the securities loaned. 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 each applicable Fund's Statement of Assets and Liabilities. Security lending income 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. Security lending income is presented on each applicable Fund's Statement of Operations as a component of income from Fidelity Central Funds. During the period, there were no securities loaned to FCM.

 Total Security Lending Income 
Fidelity Asset Manager 20%% $56,036 
Fidelity Asset Manager 50%% 117,271 
Fidelity Asset Manager 70%% 109,315 
Fidelity Asset Manager 85%% 53,615 

9. Expense Reductions.

Commissions paid to certain brokers with whom the investment adviser, or its affiliates, places trades on behalf of certain Funds and certain Central Funds include an amount in addition to trade execution, which may be rebated back to the Funds to offset certain expenses. In addition, through arrangements with each applicable Fund's custodian and each class' transfer agent, credits realized as a result of certain uninvested cash balances were used to reduce the Fund's expenses. All of the applicable expense reductions are noted in the table below.

 Brokerage Service reduction Custody
Expense
reduction 
Transfer
Agent
expense
reduction 
Fidelity Asset Manager 20%% $51,443 $984 $ - 
Fidelity Asset Manager 30%% 12,195 63 – 
Fidelity Asset Manager 40%% 17,524 40 – 
Fidelity Asset Manager 50%% 143,933 145 – 
Fidelity Asset Manager 60%% 30,188 179 – 
Fidelity Asset Manager 70%% 97,316 150 
Fidelity Asset Manager 85%% 41,757 66 – 

In addition, during the period the investment adviser reimbursed and/or waived a portion of fund-level operating expenses as follows:

 Fund-Level Amount 
Fidelity Asset Manager 20%% $19,426 
Fidelity Asset Manager 30%% 3,667 
Fidelity Asset Manager 40%% 4,240 
Fidelity Asset Manager 50%% 56,190 
Fidelity Asset Manager 60%% 10,383 
Fidelity Asset Manager 70%% 29,907 
Fidelity Asset Manager 85%% 11,308 

10. Distributions to Shareholders.

Distributions to shareholders of each class were as follows:

 Year ended
September 30, 2016 
Year ended
September 30, 2015 
Fidelity Asset Manager 20%   
From net investment income   
Class A $586,057 $501,145 
Class T 258,468 205,919 
Class B 7,665 9,455 
Class C 222,595 145,536 
Asset Manager 20%% 85,388,721 77,740,992 
Class I 377,130 229,164 
Total $86,840,636 $78,832,211 
From net realized gain   
Class A $768,558 $1,200,191 
Class T 397,712 630,164 
Class B 28,963 64,097 
Class C 580,212 839,473 
Asset Manager 20%% 96,332,955 151,471,697 
Class I 366,985 437,001 
Total $98,475,385 $154,642,623 
Fidelity Asset Manager 30%%   
From net investment income   
Class A $374,214 $294,578 
Class T 156,500 119,614 
Class B 3,431 4,113 
Class C 186,439 121,872 
Asset Manager 30%% 16,652,556 13,687,215 
Class I 174,292 133,141 
Total $17,547,432 $14,360,533 
From net realized gain   
Class A $367,407 $561,549 
Class T 174,844 274,626 
Class B 8,338 21,937 
Class C 315,141 502,117 
Asset Manager 30%% 12,937,540 21,489,587 
Class I 139,018 240,640 
Total $13,942,288 $23,090,456 
Fidelity Asset Manager 40%%   
From net investment income   
Class A $566,653 $359,813 
Class T 129,110 92,069 
Class B 2,953 3,851 
Class C 167,869 98,718 
Asset Manager 40%% 18,366,959 13,653,307 
Class I 326,411 135,199 
Total $19,559,955 $14,342,957 
From net realized gain   
Class A $422,782 $758,501 
Class T 119,403 244,124 
Class B 6,236 33,171 
Class C 255,795 470,384 
Asset Manager 40%% 11,702,088 22,793,923 
Class I 237,351 122,859 
Total $12,743,655 $24,422,962 
Fidelity Asset Manager 50%%   
From net investment income   
Class A $1,078,569 $896,424 
Class T 389,022 320,881 
Class B 12,031 13,923 
Class C 314,334 196,715 
Asset Manager 50%% 135,309,959 121,864,493 
Class I 620,822 470,519 
Total $137,724,737 $123,762,955 
From net realized gain   
Class A $2,670,933 $4,639,740 
Class T 1,173,976 2,164,069 
Class B 90,179 216,191 
Class C 1,563,215 2,528,640 
Asset Manager 50%% 281,226,959 511,052,903 
Class I 1,221,841 2,101,067 
Total $287,947,103 $522,702,610 
Fidelity Asset Manager 60%%   
From net investment income   
Class A $778,039 $562,334 
Class T 200,853 119,094 
Class B 4,743 2,508 
Class C 221,700 106,137 
Asset Manager 60%% 22,576,101 16,510,467 
Class I 271,551 174,917 
Total $24,052,987 $17,475,457 
From net realized gain   
Class A $1,256,050 $2,600,794 
Class T 390,635 734,414 
Class B 26,625 77,323 
Class C 720,526 1,338,769 
Asset Manager 60%% 29,661,155 59,118,120 
Class I 364,528 647,193 
Total $32,419,519 $64,516,613 
Fidelity Asset Manager 70%%   
From net investment income   
Class A $1,770,999 $1,479,841 
Class T 473,868 367,575 
Class C 294,415 171,602 
Asset Manager 70%% 61,801,113 49,763,392 
Class I 666,291 526,159 
Total $65,006,686 $52,308,569 
From net realized gain   
Class A $5,163,635 $10,888,363 
Class T 1,764,247 3,662,050 
Class B 79,783 280,534 
Class C 2,075,200 4,234,614 
Asset Manager 70%% 143,806,402 283,051,294 
Class I 1,591,206 3,091,422 
Total $154,480,473 $305,208,277 
Fidelity Asset Manager 85%%   
From net investment income   
Class A $762,308 $638,758 
Class T 166,023 138,492 
Class B – 528 
Class C 134,918 109,437 
Asset Manager 85%% 18,879,814 16,718,884 
Class I 478,105 555,363 
Total $20,421,168 $18,161,462 
From net realized gain   
Class A $2,376,081 $5,458,131 
Class T 691,330 1,508,615 
Class B 46,652 188,215 
Class C 1,239,853 2,602,764 
Asset Manager 85%% 45,949,502 106,034,873 
Class I 1,190,793 3,430,748 
Total $51,494,211 $119,223,346 

11. Share Transactions.

Share transactions for each class were as follows and may contain automatic conversions between classes or exchanges between affiliated funds:

 Shares Shares Dollars Dollars 
 Year ended
September 30, 2016 
Year ended
September 30, 2015 
Year ended
September 30, 2016 
Year ended
September 30, 2015 
Fidelity Asset Manager 20%%     
Class A     
Shares sold 1,061,724 746,097 $13,730,782 $9,956,350 
Reinvestment of distributions 101,740 124,579 1,297,846 1,642,519 
Shares redeemed (980,175) (723,345) (12,695,149) (9,655,193) 
Net increase (decrease) 183,289 147,331 $2,333,479 $1,943,676 
Class T     
Shares sold 769,032 258,937 $9,944,778 $3,439,733 
Reinvestment of distributions 46,050 56,730 585,951 746,401 
Shares redeemed (404,707) (383,129) (5,207,424) (5,111,207) 
Net increase (decrease) 410,375 (67,462) $5,323,305 $(925,073) 
Class B     
Shares sold 3,420 9,712 $44,326 $131,288 
Reinvestment of distributions 2,794 5,332 35,365 69,994 
Shares redeemed (122,552) (52,936) (1,576,306) (704,138) 
Net increase (decrease) (116,338) (37,892) $(1,496,615) $(502,856) 
Class C     
Shares sold 522,480 665,471 $6,696,646 $8,823,506 
Reinvestment of distributions 58,840 69,057 744,539 904,582 
Shares redeemed (571,568) (461,220) (7,366,178) (6,103,241) 
Net increase (decrease) 9,752 273,308 $75,007 $3,624,847 
Asset Manager 20%%     
Shares sold 53,904,713 65,610,662 $698,704,684 $877,776,600 
Reinvestment of distributions 13,769,905 16,814,774 176,023,505 222,136,126 
Shares redeemed (67,514,502) (83,278,711) (872,979,053) (1,112,228,717) 
Net increase (decrease) 160,116 (853,275) $1,749,136 $(12,315,991) 
Class I     
Shares sold 1,237,625 484,278 $16,000,768 $6,457,610 
Reinvestment of distributions 51,472 42,280 658,423 558,198 
Shares redeemed (494,699) (307,045) (6,395,711) (4,109,960) 
Net increase (decrease) 794,398 219,513 $10,263,480 $2,905,848 
Fidelity Asset Manager 30%%     
Class A     
Shares sold 758,314 853,322 $7,842,738 $9,065,272 
Reinvestment of distributions 72,251 80,715 734,724 844,570 
Shares redeemed (684,982) (893,789) (7,018,711) (9,529,338) 
Net increase (decrease) 145,583 40,248 $1,558,751 $380,504 
Class T     
Shares sold 227,180 385,571 $2,318,193 $4,073,097 
Reinvestment of distributions 32,605 36,882 331,069 385,610 
Shares redeemed (234,324) (261,013) (2,407,141) (2,776,818) 
Net increase (decrease) 25,461 161,440 $242,121 $1,681,889 
Class B     
Shares sold 752 1,788 $7,417 $19,117 
Reinvestment of distributions 1,068 2,278 10,788 23,743 
Shares redeemed (55,507) (32,079) (570,956) (339,935) 
Net increase (decrease) (53,687) (28,013) $(552,751) $(297,075) 
Class C     
Shares sold 646,522 630,104 $6,544,515 $6,639,825 
Reinvestment of distributions 48,769 58,821 492,300 611,625 
Shares redeemed (587,350) (347,269) (6,019,841) (3,661,220) 
Net increase (decrease) 107,941 341,656 $1,016,974 $3,590,230 
Asset Manager 30%%     
Shares sold 23,662,071 23,785,715 $243,254,618 $252,662,602 
Reinvestment of distributions 2,847,635 3,282,171 28,983,547 34,365,864 
Shares redeemed (18,732,344) (17,404,776) (192,459,532) (184,472,239) 
Net increase (decrease) 7,777,362 9,663,110 $79,778,633 $102,556,227 
Class I     
Shares sold 656,402 335,946 $6,817,634 $3,528,015 
Reinvestment of distributions 30,069 34,537 306,241 361,452 
Shares redeemed (462,690) (316,121) (4,774,293) (3,344,953) 
Net increase (decrease) 223,781 54,362 $2,349,582 $544,514 
Fidelity Asset Manager 40%%     
Class A     
Shares sold 1,316,443 1,116,769 $13,858,038 $12,149,561 
Reinvestment of distributions 93,270 103,020 973,060 1,101,245 
Shares redeemed (733,359) (559,060) (7,743,497) (6,082,756) 
Net increase (decrease) 676,354 660,729 $7,087,601 $7,168,050 
Class T     
Shares sold 390,009 234,916 $4,020,982 $2,551,039 
Reinvestment of distributions 20,717 27,375 215,683 292,035 
Shares redeemed (366,782) (122,917) (3,842,286) (1,340,250) 
Net increase (decrease) 43,944 139,374 $394,379 $1,502,824 
Class B     
Shares sold – 11,716 $– $126,419 
Reinvestment of distributions 884 3,470 9,189 36,989 
Shares redeemed (59,490) (65,134) (630,460) (715,694) 
Net increase (decrease) (58,606) (49,948) $(621,271) $(552,286) 
Class C     
Shares sold 558,469 683,962 $5,876,704 $7,420,049 
Reinvestment of distributions 38,879 50,956 402,887 541,553 
Shares redeemed (460,845) (292,603) (4,802,443) (3,165,742) 
Net increase (decrease) 136,503 442,315 $1,477,148 $4,795,860 
Asset Manager 40%%     
Shares sold 27,901,656 34,882,809 $294,523,460 $379,867,945 
Reinvestment of distributions 2,831,070 3,354,318 29,535,248 35,864,255 
Shares redeemed (20,058,435) (20,144,864) (210,941,630) (218,505,343) 
Net increase (decrease) 10,674,291 18,092,263 $113,117,078 $197,226,857 
Class I     
Shares sold 949,776 1,745,203 $9,774,597 $19,036,090 
Reinvestment of distributions 30,925 19,385 322,941 207,753 
Shares redeemed (1,492,768) (223,724) (15,422,345) (2,428,106) 
Net increase (decrease) (512,067) 1,540,864 $(5,324,807) $16,815,737 
Fidelity Asset Manager 50%%     
Class A     
Shares sold 1,285,350 995,727 $20,974,734 $17,214,908 
Reinvestment of distributions 228,274 319,912 3,648,471 5,391,212 
Shares redeemed (1,243,808) (1,005,953) (20,035,152) (17,414,256) 
Net increase (decrease) 269,816 309,686 $4,588,053 $5,191,864 
Class T     
Shares sold 415,139 490,870 $6,788,826 $8,542,221 
Reinvestment of distributions 97,186 145,961 1,551,607 2,455,630 
Shares redeemed (455,938) (575,251) (7,437,228) (9,990,007) 
Net increase (decrease) 56,387 61,580 $903,205 $1,007,844 
Class B     
Shares sold 12,960 8,290 $208,531 $142,493 
Reinvestment of distributions 5,178 11,444 82,342 192,095 
Shares redeemed (166,468) (70,896) (2,689,336) (1,227,688) 
Net increase (decrease) (148,330) (51,162) $(2,398,463) $(893,100) 
Class C     
Shares sold 526,140 775,317 $8,431,685 $13,336,211 
Reinvestment of distributions 108,770 147,470 1,724,314 2,466,082 
Shares redeemed (688,225) (496,465) (11,162,645) (8,585,737) 
Net increase (decrease) (53,315) 426,322 $(1,006,646) $7,216,556 
Asset Manager 50%%     
Shares sold 41,011,505 47,441,827 $670,923,177 $826,782,885 
Reinvestment of distributions 25,198,579 36,356,893 404,423,850 614,842,843 
Shares redeemed (78,601,130) (66,529,083) (1,282,252,050) (1,158,852,052) 
Net increase (decrease) (12,391,046) 17,269,637 $(206,905,023) $282,773,676 
Class I     
Shares sold 912,142 692,682 $14,796,900 $11,771,865 
Reinvestment of distributions 112,601 148,759 1,804,785 2,511,698 
Shares redeemed (727,915) (660,383) (11,897,452) (11,497,625) 
Net increase (decrease) 296,828 181,058 $4,704,233 $2,785,938 
Fidelity Asset Manager 60%%     
Class A     
Shares sold 1,119,098 1,262,838 $11,965,702 $14,280,308 
Reinvestment of distributions 192,249 286,389 2,007,080 3,113,048 
Shares redeemed (1,138,854) (1,097,074) (12,159,554) (12,316,709) 
Net increase (decrease) 172,493 452,153 $1,813,228 $5,076,647 
Class T     
Shares sold 230,470 404,420 $2,481,092 $4,562,966 
Reinvestment of distributions 55,076 76,931 572,790 833,160 
Shares redeemed (321,919) (231,017) (3,454,754) (2,593,790) 
Net increase (decrease) (36,373) 250,334 $(400,872) $2,802,336 
Class B     
Shares sold – 2,635 $– $29,605 
Reinvestment of distributions 2,647 6,746 27,789 73,534 
Shares redeemed (118,704) (38,517) (1,267,174) (435,624) 
Net increase (decrease) (116,057) (29,136) $(1,239,385) $(332,485) 
Class C     
Shares sold 662,228 835,749 $6,939,607 $9,342,652 
Reinvestment of distributions 89,391 131,144 921,624 1,409,801 
Shares redeemed (559,512) (352,870) (5,849,062) (3,913,793) 
Net increase (decrease) 192,107 614,023 $2,012,169 $6,838,660 
Asset Manager 60%%     
Shares sold 26,084,588 32,106,770 $280,962,806 $364,754,466 
Reinvestment of distributions 4,947,085 6,877,984 51,746,504 74,901,251 
Shares redeemed (24,358,406) (21,774,879) (261,232,789) (246,451,907) 
Net increase (decrease) 6,673,267 17,209,875 $71,476,521 $193,203,810 
Class I     
Shares sold 445,534 478,598 $4,722,458 $5,335,988 
Reinvestment of distributions 57,560 68,910 602,654 751,123 
Shares redeemed (312,984) (305,046) (3,388,714) (3,483,879) 
Net increase (decrease) 190,110 242,462 $1,936,398 $2,603,232 
Fidelity Asset Manager 70%%     
Class A     
Shares sold 1,242,255 1,332,746 $23,355,609 $27,135,293 
Reinvestment of distributions 360,252 612,690 6,607,015 11,873,923 
Shares redeemed (1,351,803) (1,534,000) (25,443,048) (31,230,002) 
Net increase (decrease) 250,704 411,436 $4,519,576 $7,779,214 
Class T     
Shares sold 332,456 401,372 $6,282,649 $8,181,756 
Reinvestment of distributions 117,377 197,690 2,156,218 3,837,168 
Shares redeemed (495,128) (443,958) (9,231,214) (9,069,742) 
Net increase (decrease) (45,295) 155,104 $(792,347) $2,949,182 
Class B     
Shares sold 2,173 4,258 $39,145 $89,578 
Reinvestment of distributions 3,944 13,435 73,710 263,858 
Shares redeemed (130,852) (87,448) (2,475,477) (1,793,956) 
Net increase (decrease) (124,735) (69,755) $(2,362,622) $(1,440,520) 
Class C     
Shares sold 434,716 536,592 $8,170,264 $10,869,717 
Reinvestment of distributions 121,833 211,320 2,230,769 4,089,035 
Shares redeemed (500,903) (533,287) (9,377,032) (10,812,202) 
Net increase (decrease) 55,646 214,625 $1,024,001 $4,146,550 
Asset Manager 70%%     
Shares sold 21,741,155 30,387,652 $410,816,180 $619,467,666 
Reinvestment of distributions 11,023,418 16,897,410 202,279,723 327,640,788 
Shares redeemed (29,537,539) (24,123,037) (560,681,708) (490,668,534) 
Net increase (decrease) 3,227,034 23,162,025 $52,414,195 $456,439,920 
Class I     
Shares sold 461,077 714,757 $8,611,520 $14,467,398 
Reinvestment of distributions 119,411 181,334 2,192,381 3,519,697 
Shares redeemed (701,469) (546,838) (13,166,534) (11,076,556) 
Net increase (decrease) (120,981) 349,253 $(2,362,633) $6,910,539 
Fidelity Asset Manager 85%%     
Class A     
Shares sold 1,277,982 942,082 $19,986,726 $15,917,741 
Reinvestment of distributions 203,532 377,235 3,095,723 6,024,439 
Shares redeemed (1,011,362) (818,764) (15,702,710) (13,824,831) 
Net increase (decrease) 470,152 500,553 $7,379,739 $8,117,349 
Class T     
Shares sold 291,311 476,876 $4,494,461 $7,982,251 
Reinvestment of distributions 56,275 102,375 852,009 1,628,792 
Shares redeemed (388,740) (347,482) (6,110,365) (5,749,178) 
Net increase (decrease) (41,154) 231,769 $(763,895) $3,861,865 
Class B     
Shares sold 2,734 2,884 $40,866 $48,001 
Reinvestment of distributions 2,868 11,206 43,908 179,408 
Shares redeemed (105,601) (54,470) (1,635,914) (920,906) 
Net increase (decrease) (99,999) (40,380) $(1,551,140) $(693,497) 
Class C     
Shares sold 482,935 666,847 $7,409,041 $11,024,242 
Reinvestment of distributions 90,560 169,095 1,359,303 2,668,325 
Shares redeemed (446,523) (320,657) (6,885,905) (5,302,536) 
Net increase (decrease) 126,972 515,285 $1,882,439 $8,390,031 
Asset Manager 85%%     
Shares sold 12,327,620 21,052,151 $193,726,869 $358,458,962 
Reinvestment of distributions 4,184,448 7,541,136 64,063,900 121,186,062 
Shares redeemed (15,709,607) (22,383,027) (247,400,124) (379,093,460) 
Net increase (decrease) 802,461 6,210,260 $10,390,645 $100,551,564 
Class I     
Shares sold 669,454 1,017,644 $10,615,247 $16,957,219 
Reinvestment of distributions 107,226 225,394 1,637,339 3,610,804 
Shares redeemed (810,020) (1,101,788) (12,965,553) (18,463,501) 
Net increase (decrease) (33,340) 141,250 $(712,967) $2,104,522 

12. Other.

The Funds' 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 Funds. In the normal course of business, the Funds may also enter into contracts that provide general indemnifications. The Funds' maximum exposure under these arrangements is unknown as this would be dependent on future claims that may be made against the Funds. The risk of material loss from such claims is considered remote.

At the end of the period, a shareholder of record owned more than 25% of the total outstanding shares of the following fund:

Fund % of shares held 
Fidelity Asset Manager 60%% 31% 

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Charles Street Trust and the Shareholders of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85%:

We have audited the accompanying statements of assets and liabilities of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85% (the Funds), each a fund of Fidelity Charles Street Trust, including the schedules of investments, as of September 30, 2016, and the related statements of operations for the year then ended, the statements of changes in 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. These financial statements and financial highlights are the responsibility of the Funds' management. Our responsibility is to express an opinion on these financial statements and financial highlights based on our audits.

We conducted our audits 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 and financial highlights are free of material misstatement. The Funds are not required to have, nor were we engaged to perform, an audit of their internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Funds' internal control over financial reporting. Accordingly, we express no such opinion. An audit also 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, as well as evaluating the overall financial statement presentation. Our procedures included confirmation of securities owned as of September 30, 2016, by correspondence with the custodians and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, such financial statements and financial highlights referred to above present fairly, in all material respects, the financial position of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85% as of September 30, 2016, the results of their operations for the year then ended, the changes in their net assets for each of the two years in the period then ended, and the financial highlights for the each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America.

DELOITTE & TOUCHE LLP

Boston, Massachusetts
November 18, 2016

Trustees and Officers

The Trustees, Members of the Advisory Board (if any), and officers of the trust and funds, as applicable, are listed below. The Board of Trustees governs each fund and is responsible for protecting the interests of shareholders. The Trustees are experienced executives who meet periodically throughout the year to oversee each fund's activities, review contractual arrangements with companies that provide services to each fund, oversee management of the risks associated with such activities and contractual arrangements, and review each fund's performance.  Except for Jennifer Toolin McAuliffe and Mark A. Murray, each of the Trustees oversees 244 funds. Ms. McAuliffe and Mr. Murray each oversees 191 funds. 

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) of the trust and the funds is referred to herein as an Independent Trustee.  Each Independent Trustee shall retire not later than the last day of the calendar year in which his or her 75th birthday occurs.  The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees.  Officers and Advisory Board Members hold office without limit in time, except that any officer or 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. 

Each 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.

Experience, Skills, Attributes, and Qualifications of the Trustees. The Governance and Nominating Committee has adopted a statement of policy that describes the experience, qualifications, attributes, and skills that are necessary and desirable for potential Independent Trustee candidates (Statement of Policy). The Board believes that each Trustee satisfied at the time he or she was initially elected or appointed a Trustee, and continues to satisfy, the standards contemplated by the Statement of Policy. The Governance and Nominating Committee also engages professional search firms to help identify potential Independent Trustee candidates who have the experience, qualifications, attributes, and skills consistent with the Statement of Policy. From time to time, additional criteria based on the composition and skills of the current Independent Trustees, as well as experience or skills that may be appropriate in light of future changes to board composition, business conditions, and regulatory or other developments, have also been considered by the professional search firms and the Governance and Nominating Committee. In addition, the Board takes into account the Trustees' commitment and participation in Board and committee meetings, as well as their leadership of standing and ad hoc committees throughout their tenure.

In determining that a particular Trustee was and continues to be qualified to serve as a Trustee, the Board has considered a variety of criteria, none of which, in isolation, was controlling. The Board believes that, collectively, the Trustees have balanced and diverse experience, qualifications, attributes, and skills, which allow the Board to operate effectively in governing each fund and protecting the interests of shareholders. Information about the specific experience, skills, attributes, and qualifications of each Trustee, which in each case led to the Board's conclusion that the Trustee should serve (or continue to serve) as a trustee of the funds, is provided below.

Board Structure and Oversight Function. Abigail P. Johnson is an interested person and currently serves as Chairman. The Trustees have determined that an interested Chairman is appropriate and benefits shareholders because an interested Chairman has a personal and professional stake in the quality and continuity of services provided to the funds. Independent Trustees exercise their informed business judgment to appoint an individual of their choosing to serve as Chairman, regardless of whether the Trustee happens to be independent or a member of management. The Independent Trustees have determined that they can act independently and effectively without having an Independent Trustee serve as Chairman and that a key structural component for assuring that they are in a position to do so is for the Independent Trustees to constitute a substantial majority for the Board. The Independent Trustees also regularly meet in executive session. Marie L. Knowles serves as Chairman of the Independent Trustees and as such (i) acts as a liaison between the Independent Trustees and management with respect to matters important to the Independent Trustees and (ii) with management prepares agendas for Board meetings.

Fidelity® funds are overseen by different Boards of Trustees. The funds' Board oversees Fidelity's investment-grade bond, money market, asset allocation and certain equity funds, and other Boards oversee Fidelity's high income, sector and other equity funds. The asset allocation funds may invest in Fidelity® funds that are overseen by such other Boards. The use of separate Boards, each with its own committee structure, allows the Trustees of each group of Fidelity® funds to focus on the unique issues of the funds they oversee, including common research, investment, and operational issues. On occasion, the separate Boards establish joint committees to address issues of overlapping consequences for the Fidelity® funds overseen by each Board.

The Trustees operate using a system of committees to facilitate the timely and efficient consideration of all matters of importance to the Trustees, each fund, and fund shareholders and to facilitate compliance with legal and regulatory requirements and oversight of the funds' activities and associated risks.  The Board, acting through its committees, has charged FMR and its affiliates with (i) identifying events or circumstances the occurrence of which could have demonstrably adverse effects on the funds' business and/or reputation; (ii) implementing processes and controls to lessen the possibility that such events or circumstances occur or to mitigate the effects of such events or circumstances if they do occur; and (iii) creating and maintaining a system designed to evaluate continuously business and market conditions in order to facilitate the identification and implementation processes described in (i) and (ii) above.  Because the day-to-day operations and activities of the funds are carried out by or through FMR, its affiliates, and other service providers, the funds' exposure to risks is mitigated but not eliminated by the processes overseen by the Trustees.  While each of the Board's committees has responsibility for overseeing different aspects of the funds' activities, oversight is exercised primarily through the Operations and Audit Committees.  In addition, an ad hoc Board committee of Independent Trustees has worked with FMR to enhance the Board's oversight of investment and financial risks, legal and regulatory risks, technology risks, and operational risks, including the development of additional risk reporting to the Board.  Appropriate personnel, including but not limited to the funds' Chief Compliance Officer (CCO), FMR's internal auditor, the independent accountants, the funds' Treasurer and portfolio management personnel, make periodic reports to the Board's committees, as appropriate, including an annual review of Fidelity's risk management program for the Fidelity® funds.  The responsibilities of each standing committee, including their oversight responsibilities, are described further under "Standing Committees of the Trustees." 

Interested Trustees*:

Correspondence intended for a Trustee who is an interested person may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Abigail P. Johnson (1961)

Year of Election or Appointment: 2009

Trustee

Chairman of the Board of Trustees

Ms. Johnson also serves as Trustee of other Fidelity® funds. Ms. Johnson serves as President (2013-present) and Chief Executive Officer (2014-present) of FMR LLC (diversified financial services company), President of Fidelity Financial Services (2012-present) and President of Personal, Workplace and Institutional Services (2005-present). Ms. Johnson is Chairman and Director of FMR Co., Inc. (investment adviser firm, 2011-present), Chairman and Director of FMR (investment adviser firm, 2011-present), and the Vice Chairman and Director (2007-present) of FMR LLC. Previously, Ms. Johnson served as President and a Director of FMR (2001-2005), a Trustee of other investment companies advised by FMR, Fidelity Investments Money Management, Inc. (investment adviser firm), and FMR Co., Inc. (2001-2005), Senior Vice President of the Fidelity® funds (2001-2005), and managed a number of Fidelity® funds. Ms. Abigail P. Johnson and Mr. Arthur E. Johnson are not related.

Jennifer Toolin McAuliffe (1959)

Year of Election or Appointment: 2016

Trustee

Ms. McAuliffe also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Ms. McAuliffe previously served as Co-Head of Fixed Income of Fidelity Investments Limited (now known as FIL Limited (FIL)) (diversified financial services company). Earlier roles at FIL included Director of Research for FIL’s credit and quantitative teams in London, Hong Kong and Tokyo. Ms. McAuliffe also was the Director of Research for taxable and municipal bonds at Fidelity Investments Money Management, Inc. Ms. McAuliffe is also a director or trustee of several not-for-profit entities.

 * Determined to be an “Interested Trustee” by virtue of, among other things, his or her affiliation with the trust or various entities under common control with FMR. 

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for each fund. 

Independent Trustees:

Correspondence intended for an Independent Trustee may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Elizabeth S. Acton (1951)

Year of Election or Appointment: 2013

Trustee

Ms. Acton also serves as Trustee of other Fidelity® funds. Prior to her retirement in April 2012, Ms. Acton was Executive Vice President, Finance (2011-2012), Executive Vice President, Chief Financial Officer (2002-2011), and Treasurer (2004-2005) of Comerica Incorporated (financial services). Prior to joining Comerica, Ms. Acton held a variety of positions at Ford Motor Company (1983-2002), including Vice President and Treasurer (2000-2002) and Executive Vice President and Chief Financial Officer of Ford Motor Credit Company (1998-2000). Ms. Acton currently serves as a member of the Board of Directors and Audit and Finance Committees of Beazer Homes USA, Inc. (homebuilding, 2012-present). Previously, Ms. Acton served as a Member of the Advisory Board of certain Fidelity® funds (2013-2016).

John Engler (1948)

Year of Election or Appointment: 2014

Trustee

Mr. Engler also serves as Trustee of other Fidelity® funds. He serves as president of the Business Roundtable (2011-present), and on the board of directors for Universal Forest Products (manufacturer and distributor of wood and wood-alternative products, 2003-present) and K12 Inc. (technology-based education company, 2012-present). Previously, Mr. Engler served as a Member of the Advisory Board of certain Fidelity® funds (2014-2016), a trustee of The Munder Funds (2003-2014), president and CEO of the National Association of Manufacturers (2004-2011), member of the Board of Trustees of the Annie E. Casey Foundation (2004-2015), and as governor of Michigan (1991-2003). He is a past chairman of the National Governors Association.

Albert R. Gamper, Jr. (1942)

Year of Election or Appointment: 2006

Trustee

Mr. Gamper also serves as Trustee of other Fidelity® funds. 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 (2002-2003). Mr. Gamper currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2000-present), and Member of the Board of Trustees of Barnabas Health Care System (1997-present). Previously, Mr. Gamper served as Chairman (2012-2015) and Vice Chairman (2011-2012) of the Independent Trustees of certain Fidelity® funds and as Chairman of the Board of Governors, Rutgers University (2004-2007).

Robert F. Gartland (1951)

Year of Election or Appointment: 2010

Trustee

Mr. Gartland also serves as Trustee of other Fidelity® funds. Mr. Gartland is Chairman and an investor in Gartland & Mellina Group Corp. (consulting, 2009-present). Previously, Mr. Gartland served as a partner and investor of Vietnam Partners LLC (investments and consulting, 2008-2011). Prior to his retirement, Mr. Gartland held a variety of positions at Morgan Stanley (financial services, 1979-2007) including Managing Director (1987-2007).

Arthur E. Johnson (1947)

Year of Election or Appointment: 2008

Trustee

Vice Chairman of the Independent Trustees

Mr. Johnson also serves as Trustee of other Fidelity® funds. Mr. Johnson serves as a member of the Board of Directors of Eaton Corporation plc (diversified power management, 2009-present), AGL Resources, Inc. (holding company, 2002-present) and Booz Allen Hamilton (management consulting, 2011-present). Prior to his retirement, Mr. Johnson served as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor, 1999-2009). He previously served on the Board of Directors of IKON Office Solutions, Inc. (1999-2008) and Delta Airlines (2005-2007). Mr. Arthur E. Johnson is not related to Ms. Abigail P. Johnson.

Michael E. Kenneally (1954)

Year of Election or Appointment: 2009

Trustee

Mr. Kenneally also serves as Trustee of other Fidelity® funds. Prior to his retirement, Mr. Kenneally served as Chairman and Global Chief Executive Officer of Credit Suisse Asset Management. Before joining Credit Suisse, he was an Executive Vice President and Chief Investment Officer for Bank of America Corporation. Earlier roles at Bank of America included Director of Research, Senior Portfolio Manager and Research Analyst, and Mr. Kenneally was awarded the Chartered Financial Analyst (CFA) designation in 1991.

James H. Keyes (1940)

Year of Election or Appointment: 2007

Trustee

Mr. Keyes also serves as Trustee of other Fidelity® funds. Mr. Keyes serves as a member of the Board and Non-Executive Chairman of Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, since 2002). Previously, Mr. Keyes served as a member of the Board of Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions, 1998-2013). Prior to his retirement, Mr. Keyes served as Chairman (1993-2002) and Chief Executive Officer (1988-2002) of Johnson Controls (automotive, building, and energy) and as a member of the Board of LSI Logic Corporation (semiconductor technologies, 1984-2008).

Marie L. Knowles (1946)

Year of Election or Appointment: 2001

Trustee

Chairman of the Independent Trustees

Ms. Knowles also serves as Trustee of other Fidelity® funds. 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 (pipeline and tanker operations). Ms. Knowles currently serves as a Director and Chairman of the Audit Committee of McKesson Corporation (healthcare service, since 2002). Ms. Knowles is a member of the Board of the Santa Catalina Island Company (real estate, 2009-present). Ms. Knowles is a Member of the Investment Company Institute Board of Governors and a Member of the Governing Council of the Independent Directors Council (2014-present). She also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California. Previously, Ms. Knowles served as a Director of Phelps Dodge Corporation (copper mining and manufacturing, 1994-2007), URS Corporation (engineering and construction, 2000-2003) and America West (airline, 1999-2002). Ms. Knowles previously served as Vice Chairman of the Independent Trustees of certain Fidelity® funds (2012-2015).

Mark A. Murray (1954)

Year of Election or Appointment: 2016

Trustee

Mr. Murray also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Mr. Murray is Vice Chairman (2013-present) of Meijer, Inc. (regional retail chain). Previously, Mr. Murray served as Co-Chief Executive Officer (2013-2016) and President (2006-2013) of Meijer, Inc. Mr. Murray serves as a member of the Board of Directors and Nuclear Review and Public Policy and Responsibility Committees of DTE Energy Company (diversified energy company, 2009-present). Mr. Murray also serves as a member of the Board of Directors of Spectrum Health (not-for-profit health system, 2015-present). Mr. Murray previously served as President of Grand Valley State University (2001-2006), Treasurer for the State of Michigan (1999-2001), Vice President of Finance and Administration for Michigan State University (1998-1999), and a member of the Board of Directors and Audit Committee and Chairman of the Nominating and Corporate Governance Committee of Universal Forest Products, Inc. (manufacturer and distributor of wood and wood-alternative products, 2004-2016). Mr. Murray is also a director or trustee of many community and professional organizations.

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for each fund. 

Advisory Board Members and Officers:

Correspondence intended for an officer may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.  Officers appear below in alphabetical order. 

Name, Year of Birth; Principal Occupation

Marc R. Bryant (1966)

Year of Election or Appointment: 2015

Secretary and Chief Legal Officer (CLO)

Mr. Bryant also serves as Secretary and CLO of other funds. Mr. Bryant serves as CLO, Secretary, and Senior Vice President of Fidelity Management & Research Company (investment adviser firm, 2015-present) and FMR Co., Inc. (investment adviser firm, 2015-present); Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2015-present) and Fidelity Investments Money Management, Inc. (investment adviser firm, 2015-present); and CLO of Fidelity Management & Research (Hong Kong) Limited and FMR Investment Management (U.K.) Limited (investment adviser firms, 2015-present) and Fidelity Management & Research (Japan) Limited (investment adviser firm, 2016-present). He is Senior Vice President and Deputy General Counsel of FMR LLC (diversified financial services company). Previously, Mr. Bryant served as Secretary and CLO of Fidelity Rutland Square Trust II (2010-2014) and Assistant Secretary of Fidelity's Fixed Income and Asset Allocation Funds (2013-2015). Prior to joining Fidelity Investments, Mr. Bryant served as a Senior Vice President and the Head of Global Retail Legal for AllianceBernstein L.P. (2006-2010), and as the General Counsel for ProFund Advisors LLC (2001-2006).

Jeffrey S. Christian (1961)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Christian also serves as Assistant Treasurer of other funds. Mr. Christian is an employee of Fidelity Investments (2003-present).

Jonathan Davis (1968)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Davis also serves as Assistant Treasurer of other funds, and is an employee of Fidelity Investments. Previously, Mr. Davis served as Vice President and Associate General Counsel of FMR LLC (diversified financial services company, 2003-2010).

Adrien E. Deberghes (1967)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Deberghes also serves as an officer of other funds. He serves as Executive Vice President of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2016-present) and is an employee of Fidelity Investments (2008-present). Prior to joining Fidelity Investments, Mr. Deberghes was Senior Vice President of Mutual Fund Administration at State Street Corporation (2007-2008), Senior Director of Mutual Fund Administration at Investors Bank & Trust (2005-2007), and Director of Finance for Dunkin' Brands (2000-2005). Previously, Mr. Deberghes served in other fund officer roles.

Stephanie J. Dorsey (1969)

Year of Election or Appointment: 2013

President and Treasurer

Ms. Dorsey also serves as an officer of other funds. She is an employee of Fidelity Investments (2008-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Dorsey served as Treasurer (2004-2008) of the JPMorgan Mutual Funds and Vice President (2004-2008) of JPMorgan Chase Bank.

Howard J. Galligan III (1966)

Year of Election or Appointment: 2014

Chief Financial Officer

Mr. Galligan also serves as Chief Financial Officer of other funds. Mr. Galligan serves as President of Fidelity Pricing and Cash Management Services (FPCMS) (2014-present) and as a Director of Strategic Advisers, Inc. (investment adviser firm, 2008-present). Previously, Mr. Galligan served as Chief Administrative Officer of Asset Management (2011-2014) and Chief Operating Officer and Senior Vice President of Investment Support for Strategic Advisers, Inc. (2003-2011).

Scott C. Goebel (1968)

Year of Election or Appointment: 2015

Vice President

Mr. Goebel serves as Vice President of other funds and is an employee of Fidelity Investments (2001-present). Previously, Mr. Goebel served as Senior Vice President of Fidelity Management & Research Company (FMR) (investment adviser firm, 2016), Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2013-2015), Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2010-2015), and Fidelity Research and Analysis Company (FRAC) (investment adviser firm, 2010-2015); General Counsel, Secretary, and Senior Vice President of FMR (investment adviser firm, 2008-2015) and FMR Co., Inc. (investment adviser firm, 2008-2015); Assistant Secretary of Fidelity Management & Research (Japan) Limited (investment adviser firm, 2008-2015) and Fidelity Management & Research (U.K.) Inc. (investment adviser firm, 2008-2015); Chief Legal Officer (CLO) of Fidelity Management & Research (Hong Kong) Limited (investment adviser firm, 2008-2015); Secretary and CLO of certain Fidelity® funds (2008-2015); Assistant Secretary of FIMM (2008-2010), FRAC (2008-2010), and certain funds (2007-2008); and as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (2005-2007).

Colm A. Hogan (1973)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Hogan also serves as an officer of other funds. Mr. Hogan is an employee of Fidelity Investments (2005-present). 

Chris Maher (1972)

Year of Election or Appointment: 2013

Assistant Treasurer

Mr. Maher serves as Assistant Treasurer of other funds. Mr. Maher is Vice President of Valuation Oversight and is an employee of Fidelity Investments. Previously, Mr. Maher served as Vice President of Asset Management Compliance (2013), Vice President of the Program Management Group of FMR (investment adviser firm, 2010-2013), and Vice President of Valuation Oversight (2008-2010).

John B. McGinty, Jr. (1962)

Year of Election or Appointment: 2016

Chief Compliance Officer

Mr. McGinty also serves as Chief Compliance Officer of other funds. Mr. McGinty is Senior Vice President of Asset Management Compliance for Fidelity Investments and is an employee of Fidelity Investments (2016-present). Mr. McGinty previously served as Vice President, Senior Attorney at Eaton Vance Management (investment management firm, 2015-2016), and prior to Eaton Vance as global CCO for all firm operations and registered investment companies at GMO LLC (investment management firm, 2009-2015). Before joining GMO LLC, Mr. McGinty served as Senior Vice President, Deputy General Counsel for Fidelity Investments (2007-2009).

John F. Papandrea (1972)

Year of Election or Appointment: 2016

Anti-Money Laundering (AML) Officer

Mr. Papandrea also serves as AML Officer of other funds. Mr. Papandrea is Vice President of FMR LLC (diversified financial services company, 2008-present) and is an employee of Fidelity Investments (2005-present).

Jason P. Pogorelec (1975)

Year of Election or Appointment: 2015

Assistant Secretary

Mr. Pogorelec also serves as Assistant Secretary of other funds. Mr. Pogorelec serves as Vice President, Associate General Counsel (2010-present) and is an employee of Fidelity Investments (2006-present).

Nancy D. Prior (1967)

Year of Election or Appointment: 2014

Vice President

Ms. Prior also serves as Vice President of other funds. Ms. Prior serves as a Director of FMR Investment Management (U.K.) Limited (investment adviser firm, 2015-present), President (2016-present) and Director (2014-present) of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm), President, Fixed Income (2014-present), Vice Chairman of FIAM LLC (investment adviser firm, 2014-present), and is an employee of Fidelity Investments (2002-present). Previously, Ms. Prior served as Vice President of Fidelity's Money Market Funds (2012-2014), President, Money Market and Short Duration Bond Group of Fidelity Management & Research (FMR) (investment adviser firm, 2013-2014), President, Money Market Group of FMR (2011-2013), Managing Director of Research (2009-2011), Senior Vice President and Deputy General Counsel (2007-2009), and Assistant Secretary of certain Fidelity® funds (2008-2009).

Stacie M. Smith (1974)

Year of Election or Appointment: 2013

Assistant Treasurer

Ms. Smith also serves as an officer of other funds. She is an employee of Fidelity Investments (2009-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Smith served as Senior Audit Manager of Ernst & Young LLP (1996-2009). Previously, Ms. Smith served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Renee Stagnone (1975)

Year of Election or Appointment: 2016

Assistant Treasurer

Ms. Stagnone also serves as an officer of other funds. Ms. Stagnone is an employee of Fidelity Investments (1997-present). Previously, Ms. Stagnone served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Christine J. Thompson (1958)

Year of Election or Appointment: 2015

Vice President of Fidelity's Bond Funds

Ms. Thompson also serves as Vice President of other funds. Ms. Thompson also serves as Chief Investment Officer of FMR's Bond Group (2010-present) and is an employee of Fidelity Investments (1985-present). Previously, Ms. Thompson served as Vice President of Fidelity's Bond Funds (2010-2012).

Derek L. Young (1964)

Year of Election or Appointment: 2009

Vice President of Fidelity's Asset Allocation Funds

Mr. Young also serves as an officer of other funds. He is a Director of Strategic Advisers, Inc. (investment adviser firm, 2011-present) and FMR Investment Management (U.K.) Limited (investment adviser firm, 2016-present), President of Fidelity Global Asset Allocation (GAA) (2011-present), and Vice Chairman of FIAM LLC (investment adviser firm, 2011-present). Previously, Mr. Young served as Trustee of certain funds (2012-2015), President of Strategic Advisers, Inc. (2011-2015), Chief Investment Officer of GAA (2009-2011), and as a portfolio manager.

Shareholder Expense Example

The Funds invest in Fidelity Central Funds, which are open-end investment companies with similar investment objectives to those of the Funds, available only to other mutual funds and accounts managed by Fidelity Management & Research Company FMR) and its affiliates. In addition to the direct expenses incurred by the Funds presented in the table, as a shareholder of the underlying Fidelity Central Funds, the Funds also indirectly bear their proportionate share of the expenses of the underlying Fidelity Central Funds. These expenses are not included in the Funds' annualized expense ratio used to calculate either the actual or hypothetical expense estimates presented in the table but are summarized in a footnote to the table.

As a shareholder of a 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 Funds 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 (April 1, 2016 to September 30, 2016).

Actual Expenses

The first line of the accompanying table for each class of each 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. 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.

Hypothetical Example for Comparison Purposes

The second line of the accompanying table for each class of each 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. 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.

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.

 Annualized Expense Ratio-A Beginning
Account Value
April 1, 2016 
Ending
Account Value
September 30, 2016 
Expenses Paid
During Period-B
April 1, 2016
to September 30, 2016 
Fidelity Asset Manager 20%     
Class A .83%    
Actual  $1,000.00 $1,036.90 $4.23 
Hypothetical-C  $1,000.00 $1,020.85 $4.19 
Class T 1.09%    
Actual  $1,000.00 $1,035.70 $5.55 
Hypothetical-C  $1,000.00 $1,019.55 $5.50 
Class C 1.60%    
Actual  $1,000.00 $1,034.00 $8.14 
Hypothetical-C  $1,000.00 $1,017.00 $8.07 
Asset Manager 20% .52%    
Actual  $1,000.00 $1,038.50 $2.65 
Hypothetical-C  $1,000.00 $1,022.40 $2.63 
Class I .57%    
Actual  $1,000.00 $1,039.20 $2.91 
Hypothetical-C  $1,000.00 $1,022.15 $2.88 
Fidelity Asset Manager 30%     
Class A .85%    
Actual  $1,000.00 $1,045.30 $4.35 
Hypothetical-C  $1,000.00 $1,020.75 $4.29 
Class T 1.11%    
Actual  $1,000.00 $1,043.90 $5.67 
Hypothetical-C  $1,000.00 $1,019.45 $5.60 
Class C 1.61%    
Actual  $1,000.00 $1,041.60 $8.22 
Hypothetical-C  $1,000.00 $1,016.95 $8.12 
Asset Manager 30% .54%    
Actual  $1,000.00 $1,047.70 $2.76 
Hypothetical-C  $1,000.00 $1,022.30 $2.73 
Class I .60%    
Actual  $1,000.00 $1,046.60 $3.07 
Hypothetical-C  $1,000.00 $1,022.00 $3.03 
Fidelity Asset Manager 40%     
Class A .84%    
Actual  $1,000.00 $1,049.50 $4.30 
Hypothetical-C  $1,000.00 $1,020.80 $4.24 
Class T 1.12%    
Actual  $1,000.00 $1,047.90 $5.73 
Hypothetical-C  $1,000.00 $1,019.40 $5.65 
Class C 1.61%    
Actual  $1,000.00 $1,045.70 $8.23 
Hypothetical-C  $1,000.00 $1,016.95 $8.12 
Asset Manager 40% .54%    
Actual  $1,000.00 $1,051.00 $2.77 
Hypothetical-C  $1,000.00 $1,022.30 $2.73 
Class I .57%    
Actual  $1,000.00 $1,050.80 $2.92 
Hypothetical-C  $1,000.00 $1,022.15 $2.88 
Fidelity Asset Manager 50%     
Class A .96%    
Actual  $1,000.00 $1,054.20 $4.93 
Hypothetical-C  $1,000.00 $1,020.20 $4.85 
Class T 1.22%    
Actual  $1,000.00 $1,053.50 $6.26 
Hypothetical-C  $1,000.00 $1,018.90 $6.16 
Class C 1.72%    
Actual  $1,000.00 $1,050.60 $8.82 
Hypothetical-C  $1,000.00 $1,016.40 $8.67 
Asset Manager 50% .65%    
Actual  $1,000.00 $1,056.20 $3.34 
Hypothetical-C  $1,000.00 $1,021.75 $3.29 
Class I .70%    
Actual  $1,000.00 $1,056.00 $3.60 
Hypothetical-C  $1,000.00 $1,021.50 $3.54 
Fidelity Asset Manager 60%     
Class A 1.03%    
Actual  $1,000.00 $1,059.40 $5.30 
Hypothetical-C  $1,000.00 $1,019.85 $5.20 
Class T 1.29%    
Actual  $1,000.00 $1,057.80 $6.64 
Hypothetical-C  $1,000.00 $1,018.55 $6.51 
Class C 1.78%    
Actual  $1,000.00 $1,055.40 $9.15 
Hypothetical-C  $1,000.00 $1,016.10 $8.97 
Asset Manager 60% .71%    
Actual  $1,000.00 $1,061.10 $3.66 
Hypothetical-C  $1,000.00 $1,021.45 $3.59 
Class I .74%    
Actual  $1,000.00 $1,061.00 $3.81 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Fidelity Asset Manager 70%     
Class A 1.02%    
Actual  $1,000.00 $1,062.30 $5.26 
Hypothetical-C  $1,000.00 $1,019.90 $5.15 
Class T 1.28%    
Actual  $1,000.00 $1,061.20 $6.60 
Hypothetical-C  $1,000.00 $1,018.60 $6.46 
Class C 1.78%    
Actual  $1,000.00 $1,058.80 $9.16 
Hypothetical-C  $1,000.00 $1,016.10 $8.97 
Asset Manager 70% .72%    
Actual  $1,000.00 $1,064.40 $3.72 
Hypothetical-C  $1,000.00 $1,021.40 $3.64 
Class I .74%    
Actual  $1,000.00 $1,064.30 $3.82 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Fidelity Asset Manager 85%     
Class A 1.05%    
Actual  $1,000.00 $1,068.20 $5.43 
Hypothetical-C  $1,000.00 $1,019.75 $5.30 
Class T 1.32%    
Actual  $1,000.00 $1,066.60 $6.82 
Hypothetical-C  $1,000.00 $1,018.40 $6.66 
Class C 1.80%    
Actual  $1,000.00 $1,063.90 $9.29 
Hypothetical-C  $1,000.00 $1,016.00 $9.07 
Asset Manager 85% .74%    
Actual  $1,000.00 $1,069.60 $3.83 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Class I .75%    
Actual  $1,000.00 $1,069.80 $3.88 
Hypothetical-C  $1,000.00 $1,021.25 $3.79 

 A Annualized expense ratio reflects expenses net of applicable fee waivers.

 B Expenses are equal to each Class' annualized expense ratio, multiplied by the average account value over the period, multiplied by 183/ 366 (to reflect the one-half year period). The fees and expenses of the underlying Fidelity Central Funds in which the Fund invests are not included in each Class' annualized expense ratio. In addition to the expenses noted above, the Fund also indirectly bears its proportional share of the expenses of the underlying Fidelity Central Funds. Annualized expenses of the underlying Fidelity Central Funds as of their most recent fiscal half year ranged from less than .005% to .09%.

 C 5% return per year before expenses


Distributions (Unaudited)

The funds hereby designate as capital gain dividend the amounts noted below for the taxable year ended September 30, 2016, or, if subsequently determined to be different, the net capital gain of such year.

Fidelity Asset Manager 20% $27,018,098 
Fidelity Asset Manager 30% $2,276,861 
Fidelity Asset Manager 40% $3,061,075 
Fidelity Asset Manager 50% $56,868,271 
Fidelity Asset Manager 60% $5,761,313 
Fidelity Asset Manager 70% $20,299,396 
Fidelity Asset Manager 85% $7,299,198 

A percentage of the dividends distributed during the fiscal year for the following funds were derived from interest on U.S. Government securities which is generally exempt from state income tax

Fidelity Asset Manager 20%  
Class A 3.77% 
Class T 3.77% 
Class B 3.77% 
Class C 3.77% 
Asset Manager 20% 3.77% 
Class I 3.77% 
Fidelity Asset Manager 30%  
Class A 3.55% 
Class T 3.55% 
Class B 3.55% 
Class C 3.55% 
Asset Manager 30% 3.55% 
Class I 3.55% 
Fidelity Asset Manager 40%  
Class A 3.29% 
Class T 3.29% 
Class B 3.29% 
Class C 3.29% 
Asset Manager 40% 3.29% 
Class I 3.29% 
Fidelity Asset Manager 50%  
Class A 2.93% 
Class T 2.93% 
Class B 2.93% 
Class C 2.93% 
Asset Manager 50% 2.93% 
Class I 2.93% 
Fidelity Asset Manager 60%  
Class A 2.38% 
Class T 2.38% 
Class B 2.38% 
Class C 2.38% 
Asset Manager 60% 2.38% 
Class I 2.38% 
Fidelity Asset Manager 70%  
Class A 1.73% 
Class T 1.73% 
Class B 1.73% 
Class C 1.73% 
Asset Manager 70% 1.73% 
Class I 1.73% 
Fidelity Asset Manager 85%  
Class A 0.87% 
Class T 0.87% 
Class B 0.87% 
Class C 0.87% 
Asset Manager 85% 0.87% 
Class I 0.87% 

The funds hereby designate the amounts noted below as distributions paid during the period January 1, 2016 to September 30, 2016 as qualifying to be taxed as interest-related dividends for nonresident alien shareholders:

Fidelity Asset Manager 20% $55,061,114 
Fidelity Asset Manager 30% $11,058,409 
Fidelity Asset Manager 40% $9,368,368 
Fidelity Asset Manager 50% $62,419,040 

A percentage of the dividends distributed during the fiscal year for the following funds qualify for the dividends–received deduction for corporate shareholders:

 Class A Class T Class B Class C Retail Class I 
Fidelity Asset Manager 20%       
December 2015 7% 8% 9% 9% 7% 7% 
February 2016 12% 15% 26% 26% 10% 10% 
March 2016 12% 15% 27% 24% 10% 10% 
April 2016 12% 14% 21% 19% 10% 10% 
May 2016 12% 15% 30% 30% 10% 10% 
June 2016 12% 15% 26% 26% 10% 10% 
July 2016 12% 14% N/A 22% 10% 10% 
August 2016 13% 16% N/A 40% 10% 10% 
September 2016 13% 15% N/A 30% 10% 11% 
Fidelity Asset Manager 30%       
December 2015 11% 12% 15% 14% 10% 10% 
February 2016 19% 25% 58% 58% 15% 15% 
March 2016 18% 22% 37% 37% 15% 15% 
April 2016 17% 19% 28% 28% 15% 15% 
May 2016 17% 22% 44% 37% 15% 15% 
June 2016 17% 20% 30% 30% 15% 15% 
July 2016 17% 21% N/A 30% 15% 16% 
August 2016 19% 24% N/A 48% 15% 15% 
September 2016 17% 22% N/A 37% 15% 15% 
Fidelity Asset Manager 40%       
December 2015 14% 16% 25% 22% 13% 13% 
April 2016 33% 44% 77% 77% 27% 28% 
July 2016 33% 40% N/A 64% 28% 28% 
Fidelity Asset Manager 50%       
December 2015 15% 16% 21% 21% 13% 13% 
April 2016 45% 59% 100% 100% 36% 37% 
July 2016 43% 51% N/A 85% 36% 37% 
Fidelity Asset Manager 60%       
December 2015 32% 38% 89% 58% 26% 27% 
Fidelity Asset Manager 70%       
December 2015 41% 50% 100% 84% 33% 34% 
Fidelity Asset Manager 85%       
December 2015 62% 82% 0% 100% 50% 51% 

A percentage of the dividends distributed during the fiscal year for the following funds may be taken into account as a dividend for purposes of the maximum rate under section 1(h)(11) of the Internal Revenue Code.

 Class A Class T Class B Class C Retail Class I 
Fidelity Asset Manager 20%       
December 2015 10% 11% 12% 12% 9% 9% 
February 2016 19% 24% 41% 41% 16% 16% 
March 2016 19% 23% 43% 37% 16% 16% 
April 2016 19% 22% 33% 30% 16% 16% 
May 2016 19% 24% 47% 47% 16% 16% 
June 2016 19% 24% 41% 41% 16% 16% 
July 2016 19% 22% N/A 35% 16% 16% 
August 2016 21% 25% N/A 63% 16% 16% 
September 2016 20% 24% N/A 47% 16% 17% 
Fidelity Asset Manager 30%       
December 2015 15% 16% 20% 20% 13% 14% 
February 2016 35% 45% 100% 100% 26% 26% 
March 2016 33% 39% 65% 65% 26% 26% 
April 2016 30% 35% 50% 50% 27% 27% 
May 2016 30% 39% 78% 65% 26% 26% 
June 2016 30% 35% 53% 53% 27% 27% 
July 2016 31% 38% N/A 52% 26% 28% 
August 2016 34% 42% N/A 84% 26% 26% 
September 2016 30% 39% N/A 65% 26% 26% 
Fidelity Asset Manager 40%       
December 2015 19% 21% 32% 28% 16% 17% 
April 2016 56% 75% 100% 100% 47% 48% 
July 2016 55% 68% N/A 100% 47% 48% 
Fidelity Asset Manager 50%       
December 2015 19% 21% 26% 26% 17% 17% 
April 2016 79% 100% 100% 100% 63% 65% 
July 2016 75% 90% N/A 100% 63% 65% 
Fidelity Asset Manager 60%       
December 2015 59% 69% 100% 100% 49% 50% 
Fidelity Asset Manager 70%       
December 2015 74% 91% 100% 100% 61% 62% 
Fidelity Asset Manager 85%       
December 2015 100% 100% 0% 100% 83% 85% 

The funds will notify shareholders in January 2017 of amounts for use in preparing 2016 income tax returns.

Board Approval of Investment Advisory Contracts and Management Fees

Fidelity Asset Manager 20%
Fidelity Asset Manager 30%
Fidelity Asset Manager 40%
Fidelity Asset Manager 50%
Fidelity Asset Manager 60%
Fidelity Asset Manager 70%
Fidelity Asset Manager 85%

Each year, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract with Fidelity Management & Research Company (FMR) and the sub-advisory agreements (together, the Advisory Contracts) for each fund. The Board, assisted by the advice of fund counsel and Independent Trustees' counsel, requests and considers a broad range of information relevant to the renewal of the Advisory Contracts throughout the year.

The Board meets regularly and, at each of its meetings, covers an extensive agenda of topics and materials and considers factors that are relevant to its annual consideration of the renewal of each fund's Advisory Contracts, including the services and support provided to each fund and its shareholders. The Board has established four standing committees (Committees) — Operations, Audit, Fair Valuation, and Governance and Nominating — each composed of and chaired by 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. The Operations Committee, of which all of the Independent Trustees are members, meets regularly throughout the year and considers, among other matters, information specifically related to the annual consideration of the renewal of each fund's Advisory Contracts. The Board, acting directly and through its Committees, requests and receives information concerning the annual consideration of the renewal of each fund's Advisory Contracts. The Board also meets as needed to consider matters specifically related to the Board's annual consideration of the renewal of the Advisory Contracts. Members of the Board may also meet with trustees of other Fidelity funds through ad hoc joint committees to discuss certain matters relevant to all of the Fidelity funds.

At its September 2016 meeting, the Board unanimously determined to renew each fund's Advisory Contracts. 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 each fund and its shareholders (including the investment performance of each fund); (ii) the competitiveness of each fund's management fee and total expense ratio relative to peer funds; (iii) the total costs of the services to be provided by and the profits to be realized by Fidelity from its relationships with each fund; and (iv) the extent to which, if any, economies of scale exist and would be realized as each fund grows, and whether any economies of scale are appropriately shared with fund shareholders.

In considering whether to renew the Advisory Contracts for each fund, the Board reached a determination, with the assistance of fund counsel and Independent Trustees' counsel and through the exercise of its business judgment, that the renewal of the Advisory Contracts was in the best interests of each fund and its shareholders and that the compensation payable under the Advisory Contracts was fair and reasonable. The Board's decision to renew the Advisory Contracts was not based on any single factor, but rather was based on a comprehensive consideration of all the information provided to the Board at its meetings throughout the year. The Board, in reaching its determination to renew the Advisory Contracts, was aware that shareholders of each fund have a broad range of investment choices available to them, including a wide choice among funds offered by Fidelity's competitors, and that each fund's shareholders, who have the opportunity to review and weigh the disclosure provided by the fund in its prospectus and other public disclosures, have chosen to invest in that fund, which is part of the Fidelity family of funds.

Nature, Extent, and Quality of Services Provided.  The Board considered Fidelity's staffing as it relates to the funds, including the backgrounds of investment personnel of Fidelity, and also considered the funds' investment objectives, strategies, and related investment philosophies. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the investment personnel compensation program and whether this structure provides appropriate incentives to act in the best interests of each fund. Additionally, the Board considered the portfolio managers' investments, if any, in the funds that they manage.

Resources Dedicated to Investment Management and Support Services.  The Board reviewed the general qualifications and capabilities of Fidelity's investment staff, including its size, education, experience, and resources, as well as Fidelity's approach to recruiting, managing, and compensating investment personnel. The Board noted that Fidelity has continued to increase the resources devoted to non-U.S. offices, including expansion of Fidelity's global investment organization. The Board also noted that Fidelity's analysts have extensive resources, tools and capabilities that allow them to conduct sophisticated quantitative and fundamental analysis, as well as credit analysis of issuers, counterparties and guarantors. Further, the Board considered that Fidelity's investment professionals have sufficient access to global information and data so as to provide competitive investment results over time, and that those professionals also have access to sophisticated tools that permit them to assess portfolio construction and risk and performance attribution characteristics continuously, as well as to transmit new information and research conclusions rapidly around the world. Additionally, in its deliberations, the Board considered Fidelity's trading, risk management, compliance, and technology and operations capabilities and resources, which are integral parts of the investment management process.

Shareholder and Administrative Services.  The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, and shareholder services performed by FMR, the sub-advisers (together with FMR, 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 each fund; (ii) the nature and extent of the supervision of third party service providers, principally custodians, subcustodians, and pricing vendors; and (iii) the resources devoted to, and the record of compliance with, each fund's compliance policies and procedures. The Board also 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 noted that the growth of fund assets over time 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 telephone representatives and over the Internet, investor education materials and asset allocation tools, and the expanded availability of Fidelity Investor Centers.

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 a large variety of mutual fund investor services. The Board noted that Fidelity had taken, or had made recommendations that resulted in the Fidelity funds taking, a number of actions over the previous year that benefited particular funds, including: (i) continuing to dedicate additional resources to investment research and to the support of the senior management team that oversees asset management; (ii) continuing efforts to enhance Fidelity's global research capabilities; (iii) launching new funds and making other enhancements to meet client needs; (iv) broadening eligibility requirements for certain lower-priced share classes of, and streamlining the fee structure for, certain existing equity index funds; (v) lowering expense caps for certain existing funds and classes to reduce expenses paid by shareholders; (vi) eliminating redemption fees for certain variable insurance product funds and classes; (vii) continuing to launch dedicated lower cost underlying funds to meet portfolio construction needs related to expanding underlying fund options for Fidelity funds of funds, specifically for the Freedom Fund product lines; (viii) launching a lower cost share class for use by the Freedom Index Fund product line; (ix) rationalizing product lines and gaining increased efficiencies through fund mergers and share class consolidations; (x) continuing to develop, acquire and implement systems and technology to improve services to the funds and shareholders, strengthen information security, and increase efficiency; (xi) implementing investment enhancements to further strengthen Fidelity's target date product line to increase investors' probability of success in achieving their goals; (xii) accelerating the conversion of all remaining Class B shares to Class A shares, which have a lower expense structure; and (xiii) implementing changes to Fidelity's money market fund product line in response to recent regulatory reforms.

Investment Performance.  The Board considered whether each fund has operated in accordance with its investment objective, as well as its record of compliance with its investment restrictions and its performance history.

The Board took into account discussions with representatives of the Investment Advisers about fund investment performance that occur at Board meetings throughout the year. In this regard the Board noted that as part of regularly scheduled fund reviews and other reports to the Board on fund performance, the Board considers annualized return information for each fund for different time periods, measured against one or more securities market indices, including a customized blended index representative of the fund's asset classes (each a "benchmark index") and a peer group of funds with similar objectives ("peer group"), if any. In its evaluation of fund investment performance at meetings throughout the year, the Board gave particular attention to information indicating underperformance of certain Fidelity funds for specific time periods and discussed with the Investment Advisers the reasons for such underperformance.

In addition to reviewing absolute and relative fund performance, the Independent Trustees periodically consider the appropriateness of fund performance metrics in evaluating the results achieved. In general, the Independent Trustees believe that fund performance should be evaluated based on gross performance (before fees and expenses but after transaction costs) compared to appropriate benchmark indices, over appropriate time periods that may include full market cycles, and on net performance (after fees and expenses) compared to peer groups, as applicable, over the same periods, taking into account relevant factors including the following: general market conditions; expectations for interest rate levels and credit conditions; issuer-specific information including credit quality; and fund cash flows and other factors. Depending on the circumstances, the Independent Trustees may be satisfied with a fund's performance notwithstanding that it lags its benchmark index or peer group for certain periods.

The Independent Trustees recognize that shareholders evaluate performance on a net basis over their own holding periods, for which one-, three-, and five-year periods are often used as a proxy. For this reason, the performance information reviewed by the Board also included net cumulative calendar year total return information for each fund and an appropriate benchmark index and peer group for the most recent one-, three-, and five-year periods.

Based on its review, the Board concluded that the nature, extent, and quality of services provided to each fund under the Advisory Contracts should continue to benefit the shareholders of each fund.

Competitiveness of Management Fee and Total Expense Ratio.  The Board considered each fund's management fee and total expense ratio compared to "mapped groups" of competitive funds and classes created for the purpose of facilitating the Trustees' competitive analysis of management fees and total expenses. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable investment mandates. Combining Lipper investment objective categories aids the Board's management fee and total expense ratio comparisons by broadening the competitive group used for comparison.

Management Fee.  The Board considered two proprietary management fee comparisons for the 12-month periods shown in basis points (BP) in the charts 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 in terms of gross management fees before expense reimbursements or caps relative to the total universe of funds with comparable investment mandates, regardless of whether their management fee structures also are comparable. Funds with comparable investment mandates offer exposure to similar types of securities. Funds with comparable management fee structures have similar management fee contractual arrangements (e.g., flat rate charged for advisory services, all-inclusive fee rate, etc.). "TMG %" represents the percentage of funds in the Total Mapped Group that had management fees that were lower than a fund's. For example, a hypothetical TMG % of 20% would mean that 80% of the funds in the Total Mapped Group had higher, and 20% had lower, management fees than a fund. The funds' actual TMG %s and the number of funds in the Total Mapped Group are in the charts below. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to a subset of non-Fidelity funds within the Total Mapped Group that are similar in size and management fee structure. For example, if a fund is in the first quartile of the ASPG, the fund's management fee ranks in the least expensive or lowest 25% of funds in the ASPG. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee structures, 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 a fund's management fee rate ranked, is also included in the charts and considered by the Board.

Fidelity Asset Manager 20%


Fidelity Asset Manager 30%


Fidelity Asset Manager 40%


Fidelity Asset Manager 50%


Fidelity Asset Manager 60%


Fidelity Asset Manager 70%


Fidelity Asset Manager 85%


The Board noted that each fund's management fee rate ranked below the median of its Total Mapped Group and below the median of its ASPG for 2015.

The Board noted that, in 2014, the ad hoc Committee on Group Fee was formed by it and the boards of other Fidelity funds to conduct an in-depth review of the "group fee" component of the management fee of funds with such management fee structures. The Committee's focus included the mechanics of the group fee, the competitive landscape of group fee structures, Fidelity funds with no group fee component and investment products not included in group fee assets. The Board also considered that, for funds subject to the group fee, FMR agreed to voluntarily waive fees over a specified period of time in amounts designed to account for assets converted from certain funds to certain collective investment trusts.

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

Total Expense Ratio.  In its review of the total expense ratio of each class of each fund, the Board considered the fund's management fee rate 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 that Fidelity may agree to waive fees and expenses from time to time, and the extent to which, if any, it has done so for the funds. As part of its review, the Board also considered the current and historical total expense ratios of each class of each fund compared to competitive fund median expenses. Each class of each 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 expense ratio of each class of Fidelity Asset Manager 20% ranked below the competitive median for 2015.

The Board noted that the total expense ratio of each of Class A, Class C, Class I, and the retail class of each of Fidelity Asset Manager 30%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70%, and Fidelity Asset Manager 85% ranked below the competitive median for 2015 and the total expense ratio of Class T of each of Fidelity Asset Manager 30%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70%, and Fidelity Asset Manager 85% ranked above the competitive median for 2015.

The Board noted that the total expense ratio of each of Class A, Class C, Class I, and the retail class of Fidelity Asset Manager 40% ranked below the competitive median for 2015 and the total expense ratio of Class T ranked equal to the competitive median for 2015.

The Board considered that, in general, various factors can affect total expense ratios. The Board noted that the total expense ratio of Class T of certain funds was above the competitive median primarily because of higher 12b-1 fees on Class T as compared to most competitor funds. Class T has a higher 12b-1 fee, but a lower front-end sales charge, than traditionally priced front-end sales charge classes. The Board considered that Class T is primarily sold load-waived in the retirement plan market where its 0.50% 12b-1 fee is comparable to competing no-load, higher 12b-1 fee classes designed specifically for retirement plans. The Board noted that each fund offers multiple classes, each of which has a different sales load and 12b-1 fee structure, and that the multiple structures are intended to offer a range of pricing options for the intermediary market. The Board also noted that the total expense ratios of the classes of each fund vary primarily by the level of their 12b-1 fees, although differences in transfer agent fees may also cause expenses to vary from class to class.

Fees Charged to Other Fidelity Clients.  The Board also considered Fidelity fee structures and other information with respect to clients of Fidelity, such as other funds advised or subadvised by Fidelity, pension plan clients, and other institutional clients with similar mandates. The Board noted that an ad hoc joint committee created by it and the boards of other Fidelity funds periodically (most recently in 2013) reviews and compares Fidelity's institutional investment advisory business with its business of providing services to the Fidelity funds, including the differences in services provided, fees charged, and costs incurred, as well as competition in their respective marketplaces.

Based on its review of total expense ratios and fees charged to other Fidelity clients, the Board concluded that, although some classes were above the median of the universe presented for comparison, the total expense ratio of each class of each fund was 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 each fund and servicing each fund's shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, Fidelity presents to the Board information about the profitability of its relationships with each fund. Fidelity calculates profitability information for each fund, as well as aggregate profitability information for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the books and records of Fidelity on which Fidelity's audited financial statements are based. 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 Fidelity's profitability analysis. PwC's engagement includes the review and assessment of the methodologies used by Fidelity in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures in respect of the mathematical accuracy of the fund profitability information and its conformity to established allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board concluded that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board also reviewed Fidelity's non-fund businesses and 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 funds' business.

The Board considered the costs of the services provided by and the profits realized by Fidelity in connection with the operation of each fund and was satisfied that the profitability was not excessive.

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 each 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 each fund will benefit from economies of scale as assets grow through increased services to the fund, through waivers or reimbursements, or through fee or expense ratio reductions. The Board also noted that a committee (the Economies of Scale Committee) created by it and the boards of other Fidelity funds periodically (most recently in 2013) analyzes whether Fidelity attains economies of scale in respect of the management and servicing of the Fidelity funds, whether the Fidelity funds have appropriately benefited from such economies of scale, and whether there is potential for realization of any further economies of scale.

The Board recognized that each fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total group assets increase, and for higher group fee rates as total group assets decrease (with "group assets" defined to include fund assets under FMR's management plus the assets of sector funds previously under FMR's management). FMR calculates the group fee rates based on a tiered asset "breakpoint" schedule that varies based on asset class. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total Fidelity 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 concluded that, given the group fee structure, fund shareholders will benefit from lower management fees as group assets increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board concluded, taking into account the analysis of the Economies of Scale Committee, that economies of scale, if any, are being appropriately shared between fund shareholders and Fidelity.

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 certain topics, including: (i) Fidelity's fund profitability methodology, profitability trends for certain funds, and the impact of certain factors on fund profitability results; (ii) portfolio manager changes that have occurred during the past year and the amount of the investment that each portfolio manager has made in the Fidelity fund(s) that he or she manages; (iii) Fidelity's compensation structure for portfolio managers, research analysts, and other key personnel, including its effects on fund profitability, the rationale for the compensation structure, and the extent to which current market conditions have affected retention and recruitment; (iv) the arrangements with and compensation paid to certain fund sub-advisers on behalf of the Fidelity funds; (v) Fidelity's voluntary waiver of its fees to maintain minimum yields for certain money market funds and classes as well as contractual waivers in place for certain funds; (vi) the methodology with respect to competitive fund data and peer group classifications; (vii) Fidelity's transfer agent fee, expense, and service structures for different funds and classes relative to competitive trends, and the impact of the increased use of omnibus accounts; (viii) Fidelity's long-term expectations for its offerings in the workplace investing channel; (ix) new developments in the retail and institutional marketplaces; (x) the approach to considering "fall-out" benefits; and (xi) the impact of money market reform on Fidelity's money market funds, including with respect to costs and profitability. In addition, the Board considered its discussions with Fidelity throughout the year regarding enhanced information security initiatives and the funds' fair valuation policies.

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

Proxy Voting Results

A special meeting of shareholders was held on November 18, 2015. 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 elect a Board of Trustees. 
 # of
Votes 
% of
Votes 
Elizabeth S. Acton   
Affirmative 14,943,915,330.95 96.336 
Withheld 568,375,299.84 3.664 
TOTAL 15,512,290,630.79 100.000 
John Engler   
Affirmative 14,882,992,640.02 95.944 
Withheld 629,297,990.77 4.056 
TOTAL 15,512,290,630.79 100.000 
Albert R. Gamper, Jr.   
Affirmative 14,876,209,021.25 95.900 
Withheld 636,081,609.54 4.100 
TOTAL 15,512,290,630.79 100.000 
Robert F. Gartland   
Affirmative 14,911,998,079.07 96.131 
Withheld 600,292,551.72 3.869 
TOTAL 15,512,290,630.79 100.000 
Abigail P. Johnson   
Affirmative 14,938,566,748.36 96.302 
Withheld 573,723,882.43 3.698 
TOTAL 15,512,290,630.79 100.000 
Arthur E. Johnson   
Affirmative 14,924,734,316.31 96.213 
Withheld 587,556,314.48 3.787 
TOTAL 15,512,290,630.79 100.000 
Michael E. Kenneally   
Affirmative 14,957,076,322.58 96.421 
Withheld 555,214,308.21 3.579 
TOTAL 15,512,290,630.79 100.000 
James H. Keyes   
Affirmative 14,883,069,701.12 95.944 
Withheld 629,220,929.67 4.056 
TOTAL 15,512,290,630.79 100.000 
Marie L. Knowles   
Affirmative 14,926,474,549.99 96.224 
Withheld 585,816,080.80 3.776 
TOTAL 15,512,290,630.79 100.000 
Geoffrey A. von Kuhn   
Affirmative 14,911,889,870.77 96.130 
Withheld 600,400,760.02 3.870 
TOTAL 15,512,290,630.79 100.000 
Proposal 1 reflects trust wide proposal and voting results. 





Fidelity Investments

AR-ANN-1116
1.878277.108




Fidelity Advisor Asset Manager® Funds - 20%, 30%, 40%, 50%, 60%, 70%, 85%
Class A, Class T, Class C and Class I










Annual Report

September 30, 2016

Each Class A, Class T, Class C and Class I are classes of Fidelity Asset Manager® Funds




Fidelity Investments


Contents

Performance

Management's Discussion of Fund Performance

Fidelity Asset Manager® 20%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 30%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 40%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 50%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 60%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 70%

Investment Summary

Investments

Financial Statements

Fidelity Asset Manager® 85%

Investment Summary

Investments

Financial Statements

Notes to Financial Statements

Report of Independent Registered Public Accounting Firm

Trustees and Officers

Shareholder Expense Example

Distributions

Board Approval of Investment Advisory Contracts and Management Fees

Proxy Voting Results


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/proxyvotingresults or visit the Securities and Exchange Commission's (SEC) web site at http://www.sec.gov.

You may also call 1-877-208-0098 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. © 2016 FMR LLC. All rights reserved.



This report and the financial statements contained herein are submitted for the general information of the shareholders of the Funds. This report is not authorized for distribution to prospective investors in the Funds 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, http://www.institutional.fidelity.com, or http://www.401k.com, as applicable.

NOT FDIC INSURED •MAY LOSE VALUE •NO BANK GUARANTEE

Neither the Funds nor Fidelity Distributors Corporation is a bank.



Fidelity Asset Manager® 20%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Class A (incl. 5.75% sales charge) 0.08% 3.25% 3.32% 
Class T (incl. 3.50% sales charge) 2.22% 3.46% 3.29% 
Class C (incl. contingent deferred sales charge) 4.49% 3.68% 3.14% 
Class I 6.56% 4.76% 4.22% 

 Class A shares bear a 0.25% 12b-1 fee. The initial offering of Class A shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 20%, the original class of the fund, which has no 12b-1 fee. Had Class A's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class T shares bear a 0.50% 12b-1 fee. The initial offering of Class T shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 20%, the original class of the fund, which has no 12b-1 fee. Had Class T's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class C shares bear a 1.00% 12b-1 fee. The initial offering of Class C shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 20%, the original class of the fund, which has no 12b-1 fee. Had Class C's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class C shares' contingent deferred sales charges included in the past one year, past five years and past ten years total return figures are 1%, 0% and 0%, respectively. 

 The initial offering of Class I shares took place on October 2, 2006. Returns prior to October 2, 2006 are those of Fidelity Asset Manager® 20%, the original class of the fund. 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 20% - Class A on September 30, 2006, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.

See above for additional information regarding the performance of Class A.


Period Ending Values

$13,860Fidelity Advisor Asset Manager® 20% - Class A

$15,965Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 30%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Class A (incl. 5.75% sales charge) 1.43% 4.58% 3.15% 
Class T (incl. 3.50% sales charge) 3.57% 4.80% 3.16% 
Class C (incl. contingent deferred sales charge) 5.85% 5.04% 3.06% 
Class I 7.80% 6.10% 4.09% 

 A From October 9, 2007


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

$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 30% - Class A on October 9, 2007, when the fund started, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.


Period Ending Values

$13,218Fidelity Advisor Asset Manager® 30% - Class A

$15,195Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 40%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Class A (incl. 5.75% sales charge) 2.20% 5.75% 3.32% 
Class T (incl. 3.50% sales charge) 4.34% 5.96% 3.32% 
Class C (incl. contingent deferred sales charge) 6.62% 6.19% 3.22% 
Class I 8.67% 7.28% 4.26% 

 A From October 9, 2007


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

$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 40% - Class A on October 9, 2007, when the fund started, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the Barclays® U.S. Aggregate Bond Index performed over the same period.


Period Ending Values

$13,413Fidelity Advisor Asset Manager® 40% - Class A

$15,195Barclays® U.S. Aggregate Bond Index

Fidelity Asset Manager® 50%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Class A (incl. 5.75% sales charge) 2.91% 6.74% 4.39% 
Class T (incl. 3.50% sales charge) 5.15% 6.99% 4.38% 
Class C (incl. contingent deferred sales charge) 7.42% 7.21% 4.21% 
Class I 9.53% 8.29% 5.30% 

 Class A shares bear a 0.25% 12b-1 fee. The initial offering of Class A shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 50%, the original class of the fund, which has no 12b-1 fee. Had Class A's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class T shares bear a 0.50% 12b-1 fee. The initial offering of Class T shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 50%, the original class of the fund, which has no 12b-1 fee. Had Class T's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class C shares bear a 1.00% 12b-1 fee. The initial offering of Class C shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 50%, the original class of the fund, which has no 12b-1 fee. Had Class C's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class C shares' contingent deferred sales charges included in the past one year, past five years and past ten years total return figures are 1%, 0% and 0%, respectively. 

 The initial offering of Class I shares took place on October 2, 2006. Returns prior to October 2, 2006 are those of Fidelity Asset Manager® 50%, the original class of the fund. 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 50% - Class A on September 30, 2006, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.

See above for additional information regarding the performance of Class A.


Period Ending Values

$15,360Fidelity Advisor Asset Manager® 50% - Class A

$20,114S&P 500® Index

Fidelity Asset Manager® 60%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Class A (incl. 5.75% sales charge) 3.77% 7.73% 3.50% 
Class T (incl. 3.50% sales charge) 5.85% 7.95% 3.50% 
Class C (incl. contingent deferred sales charge) 8.27% 8.20% 3.40% 
Class I 10.37% 9.31% 4.45% 

 A From October 9, 2007


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

$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 60% - Class A on October 9, 2007, when the fund started, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.


Period Ending Values

$13,627Fidelity Advisor Asset Manager® 60% - Class A

$16,841S&P 500® Index

Fidelity Asset Manager® 70%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Class A (incl. 5.75% sales charge) 4.21% 8.69% 4.59% 
Class T (incl. 3.50% sales charge) 6.45% 8.92% 4.62% 
Class C (incl. contingent deferred sales charge) 8.78% 9.16% 4.59% 
Class I 10.92% 10.29% 5.45% 

 Class A shares bear a 0.25% 12b-1 fee. The initial offering of Class A shares took place on September 23, 2008. Returns prior to September 23, 2008, are those of Fidelity Asset Manager® 70%, the original class of the fund, which has no 12b-1 fee. Had Class A's 12b-1 fee been reflected, returns prior to September 23, 2008, would have been lower. 

 Class T shares bear a 0.50% 12b-1 fee. The initial offering of Class T shares took place on September 23, 2008. Returns prior to September 23, 2008, are those of Fidelity Asset Manager® 70%, the original class of the fund, which has no 12b-1 fee. Had Class T's 12b-1 fee been reflected, returns prior to September 23, 2008, would have been lower. 

 Class C shares bear a 1.00% 12b-1 fee. The initial offering of Class C shares took place on September 23, 2008. Returns prior to September 23, 2008, are those of Fidelity Asset Manager® 70%, the original class of the fund, which has no 12b-1 fee. Had Class C's 12b-1 fee been reflected, returns prior to September 23, 2008, would have been lower. 

 Class C shares' contingent deferred sales charges included in the past one year, past five years and past ten years total return figures are 1%, 0% and 0%, respectively. 

 The initial offering of Class I shares took place on September 23, 2008. Returns prior to September 23, 2008 are those of Fidelity Asset Manager® 70%, the original class of the fund. 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 70% - Class A on September 30, 2006, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.

See above for additional information regarding the performance of Class A.


Period Ending Values

$15,661Fidelity Advisor Asset Manager® 70% - Class A

$20,114S&P 500® Index

Fidelity Asset Manager® 85%

Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Past 10 years 
Class A (incl. 5.75% sales charge) 5.20% 10.20% 4.78% 
Class T (incl. 3.50% sales charge) 7.42% 10.39% 4.74% 
Class C (incl. contingent deferred sales charge) 9.80% 10.67% 4.60% 
Class I 11.93% 11.82% 5.73% 

 Class A shares bear a 0.25% 12b-1 fee. The initial offering of Class A shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 85%, the original class of the fund, which has no 12b-1 fee. Had Class A's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class T shares bear a 0.50% 12b-1 fee. The initial offering of Class T shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 85%, the original class of the fund, which has no 12b-1 fee. Had Class T's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 Class C shares bear a 1.00% 12b-1 fee. The initial offering of Class C shares took place on October 2, 2006. Returns prior to October 2, 2006, are those of Fidelity Asset Manager® 85%, the original class of the fund, which has no 12b-1 fee. Had Class C's 12b-1 fee been reflected, returns prior to October 2, 2006, would have been lower. 

 The initial offering of Class I shares took place on October 2, 2006. Returns prior to October 2, 2006 are those of Fidelity Asset Manager® 85%, the original class of the fund. 

$10,000 Over 10 Years

Let's say hypothetically that $10,000 was invested in Fidelity Advisor Asset Manager® 85% - Class A on September 30, 2006, and the current 5.75% sales charge was paid.

The chart shows how the value of your investment would have changed, and also shows how the S&P 500® Index performed over the same period.

See above for additional information regarding the performance of Class A.


Period Ending Values

$15,958Fidelity Advisor Asset Manager® 85% - Class A

$20,114S&P 500® Index

Management's Discussion of Fund Performance

Market Recap:  The S&P 500® index rose 15.43% for the year ending September 2016, overcoming uncertainty about the global economy, U.S. Federal Reserve monetary policy and the U.K.’s June vote to leave the European Union (Brexit). Volatility peaked in early 2016, as continued oil-price weakness and U.S.-dollar strength pushed the S&P 500 to its worst January since 2009. Markets regained positive momentum amid U.S. job gains, a rally in energy and materials markets, global economic stimulus and perceived softening of U.S. monetary policy. The June 23 Brexit vote surprised markets, though, and was followed by a two-day near-tumult. Sentiment rebounded rapidly and stayed largely positive through September. For the year, value-oriented and small-cap stocks outperformed. Among S&P 500® sectors, dividend-rich telecom services (+27%) led amid strong demand for yield, especially earlier in the period, as well as increased competition and consolidation. Utilities (+17%) and consumer staples (+16%) also benefited. Added demand for perceived safe-haven investments such as precious metals-related securities boosted materials (+22%). Information technology (+23%) was helped by strong results from some of the largest and best-known tech names. The newly created real estate sector (+17%) finished far ahead of financials (+6%), which was held back by low interest rates that squeezed bank profits.

Comments from Portfolio Manager Geoff Stein:  For the year, the share classes of the seven Asset Manager Funds (excluding sales charges, if applicable) produced gains in the range of roughly 6% to 12%. With the exception of Asset Manager 85%, the Funds mostly outpaced their respective Composite benchmarks. Asset allocation and security selection contributed across all Funds, with the more fixed-income-oriented portfolios benefiting most, fueled by strong selection in the investment-grade bond asset class. My fixed-income allocation strategy of underweighting cash and investment-grade bonds, complemented by various out-of-benchmark positions, aided relative performance. For all but Asset Manager 85%, security selection among investment-grade bonds was the biggest contributor, with picks among government-related securities and corporate bonds adding the most value. Underweighting emerging-markets stocks detracted, while an out-of-benchmark stake in real estate investment trusts (REITs) contributed. Domestic stock selection also helped the Funds’ relative results, whereas selections in foreign developed markets detracted. For the first time in several years, I increased the Funds’ cash levels to about neutral versus the benchmark.

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.

Fidelity Asset Manager® 20%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 10.2 9.9 
Fannie Mae 6.5 5.6 
Freddie Mac 3.2 2.6 
Ginnie Mae 2.0 2.1 
Illinois Gen. Oblig. 1.2 1.4 
 23.1  

Quality Diversification (% of fund's net assets)

As of September 30, 2016 
   U.S. Government and U.S. Government Agency Obligations 21.9% 
   AAA,AA,A 6.9% 
   BBB 13.4% 
   BB and Below 9.3% 
   Not Rated 0.2% 
   Equities* 17.3% 
   Short-Term Investments and Net Other Assets 31.0% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 20.2% 
   AAA,AA,A 8.9% 
   BBB 13.4% 
   BB and Below 10.6% 
   Not Rated 0.3% 
   Equities* 19.4% 
   Short-Term Investments and Net Other Assets 27.2% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.8%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.3 0.3 
Amazon.com, Inc. 0.2 0.2 
Facebook, Inc. Class A 0.2 0.1 
Medtronic PLC 0.2 0.1 
Alphabet, Inc. Class C 0.2 0.1 
 1.1  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 34.9 38.0 
Energy 5.2 5.1 
Consumer Discretionary 4.5 4.8 
Real Estate 3.3 0.0 
Information Technology 3.0 3.4 

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 17.4% 
   Bond Class 51.3% 
   Short-Term Class 31.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


As of March 31, 2016 
   Stock Class and Equity Futures* 20.8% 
   Bond Class 52.9% 
   Short-Term Class 26.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.8%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 12.5% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

Percentages shown as 0.0% may reflect amounts less than 0.05%.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 20%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 17.0%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 7,853,475 $50,105,173 
Fidelity Consumer Discretionary Central Fund (a) 276,084 68,678,608 
Fidelity Consumer Staples Central Fund (a) 225,176 51,340,221 
Fidelity Emerging Markets Equity Central Fund (a) 120,130 24,332,423 
Fidelity Energy Central Fund (a) 324,314 41,337,119 
Fidelity Financials Central Fund (a) 1,340,453 113,590,007 
Fidelity Health Care Central Fund (a) 234,193 81,651,474 
Fidelity Industrials Central Fund (a) 253,258 61,341,585 
Fidelity Information Technology Central Fund (a) 408,540 134,916,295 
Fidelity International Equity Central Fund (a) 1,579,560 118,403,791 
Fidelity Materials Central Fund (a) 88,410 18,861,287 
Fidelity Real Estate Equity Central Fund (a) 314,451 35,580,172 
Fidelity Telecom Services Central Fund (a) 77,717 14,880,458 
Fidelity Utilities Central Fund (a) 121,950 19,868,098 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $496,131,332)  834,886,711 
Fixed-Income Central Funds - 54.2%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 2,623,004 26,780,874 
Fidelity Floating Rate Central Fund (a) 479,493 49,200,757 
Fidelity High Income Central Fund 1 (a) 1,722,053 168,812,887 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  244,794,518 
Investment Grade Fixed-Income Funds - 49.2%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 2,128,987 219,498,579 
Fidelity Investment Grade Bond Central Fund (a) 20,018,251 2,206,811,976 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  2,426,310,555 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $2,454,650,121)  2,671,105,073 
Money Market Central Funds - 28.1%   
Fidelity Cash Central Fund, 0.43% (b) 258,839,890 258,917,542 
Fidelity Money Market Central Fund, 0.86% (b) 1,125,975,423 1,126,200,618 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $1,384,823,112)  1,385,118,160 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.33% 12/1/16   
(Cost $429,760) 430,000 429,880 
 Shares Value 
Investment Companies - 0.8%   
iShares Core MSCI Emerging Markets ETF 780,707 $35,608,046 
iShares S&P 500 Index ETF 11,210 2,438,848 
TOTAL INVESTMENT COMPANIES   
(Cost $37,768,436)  38,046,894 
TOTAL INVESTMENT PORTFOLIO - 100.1%   
(Cost $4,373,802,761)  4,929,586,718 
NET OTHER ASSETS (LIABILITIES) - (0.1)%  (2,864,179) 
NET ASSETS - 100%  $4,926,722,539 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $619,151 
Fidelity Commodity Strategy Central Fund 100,527 
Fidelity Consumer Discretionary Central Fund 1,079,647 
Fidelity Consumer Staples Central Fund 1,166,146 
Fidelity Emerging Markets Debt Central Fund 1,636,599 
Fidelity Emerging Markets Equity Central Fund 459,035 
Fidelity Energy Central Fund 551,110 
Fidelity Financials Central Fund 1,982,516 
Fidelity Floating Rate Central Fund 2,440,065 
Fidelity Health Care Central Fund 601,105 
Fidelity High Income Central Fund 1 14,342,806 
Fidelity Industrials Central Fund 892,185 
Fidelity Inflation-Protected Bond Index Central Fund 36,479 
Fidelity Information Technology Central Fund 996,690 
Fidelity International Equity Central Fund 3,304,552 
Fidelity Investment Grade Bond Central Fund 68,100,228 
Fidelity Materials Central Fund 386,595 
Fidelity Money Market Central Fund 6,657,283 
Fidelity Real Estate Equity Central Fund 1,223,687 
Fidelity Securities Lending Cash Central Fund 56,036 
Fidelity Telecom Services Central Fund 318,388 
Fidelity Utilities Central Fund 535,866 
Total $107,486,696 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $8,696,714 $63,996,333 $26,899,592 $50,105,173 10.6% 
Fidelity Consumer Discretionary Central Fund 69,527,232 2,521,884 7,627,151 68,678,608 4.3% 
Fidelity Consumer Staples Central Fund 47,078,429 2,280,211 3,866,945 51,340,221 4.0% 
Fidelity Emerging Markets Debt Central Fund 23,129,889 2,114,761 1,438,636 26,780,874 22.7% 
Fidelity Emerging Markets Equity Central Fund 10,011,000 14,461,180 2,873,229 24,332,423 5.9% 
Fidelity Energy Central Fund 34,999,849 1,373,760 2,821,123 41,337,119 4.1% 
Fidelity Financials Central Fund 109,655,238 7,427,547 8,522,709 113,590,007 4.5% 
Fidelity Floating Rate Central Fund 48,410,557 3,597,070 3,080,175 49,200,757 3.0% 
Fidelity Health Care Central Fund 78,605,470 4,043,603 6,221,977 81,651,474 4.2% 
Fidelity High Income Central Fund 1 215,697,752 40,283,817 95,327,375 168,812,887 21.2% 
Fidelity Industrials Central Fund 55,272,473 2,192,225 4,484,497 61,341,585 4.5% 
Fidelity Inflation-Protected Bond Index Central Fund 139,715,214 80,981,346 10,664,685 219,498,579 22.8% 
Fidelity Information Technology Central Fund 113,946,781 3,496,065 11,902,105 134,916,295 4.2% 
Fidelity International Equity Central Fund 134,613,233 5,772,501 26,875,579 118,403,791 5.5% 
Fidelity Investment Grade Bond Central Fund 2,319,725,125 133,258,489 329,373,291 2,206,811,976 31.3% 
Fidelity Materials Central Fund 17,208,342 775,714 1,335,939 18,861,287 4.7% 
Fidelity Real Estate Equity Central Fund 52,196,868 2,086,470 26,942,549 35,580,172 20.5% 
Fidelity Telecom Services Central Fund 11,768,054 1,583,661 1,142,473 14,880,458 3.9% 
Fidelity Utilities Central Fund 18,526,202 971,628 1,992,666 19,868,098 4.3% 
Total $3,508,784,422 $373,218,265 $573,392,696 $3,505,991,784  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $834,886,711 $834,886,711 $-- $-- 
Fixed-Income Central Funds 2,671,105,073 2,671,105,073 -- -- 
Money Market Central Funds 1,385,118,160 1,385,118,160 -- -- 
Other Short-Term Investments  429,880 -- 429,880 -- 
Investment Companies 38,046,894 38,046,894 -- -- 
Total Investments in Securities: $4,929,586,718 $4,929,156,838 $429,880 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 87.5% 
United Kingdom 2.4% 
Mexico 1.3% 
Netherlands 1.0% 
Others (Individually Less Than 1%) 7.8% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 20%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $38,198,196) 
$38,476,774  
Fidelity Central Funds (cost $4,335,604,565) 4,891,109,944  
Total Investments (cost $4,373,802,761)  $4,929,586,718 
Receivable for investments sold  4,864,430 
Receivable for fund shares sold  1,940,076 
Distributions receivable from Fidelity Central Funds  84,507 
Prepaid expenses  13,483 
Other receivables  3,078 
Total assets  4,936,492,292 
Liabilities   
Payable for fund shares redeemed $7,583,299  
Accrued management fee 1,676,358  
Distribution and service plan fees payable 43,542  
Other affiliated payables 436,310  
Other payables and accrued expenses 30,244  
Total liabilities  9,769,753 
Net Assets  $4,926,722,539 
Net Assets consist of:   
Paid in capital  $4,690,788,338 
Undistributed net investment income  5,924,233 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (325,773,989) 
Net unrealized appreciation (depreciation) on investments  555,783,957 
Net Assets  $4,926,722,539 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($42,221,217 ÷ 3,188,021 shares)  $13.24 
Maximum offering price per share (100/94.25 of $13.24)  $14.05 
Class T:   
Net Asset Value and redemption price per share ($25,052,225 ÷ 1,895,806 shares)  $13.21 
Maximum offering price per share (100/96.50 of $13.21)  $13.69 
Class C:   
Net Asset Value and offering price per share ($29,337,047 ÷ 2,228,402 shares)(a)  $13.17 
Asset Manager 20%:   
Net Asset Value, offering price and redemption price per share ($4,802,797,440 ÷ 362,107,192 shares)  $13.26 
Class I:   
Net Asset Value, offering price and redemption price per share ($27,314,610 ÷ 2,060,617 shares)  $13.26 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $2,698,285 
Interest  4,267 
Income from Fidelity Central Funds  107,486,696 
Total income  110,189,248 
Expenses   
Management fee $19,662,467  
Transfer agent fees 4,005,804  
Distribution and service plan fees 496,821  
Accounting and security lending fees 1,166,010  
Custodian fees and expenses 1,978  
Independent trustees' fees and expenses 21,140  
Registration fees 174,376  
Audit 40,372  
Legal 17,892  
Miscellaneous (75,039)  
Total expenses before reductions 25,511,821  
Expense reductions (71,853) 25,439,968 
Net investment income (loss)  84,749,280 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 3,324,016  
Fidelity Central Funds (3,165,563)  
Foreign currency transactions 46,465  
Futures contracts 15,071,591  
Capital gain distributions from Fidelity Central Funds 123,366  
Total net realized gain (loss)  15,399,875 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
201,626,384  
Assets and liabilities in foreign currencies 8,058  
Futures contracts 2,584,211  
Total change in net unrealized appreciation (depreciation)  204,218,653 
Net gain (loss)  219,618,528 
Net increase (decrease) in net assets resulting from operations  $304,367,808 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $84,749,280 $81,712,898 
Net realized gain (loss) 15,399,875 90,968,277 
Change in net unrealized appreciation (depreciation) 204,218,653 (170,470,134) 
Net increase (decrease) in net assets resulting from operations 304,367,808 2,211,041 
Distributions to shareholders from net investment income (86,840,636) (78,832,211) 
Distributions to shareholders from net realized gain (98,475,385) (154,642,623) 
Total distributions (185,316,021) (233,474,834) 
Share transactions - net increase (decrease) 18,247,792 (5,269,549) 
Total increase (decrease) in net assets 137,299,579 (236,533,342) 
Net Assets   
Beginning of period 4,789,422,960 5,025,956,302 
End of period $4,926,722,539 $4,789,422,960 
Other Information   
Undistributed net investment income end of period $5,924,233 $7,982,127 

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


Financial Highlights — Fidelity Asset Manager 20% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.93 $13.56 $13.42 $13.37 $12.62 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .16 .14 .18 
Net realized and unrealized gain (loss) .59 (.22) .44 .31 .91 
Total from investment operations .78 (.04) .60 .45 1.09 
Distributions from net investment income (.20) (.17) (.15) (.14) (.18) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.47) (.59) (.46)B (.40)C (.34) 
Net asset value, end of period $13.24 $12.93 $13.56 $13.42 $13.37 
Total ReturnD,E 6.18% (.33)% 4.54% 3.47% 8.76% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .83% .83% .82% .82% .84% 
Expenses net of fee waivers, if any .83% .83% .82% .82% .84% 
Expenses net of all reductions .83% .83% .82% .82% .83% 
Net investment income (loss) 1.47% 1.32% 1.16% 1.03% 1.36% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,221 $38,841 $38,733 $43,449 $46,763 
Portfolio turnover rateH 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.46 per share is comprised of distributions from net investment income of $.154 and distributions from net realized gain of $.302 per share.

 C Total distributions of $.40 per share is comprised of distributions from net investment income of $.137 and distributions from net realized gain of $.266 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.90 $13.53 $13.40 $13.34 $12.60 
Income from Investment Operations      
Net investment income (loss)A .16 .14 .12 .10 .14 
Net realized and unrealized gain (loss) .58 (.21) .43 .33 .90 
Total from investment operations .74 (.07) .55 .43 1.04 
Distributions from net investment income (.17) (.14) (.12) (.10) (.15) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.43)B (.56) (.42) (.37) (.30)C 
Net asset value, end of period $13.21 $12.90 $13.53 $13.40 $13.34 
Total ReturnD,E 5.93% (.59)% 4.20% 3.28% 8.39% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.09% 1.10% 1.10% 1.10% 1.10% 
Expenses net of fee waivers, if any 1.09% 1.10% 1.10% 1.10% 1.10% 
Expenses net of all reductions 1.09% 1.10% 1.09% 1.09% 1.10% 
Net investment income (loss) 1.21% 1.06% .89% .75% 1.09% 
Supplemental Data      
Net assets, end of period (000 omitted) $25,052 $19,162 $21,010 $19,844 $18,870 
Portfolio turnover rateH 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.43 per share is comprised of distributions from net investment income of $.165 and distributions from net realized gain of $.269 per share.

 C Total distributions of $.30 per share is comprised of distributions from net investment income of $.146 and distributions from net realized gain of $.155 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.85 $13.48 $13.35 $13.30 $12.57 
Income from Investment Operations      
Net investment income (loss)A .09 .07 .05 .03 .08 
Net realized and unrealized gain (loss) .60 (.21) .43 .33 .89 
Total from investment operations .69 (.14) .48 .36 .97 
Distributions from net investment income (.10) (.07) (.05) (.04) (.08) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.37) (.49) (.35) (.31) (.24) 
Net asset value, end of period $13.17 $12.85 $13.48 $13.35 $13.30 
Total ReturnB,C 5.49% (1.09)% 3.70% 2.73% 7.80% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.59% 1.60% 1.60% 1.60% 1.60% 
Expenses net of fee waivers, if any 1.59% 1.60% 1.60% 1.60% 1.60% 
Expenses net of all reductions 1.59% 1.60% 1.60% 1.59% 1.60% 
Net investment income (loss) .71% .56% .39% .25% .59% 
Supplemental Data      
Net assets, end of period (000 omitted) $29,337 $28,515 $26,225 $24,910 $22,600 
Portfolio turnover rateF 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.94 $13.57 $13.44 $13.39 $12.64 
Income from Investment Operations      
Net investment income (loss)A .23 .22 .20 .18 .22 
Net realized and unrealized gain (loss) .60 (.22) .43 .31 .91 
Total from investment operations .83 – .63 .49 1.13 
Distributions from net investment income (.24) (.21) (.20) (.18) (.22) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.51) (.63) (.50) (.44)B (.38) 
Net asset value, end of period $13.26 $12.94 $13.57 $13.44 $13.39 
Total ReturnC 6.58% (.04)% 4.80% 3.79% 9.06% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .52% .53% .53% .53% .54% 
Expenses net of fee waivers, if any .52% .53% .53% .53% .54% 
Expenses net of all reductions .52% .52% .52% .52% .54% 
Net investment income (loss) 1.78% 1.63% 1.46% 1.32% 1.65% 
Supplemental Data      
Net assets, end of period (000 omitted) $4,802,797 $4,685,019 $4,923,702 $4,708,494 $4,595,339 
Portfolio turnover rateF 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.44 per share is comprised of distributions from net investment income of $.178 and distributions from net realized gain of $.266 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 20% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $12.94 $13.57 $13.44 $13.38 $12.64 
Income from Investment Operations      
Net investment income (loss)A .22 .21 .19 .17 .21 
Net realized and unrealized gain (loss) .60 (.21) .43 .33 .90 
Total from investment operations .82 – .62 .50 1.11 
Distributions from net investment income (.24) (.21) (.19) (.17) (.22) 
Distributions from net realized gain (.27) (.42) (.30) (.27) (.16) 
Total distributions (.50)B (.63) (.49) (.44) (.37)C 
Net asset value, end of period $13.26 $12.94 $13.57 $13.44 $13.38 
Total ReturnD 6.56% (.08)% 4.74% 3.83% 8.94% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .57% .57% .56% .57% .58% 
Expenses net of fee waivers, if any .57% .57% .56% .57% .58% 
Expenses net of all reductions .57% .57% .56% .56% .57% 
Net investment income (loss) 1.73% 1.59% 1.42% 1.29% 1.62% 
Supplemental Data      
Net assets, end of period (000 omitted) $27,315 $16,388 $14,204 $32,926 $30,383 
Portfolio turnover rateG 19% 20% 13% 27% 23% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.50 per share is comprised of distributions from net investment income of $.235 and distributions from net realized gain of $.269 per share.

 C Total distributions of $.37 per share is comprised of distributions from net investment income of $.215 and distributions from net realized gain of $.155 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 30%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 10.0 9.9 
Fannie Mae 6.5 5.6 
Freddie Mac 3.2 2.6 
Ginnie Mae 2.0 2.1 
Illinois Gen. Oblig. 1.3 1.4 
 23.0  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 21.7% 
   AAA,AA,A 6.9% 
   BBB 13.4% 
   BB and Below 9.2% 
   Not Rated 0.2% 
   Equities* 28.6% 
   Short-Term Investments and Net Other Assets 20.0% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 20.2% 
   AAA,AA,A 8.9% 
   BBB 13.4% 
   BB and Below 10.6% 
   Not Rated 0.3% 
   Equities* 30.0% 
   Short-Term Investments and Net Other Assets 16.6% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.9%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.5 0.5 
Amazon.com, Inc. 0.4 0.2 
Facebook, Inc. Class A 0.3 0.2 
Medtronic PLC 0.3 0.3 
Alphabet, Inc. Class C 0.2 0.2 
 1.7  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 26.5 28.2 
Energy 6.1 5.7 
Consumer Discretionary 5.7 6.6 
Information Technology 5.5 5.0 
Health Care 4.3 4.2 

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 28.7% 
   Bond Class 50.9% 
   Short-Term Class 20.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


As of March 31, 2016  
   Stock Class and Equity Futures* 31.1% 
   Bond Class 52.6% 
   Short-Term Class 16.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 0.9%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 18.0% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 30%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 28.7%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 1,755,579 $11,200,594 
Fidelity Consumer Discretionary Central Fund (a) 89,065 22,155,799 
Fidelity Consumer Staples Central Fund (a) 72,913 16,624,110 
Fidelity Emerging Markets Equity Central Fund (a) 141,123 28,584,388 
Fidelity Energy Central Fund (a) 105,100 13,396,050 
Fidelity Financials Central Fund (a) 433,534 36,737,665 
Fidelity Health Care Central Fund (a) 75,740 26,406,580 
Fidelity Industrials Central Fund (a) 81,904 19,838,054 
Fidelity Information Technology Central Fund (a) 132,579 43,782,735 
Fidelity International Equity Central Fund (a) 598,814 44,887,078 
Fidelity Materials Central Fund (a) 28,504 6,081,059 
Fidelity Real Estate Equity Central Fund (a) 64,672 7,317,630 
Fidelity Telecom Services Central Fund (a) 25,087 4,803,468 
Fidelity Utilities Central Fund (a) 39,614 6,453,963 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $204,749,623)  288,269,173 
Fixed-Income Central Funds - 53.9%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 528,812 5,399,172 
Fidelity Floating Rate Central Fund (a) 98,554 10,112,638 
Fidelity High Income Central Fund 1 (a) 351,038 34,412,284 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  49,924,094 
Investment Grade Fixed-Income Funds - 48.9%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 431,843 44,523,012 
Fidelity Investment Grade Bond Central Fund (a) 4,062,403 447,839,272 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  492,362,284 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $515,241,330)  542,286,378 
Money Market Central Funds - 16.9%   
Fidelity Cash Central Fund, 0.43% (b) 49,446,179 49,461,013 
Fidelity Money Market Central Fund, 0.86% (b) 121,053,798 121,078,009 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $170,501,590)  170,539,022 
 Principal Amount Value 
U.S. Treasury Obligations - 0.1%   
U.S. Treasury Bills, yield at date of purchase 0.28% to 0.31% 11/3/16 to 12/29/16 (c)   
(Cost $669,752) 670,000 669,801 
 Shares Value 
Investment Companies - 0.5%   
iShares Core MSCI Emerging Markets ETF 95,415 $4,351,876 
iShares S&P 500 Index ETF 2,285 497,125 
TOTAL INVESTMENT COMPANIES   
(Cost $4,791,829)  4,849,001 
TOTAL INVESTMENT PORTFOLIO - 100.1%   
(Cost $895,954,124)  1,006,613,375 
NET OTHER ASSETS (LIABILITIES) - (0.1)%  (545,560) 
NET ASSETS - 100%  $1,006,067,815 

Futures Contracts    
 Expiration Date Underlying Face Amount at Value Unrealized Appreciation/(Depreciation) 
Sold    
Equity Index Contracts    
316 ICE E-mini MSCI Emerging Markets Index Contracts (United States) Dec. 2016 14,417,500 $181,084 

The face value of futures sold as a percentage of Net Assets is 1.4%

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (c) 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 $669,801.


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 $115,166 
Fidelity Commodity Strategy Central Fund 22,249 
Fidelity Consumer Discretionary Central Fund 336,163 
Fidelity Consumer Staples Central Fund 364,820 
Fidelity Emerging Markets Debt Central Fund 316,828 
Fidelity Emerging Markets Equity Central Fund 524,258 
Fidelity Energy Central Fund 171,155 
Fidelity Financials Central Fund 617,781 
Fidelity Floating Rate Central Fund 481,061 
Fidelity Health Care Central Fund 187,482 
Fidelity High Income Central Fund 1 2,785,291 
Fidelity Industrials Central Fund 278,370 
Fidelity Inflation-Protected Bond Index Central Fund 7,280 
Fidelity Information Technology Central Fund 312,372 
Fidelity International Equity Central Fund 1,192,738 
Fidelity Investment Grade Bond Central Fund 13,239,553 
Fidelity Materials Central Fund 120,189 
Fidelity Money Market Central Fund 649,634 
Fidelity Real Estate Equity Central Fund 241,121 
Fidelity Telecom Services Central Fund 99,610 
Fidelity Utilities Central Fund 168,257 
Total $22,231,378 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $1,697,494 $13,803,458  $5,244,054  $11,200,594 2.4% 
Fidelity Consumer Discretionary Central Fund 20,387,608 3,195,584  2,741,416 22,155,799 1.4% 
Fidelity Consumer Staples Central Fund 13,806,719 2,513,477  1,463,549 16,624,110 1.3% 
Fidelity Emerging Markets Debt Central Fund 4,259,880 901,638  347,452  5,399,172 4.6% 
Fidelity Emerging Markets Equity Central Fund 2,926,000 24,306,805  1,037,853 28,584,388 6.9% 
Fidelity Energy Central Fund 10,256,547 1,726,398 1,073,439 13,396,050 1.3% 
Fidelity Financials Central Fund 32,154,992 6,177,538 3,208,638 36,737,665 1.4% 
Fidelity Floating Rate Central Fund 9,072,077 1,692,183 736,446 10,112,638 0.6% 
Fidelity Health Care Central Fund 23,050,967 4,051,049 2,341,619 26,406,580 1.3% 
Fidelity High Income Central Fund 1 39,802,986 12,121,879 19,246,860 34,412,284 4.3% 
Fidelity Industrials Central Fund 16,214,599 2,762,227 1,703,567 19,838,054 1.4% 
Fidelity Inflation-Protected Bond Index Central Fund 25,813,690 19,437,912 2,585,101 44,523,012 4.6% 
Fidelity Information Technology Central Fund 33,415,994 5,343,643  4,180,263  43,782,735 1.4% 
Fidelity International Equity Central Fund 46,026,721 6,994,354  9,944,128 44,887,078 2.1% 
Fidelity Investment Grade Bond Central Fund 429,038,240 73,350,090 71,052,186 447,839,272 6.4% 
Fidelity Materials Central Fund 5,048,199 855,575 508,260 6,081,059 1.5% 
Fidelity Real Estate Equity Central Fund 9,716,859 1,387,618 5,397,814 7,317,630 4.2% 
Fidelity Telecom Services Central Fund 3,449,973 974,642 444,921 4,803,468 1.3% 
Fidelity Utilities Central Fund 5,434,770 1,016,624 729,219 6,453,963 1.4% 
Total $731,574,315 $182,612,694  $133,986,785  $830,555,551  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $288,269,173 $288,269,173 $-- $-- 
Fixed-Income Central Funds 542,286,378 542,286,378 -- -- 
Money Market Central Funds 170,539,022 170,539,022 -- -- 
Other Short-Term Investments 669,801 -- 669,801 -- 
Investment Companies 4,849,001 4,849,001 -- -- 
Total Investments in Securities: $1,006,613,375 $1,005,943,574 $669,801 $-- 
Derivative Instruments:     
Assets     
Futures Contracts $181,084 $181,084 $-- $-- 
Total Assets $181,084 $181,084 $-- $-- 
Total Derivative Instruments: $181,084 $181,084 $-- $-- 

Value of Derivative Instruments

The following table is a summary of the Fund's value of derivative instruments by primary risk exposure as of September 30, 2016. For additional information on derivative instruments, please refer to the Derivative Instruments section in the accompanying Notes to Financial Statements.

Primary Risk Exposure / Derivative Type Value 
 Asset Liability 
Equity Risk   
Futures Contracts(a) $181,084 $0 
Total Equity Risk 181,084 
Total Value of Derivatives $181,084 $0 

 (a) Reflects gross cumulative appreciation (depreciation) on futures contracts as presented in the Schedule of Investments. In the Statement of Assets and Liabilities, the period end daily variation margin is included in receivable or payable for daily variation margin for derivative instruments, and the net cumulative appreciation (depreciation) is included in net unrealized appreciation (depreciation).


Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 82.0% 
United Kingdom 3.0% 
Netherlands 1.4% 
Mexico 1.3% 
Japan 1.3% 
Others (Individually Less Than 1%) 11.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 30%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $5,461,581) 
$5,518,802  
Fidelity Central Funds (cost $890,492,543) 1,001,094,573  
Total Investments (cost $895,954,124)  $1,006,613,375 
Receivable for investments sold  1,342,755 
Receivable for fund shares sold  825,862 
Distributions receivable from Fidelity Central Funds  15,761 
Prepaid expenses  2,705 
Other receivables  639 
Total assets  1,008,801,097 
Liabilities   
Payable for fund shares redeemed $2,155,074  
Accrued management fee 341,155  
Distribution and service plan fees payable 27,755  
Payable for daily variation margin for derivative instruments 88,480  
Other affiliated payables 95,076  
Other payables and accrued expenses 25,742  
Total liabilities  2,733,282 
Net Assets  $1,006,067,815 
Net Assets consist of:   
Paid in capital  $951,566,089 
Undistributed net investment income  1,334,530 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (57,673,139) 
Net unrealized appreciation (depreciation) on investments  110,840,335 
Net Assets  $1,006,067,815 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($23,868,386 ÷ 2,247,177 shares)  $10.62 
Maximum offering price per share (100/94.25 of $10.62)  $11.27 
Class T:   
Net Asset Value and redemption price per share ($11,833,951 ÷ 1,115,200 shares)  $10.61 
Maximum offering price per share (100/96.50 of $10.61)  $10.99 
Class C:   
Net Asset Value and offering price per share ($21,579,007 ÷ 2,042,462 shares)(a)  $10.57 
Asset Manager 30%:   
Net Asset Value, offering price and redemption price per share ($937,285,054 ÷ 88,212,936 shares)  $10.63 
Class I:   
Net Asset Value, offering price and redemption price per share ($11,501,417 ÷ 1,082,667 shares)  $10.62 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $472,865 
Interest  1,467 
Income from Fidelity Central Funds  22,231,378 
Total income  22,705,710 
Expenses   
Management fee $3,829,926  
Transfer agent fees 747,513  
Distribution and service plan fees 330,379  
Accounting fees and expenses 337,876  
Custodian fees and expenses 1,377  
Independent trustees' fees and expenses 4,072  
Registration fees 101,043  
Audit 40,180  
Legal 3,217  
Miscellaneous (15,456)  
Total expenses before reductions 5,380,127  
Expense reductions (15,925) 5,364,202 
Net investment income (loss)  17,341,508 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 1,356,699  
Fidelity Central Funds (4,476,842)  
Foreign currency transactions 9,746  
Futures contracts 1,600,981  
Capital gain distributions from Fidelity Central Funds 10,854  
Total net realized gain (loss)  (1,498,562) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
55,019,932  
Assets and liabilities in foreign currencies 1,470  
Futures contracts 644,935  
Total change in net unrealized appreciation (depreciation)  55,666,337 
Net gain (loss)  54,167,775 
Net increase (decrease) in net assets resulting from operations  $71,509,283 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $17,341,508 $15,099,160 
Net realized gain (loss) (1,498,562) 707,878 
Change in net unrealized appreciation (depreciation) 55,666,337 (21,533,426) 
Net increase (decrease) in net assets resulting from operations 71,509,283 (5,726,388) 
Distributions to shareholders from net investment income (17,547,432) (14,360,533) 
Distributions to shareholders from net realized gain (13,942,288) (23,090,456) 
Total distributions (31,489,720) (37,450,989) 
Share transactions - net increase (decrease) 84,393,310 108,456,289 
Total increase (decrease) in net assets 124,412,873 65,278,912 
Net Assets   
Beginning of period 881,654,942 816,376,030 
End of period $1,006,067,815 $881,654,942 
Other Information   
Undistributed net investment income end of period $1,334,530 $1,529,997 

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


Financial Highlights — Fidelity Asset Manager 30% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.19 $10.71 $10.43 $10.15 $9.37 
Income from Investment Operations      
Net investment income (loss)A .16 .15 .14 .12 .14 
Net realized and unrealized gain (loss) .60 (.23) .46 .44 .89 
Total from investment operations .76 (.08) .60 .56 1.03 
Distributions from net investment income (.17) (.15) (.13) (.11) (.14) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.33) (.44)B (.32)C (.28) (.25) 
Net asset value, end of period $10.62 $10.19 $10.71 $10.43 $10.15 
Total ReturnD,E 7.61% (.79)% 5.83% 5.64% 11.20% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .85% .86% .85% .87% .89% 
Expenses net of fee waivers, if any .85% .86% .85% .87% .89% 
Expenses net of all reductions .85% .86% .85% .87% .88% 
Net investment income (loss) 1.58% 1.45% 1.29% 1.15% 1.46% 
Supplemental Data      
Net assets, end of period (000 omitted) $23,868 $21,424 $22,071 $15,100 $11,431 
Portfolio turnover rateH 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.44 per share is comprised of distributions from net investment income of $.145 and distributions from net realized gain of $.298 per share.

 C Total distributions of $.32 per share is comprised of distributions from net investment income of $.134 and distributions from net realized gain of $.183 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.18 $10.70 $10.42 $10.14 $9.36 
Income from Investment Operations      
Net investment income (loss)A .14 .13 .11 .09 .12 
Net realized and unrealized gain (loss) .59 (.23) .46 .44 .89 
Total from investment operations .73 (.10) .57 .53 1.01 
Distributions from net investment income (.14) (.12) (.10) (.08) (.12) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.30) (.42) (.29)B (.25) (.23) 
Net asset value, end of period $10.61 $10.18 $10.70 $10.42 $10.14 
Total ReturnC,D 7.33% (1.02)% 5.53% 5.37% 10.91% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.11% 1.12% 1.13% 1.13% 1.14% 
Expenses net of fee waivers, if any 1.11% 1.12% 1.13% 1.13% 1.14% 
Expenses net of all reductions 1.11% 1.12% 1.13% 1.13% 1.13% 
Net investment income (loss) 1.32% 1.18% 1.01% .89% 1.21% 
Supplemental Data      
Net assets, end of period (000 omitted) $11,834 $11,098 $9,932 $7,064 $6,542 
Portfolio turnover rateG 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.29 per share is comprised of distributions from net investment income of $.103 and distributions from net realized gain of $.183 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.14 $10.66 $10.38 $10.12 $9.34 
Income from Investment Operations      
Net investment income (loss)A .08 .07 .06 .04 .07 
Net realized and unrealized gain (loss) .60 (.22) .46 .43 .89 
Total from investment operations .68 (.15) .52 .47 .96 
Distributions from net investment income (.09) (.07) (.06) (.04) (.07) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.25) (.37) (.24) (.21) (.18) 
Net asset value, end of period $10.57 $10.14 $10.66 $10.38 $10.12 
Total ReturnB,C 6.85% (1.51)% 5.09% 4.75% 10.41% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.61% 1.62% 1.62% 1.64% 1.66% 
Expenses net of fee waivers, if any 1.61% 1.62% 1.62% 1.64% 1.65% 
Expenses net of all reductions 1.61% 1.61% 1.61% 1.63% 1.64% 
Net investment income (loss) .82% .69% .52% .39% .69% 
Supplemental Data      
Net assets, end of period (000 omitted) $21,579 $19,621 $16,976 $12,001 $7,937 
Portfolio turnover rateF 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.20 $10.71 $10.43 $10.15 $9.37 
Income from Investment Operations      
Net investment income (loss)A .20 .19 .17 .15 .17 
Net realized and unrealized gain (loss) .59 (.22) .46 .44 .89 
Total from investment operations .79 (.03) .63 .59 1.06 
Distributions from net investment income (.20) (.18) (.17) (.14) (.17) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.36) (.48) (.35) (.31) (.28) 
Net asset value, end of period $10.63 $10.20 $10.71 $10.43 $10.15 
Total ReturnB 7.94% (.38)% 6.19% 5.96% 11.53% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .54% .55% .55% .56% .58% 
Expenses net of fee waivers, if any .54% .55% .55% .56% .58% 
Expenses net of all reductions .53% .54% .55% .56% .58% 
Net investment income (loss) 1.90% 1.76% 1.59% 1.46% 1.76% 
Supplemental Data      
Net assets, end of period (000 omitted) $937,285 $820,206 $757,908 $560,306 $364,386 
Portfolio turnover rateE 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 30% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.20 $10.71 $10.43 $10.16 $9.37 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .16 .14 .17 
Net realized and unrealized gain (loss) .59 (.22) .47 .44 .90 
Total from investment operations .78 (.04) .63 .58 1.07 
Distributions from net investment income (.20) (.17) (.16) (.13) (.17) 
Distributions from net realized gain (.16) (.30) (.18) (.17) (.11) 
Total distributions (.36) (.47) (.35)B (.31)C (.28) 
Net asset value, end of period $10.62 $10.20 $10.71 $10.43 $10.16 
Total ReturnD 7.80% (.46)% 6.12% 5.81% 11.56% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .60% .61% .62% .62% .65% 
Expenses net of fee waivers, if any .60% .61% .62% .62% .65% 
Expenses net of all reductions .60% .61% .62% .62% .64% 
Net investment income (loss) 1.84% 1.69% 1.52% 1.40% 1.69% 
Supplemental Data      
Net assets, end of period (000 omitted) $11,501 $8,759 $8,616 $4,663 $2,099 
Portfolio turnover rateG 24% 22% 13% 20% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.35 per share is comprised of distributions from net investment income of $.163 and distributions from net realized gain of $.183 per share.

 C Total distributions of $.31 per share is comprised of distributions from net investment income of $.133 and distributions from net realized gain of $.174 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, , the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 40%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 9.0 8.8 
Fannie Mae 5.7 4.9 
Freddie Mac 2.8 2.2 
Ginnie Mae 1.7 1.8 
Illinois Gen. Oblig. 1.1 1.2 
 20.3  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 19.2% 
   AAA,AA,A 5.7% 
   BBB 12.1% 
   BB and Below 8.3% 
   Not Rated 0.2% 
   Equities* 37.1% 
   Short-Term Investments and Net Other Assets 17.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 17.7% 
   AAA,AA,A 7.7% 
   BBB 11.9% 
   BB and Below 9.8% 
   Not Rated 0.2% 
   Equities* 38.1% 
   Short-Term Investments and Net Other Assets 14.6% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Top Five Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.6 0.6 
Amazon.com, Inc. 0.5 0.3 
Facebook, Inc. Class A 0.4 0.3 
Medtronic PLC 0.4 0.3 
Alphabet, Inc. Class C 0.3  0.3 
 2.2  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 22.5 22.9 
Consumer Discretionary 6.8 7.5 
Information Technology 6.7 6.0 
Energy 6.0 5.7 
Health Care 5.4 5.0 

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 37.1% 
   Bond Class 45.1% 
   Short-Term Class 17.8% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 40.5% 
   Bond Class 46.4% 
   Short-Term Class 13.1% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 19% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 40%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 36.5%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 2,226,292 $14,203,746 
Fidelity Consumer Discretionary Central Fund (a) 140,592 34,973,621 
Fidelity Consumer Staples Central Fund (a) 115,141 26,252,099 
Fidelity Emerging Markets Equity Central Fund (a) 83,171 16,846,249 
Fidelity Energy Central Fund (a) 165,826 21,136,161 
Fidelity Financials Central Fund (a) 685,000 58,046,913 
Fidelity Health Care Central Fund (a) 119,667 41,721,891 
Fidelity Industrials Central Fund (a) 129,309 31,319,965 
Fidelity Information Technology Central Fund (a) 209,079 69,046,230 
Fidelity International Equity Central Fund (a) 1,050,880 78,773,956 
Fidelity Materials Central Fund (a) 44,985 9,597,095 
Fidelity Real Estate Equity Central Fund (a) 75,833 8,580,493 
Fidelity Telecom Services Central Fund (a) 39,754 7,611,629 
Fidelity Utilities Central Fund (a) 62,646 10,206,237 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $322,884,715)  428,316,285 
Fixed-Income Central Funds - 47.8%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 615,711 6,286,409 
Fidelity Floating Rate Central Fund (a) 115,719 11,873,894 
Fidelity High Income Central Fund 1 (a) 408,898 40,084,318 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  58,244,621 
Investment Grade Fixed-Income Funds - 42.8%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 469,118 48,366,031 
Fidelity Investment Grade Bond Central Fund (a) 4,113,034 453,420,893 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  501,786,924 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $536,134,260)  560,031,545 
Money Market Central Funds - 14.5%   
Fidelity Cash Central Fund, 0.43% (b) 72,304,902 72,326,593 
Fidelity Money Market Central Fund, 0.86% (b) 98,068,435 98,088,048 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $170,375,098)  170,414,641 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $159,917) 160,000 159,960 
 Shares Value 
Investment Companies - 1.2%   
iShares Core MSCI Emerging Markets ETF 204,600 $9,331,807 
iShares S&P 500 Index ETF 19,949 4,340,104 
TOTAL INVESTMENT COMPANIES   
(Cost $13,147,809)  13,671,911 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $1,042,701,799)  1,172,594,342 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (252,392) 
NET ASSETS - 100%  $1,172,341,950 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $226,248 
Fidelity Commodity Strategy Central Fund 28,048 
Fidelity Consumer Discretionary Central Fund 521,669 
Fidelity Consumer Staples Central Fund 565,406 
Fidelity Emerging Markets Debt Central Fund 366,085 
Fidelity Emerging Markets Equity Central Fund 295,940 
Fidelity Energy Central Fund 265,699 
Fidelity Financials Central Fund 956,641 
Fidelity Floating Rate Central Fund 560,266 
Fidelity Health Care Central Fund 290,888 
Fidelity High Income Central Fund 1 3,207,867 
Fidelity Industrials Central Fund 431,545 
Fidelity Inflation-Protected Bond Index Central Fund 7,827 
Fidelity Information Technology Central Fund 485,623 
Fidelity International Equity Central Fund 2,002,320 
Fidelity Investment Grade Bond Central Fund 13,193,569 
Fidelity Materials Central Fund 186,464 
Fidelity Money Market Central Fund 450,075 
Fidelity Real Estate Equity Central Fund 279,723 
Fidelity Telecom Services Central Fund 153,775 
Fidelity Utilities Central Fund 261,341 
Total $24,737,019 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $2,014,752 $16,752,029 $5,749,644 $14,203,746 3.0% 
Fidelity Consumer Discretionary Central Fund 31,124,334 4,996,504 3,105,821 34,973,621 2.2% 
Fidelity Consumer Staples Central Fund 21,075,028 3,895,278 1,424,371 26,252,099 2.0% 
Fidelity Emerging Markets Debt Central Fund 4,858,080 1,043,328 289,027 6,286,409 5.3% 
Fidelity Emerging Markets Equity Central Fund 8,204,387 7,941,364 1,508,405 16,846,249 4.1% 
Fidelity Energy Central Fund 15,640,813 2,705,458 1,032,586 21,136,161 2.1% 
Fidelity Financials Central Fund 49,091,613 9,714,023 3,134,358 58,046,913 2.3% 
Fidelity Floating Rate Central Fund 10,439,176 1,963,223 626,518 11,873,894 0.7% 
Fidelity Health Care Central Fund 35,184,313 6,369,403 2,286,472 41,721,891 2.1% 
Fidelity High Income Central Fund 1 45,170,220 13,970,171 21,041,499 40,084,318 5.0% 
Fidelity Industrials Central Fund 24,751,343 4,306,171 1,645,911 31,319,965 2.3% 
Fidelity Inflation-Protected Bond Index Central Fund 27,305,449 21,040,046 1,971,648 48,366,031 5.0% 
Fidelity Information Technology Central Fund 50,986,908 8,330,688 4,381,837 69,046,230 2.1% 
Fidelity International Equity Central Fund 73,069,208 12,152,815 9,371,640 78,773,956 3.7% 
Fidelity Investment Grade Bond Central Fund 425,077,464 78,366,350 66,409,955 453,420,893 6.4% 
Fidelity Materials Central Fund 7,702,422 1,342,606 488,061 9,597,095 2.4% 
Fidelity Real Estate Equity Central Fund 11,101,926 1,638,375 6,016,868 8,580,493 4.9% 
Fidelity Telecom Services Central Fund 5,267,814 1,492,651 421,263 7,611,629 2.0% 
Fidelity Utilities Central Fund 8,293,008 1,576,130 803,397 10,206,237 2.2% 
Total $856,358,258 $199,596,613 $131,709,281 $988,347,830  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $428,316,285 $428,316,285 $-- $-- 
Fixed-Income Central Funds 560,031,545 560,031,545 -- -- 
Money Market Central Funds 170,414,641 170,414,641 -- -- 
Other Short-Term Investments  159,960 -- 159,960 -- 
Investment Companies 13,671,911 13,671,911 -- -- 
Total Investments in Securities: $1,172,594,342 $1,172,434,382 $159,960 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 81.0% 
United Kingdom 3.1% 
Japan 1.8% 
Netherlands 1.2% 
Mexico 1.2% 
Ireland 1.2% 
Canada 1.0% 
Germany 1.0% 
Others (Individually Less Than 1%) 8.5% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 40%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $13,307,726) 
$13,831,871  
Fidelity Central Funds (cost $1,029,394,073) 1,158,762,471  
Total Investments (cost $1,042,701,799)  $1,172,594,342 
Receivable for investments sold  322,810 
Receivable for fund shares sold  659,049 
Distributions receivable from Fidelity Central Funds  23,913 
Prepaid expenses  3,111 
Other receivables  749 
Total assets  1,173,603,974 
Liabilities   
Payable for investments purchased $65,096  
Payable for fund shares redeemed 630,847  
Accrued management fee 396,239  
Transfer agent fee payable 79,034  
Distribution and service plan fees payable 30,674  
Other affiliated payables 33,875  
Other payables and accrued expenses 26,259  
Total liabilities  1,262,024 
Net Assets  $1,172,341,950 
Net Assets consist of:   
Paid in capital  $1,099,804,287 
Undistributed net investment income  4,373,033 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (61,727,913) 
Net unrealized appreciation (depreciation) on investments  129,892,543 
Net Assets  $1,172,341,950 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($40,045,919 ÷ 3,656,933 shares)  $10.95 
Maximum offering price per share (100/94.25 of $10.95)  $11.62 
Class T:   
Net Asset Value and redemption price per share ($10,296,565 ÷ 941,780 shares)  $10.93 
Maximum offering price per share (100/96.50 of $10.93)  $11.33 
Class C:   
Net Asset Value and offering price per share ($22,063,508 ÷ 2,024,518 shares)(a)  $10.90 
Asset Manager 40%:   
Net Asset Value, offering price and redemption price per share ($1,084,410,821 ÷ 99,000,271 shares)  $10.95 
Class I:   
Net Asset Value, offering price and redemption price per share ($15,525,137 ÷ 1,417,213 shares)  $10.95 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $712,117 
Interest  1,221 
Income from Fidelity Central Funds  24,737,019 
Total income  25,450,357 
Expenses   
Management fee $4,408,166  
Transfer agent fees 902,085  
Distribution and service plan fees 352,699  
Accounting fees and expenses 380,284  
Custodian fees and expenses 1,427  
Independent trustees' fees and expenses 4,678  
Registration fees 116,095  
Audit 40,224  
Legal 3,670  
Miscellaneous (12,063)  
Total expenses before reductions 6,197,265  
Expense reductions (21,804) 6,175,461 
Net investment income (loss)  19,274,896 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 1,415,323  
Fidelity Central Funds (6,257,839)  
Foreign currency transactions 13,864  
Futures contracts 4,343,853  
Capital gain distributions from Fidelity Central Funds 5,976  
Total net realized gain (loss)  (478,823) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
71,043,746  
Assets and liabilities in foreign currencies 1,185  
Futures contracts 637,258  
Total change in net unrealized appreciation (depreciation)  71,682,189 
Net gain (loss)  71,203,366 
Net increase (decrease) in net assets resulting from operations  $90,478,262 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $19,274,896 $16,273,056 
Net realized gain (loss) (478,823) (4,043,806) 
Change in net unrealized appreciation (depreciation) 71,682,189 (26,931,283) 
Net increase (decrease) in net assets resulting from operations 90,478,262 (14,702,033) 
Distributions to shareholders from net investment income (19,559,955) (14,342,957) 
Distributions to shareholders from net realized gain (12,743,655) (24,422,962) 
Total distributions (32,303,610) (38,765,919) 
Share transactions - net increase (decrease) 116,130,128 226,957,042 
Total increase (decrease) in net assets 174,304,780 173,489,090 
Net Assets   
Beginning of period 998,037,170 824,548,080 
End of period $1,172,341,950 $998,037,170 
Other Information   
Undistributed net investment income end of period $4,373,033 $4,646,251 

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


Financial Highlights — Fidelity Asset Manager 40% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .16 .16 .14 .12 .14 
Net realized and unrealized gain (loss) .70 (.28) .59 .66 1.07 
Total from investment operations .86 (.12) .73 .78 1.21 
Distributions from net investment income (.17) (.14) (.15) (.10) (.14) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.30) (.45) (.43) (.23) (.23) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnB,C 8.44% (1.19)% 6.98% 7.88% 13.47% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .84% .85% .85% .87% .90% 
Expenses net of fee waivers, if any .84% .85% .85% .87% .90% 
Expenses net of all reductions .84% .84% .85% .86% .89% 
Net investment income (loss) 1.53% 1.44% 1.31% 1.21% 1.49% 
Supplemental Data      
Net assets, end of period (000 omitted) $40,046 $30,959 $25,419 $16,042 $14,048 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.37 $10.94 $10.64 $10.09 $9.12 
Income from Investment Operations      
Net investment income (loss)A .13 .13 .11 .10 .12 
Net realized and unrealized gain (loss) .70 (.28) .59 .66 1.06 
Total from investment operations .83 (.15) .70 .76 1.18 
Distributions from net investment income (.14) (.11) (.12) (.08) (.12) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.27) (.42) (.40) (.21) (.21) 
Net asset value, end of period $10.93 $10.37 $10.94 $10.64 $10.09 
Total ReturnB,C 8.12% (1.45)% 6.72% 7.62% 13.09% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.12% 1.11% 1.12% 1.14% 1.17% 
Expenses net of fee waivers, if any 1.12% 1.11% 1.12% 1.14% 1.15% 
Expenses net of all reductions 1.12% 1.10% 1.12% 1.13% 1.14% 
Net investment income (loss) 1.25% 1.18% 1.04% .94% 1.24% 
Supplemental Data      
Net assets, end of period (000 omitted) $10,297 $9,309 $8,295 $6,969 $4,803 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 40% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.34 $10.91 $10.62 $10.08 $9.11 
Income from Investment Operations      
Net investment income (loss)A .08 .07 .06 .04 .07 
Net realized and unrealized gain (loss) .70 (.27) .58 .66 1.06 
Total from investment operations .78 (.20) .64 .70 1.13 
Distributions from net investment income (.09) (.06) (.07) (.03) (.08) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.22) (.37) (.35) (.16) (.16)B 
Net asset value, end of period $10.90 $10.34 $10.91 $10.62 $10.08 
Total ReturnC,D 7.62% (1.94)% 6.17% 7.02% 12.59% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.61% 1.62% 1.62% 1.64% 1.67% 
Expenses net of fee waivers, if any 1.61% 1.62% 1.62% 1.64% 1.65% 
Expenses net of all reductions 1.61% 1.62% 1.62% 1.63% 1.64% 
Net investment income (loss) .76% .67% .54% .44% .74% 
Supplemental Data      
Net assets, end of period (000 omitted) $22,064 $19,515 $15,769 $9,272 $6,814 
Portfolio turnover rateG 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.16 per share is comprised of distributions from net investment income of $.075 and distributions from net realized gain of $.088 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .17 .16 .18 
Net realized and unrealized gain (loss) .70 (.28) .59 .65 1.06 
Total from investment operations .89 (.09) .76 .81 1.24 
Distributions from net investment income (.20) (.17) (.18) (.13) (.17) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.33) (.48) (.46) (.26) (.26) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnB 8.76% (.90)% 7.29% 8.21% 13.78% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .54% .55% .56% .57% .59% 
Expenses net of fee waivers, if any .54% .55% .56% .57% .59% 
Expenses net of all reductions .54% .54% .56% .56% .58% 
Net investment income (loss) 1.83% 1.74% 1.60% 1.51% 1.81% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,084,411 $917,607 $769,619 $495,019 $328,995 
Portfolio turnover rateE 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 40% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.39 $10.96 $10.66 $10.11 $9.13 
Income from Investment Operations      
Net investment income (loss)A .19 .18 .17 .15 .17 
Net realized and unrealized gain (loss) .69 (.27) .58 .66 1.06 
Total from investment operations .88 (.09) .75 .81 1.23 
Distributions from net investment income (.19) (.17) (.18) (.13) (.16) 
Distributions from net realized gain (.13) (.31) (.28) (.13) (.09) 
Total distributions (.32) (.48) (.45)B (.26) (.25) 
Net asset value, end of period $10.95 $10.39 $10.96 $10.66 $10.11 
Total ReturnC 8.67% (.90)% 7.25% 8.15% 13.74% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .58% .60% .58% .63% .66% 
Expenses net of fee waivers, if any .58% .60% .58% .63% .65% 
Expenses net of all reductions .58% .60% .57% .62% .64% 
Net investment income (loss) 1.79% 1.69% 1.59% 1.45% 1.74% 
Supplemental Data      
Net assets, end of period (000 omitted) $15,525 $20,038 $4,256 $1,196 $911 
Portfolio turnover rateF 22% 22% 11% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.45 per share is comprised of distributions from net investment income of $.176 and distributions from net realized gain of $.276 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 50%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.8 0.8 
Amazon.com, Inc. 0.7 0.4 
Facebook, Inc. Class A 0.5 0.4 
Medtronic PLC 0.5 0.4 
Alphabet, Inc. Class C 0.4 0.4 
Alphabet, Inc. Class A 0.4 0.4 
General Electric Co. 0.4 0.5 
Allergan PLC 0.4 0.2 
British American Tobacco PLC sponsored ADR 0.4 0.3 
Berkshire Hathaway, Inc. Class B 0.3 0.3 
 4.8  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 18.8 20.0 
Information Technology 8.5 7.6 
Consumer Discretionary 7.9 8.6 
Health Care 6.5 6.1 
Energy 6.4 6.1 

Top Five Bond Issuers as of September 30, 2016

(with maturities greater than one year) % of fund's net assets % of fund's net assets 6 months ago 
U.S. Treasury Obligations 8.2 8.0 
Fannie Mae 4.9 4.3 
Freddie Mac 2.4 2.0 
Ginnie Mae 1.7 1.5 
Illinois Gen. Oblig. 0.9 1.0 
 18.1  

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 17.2% 
   AAA,AA,A 5.1% 
   BBB 10.2% 
   BB and Below 8.1% 
   Not Rated 0.1% 
   Equities* 46.8% 
   Short-Term Investments and Net Other Assets 12.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 15.8% 
   AAA,AA,A 6.8% 
   BBB 10.3% 
   BB and Below 9.4% 
   Not Rated 0.2% 
   Equities* 47.6% 
   Short-Term Investments and Net Other Assets 9.9% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 46.9% 
   Bond Class 40.2% 
   Short-Term Class 12.9% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   Stock Class and Equity Futures* 50.3% 
   Bond Class 41.4% 
   Short-Term Class 8.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 22.4% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 50%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 46.5%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 14,617,308 $93,258,426 
Fidelity Consumer Discretionary Central Fund (a) 1,191,787 296,469,005 
Fidelity Consumer Staples Central Fund (a) 971,306 221,457,869 
Fidelity Emerging Markets Equity Central Fund (a) 611,482 123,855,678 
Fidelity Energy Central Fund (a) 1,397,089 178,072,990 
Fidelity Financials Central Fund (a) 5,766,135 488,622,266 
Fidelity Health Care Central Fund (a) 1,006,049 350,759,138 
Fidelity Industrials Central Fund (a) 1,092,032 264,500,993 
Fidelity Information Technology Central Fund (a) 1,771,054 584,872,734 
Fidelity International Equity Central Fund (a) 9,639,861 722,603,960 
Fidelity Materials Central Fund (a) 381,252 81,336,374 
Fidelity Real Estate Equity Central Fund (a) 489,484 55,385,111 
Fidelity Telecom Services Central Fund (a) 327,586 62,722,849 
Fidelity Utilities Central Fund (a) 526,070 85,707,338 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $2,202,102,415)  3,609,624,731 
Fixed-Income Central Funds - 42.6%   
High Yield Fixed-Income Funds - 5.0%   
Fidelity Emerging Markets Debt Central Fund (a) 4,013,210 40,974,871 
Fidelity Floating Rate Central Fund (a) 765,555 78,553,615 
Fidelity High Income Central Fund 1 (a) 2,704,952 265,166,398 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  384,694,884 
Investment Grade Fixed-Income Funds - 37.6%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 2,940,982 303,215,289 
Fidelity Investment Grade Bond Central Fund (a) 23,715,258 2,614,370,089 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  2,917,585,378 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $3,041,485,428)  3,302,280,262 
Money Market Central Funds - 9.8%   
Fidelity Cash Central Fund, 0.43% (b) 447,778,829 447,913,162 
Fidelity Money Market Central Fund, 0.86% (b) 309,400,933 309,462,813 
Fidelity Securities Lending Cash Central Fund 0.46% (b)(c) 534,643 534,750 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $757,721,125)  757,910,725 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $1,329,322) 1,330,000 1,329,672 
 Shares Value 
Investment Companies - 1.1%   
iShares Core MSCI Emerging Markets ETF (d) 1,600,714 $73,008,568 
iShares S&P 500 Index ETF 77,734 16,911,809 
TOTAL INVESTMENT COMPANIES   
(Cost $89,753,285)  89,920,377 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $6,092,391,575)  7,761,065,767 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (2,469,484) 
NET ASSETS - 100%  $7,758,596,283 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or 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.


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 $1,514,089 
Fidelity Commodity Strategy Central Fund 186,082 
Fidelity Consumer Discretionary Central Fund 4,778,388 
Fidelity Consumer Staples Central Fund 5,164,710 
Fidelity Emerging Markets Debt Central Fund 2,584,807 
Fidelity Emerging Markets Equity Central Fund 2,379,256 
Fidelity Energy Central Fund 2,434,123 
Fidelity Financials Central Fund 8,751,584 
Fidelity Floating Rate Central Fund 4,018,437 
Fidelity Health Care Central Fund 2,657,584 
Fidelity High Income Central Fund 1 23,386,103 
Fidelity Industrials Central Fund 3,940,346 
Fidelity Inflation-Protected Bond Index Central Fund 51,141 
Fidelity Information Technology Central Fund 4,392,924 
Fidelity International Equity Central Fund 19,416,946 
Fidelity Investment Grade Bond Central Fund 82,827,147 
Fidelity Materials Central Fund 1,709,417 
Fidelity Money Market Central Fund 1,074,820 
Fidelity Real Estate Equity Central Fund 1,964,359 
Fidelity Securities Lending Cash Central Fund 117,271 
Fidelity Telecom Services Central Fund 1,407,000 
Fidelity Utilities Central Fund 2,365,803 
Total $177,122,337 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $14,107,624 $113,482,252 $42,708,871  $93,258,426 19.8% 
Fidelity Consumer Discretionary Central Fund 305,753,520 7,894,176 35,850,204 296,469,005 18.8% 
Fidelity Consumer Staples Central Fund 206,996,342 7,440,447 19,107,489 221,457,869 17.2% 
Fidelity Emerging Markets Debt Central Fund 37,113,357 2,957,653  3,755,624  40,974,871 34.8% 
Fidelity Emerging Markets Equity Central Fund 79,664,448 44,319,318  17,178,844  123,855,678 29.9% 
Fidelity Energy Central Fund 153,679,962 4,090,577 14,078,556 178,072,990 17.7% 
Fidelity Financials Central Fund 482,162,133 26,196,156 41,716,260 488,622,266 19.2% 
Fidelity Floating Rate Central Fund 80,941,046 5,093,480 7,840,852 78,553,615 4.9% 
Fidelity Health Care Central Fund 345,575,850 12,886,597 30,481,139 350,759,138 17.9% 
Fidelity High Income Central Fund 1 348,630,207 65,721,003 162,447,401 265,166,398 33.4% 
Fidelity Industrials Central Fund 243,088,770 6,609,219 22,270,767 264,500,993 19.2% 
Fidelity Inflation-Protected Bond Index Central Fund 210,977,007 104,044,802 24,943,579 303,215,289 31.5% 
Fidelity Information Technology Central Fund 500,998,244 9,833,124  54,755,870  584,872,734 18.2% 
Fidelity International Equity Central Fund 730,899,356 39,498,423 76,323,652 722,603,960 33.8% 
Fidelity Investment Grade Bond Central Fund 2,900,282,297 213,063,258 597,577,147 2,614,370,089 37.1% 
Fidelity Materials Central Fund 75,673,855 2,506,687 6,638,332 81,336,374 20.3% 
Fidelity Real Estate Equity Central Fund 84,803,465 2,790,456 45,566,944 55,385,111 31.9% 
Fidelity Telecom Services Central Fund 51,730,713 4,966,154 5,882,957 62,722,849 16.3% 
Fidelity Utilities Central Fund 81,381,954 3,243,003 9,574,967 85,707,338 18.5% 
Total $6,934,460,150 $676,636,785  $1,218,699,455  $6,911,904,993  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $3,609,624,731 $3,609,624,731 $-- $-- 
Fixed-Income Central Funds 3,302,280,262 3,302,280,262 -- -- 
Money Market Central Funds 757,910,725 757,910,725 -- -- 
Other Short-Term Investments 1,329,672 -- 1,329,672 -- 
Investment Companies 89,920,377 89,920,377 -- -- 
Total Investments in Securities: $7,761,065,767 $7,759,736,095 $1,329,672 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 77.6% 
United Kingdom 3.7% 
Japan 2.5% 
Ireland 1.5% 
Netherlands 1.3% 
Canada 1.2% 
Mexico 1.1% 
Germany 1.1% 
France 1.0% 
Others (Individually Less Than 1%) 9.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 50%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value (including securities loaned of $524,515) — See accompanying schedule:
Unaffiliated issuers (cost $91,082,607) 
$91,250,049  
Fidelity Central Funds (cost $6,001,308,968) 7,669,815,718  
Total Investments (cost $6,092,391,575)  $7,761,065,767 
Receivable for investments sold  6,023,306 
Receivable for fund shares sold  2,122,013 
Distributions receivable from Fidelity Central Funds  155,174 
Prepaid expenses  21,405 
Other receivables  220,207 
Total assets  7,769,607,872 
Liabilities   
Payable for fund shares redeemed $5,984,582  
Accrued management fee 3,207,288  
Transfer agent fee payable 849,197  
Distribution and service plan fees payable 65,031  
Other affiliated payables 132,711  
Other payables and accrued expenses 238,030  
Collateral on securities loaned, at value 534,750  
Total liabilities  11,011,589 
Net Assets  $7,758,596,283 
Net Assets consist of:   
Paid in capital  $7,001,714,107 
Undistributed net investment income  27,626,827 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (939,418,843) 
Net unrealized appreciation (depreciation) on investments  1,668,674,192 
Net Assets  $7,758,596,283 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($77,724,471 ÷ 4,595,030 shares)  $16.91 
Maximum offering price per share (100/94.25 of $16.91)  $17.94 
Class T:   
Net Asset Value and redemption price per share ($32,430,670 ÷ 1,919,360 shares)  $16.90 
Maximum offering price per share (100/96.50 of $16.90)  $17.51 
Class C:   
Net Asset Value and offering price per share ($42,705,925 ÷ 2,543,064 shares)(a)  $16.79 
Asset Manager 50%:   
Net Asset Value, offering price and redemption price per share ($7,566,062,210 ÷ 445,526,203 shares)  $16.98 
Class I:   
Net Asset Value, offering price and redemption price per share ($39,673,007 ÷ 2,340,239 shares)  $16.95 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $4,830,340 
Interest  14,802 
Income from Fidelity Central Funds  177,122,337 
Total income  181,967,479 
Expenses   
Management fee $38,228,992  
Transfer agent fees 10,188,719  
Distribution and service plan fees 779,753  
Accounting and security lending fees 1,480,261  
Custodian fees and expenses 2,684  
Independent trustees' fees and expenses 34,280  
Appreciation in deferred trustee compensation account 595  
Registration fees 129,255  
Audit 41,630  
Legal 36,349  
Miscellaneous (63,396)  
Total expenses before reductions 50,859,122  
Expense reductions (200,268) 50,658,854 
Net investment income (loss)  131,308,625 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 8,939,313  
Fidelity Central Funds 32,519,567  
Foreign currency transactions 143,851  
Futures contracts 34,618,111  
Capital gain distributions from Fidelity Central Funds 6,653  
Total net realized gain (loss)  76,227,495 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
488,067,481  
Assets and liabilities in foreign currencies 6,315  
Futures contracts 5,457,558  
Total change in net unrealized appreciation (depreciation)  493,531,354 
Net gain (loss)  569,758,849 
Net increase (decrease) in net assets resulting from operations  $701,067,474 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $131,308,625 $133,185,209 
Net realized gain (loss) 76,227,495 224,814,206 
Change in net unrealized appreciation (depreciation) 493,531,354 (462,905,058) 
Net increase (decrease) in net assets resulting from operations 701,067,474 (104,905,643) 
Distributions to shareholders from net investment income (137,724,737) (123,762,955) 
Distributions to shareholders from net realized gain (287,947,103) (522,702,610) 
Total distributions (425,671,840) (646,465,565) 
Share transactions - net increase (decrease) (200,114,641) 298,082,778 
Total increase (decrease) in net assets 75,280,993 (453,288,430) 
Net Assets   
Beginning of period 7,683,315,290 8,136,603,720 
End of period $7,758,596,283 $7,683,315,290 
Other Information   
Undistributed net investment income end of period $27,626,827 $33,911,470 

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


Financial Highlights — Fidelity Asset Manager 50% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.33 $17.99 $17.78 $16.36 $14.43 
Income from Investment Operations      
Net investment income (loss)A .23 .23 .22 .19 .21 
Net realized and unrealized gain (loss) 1.21 (.50) 1.13 1.43 1.98 
Total from investment operations 1.44 (.27) 1.35 1.62 2.19 
Distributions from net investment income (.25) (.22) (.23) (.19) (.23) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.86)B (1.39) (1.14) (.20)C (.26)D 
Net asset value, end of period $16.91 $16.33 $17.99 $17.78 $16.36 
Total ReturnE,F 9.19% (1.70)% 7.96% 10.01% 15.31% 
Ratios to Average Net AssetsG,H      
Expenses before reductions .96% .96% .95% .99% 1.01% 
Expenses net of fee waivers, if any .96% .96% .95% .99% 1.01% 
Expenses net of all reductions .96% .95% .95% .98% 1.00% 
Net investment income (loss) 1.42% 1.34% 1.24% 1.12% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $77,724 $70,616 $72,246 $74,128 $61,693 
Portfolio turnover rateI 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.86 per share is comprised of distributions from net investment income of $.247 and distributions from net realized gain of $.616 per share.

 C Total distributions of $.20 per share is comprised of distributions from net investment income of $.187 and distributions from net realized gain of $.015 per share.

 D Total distributions of $.26 per share is comprised of distributions from net investment income of $.232 and distributions from net realized gain of $.024 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.31 $17.97 $17.76 $16.34 $14.41 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .17 .15 .17 
Net realized and unrealized gain (loss) 1.22 (.51) 1.14 1.43 1.98 
Total from investment operations 1.41 (.32) 1.31 1.58 2.15 
Distributions from net investment income (.20) (.17) (.19) (.15) (.20) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.82) (1.34) (1.10) (.16)B (.22) 
Net asset value, end of period $16.90 $16.31 $17.97 $17.76 $16.34 
Total ReturnC,D 8.97% (1.98)% 7.69% 9.76% 15.06% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.22% 1.22% 1.22% 1.24% 1.24% 
Expenses net of fee waivers, if any 1.22% 1.22% 1.22% 1.24% 1.24% 
Expenses net of all reductions 1.22% 1.22% 1.22% 1.22% 1.23% 
Net investment income (loss) 1.15% 1.07% .97% .87% 1.12% 
Supplemental Data      
Net assets, end of period (000 omitted) $32,431 $30,381 $32,372 $28,826 $22,505 
Portfolio turnover rateG 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.16 per share is comprised of distributions from net investment income of $.148 and distributions from net realized gain of $.015 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.21 $17.88 $17.68 $16.27 $14.35 
Income from Investment Operations      
Net investment income (loss)A .11 .10 .08 .06 .09 
Net realized and unrealized gain (loss) 1.21 (.52) 1.13 1.43 1.98 
Total from investment operations 1.32 (.42) 1.21 1.49 2.07 
Distributions from net investment income (.12) (.08) (.10) (.07) (.12) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.74) (1.25) (1.01) (.08)B (.15)C 
Net asset value, end of period $16.79 $16.21 $17.88 $17.68 $16.27 
Total ReturnD,E 8.42% (2.52)% 7.16% 9.21% 14.49% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.72% 1.72% 1.72% 1.74% 1.75% 
Expenses net of fee waivers, if any 1.72% 1.72% 1.72% 1.74% 1.75% 
Expenses net of all reductions 1.72% 1.72% 1.72% 1.73% 1.74% 
Net investment income (loss) .66% .57% .47% .37% .61% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,706 $42,095 $38,792 $31,204 $21,859 
Portfolio turnover rateH 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.08 per share is comprised of distributions from net investment income of $.068 and distributions from net realized gain of $.015 per share.

 C Total distributions of $.15 per share is comprised of distributions from net investment income of $.122 and distributions from net realized gain of $.024 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.39 $18.06 $17.84 $16.41 $14.47 
Income from Investment Operations      
Net investment income (loss)A .28 .29 .28 .24 .26 
Net realized and unrealized gain (loss) 1.22 (.52) 1.14 1.44 1.99 
Total from investment operations 1.50 (.23) 1.42 1.68 2.25 
Distributions from net investment income (.30) (.27) (.29) (.24) (.28) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.91)B (1.44) (1.20) (.25)C (.31)D 
Net asset value, end of period $16.98 $16.39 $18.06 $17.84 $16.41 
Total ReturnE 9.56% (1.45)% 8.33% 10.38% 15.71% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .65% .66% .66% .68% .69% 
Expenses net of fee waivers, if any .65% .66% .66% .67% .69% 
Expenses net of all reductions .65% .65% .66% .66% .68% 
Net investment income (loss) 1.72% 1.63% 1.53% 1.43% 1.67% 
Supplemental Data      
Net assets, end of period (000 omitted) $7,566,062 $7,504,374 $7,956,041 $7,384,756 $6,838,743 
Portfolio turnover rateH 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.91 per share is comprised of distributions from net investment income of $.297 and distributions from net realized gain of $.616 per share.

 C Total distributions of $.25 per share is comprised of distributions from net investment income of $.239 and distributions from net realized gain of $.015 per share.

 D Total distributions of $.31 per share is comprised of distributions from net investment income of $.281 and distributions from net realized gain of $.024 per share.

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 50% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $16.36 $18.03 $17.81 $16.39 $14.46 
Income from Investment Operations      
Net investment income (loss)A .27 .28 .27 .24 .25 
Net realized and unrealized gain (loss) 1.23 (.52) 1.14 1.43 1.98 
Total from investment operations 1.50 (.24) 1.41 1.67 2.23 
Distributions from net investment income (.29) (.26) (.28) (.23) (.27) 
Distributions from net realized gain (.62) (1.17) (.91) (.02) (.02) 
Total distributions (.91) (1.43) (1.19) (.25) (.30)B 
Net asset value, end of period $16.95 $16.36 $18.03 $17.81 $16.39 
Total ReturnC 9.53% (1.50)% 8.29% 10.28% 15.58% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .70% .70% .71% .72% .75% 
Expenses net of fee waivers, if any .70% .70% .71% .72% .75% 
Expenses net of all reductions .70% .69% .71% .71% .74% 
Net investment income (loss) 1.68% 1.59% 1.48% 1.39% 1.61% 
Supplemental Data      
Net assets, end of period (000 omitted) $39,673 $33,434 $33,575 $21,429 $14,732 
Portfolio turnover rateF 19% 17% 10% 21% 19% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.30 per share is comprised of distributions from net investment income of $.272 and distributions from net realized gain of $.024 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 60%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 0.9 0.9 
Amazon.com, Inc. 0.8 0.5 
Medtronic PLC 0.6 0.6 
Facebook, Inc. Class A 0.6 0.5 
Alphabet, Inc. Class C 0.5 0.5 
Alphabet, Inc. Class A 0.5 0.4 
General Electric Co. 0.5 0.6 
Allergan PLC 0.4 0.3 
British American Tobacco PLC sponsored ADR 0.4 0.4 
Berkshire Hathaway, Inc. Class B 0.4 0.4 
 5.6  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 17.1 19.5 
Information Technology 9.8 8.6 
Consumer Discretionary 8.6 9.7 
Health Care 7.6 6.8 
Energy 6.4 6.1 

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 14.9% 
   AAA,AA,A 4.3% 
   BBB 8.3% 
   BB and Below 7.4% 
   Not Rated 0.1% 
   Equities* 56.5% 
   Short-Term Investments and Net Other Assets 8.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016 
   U.S. Government and U.S. Government Agency Obligations 13.5% 
   AAA,AA,A 5.3% 
   BBB 8.7% 
   BB and Below 8.5% 
   Not Rated 0.2% 
   Equities* 57.5% 
   Short-Term Investments and Net Other Assets 6.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 56.7% 
   Bond Class 34.6% 
   Short-Term Class 8.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 60.1% 
   Bond Class 35.4% 
   Short-Term Class 4.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 25% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 60%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 55.7%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 2,917,049 $18,610,775 
Fidelity Consumer Discretionary Central Fund (a) 284,942 70,882,185 
Fidelity Consumer Staples Central Fund (a) 232,668 53,048,360 
Fidelity Emerging Markets Equity Central Fund (a) 145,050 29,379,814 
Fidelity Energy Central Fund (a) 334,747 42,666,865 
Fidelity Financials Central Fund (a) 1,384,934 117,359,278 
Fidelity Health Care Central Fund (a) 241,830 84,314,184 
Fidelity Industrials Central Fund (a) 261,435 63,322,120 
Fidelity Information Technology Central Fund (a) 422,872 139,649,129 
Fidelity International Equity Central Fund (a) 2,410,608 180,699,204 
Fidelity Materials Central Fund (a) 91,094 19,433,946 
Fidelity Real Estate Equity Central Fund (a) 98,909 11,191,603 
Fidelity Telecom Services Central Fund (a) 79,583 15,237,712 
Fidelity Utilities Central Fund (a) 126,225 20,564,537 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $609,669,403)  866,359,712 
Fixed-Income Central Funds - 36.6%   
High Yield Fixed-Income Funds - 4.9%   
Fidelity Emerging Markets Debt Central Fund (a) 804,552 8,214,479 
Fidelity Floating Rate Central Fund (a) 143,399 14,714,215 
Fidelity High Income Central Fund 1 (a) 541,170 53,050,901 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  75,979,595 
Investment Grade Fixed-Income Funds - 31.7%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 588,624 60,687,179 
Fidelity Investment Grade Bond Central Fund (a) 3,926,380 432,844,176 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  493,531,355 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $542,567,817)  569,510,950 
Money Market Central Funds - 5.7%   
Fidelity Cash Central Fund, 0.43% (b) 58,977,862 58,995,555 
Fidelity Money Market Central Fund, 0.86% (b) 29,826,011 29,831,976 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $88,805,684)  88,827,531 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $249,864) 250,000 249,932 
 Shares Value 
Investment Companies - 2.0%   
iShares Core MSCI Emerging Markets ETF 289,233 $13,191,917 
iShares S&P 500 Index ETF 78,619 17,104,351 
TOTAL INVESTMENT COMPANIES   
(Cost $28,128,390)  30,296,268 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $1,269,421,158)  1,555,244,393 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (263,831) 
NET ASSETS - 100%  $1,554,980,562 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $171,417 
Fidelity Commodity Strategy Central Fund 36,958 
Fidelity Consumer Discretionary Central Fund 1,098,168 
Fidelity Consumer Staples Central Fund 1,190,169 
Fidelity Emerging Markets Debt Central Fund 497,900 
Fidelity Emerging Markets Equity Central Fund 539,094 
Fidelity Energy Central Fund 558,855 
Fidelity Financials Central Fund 2,009,809 
Fidelity Floating Rate Central Fund 723,975 
Fidelity Health Care Central Fund 611,834 
Fidelity High Income Central Fund 1 4,417,132 
Fidelity Industrials Central Fund 906,307 
Fidelity Inflation-Protected Bond Index Central Fund 10,032 
Fidelity Information Technology Central Fund 1,015,149 
Fidelity International Equity Central Fund 4,574,897 
Fidelity Investment Grade Bond Central Fund 12,915,831 
Fidelity Materials Central Fund 392,566 
Fidelity Money Market Central Fund 83,015 
Fidelity Real Estate Equity Central Fund 379,411 
Fidelity Telecom Services Central Fund 323,252 
Fidelity Utilities Central Fund 546,440 
Total $33,002,211 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $2,702,710 $22,270,301 $7,978,316 $18,610,775 3.9% 
Fidelity Consumer Discretionary Central Fund 67,628,404 7,111,130 7,982,915 70,882,185 4.5% 
Fidelity Consumer Staples Central Fund 45,787,630 5,589,670 4,165,399 53,048,360 4.1% 
Fidelity Emerging Markets Debt Central Fund 6,766,010 1,094,631 556,334 8,214,479 7.0% 
Fidelity Emerging Markets Equity Central Fund 17,502,737 11,140,137 3,246,886 29,379,814 7.1% 
Fidelity Energy Central Fund 33,982,651 3,746,897 3,012,396 42,666,865 4.2% 
Fidelity Financials Central Fund 106,653,771 14,851,893 8,985,707 117,359,278 4.6% 
Fidelity Floating Rate Central Fund 13,805,161 1,978,008 1,173,345 14,714,215 0.9% 
Fidelity Health Care Central Fund 76,428,696 9,399,752 6,558,905 84,314,184 4.3% 
Fidelity High Income Central Fund 1 63,278,896 16,856,003 29,686,421 53,050,901 6.7% 
Fidelity Industrials Central Fund 53,776,839 6,016,705 4,804,172 63,322,120 4.6% 
Fidelity Inflation-Protected Bond Index Central Fund 38,379,148 23,378,783 3,651,909 60,687,179 6.3% 
Fidelity Information Technology Central Fund 110,818,525 11,551,876 12,163,901 139,649,129 4.3% 
Fidelity International Equity Central Fund 165,603,250 23,212,823 14,596,283 180,699,204 8.5% 
Fidelity Investment Grade Bond Central Fund 423,077,126 69,988,314 76,165,686 432,844,176 6.1% 
Fidelity Materials Central Fund 16,738,695 1,914,360 1,421,690 19,433,946 4.8% 
Fidelity Real Estate Equity Central Fund 15,479,638 1,622,343 8,453,118 11,191,603 6.4% 
Fidelity Telecom Services Central Fund 11,442,186 2,361,236 1,273,692 15,237,712 4.0% 
Fidelity Utilities Central Fund 18,002,811 2,253,473 2,141,553 20,564,537 4.4% 
Total $1,287,854,884 $236,338,335 $198,018,628 $1,435,870,662  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $866,359,712 $866,359,712 $-- $-- 
Fixed-Income Central Funds 569,510,950 569,510,950 -- -- 
Money Market Central Funds 88,827,531 88,827,531 -- -- 
Other Short-Term Investments  249,932 -- 249,932 -- 
Investment Companies 30,296,268 30,296,268 -- -- 
Total Investments in Securities: $1,555,244,393 $1,554,994,461 $249,932 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 75.0% 
United Kingdom 4.1% 
Japan 3.0% 
Ireland 1.7% 
Canada 1.4% 
Germany 1.3% 
Netherlands 1.2% 
France 1.2% 
Switzerland 1.1% 
Mexico 1.0% 
Others (Individually Less Than 1%) 9.0% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 60%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $28,378,254) 
$30,546,200  
Fidelity Central Funds (cost $1,241,042,904) 1,524,698,193  
Total Investments (cost $1,269,421,158)  $1,555,244,393 
Receivable for investments sold  637,045 
Receivable for fund shares sold  1,562,505 
Distributions receivable from Fidelity Central Funds  19,580 
Prepaid expenses  4,191 
Other receivables  1,036 
Total assets  1,557,468,750 
Liabilities   
Payable for investments purchased $938,319  
Payable for fund shares redeemed 567,205  
Accrued management fee 705,218  
Transfer agent fee payable 151,471  
Distribution and service plan fees payable 47,505  
Other affiliated payables 51,302  
Other payables and accrued expenses 27,168  
Total liabilities  2,488,188 
Net Assets  $1,554,980,562 
Net Assets consist of:   
Paid in capital  $1,405,957,911 
Undistributed net investment income  16,009,546 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (152,810,130) 
Net unrealized appreciation (depreciation) on investments  285,823,235 
Net Assets  $1,554,980,562 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($59,026,858 ÷ 5,253,089 shares)  $11.24 
Maximum offering price per share (100/94.25 of $11.24)  $11.93 
Class T:   
Net Asset Value and redemption price per share ($16,763,374 ÷ 1,500,105 shares)  $11.17 
Maximum offering price per share (100/96.50 of $11.17)  $11.58 
Class C:   
Net Asset Value and offering price per share ($34,037,389 ÷ 3,084,294 shares)(a)  $11.04 
Asset Manager 60%:   
Net Asset Value, offering price and redemption price per share ($1,426,502,169 ÷ 126,339,239 shares)  $11.29 
Class I:   
Net Asset Value, offering price and redemption price per share ($18,650,772 ÷ 1,651,007 shares)  $11.30 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $1,222,607 
Interest  3,104 
Income from Fidelity Central Funds  33,002,211 
Total income  34,227,922 
Expenses   
Management fee $8,079,837  
Transfer agent fees 1,754,081  
Distribution and service plan fees 551,213  
Accounting fees and expenses 589,300  
Custodian fees and expenses 1,658  
Independent trustees' fees and expenses 6,442  
Registration fees 104,637  
Audit 40,374  
Legal 5,152  
Miscellaneous (15,128)  
Total expenses before reductions 11,117,566  
Expense reductions (40,750) 11,076,816 
Net investment income (loss)  23,151,106 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 976,552  
Fidelity Central Funds (8,419,751)  
Foreign currency transactions 28,119  
Futures contracts 6,471,037  
Total net realized gain (loss)  (944,043) 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
120,478,363  
Assets and liabilities in foreign currencies 1,132  
Futures contracts 949,696  
Total change in net unrealized appreciation (depreciation)  121,429,191 
Net gain (loss)  120,485,148 
Net increase (decrease) in net assets resulting from operations  $143,636,254 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $23,151,106 $21,161,998 
Net realized gain (loss) (944,043) (3,677,830) 
Change in net unrealized appreciation (depreciation) 121,429,191 (50,318,641) 
Net increase (decrease) in net assets resulting from operations 143,636,254 (32,834,473) 
Distributions to shareholders from net investment income (24,052,987) (17,475,457) 
Distributions to shareholders from net realized gain (32,419,519) (64,516,613) 
Total distributions (56,472,506) (81,992,070) 
Share transactions - net increase (decrease) 75,598,059 210,192,200 
Total increase (decrease) in net assets 162,761,807 95,365,657 
Net Assets   
Beginning of period 1,392,218,755 1,296,853,098 
End of period $1,554,980,562 $1,392,218,755 
Other Information   
Undistributed net investment income end of period $16,009,546 $16,884,619 

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


Financial Highlights — Fidelity Asset Manager 60% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.60 $11.53 $11.17 $10.16 $8.76 
Income from Investment Operations      
Net investment income (loss)A .14 .14 .12 .11 .12 
Net realized and unrealized gain (loss) .90 (.39) .83 1.10 1.38 
Total from investment operations 1.04 (.25) .95 1.21 1.50 
Distributions from net investment income (.15) (.12) (.09) (.09) (.08) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.40) (.68) (.59) (.20) (.10) 
Net asset value, end of period $11.24 $10.60 $11.53 $11.17 $10.16 
Total ReturnB,C 10.10% (2.36)% 8.87% 12.15% 17.27% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.03% 1.04% 1.03% 1.06% 1.09% 
Expenses net of fee waivers, if any 1.03% 1.03% 1.03% 1.06% 1.09% 
Expenses net of all reductions 1.03% 1.03% 1.03% 1.05% 1.08% 
Net investment income (loss) 1.30% 1.20% 1.08% 1.02% 1.26% 
Supplemental Data      
Net assets, end of period (000 omitted) $59,027 $53,879 $53,382 $41,926 $37,312 
Portfolio turnover rateF 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.55 $11.48 $11.12 $10.12 $8.72 
Income from Investment Operations      
Net investment income (loss)A .11 .11 .09 .08 .10 
Net realized and unrealized gain (loss) .88 (.39) .84 1.09 1.38 
Total from investment operations .99 (.28) .93 1.17 1.48 
Distributions from net investment income (.13) (.09) (.07) (.06) (.06) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.37)B (.65) (.57) (.17) (.08) 
Net asset value, end of period $11.17 $10.55 $11.48 $11.12 $10.12 
Total ReturnC,D 9.68% (2.63)% 8.66% 11.78% 17.12% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.29% 1.29% 1.30% 1.32% 1.34% 
Expenses net of fee waivers, if any 1.29% 1.29% 1.30% 1.32% 1.34% 
Expenses net of all reductions 1.28% 1.28% 1.30% 1.31% 1.33% 
Net investment income (loss) 1.04% .94% .81% .76% 1.01% 
Supplemental Data      
Net assets, end of period (000 omitted) $16,763 $16,210 $14,759 $13,639 $11,380 
Portfolio turnover rateG 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.37 per share is comprised of distributions from net investment income of $.127 and distributions from net realized gain of $.247 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 60% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.42 $11.35 $11.04 $10.06 $8.67 
Income from Investment Operations      
Net investment income (loss)A .06 .05 .04 .02 .05 
Net realized and unrealized gain (loss) .88 (.38) .81 1.10 1.38 
Total from investment operations .94 (.33) .85 1.12 1.43 
Distributions from net investment income (.08) (.04) (.04) (.02) (.02) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.32)B (.60) (.54) (.14)C (.04) 
Net asset value, end of period $11.04 $10.42 $11.35 $11.04 $10.06 
Total ReturnD,E 9.27% (3.08)% 7.98% 11.24% 16.55% 
Ratios to Average Net AssetsF,G      
Expenses before reductions 1.78% 1.80% 1.80% 1.84% 1.88% 
Expenses net of fee waivers, if any 1.78% 1.79% 1.80% 1.84% 1.85% 
Expenses net of all reductions 1.78% 1.79% 1.80% 1.83% 1.84% 
Net investment income (loss) .54% .44% .31% .24% .50% 
Supplemental Data      
Net assets, end of period (000 omitted) $34,037 $30,147 $25,867 $18,390 $10,185 
Portfolio turnover rateH 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.32 per share is comprised of distributions from net investment income of $.076 and distributions from net realized gain of $.247 per share.

 C Total distributions of $.14 per share is comprised of distributions from net investment income of $.024 and distributions from net realized gain of $.112 per share.

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

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.66 $11.59 $11.22 $10.21 $8.80 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .16 .14 .15 
Net realized and unrealized gain (loss) .90 (.39) .84 1.10 1.39 
Total from investment operations 1.07 (.22) 1.00 1.24 1.54 
Distributions from net investment income (.19) (.16) (.13) (.12) (.11) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.44) (.71)B (.63) (.23) (.13) 
Net asset value, end of period $11.29 $10.66 $11.59 $11.22 $10.21 
Total ReturnC 10.31% (2.03)% 9.26% 12.45% 17.73% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .71% .72% .72% .74% .77% 
Expenses net of fee waivers, if any .71% .72% .72% .74% .77% 
Expenses net of all reductions .71% .71% .72% .73% .76% 
Net investment income (loss) 1.61% 1.51% 1.39% 1.34% 1.59% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,426,502 $1,275,181 $1,187,056 $850,361 $557,351 
Portfolio turnover rateF 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.71 per share is comprised of distributions from net investment income of $.155 and distributions from net realized gain of $.555 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 60% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $10.66 $11.59 $11.22 $10.21 $8.79 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .15 .13 .15 
Net realized and unrealized gain (loss) .90 (.39) .83 1.10 1.39 
Total from investment operations 1.07 (.22) .98 1.23 1.54 
Distributions from net investment income (.18) (.15) (.11) (.11) (.10) 
Distributions from net realized gain (.25) (.56) (.50) (.11) (.02) 
Total distributions (.43) (.71) (.61) (.22) (.12) 
Net asset value, end of period $11.30 $10.66 $11.59 $11.22 $10.21 
Total ReturnB 10.37% (2.08)% 9.15% 12.35% 17.73% 
Ratios to Average Net AssetsC,D      
Expenses before reductions .75% .76% .78% .82% .84% 
Expenses net of fee waivers, if any .74% .76% .78% .82% .84% 
Expenses net of all reductions .74% .75% .78% .81% .83% 
Net investment income (loss) 1.58% 1.47% 1.33% 1.26% 1.51% 
Supplemental Data      
Net assets, end of period (000 omitted) $18,651 $15,574 $14,122 $8,540 $8,964 
Portfolio turnover rateE 21% 22% 11% 22% 25% 

 A Calculated based on average shares outstanding during the period.

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

 C Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 D 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 70%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 1.1 1.1 
Amazon.com, Inc. 0.9 0.6 
Medtronic PLC 0.7 0.7 
Facebook, Inc. Class A 0.7 0.5 
Alphabet, Inc. Class C 0.6 0.6 
Alphabet, Inc. Class A 0.6 0.5 
General Electric Co. 0.6 0.7 
British American Tobacco PLC sponsored ADR 0.6 0.5 
Allergan PLC 0.5 0.3 
Berkshire Hathaway, Inc. Class B 0.5 0.5 
 6.8  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 17.0 19.4 
Information Technology 11.8 10.2 
Consumer Discretionary 9.5 10.5 
Health Care 8.5 8.1 
Industrials 7.5 8.0 

Quality Diversification (% of fund's net assets)

As of September 30, 2016 
   U.S. Government and U.S. Government Agency Obligations 11.0% 
   AAA,AA,A 2.9% 
   BBB 5.2% 
   BB and Below 6.3% 
   Not Rated 0.1% 
   Equities* 66.4% 
   Short-Term Investments and Net Other Assets 8.1% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 9.9% 
   AAA,AA,A 3.3% 
   BBB 5.6% 
   BB and Below 7.4% 
   Not Rated 0.2% 
   Equities* 67.1% 
   Short-Term Investments and Net Other Assets 6.5% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016 
   Stock Class and Equity Futures* 66.5% 
   Bond Class 25.3% 
   Short-Term Class 8.2% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.2%


As of March 31, 2016  
   Stock Class and Equity Futures* 69.7% 
   Bond Class 25.9% 
   Short-Term Class 4.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.0%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 27.5% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 70%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 65.2%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 8,046,157 $51,334,481 
Fidelity Consumer Discretionary Central Fund (a) 919,572 228,752,701 
Fidelity Consumer Staples Central Fund (a) 750,112 171,025,446 
Fidelity Emerging Markets Equity Central Fund (a) 512,609 103,828,872 
Fidelity Energy Central Fund (a) 1,079,222 137,557,692 
Fidelity Financials Central Fund (a) 4,460,294 377,965,323 
Fidelity Health Care Central Fund (a) 778,796 271,527,129 
Fidelity Industrials Central Fund (a) 843,227 204,238,006 
Fidelity Information Technology Central Fund (a) 1,363,932 450,424,827 
Fidelity International Equity Central Fund (a) 7,874,831 590,297,357 
Fidelity Materials Central Fund (a) 294,112 62,745,788 
Fidelity Real Estate Equity Central Fund (a) 273,651 30,963,572 
Fidelity Telecom Services Central Fund (a) 255,087 48,841,512 
Fidelity Utilities Central Fund (a) 406,380 66,207,420 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $1,856,812,745)  2,795,710,126 
Fixed-Income Central Funds - 26.7%   
High Yield Fixed-Income Funds - 4.9%   
Fidelity Emerging Markets Debt Central Fund (a) 2,212,505 22,589,678 
Fidelity Floating Rate Central Fund (a) 390,223 40,040,732 
Fidelity High Income Central Fund 1 (a) 1,495,564 146,610,179 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  209,240,589 
Investment Grade Fixed-Income Funds - 21.8%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 1,618,812 166,899,519 
Fidelity Investment Grade Bond Central Fund (a) 6,982,693 769,772,053 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  936,671,572 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $1,088,236,276)  1,145,912,161 
Money Market Central Funds - 5.6%   
Fidelity Cash Central Fund, 0.43% (b) 156,803,110 156,850,151 
Fidelity Money Market Central Fund, 0.86% (b) 84,786,085 84,803,042 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $241,593,133)  241,653,193 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $749,621) 750,000 749,817 
 Shares Value 
Investment Companies - 2.5%   
iShares Core MSCI Emerging Markets ETF 871,585 $39,752,992 
iShares S&P 500 Index ETF 309,948 67,432,285 
TOTAL INVESTMENT COMPANIES   
(Cost $98,710,537)  107,185,277 
TOTAL INVESTMENT PORTFOLIO - 100.0%   
(Cost $3,286,102,312)  4,291,210,574 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (646,642) 
NET ASSETS - 100%  $4,290,563,932 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 $522,917 
Fidelity Commodity Strategy Central Fund 102,308 
Fidelity Consumer Discretionary Central Fund 3,656,469 
Fidelity Consumer Staples Central Fund 3,957,166 
Fidelity Emerging Markets Debt Central Fund 1,411,415 
Fidelity Emerging Markets Equity Central Fund 1,974,173 
Fidelity Energy Central Fund 1,862,699 
Fidelity Financials Central Fund 6,695,181 
Fidelity Floating Rate Central Fund 2,037,227 
Fidelity Health Care Central Fund 2,035,760 
Fidelity High Income Central Fund 1 12,556,973 
Fidelity Industrials Central Fund 3,016,972 
Fidelity Inflation-Protected Bond Index Central Fund 28,238 
Fidelity Information Technology Central Fund 3,370,404 
Fidelity International Equity Central Fund 15,286,687 
Fidelity Investment Grade Bond Central Fund 23,652,160 
Fidelity Materials Central Fund 1,308,152 
Fidelity Money Market Central Fund 236,092 
Fidelity Real Estate Equity Central Fund 1,080,781 
Fidelity Securities Lending Cash Central Fund 109,315 
Fidelity Telecom Services Central Fund 1,076,815 
Fidelity Utilities Central Fund 1,812,981 
Total $87,790,885 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $7,698,208 $61,349,988  $22,296,984  $51,334,481 10.9% 
Fidelity Consumer Discretionary Central Fund 230,194,082 9,255,306 24,867,462 228,752,701 14.5% 
Fidelity Consumer Staples Central Fund 155,826,673 7,970,808 12,608,637 171,025,446 13.3% 
Fidelity Emerging Markets Debt Central Fund 19,593,377 1,880,872  1,467,015 22,589,678 19.2% 
Fidelity Emerging Markets Equity Central Fund 70,811,304 28,186,652  10,214,993  103,828,872 25.0% 
Fidelity Energy Central Fund 115,645,084 4,776,295 9,300,515 137,557,692 13.7% 
Fidelity Financials Central Fund 363,033,248 25,526,612 27,450,934 377,965,323 14.9% 
Fidelity Floating Rate Central Fund 39,732,483 3,145,136 3,093,092 40,040,732 2.5% 
Fidelity Health Care Central Fund 260,183,460 13,951,004 19,970,279 271,527,129 13.9% 
Fidelity High Income Central Fund 1 183,582,381 37,860,779 82,121,723 146,610,179 18.4% 
Fidelity Industrials Central Fund 183,034,580 7,696,140 14,738,493 204,238,006 14.8% 
Fidelity Inflation-Protected Bond Index Central Fund 111,370,622 58,771,287 10,508,786 166,899,519 17.4% 
Fidelity Information Technology Central Fund 377,147,444 12,573,202 37,736,088 450,424,827 14.0% 
Fidelity International Equity Central Fund 554,520,131 56,423,750 42,782,192 590,297,357 27.6% 
Fidelity Investment Grade Bond Central Fund 814,208,509 98,141,948 171,089,319 769,772,053 10.9% 
Fidelity Materials Central Fund 56,973,772 2,703,244 4,401,998 62,745,788 15.7% 
Fidelity Real Estate Equity Central Fund 44,949,237 2,139,509 23,452,254 30,963,572 17.8% 
Fidelity Telecom Services Central Fund 38,957,433 4,650,793 3,868,206 48,841,512 12.7% 
Fidelity Utilities Central Fund 61,251,917 3,326,618 6,522,779 66,207,420 14.3% 
Total $3,688,713,945 $440,329,943 $528,491,749 $3,941,622,287  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $2,795,710,126 $2,795,710,126 $-- $-- 
Fixed-Income Central Funds 1,145,912,161 1,145,912,161 -- -- 
Money Market Central Funds 241,653,193 241,653,193 -- -- 
Other Short-Term Investments  749,817 -- 749,817 -- 
Investment Companies 107,185,277 107,185,277 -- -- 
Total Investments in Securities: $4,291,210,574 $4,290,460,757 $749,817 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 72.5% 
United Kingdom 4.3% 
Japan 3.6% 
Ireland 1.9% 
Canada 1.6% 
Netherlands 1.4% 
Switzerland 1.3% 
France 1.3% 
Germany 1.2% 
Cayman Islands 1.1% 
Others (Individually Less Than 1%) 9.8% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 70%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value — See accompanying schedule:
Unaffiliated issuers (cost $99,460,158) 
$107,935,094  
Fidelity Central Funds (cost $3,186,642,154) 4,183,275,480  
Total Investments (cost $3,286,102,312)  $4,291,210,574 
Receivable for investments sold  1,830,885 
Receivable for fund shares sold  1,894,125 
Distributions receivable from Fidelity Central Funds  54,116 
Prepaid expenses  11,827 
Other receivables  56,476 
Total assets  4,295,058,003 
Liabilities   
Payable for fund shares redeemed $1,778,768  
Accrued management fee 1,948,837  
Transfer agent fee payable 479,046  
Distribution and service plan fees payable 97,288  
Other affiliated payables 113,253  
Other payables and accrued expenses 76,879  
Total liabilities  4,494,071 
Net Assets  $4,290,563,932 
Net Assets consist of:   
Paid in capital  $3,775,710,507 
Undistributed net investment income  41,027,782 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (531,282,619) 
Net unrealized appreciation (depreciation) on investments  1,005,108,262 
Net Assets  $4,290,563,932 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($146,584,722 ÷ 7,408,886 shares)  $19.78 
Maximum offering price per share (100/94.25 of $19.78)  $20.99 
Class T:   
Net Asset Value and redemption price per share ($48,148,675 ÷ 2,435,120 shares)  $19.77 
Maximum offering price per share (100/96.50 of $19.77)  $20.49 
Class C:   
Net Asset Value and offering price per share ($56,605,352 ÷ 2,883,813 shares)(a)  $19.63 
Asset Manager 70%:   
Net Asset Value, offering price and redemption price per share ($3,996,904,567 ÷ 201,466,751 shares)  $19.84 
Class I:   
Net Asset Value, offering price and redemption price per share ($42,320,616 ÷ 2,131,903 shares)  $19.85 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $3,799,486 
Interest  11,555 
Income from Fidelity Central Funds  87,790,885 
Total income  91,601,926 
Expenses   
Management fee $22,929,951  
Transfer agent fees 5,645,169  
Distribution and service plan fees 1,144,854  
Accounting and security lending fees 1,335,955  
Custodian fees and expenses 2,567  
Independent trustees' fees and expenses 18,509  
Appreciation in deferred trustee compensation account 118  
Registration fees 114,562  
Audit 40,308  
Legal 18,512  
Miscellaneous (21,197)  
Total expenses before reductions 31,229,308  
Expense reductions (127,381) 31,101,927 
Net investment income (loss)  60,499,999 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers 758,326  
Fidelity Central Funds (3,562,321)  
Foreign currency transactions 125,012  
Futures contracts 18,296,182  
Total net realized gain (loss)  15,617,199 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
353,650,989  
Assets and liabilities in foreign currencies (156)  
Futures contracts 3,166,125  
Total change in net unrealized appreciation (depreciation)  356,816,958 
Net gain (loss)  372,434,157 
Net increase (decrease) in net assets resulting from operations  $432,934,156 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $60,499,999 $56,908,907 
Net realized gain (loss) 15,617,199 (7,071,822) 
Change in net unrealized appreciation (depreciation) 356,816,958 (166,138,011) 
Net increase (decrease) in net assets resulting from operations 432,934,156 (116,300,926) 
Distributions to shareholders from net investment income (65,006,686) (52,308,569) 
Distributions to shareholders from net realized gain (154,480,473) (305,208,277) 
Total distributions (219,487,159) (357,516,846) 
Share transactions - net increase (decrease) 52,440,170 476,784,885 
Total increase (decrease) in net assets 265,887,167 2,967,113 
Net Assets   
Beginning of period 4,024,676,765 4,021,709,652 
End of period $4,290,563,932 $4,024,676,765 
Other Information   
Undistributed net investment income end of period $41,027,782 $45,440,681 

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


Financial Highlights — Fidelity Asset Manager 70% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.84 $21.24 $19.60 $17.33 $14.72 
Income from Investment Operations      
Net investment income (loss)A .22 .22 .21 .18 .19 
Net realized and unrealized gain (loss) 1.70 (.80) 1.67 2.31 2.64 
Total from investment operations 1.92 (.58) 1.88 2.49 2.83 
Distributions from net investment income (.25) (.22) (.16) (.19) (.19) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.98) (1.82) (.24)B (.22) (.22) 
Net asset value, end of period $19.78 $18.84 $21.24 $19.60 $17.33 
Total ReturnC,D 10.57% (2.96)% 9.65% 14.56% 19.44% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.02% 1.03% 1.03% 1.06% 1.08% 
Expenses net of fee waivers, if any 1.02% 1.03% 1.03% 1.06% 1.08% 
Expenses net of all reductions 1.02% 1.02% 1.03% 1.04% 1.07% 
Net investment income (loss) 1.17% 1.07% 1.00% .98% 1.17% 
Supplemental Data      
Net assets, end of period (000 omitted) $146,585 $134,849 $143,310 $127,865 $120,425 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.24 per share is comprised of distributions from net investment income of $.161 and distributions from net realized gain of $.074 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.82 $21.22 $19.58 $17.30 $14.70 
Income from Investment Operations      
Net investment income (loss)A .17 .17 .15 .13 .15 
Net realized and unrealized gain (loss) 1.70 (.80) 1.67 2.32 2.62 
Total from investment operations 1.87 (.63) 1.82 2.45 2.77 
Distributions from net investment income (.20) (.16) (.11) (.14) (.15) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.92)B (1.77)C (.18) (.17) (.17)D 
Net asset value, end of period $19.77 $18.82 $21.22 $19.58 $17.30 
Total ReturnE,F 10.31% (3.25)% 9.38% 14.31% 19.03% 
Ratios to Average Net AssetsG,H      
Expenses before reductions 1.28% 1.29% 1.29% 1.32% 1.35% 
Expenses net of fee waivers, if any 1.28% 1.28% 1.29% 1.32% 1.35% 
Expenses net of all reductions 1.28% 1.28% 1.29% 1.30% 1.33% 
Net investment income (loss) .91% .81% .74% .72% .91% 
Supplemental Data      
Net assets, end of period (000 omitted) $48,149 $46,685 $49,337 $44,421 $43,064 
Portfolio turnover rateI 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.92 per share is comprised of distributions from net investment income of $.195 and distributions from net realized gain of $.726 per share.

 C Total distributions of $1.77 per share is comprised of distributions from net investment income of $.161 and distributions from net realized gain of $1.604 per share.

 D Total distributions of $.17 per share is comprised of distributions from net investment income of $.147 and distributions from net realized gain of $.025 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.69 $21.08 $19.48 $17.23 $14.63 
Income from Investment Operations      
Net investment income (loss)A .08 .06 .05 .04 .07 
Net realized and unrealized gain (loss) 1.69 (.78) 1.66 2.31 2.62 
Total from investment operations 1.77 (.72) 1.71 2.35 2.69 
Distributions from net investment income (.10) (.07) (.04) (.07) (.07) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (.83) (1.67) (.11) (.10) (.09)B 
Net asset value, end of period $19.63 $18.69 $21.08 $19.48 $17.23 
Total ReturnC,D 9.78% (3.69)% 8.82% 13.70% 18.49% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.78% 1.79% 1.79% 1.81% 1.83% 
Expenses net of fee waivers, if any 1.78% 1.78% 1.79% 1.81% 1.83% 
Expenses net of all reductions 1.78% 1.78% 1.78% 1.79% 1.81% 
Net investment income (loss) .41% .32% .25% .23% .43% 
Supplemental Data      
Net assets, end of period (000 omitted) $56,605 $52,860 $55,104 $46,498 $38,245 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.09 per share is comprised of distributions from net investment income of $.067 and distributions from net realized gain of $.025 per share.

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

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.89 $21.30 $19.66 $17.38 $14.77 
Income from Investment Operations      
Net investment income (loss)A .28 .28 .27 .24 .24 
Net realized and unrealized gain (loss) 1.71 (.80) 1.67 2.32 2.64 
Total from investment operations 1.99 (.52) 1.94 2.56 2.88 
Distributions from net investment income (.31) (.28) (.23) (.25) (.25) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (1.04) (1.89)B (.30) (.28) (.27)C 
Net asset value, end of period $19.84 $18.89 $21.30 $19.66 $17.38 
Total ReturnD 10.97% (2.69)% 9.98% 14.94% 19.79% 
Ratios to Average Net AssetsE,F      
Expenses before reductions .72% .72% .73% .75% .76% 
Expenses net of fee waivers, if any .71% .72% .73% .75% .76% 
Expenses net of all reductions .71% .71% .72% .73% .75% 
Net investment income (loss) 1.48% 1.38% 1.31% 1.29% 1.49% 
Supplemental Data      
Net assets, end of period (000 omitted) $3,996,905 $3,745,336 $3,729,256 $3,253,088 $2,758,119 
Portfolio turnover rateG 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.89 per share is comprised of distributions from net investment income of $.282 and distributions from net realized gain of $1.604 per share.

 C Total distributions of $.27 per share is comprised of distributions from net investment income of $.247 and distributions from net realized gain of $.025 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 F 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 70% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $18.90 $21.31 $19.66 $17.38 $14.78 
Income from Investment Operations      
Net investment income (loss)A .28 .27 .26 .23 .24 
Net realized and unrealized gain (loss) 1.70 (.80) 1.68 2.32 2.63 
Total from investment operations 1.98 (.53) 1.94 2.55 2.87 
Distributions from net investment income (.30) (.27) (.22) (.24) (.24) 
Distributions from net realized gain (.73) (1.60) (.07) (.03) (.03) 
Total distributions (1.03) (1.88)B (.29) (.27) (.27) 
Net asset value, end of period $19.85 $18.90 $21.31 $19.66 $17.38 
Total ReturnC 10.92% (2.73)% 9.98% 14.90% 19.68% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .74% .76% .77% .79% .80% 
Expenses net of fee waivers, if any .74% .76% .77% .79% .80% 
Expenses net of all reductions .74% .75% .77% .77% .79% 
Net investment income (loss) 1.45% 1.34% 1.26% 1.25% 1.45% 
Supplemental Data      
Net assets, end of period (000 omitted) $42,321 $42,581 $40,561 $31,955 $30,418 
Portfolio turnover rateF 21% 20% 13% 20% 20% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.88 per share is comprised of distributions from net investment income of $.273 and distributions from net realized gain of $1.604 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Fidelity Asset Manager® 85%

Investment Summary (Unaudited)

The information in the following tables is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 1.4 1.4 
Amazon.com, Inc. 1.1 0.8 
Facebook, Inc. Class A 0.9 0.7 
Medtronic PLC 0.9 0.8 
Alphabet, Inc. Class C 0.8 0.7 
Alphabet, Inc. Class A 0.8 0.7 
General Electric Co. 0.7 0.9 
Allergan PLC 0.6 0.4 
British American Tobacco PLC sponsored ADR 0.6 0.6 
Berkshire Hathaway, Inc. Class B  0.6 0.6 
 8.4  

Top Five Market Sectors as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Financials 15.4 19.0 
Information Technology 14.5 12.7 
Consumer Discretionary 11.2 11.8 
Health Care 10.3 9.7 
Industrials 8.8 9.3 

Quality Diversification (% of fund's net assets)

As of September 30, 2016  
   U.S. Government and U.S. Government Agency Obligations 6.9% 
   AAA,AA,A 1.2% 
   BBB 2.1% 
   BB and Below 4.1% 
   Not Rated 0.1% 
   Equities* 82.3% 
   Short-Term Investments and Net Other Assets 3.3% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.3%


As of March 31, 2016  
   U.S. Government and U.S. Government Agency Obligations 4.9% 
   AAA,AA,A 1.4% 
   BBB 1.6% 
   BB and Below 4.6% 
   Equities* 82.1% 
   Short-Term Investments and Net Other Assets 5.4% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


We have used ratings from Moody's Investors Service, Inc. Where Moody's® ratings are not available, we have used S&P® ratings. All ratings are as of the date indicated and do not reflect subsequent changes.

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stock Class and Equity Futures* 82.2% 
   Bond Class 14.1% 
   Short-Term Class 3.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.3%


As of March 31, 2016  
   Stock Class and Equity Futures* 84.1% 
   Bond Class 12.2% 
   Short-Term Class 3.7% 


 * Includes investment in Fidelity® Commodity Strategy Central Fund of 1.1%


Asset allocations in the pie charts reflect the categorization of assets as defined in the Fund's prospectus in effect as of the time periods indicated above. Percentages are adjusted for the effect of future contracts and swap contracts, if applicable.

At period end, foreign investments including the Fund's pro-rata share of the underlying Central Funds, other than the Commodity Strategy Central and Money Market Funds, was 30.7% of net assets.

Percentages in the above tables are adjusted for the effect of TBA Sale Commitments.

An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. 

Fidelity Asset Manager® 85%

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 81.0%   
 Shares Value 
Fidelity Commodity Strategy Central Fund (a) 3,317,404 $21,165,035 
Fidelity Consumer Discretionary Central Fund (a) 440,208 109,506,168 
Fidelity Consumer Staples Central Fund (a) 358,939 81,838,175 
Fidelity Emerging Markets Equity Central Fund (a) 273,651 55,428,042 
Fidelity Energy Central Fund (a) 516,617 65,847,954 
Fidelity Financials Central Fund (a) 2,135,796 180,987,331 
Fidelity Health Care Central Fund (a) 372,895 130,009,719 
Fidelity Industrials Central Fund (a) 403,726 97,786,521 
Fidelity Information Technology Central Fund (a) 653,114 215,684,381 
Fidelity International Equity Central Fund (a) 3,508,371 262,987,486 
Fidelity Materials Central Fund (a) 140,769 30,031,628 
Fidelity Real Estate Equity Central Fund (a) 127,099 14,381,304 
Fidelity Telecom Services Central Fund (a) 122,183 23,394,293 
Fidelity Utilities Central Fund (a) 194,405 31,672,540 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $907,008,394)  1,320,720,577 
Fixed-Income Central Funds - 14.8%   
High Yield Fixed-Income Funds - 3.3%   
Fidelity Emerging Markets Debt Central Fund (a) 3,060 31,247 
Fidelity Floating Rate Central Fund (a) 146,147 14,996,108 
Fidelity High Income Central Fund 1 (a) 401,180 39,327,648 
TOTAL HIGH YIELD FIXED-INCOME FUNDS  54,355,003 
Investment Grade Fixed-Income Funds - 11.5%   
Fidelity Inflation-Protected Bond Index Central Fund (a) 613,036 63,204,048 
Fidelity Investment Grade Bond Central Fund (a) 1,129,224 124,485,676 
TOTAL INVESTMENT GRADE FIXED-INCOME FUNDS  187,689,724 
TOTAL FIXED-INCOME CENTRAL FUNDS   
(Cost $234,780,413)  242,044,727 
Money Market Central Funds - 1.9%   
Fidelity Cash Central Fund, 0.43% (b) 24,443,213 24,450,546 
Fidelity Securities Lending Cash Central Fund 0.46% (b)(c) 6,306,614 6,307,875 
TOTAL MONEY MARKET CENTRAL FUNDS   
(Cost $30,752,175)  30,758,421 
 Principal Amount Value 
U.S. Treasury Obligations - 0.0%   
U.S. Treasury Bills, yield at date of purchase 0.31% to 0.33% 11/25/16 to 12/1/16   
(Cost $549,729) 550,000 549,871 
 Shares Value 
Investment Companies - 2.7%   
iShares 20+ Year Treasury Bond ETF (d) 67,135 $9,231,734 
iShares Core MSCI Emerging Markets ETF 455,277 20,765,184 
iShares S&P 500 Index ETF 65,116 14,166,637 
TOTAL INVESTMENT COMPANIES   
(Cost $41,947,253)  44,163,555 
TOTAL INVESTMENT PORTFOLIO - 100.4%   
(Cost $1,215,037,964)  1,638,237,151 
NET OTHER ASSETS (LIABILITIES) - (0.4)%  (6,813,162) 
NET ASSETS - 100%  $1,631,423,989 

Security Type Abbreviations

ETF – Exchange-Traded Fund

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, other than the Commodity Strategy Central Fund, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.

 (b) 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, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or 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.


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 $149,567 
Fidelity Commodity Strategy Central Fund 42,213 
Fidelity Consumer Discretionary Central Fund 1,738,010 
Fidelity Consumer Staples Central Fund 1,881,472 
Fidelity Emerging Markets Debt Central Fund 1,888 
Fidelity Emerging Markets Equity Central Fund 974,526 
Fidelity Energy Central Fund 884,962 
Fidelity Financials Central Fund 3,179,358 
Fidelity Floating Rate Central Fund 93,364 
Fidelity Health Care Central Fund 967,562 
Fidelity High Income Central Fund 1 3,574,647 
Fidelity Industrials Central Fund 1,433,709 
Fidelity Inflation-Protected Bond Index Central Fund 10,082 
Fidelity Information Technology Central Fund 1,601,335 
Fidelity International Equity Central Fund 6,857,663 
Fidelity Investment Grade Bond Central Fund 3,435,060 
Fidelity Materials Central Fund 621,554 
Fidelity Real Estate Equity Central Fund 438,943 
Fidelity Securities Lending Cash Central Fund 53,615 
Fidelity Telecom Services Central Fund 511,742 
Fidelity Utilities Central Fund 861,474 
Total $29,312,746 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Commodity Strategy Central Fund $-- $27,567,953 $8,173,949 $21,165,035 4.5% 
Fidelity Consumer Discretionary Central Fund 109,622,730 5,725,399 12,588,140 109,506,168 6.9% 
Fidelity Consumer Staples Central Fund 74,206,979 4,738,961 6,540,837 81,838,175 6.4% 
Fidelity Emerging Markets Debt Central Fund 25,900 1,888 -- 31,247 0.0% 
Fidelity Emerging Markets Equity Central Fund 30,615,907 22,471,903 4,769,200 55,428,042 13.4% 
Fidelity Energy Central Fund 55,076,316 2,958,719 4,811,858 65,847,954 6.6% 
Fidelity Financials Central Fund 172,889,091 14,197,803 14,082,035 180,987,331 7.1% 
Fidelity Floating Rate Central Fund 15,019,413 15,046,522 15,126,013 14,996,108 0.9% 
Fidelity Health Care Central Fund 123,896,753 8,133,006 10,225,043 130,009,719 6.6% 
Fidelity High Income Central Fund 1 49,963,955 17,544,008 30,794,682 39,327,648 4.9% 
Fidelity Industrials Central Fund 87,171,964 4,768,357 7,610,538 97,786,521 7.1% 
Fidelity Inflation-Protected Bond Index Central Fund 26,456,810 38,223,031 3,803,191 63,204,048 6.6% 
Fidelity Information Technology Central Fund 179,575,781 8,566,148 19,277,497 215,684,381 6.7% 
Fidelity International Equity Central Fund 255,620,526 31,603,805 34,376,883 262,987,486 12.3% 
Fidelity Investment Grade Bond Central Fund 120,440,753 37,357,775 37,442,968 124,485,676 1.8% 
Fidelity Materials Central Fund 27,131,124 1,617,665 2,278,332 30,031,628 7.5% 
Fidelity Real Estate Equity Central Fund 17,025,892 3,535,304 9,094,307 14,381,304 8.3% 
Fidelity Telecom Services Central Fund 18,551,588 2,478,546 1,972,475 23,394,293 6.1% 
Fidelity Utilities Central Fund 29,166,916 1,968,736 3,365,548 31,672,540 6.8% 
Total $1,392,458,398 $248,505,529 $226,333,496 $1,562,765,304  

Investment Valuation

The following is a summary of the inputs used, as of September 30, 2016, involving the Fund's assets and liabilities carried at fair value. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used below, please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

 Valuation Inputs at Reporting Date: 
Description Total Level 1 Level 2 Level 3 
Investments in Securities:     
Equity Central Funds $1,320,720,577 $1,320,720,577 $-- $-- 
Fixed-Income Central Funds 242,044,727 242,044,727 -- -- 
Money Market Central Funds 30,758,421 30,758,421 -- -- 
Other Short-Term Investments  549,871 -- 549,871 -- 
Investment Companies 44,163,555 44,163,555 -- -- 
Total Investments in Securities: $1,638,237,151 $1,637,687,280 $549,871 $-- 

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 69.3% 
United Kingdom 4.6% 
Japan 4.4% 
Ireland 2.4% 
Switzerland 1.6% 
Cayman Islands 1.6% 
Canada 1.5% 
France 1.5% 
Germany 1.2% 
Netherlands 1.0% 
Taiwan 1.0% 
Others (Individually Less Than 1%) 9.9% 
 100.0% 

The information in the above table is based on the combined investments of the Fund and its pro-rata share of the investments of Fidelity's Central Funds, other than the Commodity Strategy and Money Market Central Funds.

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


Fidelity Asset Manager® 85%

Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investment in securities, at value (including securities loaned of $6,119,195) — See accompanying schedule:
Unaffiliated issuers (cost $42,496,982) 
$44,713,426  
Fidelity Central Funds (cost $1,172,540,982) 1,593,523,725  
Total Investments (cost $1,215,037,964)  $1,638,237,151 
Receivable for investments sold  1,462,244 
Receivable for fund shares sold  501,625 
Distributions receivable from Fidelity Central Funds  11,720 
Prepaid expenses  4,429 
Other receivables  1,298 
Total assets  1,640,218,467 
Liabilities   
Payable for fund shares redeemed $1,413,611  
Accrued management fee 740,927  
Distribution and service plan fees payable 57,020  
Other affiliated payables 249,723  
Other payables and accrued expenses 25,322  
Collateral on securities loaned, at value 6,307,875  
Total liabilities  8,794,478 
Net Assets  $1,631,423,989 
Net Assets consist of:   
Paid in capital  $1,419,110,264 
Undistributed net investment income  12,100,936 
Accumulated undistributed net realized gain (loss) on investments and foreign currency transactions  (222,986,398) 
Net unrealized appreciation (depreciation) on investments  423,199,187 
Net Assets  $1,631,423,989 
Calculation of Maximum Offering Price   
Class A:   
Net Asset Value and redemption price per share ($78,147,003 ÷ 4,749,606 shares)  $16.45 
Maximum offering price per share (100/94.25 of $16.45)  $17.45 
Class T:   
Net Asset Value and redemption price per share ($19,581,713 ÷ 1,198,243 shares)  $16.34 
Maximum offering price per share (100/96.50 of $16.34)  $16.93 
Class C:   
Net Asset Value and offering price per share ($38,916,044 ÷ 2,411,045 shares)(a)  $16.14 
Asset Manager 85%:   
Net Asset Value, offering price and redemption price per share ($1,454,032,674 ÷ 87,569,276 shares)  $16.60 
Class I:   
Net Asset Value, offering price and redemption price per share ($40,746,555 ÷ 2,462,115 shares)  $16.55 

 (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.


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Dividends  $1,367,011 
Interest  5,113 
Income from Fidelity Central Funds  29,312,746 
Total income  30,684,870 
Expenses   
Management fee $8,635,263  
Transfer agent fees 2,457,117  
Distribution and service plan fees 668,316  
Accounting and security lending fees 492,878  
Custodian fees and expenses 1,856  
Independent trustees' fees and expenses 6,900  
Registration fees 105,060  
Audit 40,369  
Legal 5,915  
Miscellaneous (11,698)  
Total expenses before reductions 12,401,976  
Expense reductions (53,131) 12,348,845 
Net investment income (loss)  18,336,025 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Investment securities:   
Unaffiliated issuers (1,198,697)  
Fidelity Central Funds (5,792,727)  
Foreign currency transactions 54,577  
Futures contracts 7,134,072  
Total net realized gain (loss)  197,225 
Change in net unrealized appreciation (depreciation) on:
Investment securities 
157,497,225  
Assets and liabilities in foreign currencies (105)  
Futures contracts 857,554  
Total change in net unrealized appreciation (depreciation)  158,354,674 
Net gain (loss)  158,551,899 
Net increase (decrease) in net assets resulting from operations  $176,887,924 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $18,336,025 $17,512,456 
Net realized gain (loss) 197,225 (24,433,751) 
Change in net unrealized appreciation (depreciation) 158,354,674 (60,698,338) 
Net increase (decrease) in net assets resulting from operations 176,887,924 (67,619,633) 
Distributions to shareholders from net investment income (20,421,168) (18,161,462) 
Distributions to shareholders from net realized gain (51,494,211) (119,223,346) 
Total distributions (71,915,379) (137,384,808) 
Share transactions - net increase (decrease) 16,624,821 122,331,834 
Total increase (decrease) in net assets 121,597,366 (82,672,607) 
Net Assets   
Beginning of period 1,509,826,623 1,592,499,230 
End of period $1,631,423,989 $1,509,826,623 
Other Information   
Undistributed net investment income end of period $12,100,936 $14,146,110 

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


Financial Highlights — Fidelity Asset Manager 85% Class A

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.42 $17.64 $16.38 $14.03 $11.62 
Income from Investment Operations      
Net investment income (loss)A .14 .14 .16 .14 .14 
Net realized and unrealized gain (loss) 1.59 (.77) 1.64 2.38 2.43 
Total from investment operations 1.73 (.63) 1.80 2.52 2.57 
Distributions from net investment income (.17) (.17) (.11) (.14) (.14) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.70) (1.59)B (.54)C (.17)D (.16) 
Net asset value, end of period $16.45 $15.42 $17.64 $16.38 $14.03 
Total ReturnE,F 11.62% (3.86)% 11.24% 18.14% 22.30% 
Ratios to Average Net AssetsG,H      
Expenses before reductions 1.05% 1.05% 1.04% 1.05% 1.08% 
Expenses net of fee waivers, if any 1.05% 1.05% 1.04% 1.05% 1.08% 
Expenses net of all reductions 1.05% 1.04% 1.04% 1.03% 1.07% 
Net investment income (loss) .90% .85% .92% .91% 1.07% 
Supplemental Data      
Net assets, end of period (000 omitted) $78,147 $66,006 $66,659 $82,805 $66,048 
Portfolio turnover rateI 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.59 per share is comprised of distributions from net investment income of $.167 and distributions from net realized gain of $1.427 per share.

 C Total distributions of $.54 per share is comprised of distributions from net investment income of $.114 and distributions from net realized gain of $.423 per share.

 D Total distributions of $.17 per share is comprised of distributions from net investment income of $.142 and distributions from net realized gain of $.024 per share.

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

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

 G Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85% Class T

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.32 $17.56 $16.32 $13.97 $11.58 
Income from Investment Operations      
Net investment income (loss)A .10 .10 .11 .09 .10 
Net realized and unrealized gain (loss) 1.58 (.78) 1.63 2.38 2.41 
Total from investment operations 1.68 (.68) 1.74 2.47 2.51 
Distributions from net investment income (.13) (.13) (.08) (.10) (.10) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.66) (1.56) (.50) (.12) (.12) 
Net asset value, end of period $16.34 $15.32 $17.56 $16.32 $13.97 
Total ReturnB,C 11.31% (4.21)% 10.92% 17.85% 21.86% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.32% 1.33% 1.33% 1.35% 1.36% 
Expenses net of fee waivers, if any 1.32% 1.33% 1.33% 1.35% 1.36% 
Expenses net of all reductions 1.32% 1.32% 1.33% 1.33% 1.35% 
Net investment income (loss) .63% .57% .63% .61% .80% 
Supplemental Data      
Net assets, end of period (000 omitted) $19,582 $18,991 $17,690 $13,606 $10,604 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


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


Financial Highlights — Fidelity Asset Manager 85% Class C

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.14 $17.37 $16.16 $13.85 $11.47 
Income from Investment Operations      
Net investment income (loss)A .02 .02 .03 .02 .04 
Net realized and unrealized gain (loss) 1.57 (.76) 1.61 2.35 2.41 
Total from investment operations 1.59 (.74) 1.64 2.37 2.45 
Distributions from net investment income (.06) (.06) (.01) (.04) (.05) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.59) (1.49) (.43) (.06) (.07) 
Net asset value, end of period $16.14 $15.14 $17.37 $16.16 $13.85 
Total ReturnB,C 10.80% (4.62)% 10.37% 17.22% 21.44% 
Ratios to Average Net AssetsD,E      
Expenses before reductions 1.80% 1.81% 1.81% 1.84% 1.84% 
Expenses net of fee waivers, if any 1.80% 1.81% 1.81% 1.83% 1.84% 
Expenses net of all reductions 1.80% 1.80% 1.81% 1.81% 1.83% 
Net investment income (loss) .15% .10% .15% .13% .32% 
Supplemental Data      
Net assets, end of period (000 omitted) $38,916 $34,590 $30,717 $21,781 $17,243 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

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

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85%

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.56 $17.79 $16.52 $14.14 $11.72 
Income from Investment Operations      
Net investment income (loss)A .19 .20 .21 .18 .18 
Net realized and unrealized gain (loss) 1.60 (.78) 1.65 2.40 2.43 
Total from investment operations 1.79 (.58) 1.86 2.58 2.61 
Distributions from net investment income (.22) (.23) (.17) (.18) (.17) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.75) (1.65)B (.59) (.20) (.19) 
Net asset value, end of period $16.60 $15.56 $17.79 $16.52 $14.14 
Total ReturnC 11.92% (3.54)% 11.54% 18.52% 22.53% 
Ratios to Average Net AssetsD,E      
Expenses before reductions .74% .75% .74% .77% .81% 
Expenses net of fee waivers, if any .74% .75% .74% .77% .81% 
Expenses net of all reductions .74% .74% .74% .75% .80% 
Net investment income (loss) 1.21% 1.16% 1.21% 1.19% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $1,454,033 $1,350,006 $1,433,196 $1,100,838 $706,722 
Portfolio turnover rateF 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $1.65 per share is comprised of distributions from net investment income of $.225 and distributions from net realized gain of $1.427 per share.

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

 D Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 E 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Financial Highlights — Fidelity Asset Manager 85% Class I

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $15.51 $17.74 $16.48 $14.11 $11.69 
Income from Investment Operations      
Net investment income (loss)A .19 .19 .21 .18 .18 
Net realized and unrealized gain (loss) 1.60 (.76) 1.64 2.39 2.43 
Total from investment operations 1.79 (.57) 1.85 2.57 2.61 
Distributions from net investment income (.21) (.23) (.16) (.17) (.17) 
Distributions from net realized gain (.53) (1.43) (.42) (.02) (.02) 
Total distributions (.75)B (1.66) (.59)C (.20)D (.19) 
Net asset value, end of period $16.55 $15.51 $17.74 $16.48 $14.11 
Total ReturnE 11.93% (3.52)% 11.49% 18.45% 22.60% 
Ratios to Average Net AssetsF,G      
Expenses before reductions .75% .76% .76% .79% .81% 
Expenses net of fee waivers, if any .75% .76% .76% .79% .81% 
Expenses net of all reductions .75% .75% .76% .77% .79% 
Net investment income (loss) 1.20% 1.15% 1.19% 1.17% 1.35% 
Supplemental Data      
Net assets, end of period (000 omitted) $40,747 $38,697 $41,775 $13,088 $10,710 
Portfolio turnover rateH 22% 29% 14% 22% 21% 

 A Calculated based on average shares outstanding during the period.

 B Total distributions of $.75 per share is comprised of distributions from net investment income of $.214 and distributions from net realized gain of $.533 per share.

 C Total distributions of $.59 per share is comprised of distributions from net investment income of $.162 and distributions from net realized gain of $.423 per share.

 D Total distributions of $.20 per share is comprised of distributions from net investment income of $.174 and distributions from net realized gain of $.024 per share.

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

 F Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .09%.

 G 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 reductions from other expense offset arrangements and do not represent the amount paid by the class 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 class.

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


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


Notes to Financial Statements

For the period ended September 30, 2016

1. Organization.

Fidelity Asset Manager 20%, Fidelity Asset Manager 30%, Fidelity Asset Manager 40%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70% and Fidelity Asset Manager 85% (the Funds) are funds of Fidelity Charles Street Trust (the Trust). 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. Each Fund is authorized to issue an unlimited number of shares. Each Fund offers Class A, Class T, Class C, Asset Manager and Class I 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.

After the close of business on June 24, 2016, each Fund's outstanding Class B shares were converted to Class A shares. Each Fund's current fiscal period dollar and share amounts for Class B presented in the Notes to Financial Statements are for the period October 1, 2015 through June 24, 2016.

2. Investments in Fidelity Central Funds.

The Funds invest in Fidelity Central Funds, which are open-end investment companies generally available only to other investment companies and accounts managed by the investment adviser and its affiliates. The Funds' Schedules of Investments list each of the Fidelity Central Funds held as of period end, as an investment of each Fund, but do not include the underlying holdings of each Fidelity Central Fund. As an Investing Fund, each Fund indirectly bears its proportionate share of the expenses of the underlying Fidelity Central Funds.

Based on its investment objective, each Fidelity Central Fund may invest or participate in various investment vehicles or strategies that are similar to those of each Fund. These strategies are consistent with the investment objectives of each Fund and may involve certain economic risks which may cause a decline in value of each of the Fidelity Central Funds and thus a decline in the value of each Fund. The following summarizes the Funds' investment in each Fidelity Central Fund.

Fidelity Central Fund Investment Manager Investment Objective Investment Practices Expense Ratio(a) 
Fidelity Commodity Strategy Central Fund Geode Capital Management, LLC (Geode) Seeks to provide investment returns that correspond to the performance of the commodities market. Investment in commodity-related investments through a wholly-owned subsidiary organized under the laws of the Cayman Islands
Futures
 
.06% 
Fidelity Equity Central Funds FMR Co., Inc. (FMRC) Each fund seeks capital appreciation by investing primarily in common stocks, with a concentration in a particular industry. Delayed Delivery & When Issued Securities
Foreign Securities
Restricted Securities 
Less than .005% to .01% 
Fidelity Emerging Markets Debt Central Fund FMRC Seeks high total return by normally investing in debt securities of issuers in emerging markets and other debt investments that are tied economically to emerging markets. Foreign Securities
Loans & Direct Debt Instruments
Restricted Securities
 
.01% 
Fidelity Emerging Markets Equity Central Fund FMRC Seeks capital appreciation by investing primarily in equity securities of issuers in emerging markets. Foreign Securities
Futures
Restricted Securities 
.09% 
Fidelity International Equity Central Fund FMRC Seeks capital appreciation by investing primarily in non-U.S. based common stocks, including securities of issuers located in emerging markets. Foreign Securities
Futures
 
.01% 
Fidelity Floating Rate Central Fund FMRC Seeks a high level of income by normally investing in floating rate loans and other floating rate securities. Loans & Direct Debt Instruments
Restricted Securities
 
Less than .005% 
Fidelity High Income Central Fund 1 FMRC Seeks a high level of income and may also seek capital appreciation by investing primarily in debt securities, preferred stocks, and convertible securities, with an emphasis on lower-quality debt securities. Loans & Direct Debt Instruments
Restricted Securities
 
Less than .005% 
Fidelity Inflation-Protected Bond Index Central Fund Fidelity Investment Money Management, Inc. (FIMM) Seeks to provide investment results that correspond to the performance of the inflation-protected United States Treasury market, and may invest in derivatives.  Less than .005% 
Fidelity Investment Grade Bond Central Fund FIMM Seeks a high level of income by normally investing in investment–grade debt securities. Delayed Delivery & When Issued Securities
Restricted Securities
Swaps 
Less than .005% 
Fidelity Real Estate Equity Central Fund FMRC Seeks above-average income and long-term capital growth by investing primarily in equity securities of issuers in the real estate industry.  .01% 
Fidelity Money Market Central Funds FIMM Each fund seeks to obtain a high level of current income consistent with the preservation of capital and liquidity. Short-term Investments Less than .005% 

 (a) Expenses expressed as a percentage of average net assets and are as of each underlying Central Fund's most recent annual or semi-annual shareholder report.


An unaudited holdings listing for each Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through each fund's investment in underlying Fidelity Central Funds, other than the Commodity Strategy and Money Market Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. A complete unaudited list of holdings for each Fidelity Central Fund is available upon request or at the Securities and Exchange Commission (the SEC) website at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds which contain the significant accounting policies (including investment valuation policies) of those funds, which are not covered by the Funds' Report of Independent Registered Public Accounting Firm, are available on the SEC website 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 (GAAP), which require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from those estimates. Subsequent events, if any, through the date that the financial statements were issued have been evaluated in the preparation of the financial statements. The following summarizes the significant accounting policies of the Funds:

Investment Valuation. Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. The Board of Trustees (the Board) has delegated the day to day responsibility for the valuation of each Fund's investments to the Fair Value Committee (the Committee) established by each Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, each 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, changes in interest rates and credit quality. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees each 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 each Fund's investments and ratifies the fair value determinations of the Committee. Each Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels as shown below:

  • 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)

Valuation techniques used to value each Fund's investments by major category are as follows. Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. U.S. government and government agency obligations are valued by pricing vendors who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type or by broker-supplied prices. When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Exchange-Traded Funds (ETFs) are valued at their last 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 but the exchange reports a closing bid level, ETFs are valued at the closing bid and would be categorized as Level 1 in the hierarchy. In the event there was no closing bid, ETFs may be valued by another method that the Board believes reflects fair value in accordance with the Board's fair value pricing policies and may be categorized as Level 2 in the hierarchy.

Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy. Investments in open-end mutual funds, including the Fidelity Central Funds, are valued at their closing net asset value (NAV) each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. The aggregate value of investments by input level, as of September 30, 2016, is included at the end of each Fund's Schedule of Investments.

Foreign Currency. The Funds may use foreign currency contracts to facilitate transactions in foreign-denominated securities. Gains and 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 rates 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 Funds' investment holdings and NAV include trades executed through the end of the last business day of the period. The NAV per share for processing shareholder transactions is calculated as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time and 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 Funds are 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. Income and capital gain distributions from Fidelity Central Funds, if any, are recorded on the ex-dividend date. 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. Subsequent to ex-dividend date the Funds determine the components of these distributions, based upon receipt of tax filings or other correspondence relating to the underlying investment. Interest income is accrued as earned and includes coupon interest and amortization of premium and accretion of discount on debt securities as applicable. Investment income is recorded net of foreign taxes withheld where recovery of such taxes is uncertain.

Class Allocations and Expenses. Investment income, realized and unrealized capital gains and losses, common expenses of each Fund, and certain fund-level expense reductions, if any, are allocated daily on a pro-rata basis to each class based on the relative net assets of each class to the total net assets of each Fund. Each class differs with respect to transfer agent and distribution and service plan fees incurred. Certain expense reductions may also differ by class. For the reporting period, the allocated portion of income and expenses to each class as a percent of its average net assets may vary due to the timing of recording these transactions in relation to fluctuating net assets of the classes. Expenses directly attributable to a fund are charged to that fund. Expenses attributable to more than one fund are allocated among the respective funds on the basis of relative net assets or other appropriate methods. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known. Expenses included in the accompanying financial statements reflect the expenses of each Fund and do not include any expenses of the Fidelity Central Funds. Although not included in each Fund's expenses, each Fund indirectly bears its proportionate share of the Fidelity Central Funds' expenses through the impact of these expenses on each Fidelity Central Fund's NAV.

Deferred Trustee Compensation. Under a Deferred Compensation Plan (the Plan) for Fidelity Asset Manager 50% and Fidelity Asset Manager 70%, independent Trustees may elect to defer receipt of a 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, each Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code, including distributing substantially all of its taxable income and realized gains. As a result, no provision for U.S. Federal income taxes is required. As of September 30, 2016, each Fund did not have any unrecognized tax benefits in the financial statements; nor is each Fund aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months. Each Fund files a U.S. federal tax return, in addition to state and local tax returns as required. Each Fund's federal income tax returns are subject to examination by the Internal Revenue Service (IRS) for a period of three fiscal years after they are filed. State and local tax returns may be subject to examination for an additional fiscal year depending on the jurisdiction. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests.

Distributions are declared and 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 GAAP.

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. Capital accounts are not adjusted for temporary book-tax differences which will reverse in a subsequent period.

Book-tax differences are primarily due to the short-term gain distributions from Fidelity Central Funds and underlying funds, futures contracts, market discount, partnerships (including allocations from Fidelity Central Funds), foreign currency transactions, deferred trustees compensation and losses deferred due to wash sales and excise tax regulations.

The federal tax cost of investment securities and unrealized appreciation (depreciation) as of period end were as follows for each Fund:

 Tax cost Gross unrealized appreciation Gross unrealized depreciation Net unrealized appreciation (depreciation) on securities 
Fidelity Asset Manager 20%% $4,719,813,710 $210,223,735 $(450,727) $209,773,008 
Fidelity Asset Manager 30%% 952,446,717 54,983,865 (817,207) 54,166,658 
Fidelity Asset Manager 40%% 1,101,544,826 73,874,860 (2,825,344) 71,049,516 
Fidelity Asset Manager 50%% 7,059,240,728 743,240,132 (41,415,093) 701,825,039 
Fidelity Asset Manager 60%% 1,415,017,015 143,017,621 (2,790,243) 140,227,378 
Fidelity Asset Manager 70%% 3,813,601,301 546,187,972 (68,578,699) 477,609,273 
Fidelity Asset Manager 85%% 1,428,738,877 215,612,239 (6,113,965) 209,498,274 

The tax-based components of distributable earnings as of period end were as follows for each Fund:

 Undistributed ordinary income Undistributed long-term capital gain Net unrealized appreciation (depreciation) on securities and other investments 
Fidelity Asset Manager 20%% $10,804,259 $15,357,224 $209,773,008 
Fidelity Asset Manager 30%% 2,550,659 – 54,166,658 
Fidelity Asset Manager 40%% 5,453,668 – 71,049,516 
Fidelity Asset Manager 50%% 33,926,022 21,355,430 701,825,039 
Fidelity Asset Manager 60%% 17,419,652 – 140,227,378 
Fidelity Asset Manager 70%% 44,453,903 – 477,609,273 
Fidelity Asset Manager 85%% 14,502,035 – 209,498,274 

Certain of the Funds intend to elect to defer to the next fiscal year capital losses recognized during the period November 1, 2015 to September 30, 2016. Loss deferrals were as follows:

 Capital losses 
Fidelity Asset Manager 20%% $– 
Fidelity Asset Manager 30%% (2,153,897) 
Fidelity Asset Manager 40%% (3,965,521) 
Fidelity Asset Manager 50%% – 
Fidelity Asset Manager 60%% (8,624,378) 
Fidelity Asset Manager 70%% (7,154,211) 
Fidelity Asset Manager 85%% (11,686,584) 

The tax character of distributions paid was as follows:

September 30, 2016    
 Ordinary Income Long-term Capital Gains Total 
Fidelity Asset Manager 20%% $101,117,737 $84,198,284 $185,316,021 
Fidelity Asset Manager 30%% 18,418,824 13,070,896 31,489,720 
Fidelity Asset Manager 40%% 20,540,236 11,763,374 32,303,610 
Fidelity Asset Manager 50%% 154,552,812 271,119,028 425,671,840 
Fidelity Asset Manager 60%% 26,284,291 30,188,215 56,472,506 
Fidelity Asset Manager 70%% 72,666,561 146,820,598 219,487,159 
Fidelity Asset Manager 85%% 21,675,985 50,239,394 71,915,379 

September 30, 2015    
 Ordinary Income Long-term Capital Gains Total 
Fidelity Asset Manager 20%% $126,697,785 $106,777,049 $233,474,834 
Fidelity Asset Manager 30%% 20,946,737 16,504,252 37,450,989 
Fidelity Asset Manager 40%% 21,320,945 17,444,974 38,765,919 
Fidelity Asset Manager 50%% 275,342,241 371,123,324 646,465,565 
Fidelity Asset Manager 60%% 34,912,378 47,079,692 81,992,070 
Fidelity Asset Manager 70%% 104,442,356 253,074,490 357,516,846 
Fidelity Asset Manager 85%% 49,993,344 87,391,464 137,384,808 

4. Derivative Instruments.

Risk Exposures and the Use of Derivative Instruments. The Funds' investment objective allows the Funds to enter into various types of derivative contracts, including futures contracts. Derivatives are investments whose value is primarily derived from underlying assets, indices or reference rates and may be transacted on an exchange or over-the-counter (OTC). Derivatives may involve a future commitment to buy or sell a specified asset based on specified terms, to exchange future cash flows at periodic intervals based on a notional principal amount, or for one party to make one or more payments upon the occurrence of specified events in exchange for periodic payments from the other party.

The Funds used derivatives to increase returns and to manage exposure to certain risks as defined below. The success of any strategy involving derivatives depends on analysis of numerous economic factors, and if the strategies for investment do not work as intended, the Funds may not achieve their objectives.

The Funds' use of derivatives increased or decreased their exposure to the following risk:

Equity Risk Equity risk relates to the fluctuations in the value of financial instruments as a result of changes in market prices (other than those arising from interest rate risk or foreign exchange risk), whether caused by factors specific to an individual investment, its issuer, or all factors affecting all instruments traded in a market or market segment.
 

The Funds are also exposed to additional risks from investing in derivatives, such as liquidity risk and counterparty credit risk. Liquidity risk is the risk that the Funds will be unable to close out the derivative in the open market in a timely manner. Counterparty credit risk is the risk that the counterparty will not be able to fulfill its obligation to the Funds. Counterparty credit risk related to exchange-traded futures contracts may be mitigated by the protection provided by the exchange on which they trade.

Investing in derivatives may involve greater risks than investing in the underlying assets directly and, to varying degrees, may involve risk of loss in excess of any initial investment and collateral received and amounts recognized in the Statement of Assets and Liabilities. In addition, there may be the risk that the change in value of the derivative contract does not correspond to the change in value of the underlying instrument.

Net Realized Gain (Loss) and Change in Net Unrealized Appreciation (Depreciation) on Derivatives. The table below, which reflects the impacts of derivatives on the financial performance of the Funds, summarizes the net realized gain (loss) and change in net unrealized appreciation (depreciation) for derivatives during the period as presented in the Statement of Operations.

Primary Risk Exposure / Derivative Type Net Realized Gain (Loss) Change in Net Unrealized Appreciation (Depreciation) 
Fidelity Asset Manager 20%   
Equity Risk   
Futures Contracts $15,071,591 $2,584,211 
Totals $15,071,591 $2,584,211 
Fidelity Asset Manager 30%%   
Equity Risk   
Futures Contracts $1,600,981 $644,935 
Totals $1,600,981 $644,935 
Fidelity Asset Manager 40%%   
Equity Risk   
Futures Contracts $4,343,853 $637,258 
Totals $4,343,853 $637,258 
Fidelity Asset Manager 50%%   
Equity Risk   
Futures Contracts $34,618,111 $5,457,558 
Totals $34,618,111 $5,457,558 
Fidelity Asset Manager 60%%   
Equity Risk   
Futures Contracts $6,471,037 $949,696 
Totals $6,471,037 $949,696 
Fidelity Asset Manager 70%%   
Equity Risk   
Futures Contracts $18,296,182 $3,166,125 
Totals $18,296,182 $3,166,125 
Fidelity Asset Manager 85%%   
Equity Risk   
Futures Contracts $7,134,072 $857,554 
Totals $7,134,072 $857,554 

A summary of the value of derivatives by primary risk exposure as of period end, if any, is included at the end of the Schedule of Investments.

Futures Contracts. A futures contract is an agreement between two parties to buy or sell a specified underlying instrument for a fixed price at a specified future date. The Funds used futures contracts to manage their exposure to the stock market.

Upon entering into a futures contract, a fund is required to deposit either cash or securities (initial margin) with a clearing broker in an amount equal to a certain percentage of the face value of the contract. Futures contracts are marked-to-market daily and subsequent daily payments (variation margin) are made or received by a fund depending on the daily fluctuations in the value of the futures contracts and are recorded as unrealized appreciation or (depreciation). This receivable and/or payable, if any, is included in daily variation margin for derivative instruments in the Statement of Assets and Liabilities. Realized gain or (loss) is recorded upon the expiration or closing of a futures contract. The net realized gain (loss) and change in net unrealized appreciation (depreciation) on futures contracts during the period is included in the Statement of Operations.

Any open futures contracts at period end are presented in the Schedule of Investments under the caption "Futures Contracts". The underlying face amount at value reflects each contract's exposure to the underlying instrument or index at period end and is representative of volume of activity during the period. Securities deposited to meet initial margin requirements are identified in the Schedule of Investments.

5. Purchases and Sales of Investments.

Purchases and sales of securities including the Equity and Fixed-Income Central Funds, other than short-term securities, are noted in the table below.

 Purchases ($) Sales ($) 
Fidelity Asset Manager 20%% 683,308,807 858,745,634 
Fidelity Asset Manager 30%% 240,334,567 190,065,927 
Fidelity Asset Manager 40%% 279,965,267 202,397,059 
Fidelity Asset Manager 50%% 1,312,275,384 1,789,067,260 
Fidelity Asset Manager 60%% 361,871,649 299,302,175 
Fidelity Asset Manager 70%% 820,871,931 819,412,793 
Fidelity Asset Manager 85%% 379,017,208 336,146,665 

6. Fees and Other Transactions with Affiliates.

Management Fee. Fidelity Management & Research Company (the investment adviser) and its affiliates provide the Funds with investment management related services for which the Funds pay a monthly management fee. The management fee is the sum of an individual fund fee rate and an annualized group fee rate. The individual fund fee rate is applied to each Fund's average net assets. The group fee rate is based upon the average net assets of all the mutual funds advised by the investment adviser, including any mutual funds previously advised by the investment adviser that are currently advised by Fidelity SelectCo, LLC, an affiliate of the investment adviser. The group fee rate decreases as assets under management increase and increases as assets under management decrease. For the reporting period, each Fund's annual management fee rate expressed as a percentage of each Fund's average net assets was as follows.

 Individual Rate Group Rate Total 
Fidelity Asset Manager 20%% .30% .11% .41% 
Fidelity Asset Manager 30%% .30% .11% .41% 
Fidelity Asset Manager 40%% .30% .11% .41% 
Fidelity Asset Manager 50%% .25% .25% .50% 
Fidelity Asset Manager 60%% .30% .25% .55% 
Fidelity Asset Manager 70%% .30% .25% .55% 
Fidelity Asset Manager 85%% .30% .25% .55% 

The investment adviser pays a portion of the management fees received from the Fund to the Fidelity Central Funds' investment advisers, who are also affiliates, for managing the assets of the Fidelity Central Funds.

Distribution and Service Plan Fees. In accordance with Rule 12b-1 of the 1940 Act, each Fund has adopted separate Distribution and Service Plans for each class of shares. Certain classes pay Fidelity Distributors Corporation (FDC), an affiliate of the investment adviser, 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 each Fund and providing shareholder support services. For the period, the Distribution and Service Fee rates, total fees and amounts retained by FDC were as follows:

 Distribution
Fee 
Service
Fee 
Total Fees Retained
by FDC 
Fidelity Asset Manager 20%     
Class A -% .25% $96,866 $1,744 
Class T .25% .25% 102,604 – 
Class B .75% .25% 9,035 6,776 
Class C .75% .25% 288,316 45,190 
   $496,821 $53,710 
Fidelity Asset Manager 30%%     
Class A -% .25% $57,514 $6,689 
Class T .25% .25% 58,053 – 
Class B .75% .25% 3,676 2,808 
Class C .75% .25% 211,136 40,510 
   $330,379 $50,007 
Fidelity Asset Manager 40%%     
Class A -% .25% $91,023 $6,840 
Class T .25% .25% 51,396 – 
Class B .75% .25% 3,520 2,646 
Class C .75% .25% 206,760 42,610 
   $352,699 $52,096 
Fidelity Asset Manager 50%%     
Class A -% .25% $180,703 $4,320 
Class T .25% .25% 158,796 323 
Class B .75% .25% 16,867 12,660 
Class C .75% .25% 423,387 79,805 
   $779,753 $97,108 
Fidelity Asset Manager 60%%     
Class A -% .25% $141,426 $680 
Class T .25% .25% 84,468 – 
Class B .75% .25% 7,695 5,796 
Class C .75% .25% 317,624 50,740 
   $551,213 $57,216 
Fidelity Asset Manager 70%%     
Class A -% .25% $348,841 $5,522 
Class T .25% .25% 231,539 – 
Class B .75% .25% 14,179 10,636 
Class C .75% .25% 550,295 70,862 
   $1,144,854 $87,020 
Fidelity Asset Manager 85%%     
Class A -% .25% $182,372 $3,321 
Class T .25% .25% 103,292 – 
Class B .75% .25% 9,849 7,387 
Class C .75% .25% 372,803 71,917 
   $668,316 $82,625 

Sales Load. FDC may receive 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 each Fund. Depending on the holding period, FDC may receive contingent deferred sales charges levied on Class A, Class T, Class B, and Class C redemptions. The deferred sales charges range from 5.00% to 1.00% for Class B shares, 1.00% for Class C shares, 1.00% 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 
Fidelity Asset Manager 20%%  
Class A $27,050 
Class T 8,128 
Class B(a) 675 
Class C(a) 12,009 
 $47,862 
Fidelity Asset Manager 30%%  
Class A $16,493 
Class T – 
Class B(a) 42 
Class C(a) 9,704 
 $26,239 
Fidelity Asset Manager 40%%  
Class A $23,854 
Class T 4,548 
Class B(a) 200 
Class C(a) 4,235 
 $32,837 
Fidelity Asset Manager 50%%  
Class A $38,542 
Class T 11,438 
Class B(a) 178 
Class C(a) 8,794 
 $58,952 
Fidelity Asset Manager 60%%  
Class A $32,122 
Class T 6,984 
Class B(a) 64 
Class C(a) 5,720 
 $44,890 
Fidelity Asset Manager 70%%  
Class A $61,534 
Class T 10,368 
Class B(a) 336 
Class C(a) 8,207 
 $80,445 
Fidelity Asset Manager 85%%  
Class A $51,109 
Class T 8,503 
Class B(a) 242 
Class C(a) 7,140 
 $66,994 

 (a) 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 the investment adviser, is the transfer, dividend disbursing and shareholder servicing agent for each class of the Funds. 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 each Fund. FIIOC pays for typesetting, printing and mailing of shareholder reports, except proxy statements. For the period, transfer agent fees for each class were as follows:

 Amount % of
Class-Level Average
Net Assets 
Fidelity Asset Manager 20%   
Class A $55,452 .14 
Class T 31,763 .15 
Class B 1,273 .14 
Class C 45,161 .16 
Asset Manager 20%% 3,844,561 .08 
Class I 27,594 .13 
 $4,005,804  
Fidelity Asset Manager 30%%   
Class A $31,857 .14 
Class T 17,815 .15 
Class B 558 .15 
Class C 31,319 .15 
Asset Manager 30%% 653,276 .08 
Class I 12,688 .14 
 $747,513  
Fidelity Asset Manager 40%%   
Class A $47,727 .13 
Class T 16,332 .16 
Class B 466 .13 
Class C 31,548 .15 
Asset Manager 40%% 784,759 .08 
Class I 21,253 .12 
 $902,085  
Fidelity Asset Manager 50%%   
Class A $136,256 .19 
Class T 64,639 .20 
Class B 2,953 .18 
Class C 84,975 .20 
Asset Manager 50%% 9,834,146 .13 
Class I 65,750 .18 
 $10,188,719  
Fidelity Asset Manager 60%%   
Class A $101,990 .18 
Class T 31,946 .19 
Class B 1,523 .20 
Class C 59,288 .19 
Asset Manager 60%% 1,533,612 .11 
Class I 25,722 .15 
 $1,754,081  
Fidelity Asset Manager 70%%   
Class A $263,700 .19 
Class T 91,885 .20 
Class B 4,010 .28 
Class C 107,437 .20 
Asset Manager 70%% 5,113,079 .13 
Class I 65,058 .16 
 $5,645,169  
Fidelity Asset Manager 85%%   
Class A $154,856 .21 
Class T 48,194 .23 
Class B 2,416 .25 
Class C 79,408 .21 
Asset Manager 85%% 2,112,442 .15 
Class I 59,801 .16 
 $2,457,117  

Accounting and Security Lending Fees. Fidelity Service Company, Inc. (FSC), an affiliate of the investment adviser, maintains each Fund's accounting records. The accounting fee is based on the level of average net assets for each 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.

7. Committed Line of Credit.

Certain Funds participate with other funds managed by the investment adviser or an affiliate in a $4.25 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 participating funds have agreed to pay commitment fees on their pro-rata portion of the line of credit, which are reflected in Miscellaneous expenses on the Statement of Operations, and are as follows:

Fidelity Asset Manager 20%% $9,907 
Fidelity Asset Manager 30%% 1,897 
Fidelity Asset Manager 40%% 2,179 
Fidelity Asset Manager 50%% 15,871 
Fidelity Asset Manager 60%% 3,017 
Fidelity Asset Manager 70%% 8,597 
Fidelity Asset Manager 85%% 3,234 

During the period, the Funds did not borrow on this line of credit.

8. Security Lending.

Certain Funds lend portfolio securities through a lending agent from time to time in order to earn additional income. For equity securities, a lending agent is used and may loan securities to certain qualified borrowers, including Fidelity Capital Markets (FCM), a broker-dealer affiliated with the Funds. On the settlement date of the loan, each applicable 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 Funds and any additional required collateral is delivered to the Funds on the next business day. The Funds or borrower may terminate the loan at any time, and if the borrower defaults on its obligation to return the securities loaned because of insolvency or other reasons, the Funds may apply collateral received from the borrower against the obligation. The Funds may experience delays and costs in recovering the securities loaned. 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 each applicable Fund's Statement of Assets and Liabilities. Security lending income 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. Security lending income is presented on each applicable Fund's Statement of Operations as a component of income from Fidelity Central Funds. During the period, there were no securities loaned to FCM.

 Total Security Lending Income 
Fidelity Asset Manager 20%% $56,036 
Fidelity Asset Manager 50%% 117,271 
Fidelity Asset Manager 70%% 109,315 
Fidelity Asset Manager 85%% 53,615 

9. Expense Reductions.

Commissions paid to certain brokers with whom the investment adviser, or its affiliates, places trades on behalf of certain Funds and certain Central Funds include an amount in addition to trade execution, which may be rebated back to the Funds to offset certain expenses. In addition, through arrangements with each applicable Fund's custodian and each class' transfer agent, credits realized as a result of certain uninvested cash balances were used to reduce the Fund's expenses. All of the applicable expense reductions are noted in the table below.

 Brokerage Service reduction Custody
Expense
reduction 
Transfer
Agent
expense
reduction 
Fidelity Asset Manager 20%% $51,443 $984 $ - 
Fidelity Asset Manager 30%% 12,195 63 – 
Fidelity Asset Manager 40%% 17,524 40 – 
Fidelity Asset Manager 50%% 143,933 145 – 
Fidelity Asset Manager 60%% 30,188 179 – 
Fidelity Asset Manager 70%% 97,316 150 
Fidelity Asset Manager 85%% 41,757 66 – 

In addition, during the period the investment adviser reimbursed and/or waived a portion of fund-level operating expenses as follows:

 Fund-Level Amount 
Fidelity Asset Manager 20%% $19,426 
Fidelity Asset Manager 30%% 3,667 
Fidelity Asset Manager 40%% 4,240 
Fidelity Asset Manager 50%% 56,190 
Fidelity Asset Manager 60%% 10,383 
Fidelity Asset Manager 70%% 29,907 
Fidelity Asset Manager 85%% 11,308 

10. Distributions to Shareholders.

Distributions to shareholders of each class were as follows:

 Year ended
September 30, 2016 
Year ended
September 30, 2015 
Fidelity Asset Manager 20%   
From net investment income   
Class A $586,057 $501,145 
Class T 258,468 205,919 
Class B 7,665 9,455 
Class C 222,595 145,536 
Asset Manager 20%% 85,388,721 77,740,992 
Class I 377,130 229,164 
Total $86,840,636 $78,832,211 
From net realized gain   
Class A $768,558 $1,200,191 
Class T 397,712 630,164 
Class B 28,963 64,097 
Class C 580,212 839,473 
Asset Manager 20%% 96,332,955 151,471,697 
Class I 366,985 437,001 
Total $98,475,385 $154,642,623 
Fidelity Asset Manager 30%%   
From net investment income   
Class A $374,214 $294,578 
Class T 156,500 119,614 
Class B 3,431 4,113 
Class C 186,439 121,872 
Asset Manager 30%% 16,652,556 13,687,215 
Class I 174,292 133,141 
Total $17,547,432 $14,360,533 
From net realized gain   
Class A $367,407 $561,549 
Class T 174,844 274,626 
Class B 8,338 21,937 
Class C 315,141 502,117 
Asset Manager 30%% 12,937,540 21,489,587 
Class I 139,018 240,640 
Total $13,942,288 $23,090,456 
Fidelity Asset Manager 40%%   
From net investment income   
Class A $566,653 $359,813 
Class T 129,110 92,069 
Class B 2,953 3,851 
Class C 167,869 98,718 
Asset Manager 40%% 18,366,959 13,653,307 
Class I 326,411 135,199 
Total $19,559,955 $14,342,957 
From net realized gain   
Class A $422,782 $758,501 
Class T 119,403 244,124 
Class B 6,236 33,171 
Class C 255,795 470,384 
Asset Manager 40%% 11,702,088 22,793,923 
Class I 237,351 122,859 
Total $12,743,655 $24,422,962 
Fidelity Asset Manager 50%%   
From net investment income   
Class A $1,078,569 $896,424 
Class T 389,022 320,881 
Class B 12,031 13,923 
Class C 314,334 196,715 
Asset Manager 50%% 135,309,959 121,864,493 
Class I 620,822 470,519 
Total $137,724,737 $123,762,955 
From net realized gain   
Class A $2,670,933 $4,639,740 
Class T 1,173,976 2,164,069 
Class B 90,179 216,191 
Class C 1,563,215 2,528,640 
Asset Manager 50%% 281,226,959 511,052,903 
Class I 1,221,841 2,101,067 
Total $287,947,103 $522,702,610 
Fidelity Asset Manager 60%%   
From net investment income   
Class A $778,039 $562,334 
Class T 200,853 119,094 
Class B 4,743 2,508 
Class C 221,700 106,137 
Asset Manager 60%% 22,576,101 16,510,467 
Class I 271,551 174,917 
Total $24,052,987 $17,475,457 
From net realized gain   
Class A $1,256,050 $2,600,794 
Class T 390,635 734,414 
Class B 26,625 77,323 
Class C 720,526 1,338,769 
Asset Manager 60%% 29,661,155 59,118,120 
Class I 364,528 647,193 
Total $32,419,519 $64,516,613 
Fidelity Asset Manager 70%%   
From net investment income   
Class A $1,770,999 $1,479,841 
Class T 473,868 367,575 
Class C 294,415 171,602 
Asset Manager 70%% 61,801,113 49,763,392 
Class I 666,291 526,159 
Total $65,006,686 $52,308,569 
From net realized gain   
Class A $5,163,635 $10,888,363 
Class T 1,764,247 3,662,050 
Class B 79,783 280,534 
Class C 2,075,200 4,234,614 
Asset Manager 70%% 143,806,402 283,051,294 
Class I 1,591,206 3,091,422 
Total $154,480,473 $305,208,277 
Fidelity Asset Manager 85%%   
From net investment income   
Class A $762,308 $638,758 
Class T 166,023 138,492 
Class B – 528 
Class C 134,918 109,437 
Asset Manager 85%% 18,879,814 16,718,884 
Class I 478,105 555,363 
Total $20,421,168 $18,161,462 
From net realized gain   
Class A $2,376,081 $5,458,131 
Class T 691,330 1,508,615 
Class B 46,652 188,215 
Class C 1,239,853 2,602,764 
Asset Manager 85%% 45,949,502 106,034,873 
Class I 1,190,793 3,430,748 
Total $51,494,211 $119,223,346 

11. Share Transactions.

Share transactions for each class were as follows and may contain automatic conversions between classes or exchanges between affiliated funds:

 Shares Shares Dollars Dollars 
 Year ended
September 30, 2016 
Year ended
September 30, 2015 
Year ended
September 30, 2016 
Year ended
September 30, 2015 
Fidelity Asset Manager 20%%     
Class A     
Shares sold 1,061,724 746,097 $13,730,782 $9,956,350 
Reinvestment of distributions 101,740 124,579 1,297,846 1,642,519 
Shares redeemed (980,175) (723,345) (12,695,149) (9,655,193) 
Net increase (decrease) 183,289 147,331 $2,333,479 $1,943,676 
Class T     
Shares sold 769,032 258,937 $9,944,778 $3,439,733 
Reinvestment of distributions 46,050 56,730 585,951 746,401 
Shares redeemed (404,707) (383,129) (5,207,424) (5,111,207) 
Net increase (decrease) 410,375 (67,462) $5,323,305 $(925,073) 
Class B     
Shares sold 3,420 9,712 $44,326 $131,288 
Reinvestment of distributions 2,794 5,332 35,365 69,994 
Shares redeemed (122,552) (52,936) (1,576,306) (704,138) 
Net increase (decrease) (116,338) (37,892) $(1,496,615) $(502,856) 
Class C     
Shares sold 522,480 665,471 $6,696,646 $8,823,506 
Reinvestment of distributions 58,840 69,057 744,539 904,582 
Shares redeemed (571,568) (461,220) (7,366,178) (6,103,241) 
Net increase (decrease) 9,752 273,308 $75,007 $3,624,847 
Asset Manager 20%%     
Shares sold 53,904,713 65,610,662 $698,704,684 $877,776,600 
Reinvestment of distributions 13,769,905 16,814,774 176,023,505 222,136,126 
Shares redeemed (67,514,502) (83,278,711) (872,979,053) (1,112,228,717) 
Net increase (decrease) 160,116 (853,275) $1,749,136 $(12,315,991) 
Class I     
Shares sold 1,237,625 484,278 $16,000,768 $6,457,610 
Reinvestment of distributions 51,472 42,280 658,423 558,198 
Shares redeemed (494,699) (307,045) (6,395,711) (4,109,960) 
Net increase (decrease) 794,398 219,513 $10,263,480 $2,905,848 
Fidelity Asset Manager 30%%     
Class A     
Shares sold 758,314 853,322 $7,842,738 $9,065,272 
Reinvestment of distributions 72,251 80,715 734,724 844,570 
Shares redeemed (684,982) (893,789) (7,018,711) (9,529,338) 
Net increase (decrease) 145,583 40,248 $1,558,751 $380,504 
Class T     
Shares sold 227,180 385,571 $2,318,193 $4,073,097 
Reinvestment of distributions 32,605 36,882 331,069 385,610 
Shares redeemed (234,324) (261,013) (2,407,141) (2,776,818) 
Net increase (decrease) 25,461 161,440 $242,121 $1,681,889 
Class B     
Shares sold 752 1,788 $7,417 $19,117 
Reinvestment of distributions 1,068 2,278 10,788 23,743 
Shares redeemed (55,507) (32,079) (570,956) (339,935) 
Net increase (decrease) (53,687) (28,013) $(552,751) $(297,075) 
Class C     
Shares sold 646,522 630,104 $6,544,515 $6,639,825 
Reinvestment of distributions 48,769 58,821 492,300 611,625 
Shares redeemed (587,350) (347,269) (6,019,841) (3,661,220) 
Net increase (decrease) 107,941 341,656 $1,016,974 $3,590,230 
Asset Manager 30%%     
Shares sold 23,662,071 23,785,715 $243,254,618 $252,662,602 
Reinvestment of distributions 2,847,635 3,282,171 28,983,547 34,365,864 
Shares redeemed (18,732,344) (17,404,776) (192,459,532) (184,472,239) 
Net increase (decrease) 7,777,362 9,663,110 $79,778,633 $102,556,227 
Class I     
Shares sold 656,402 335,946 $6,817,634 $3,528,015 
Reinvestment of distributions 30,069 34,537 306,241 361,452 
Shares redeemed (462,690) (316,121) (4,774,293) (3,344,953) 
Net increase (decrease) 223,781 54,362 $2,349,582 $544,514 
Fidelity Asset Manager 40%%     
Class A     
Shares sold 1,316,443 1,116,769 $13,858,038 $12,149,561 
Reinvestment of distributions 93,270 103,020 973,060 1,101,245 
Shares redeemed (733,359) (559,060) (7,743,497) (6,082,756) 
Net increase (decrease) 676,354 660,729 $7,087,601 $7,168,050 
Class T     
Shares sold 390,009 234,916 $4,020,982 $2,551,039 
Reinvestment of distributions 20,717 27,375 215,683 292,035 
Shares redeemed (366,782) (122,917) (3,842,286) (1,340,250) 
Net increase (decrease) 43,944 139,374 $394,379 $1,502,824 
Class B     
Shares sold – 11,716 $– $126,419 
Reinvestment of distributions 884 3,470 9,189 36,989 
Shares redeemed (59,490) (65,134) (630,460) (715,694) 
Net increase (decrease) (58,606) (49,948) $(621,271) $(552,286) 
Class C     
Shares sold 558,469 683,962 $5,876,704 $7,420,049 
Reinvestment of distributions 38,879 50,956 402,887 541,553 
Shares redeemed (460,845) (292,603) (4,802,443) (3,165,742) 
Net increase (decrease) 136,503 442,315 $1,477,148 $4,795,860 
Asset Manager 40%%     
Shares sold 27,901,656 34,882,809 $294,523,460 $379,867,945 
Reinvestment of distributions 2,831,070 3,354,318 29,535,248 35,864,255 
Shares redeemed (20,058,435) (20,144,864) (210,941,630) (218,505,343) 
Net increase (decrease) 10,674,291 18,092,263 $113,117,078 $197,226,857 
Class I     
Shares sold 949,776 1,745,203 $9,774,597 $19,036,090 
Reinvestment of distributions 30,925 19,385 322,941 207,753 
Shares redeemed (1,492,768) (223,724) (15,422,345) (2,428,106) 
Net increase (decrease) (512,067) 1,540,864 $(5,324,807) $16,815,737 
Fidelity Asset Manager 50%%     
Class A     
Shares sold 1,285,350 995,727 $20,974,734 $17,214,908 
Reinvestment of distributions 228,274 319,912 3,648,471 5,391,212 
Shares redeemed (1,243,808) (1,005,953) (20,035,152) (17,414,256) 
Net increase (decrease) 269,816 309,686 $4,588,053 $5,191,864 
Class T     
Shares sold 415,139 490,870 $6,788,826 $8,542,221 
Reinvestment of distributions 97,186 145,961 1,551,607 2,455,630 
Shares redeemed (455,938) (575,251) (7,437,228) (9,990,007) 
Net increase (decrease) 56,387 61,580 $903,205 $1,007,844 
Class B     
Shares sold 12,960 8,290 $208,531 $142,493 
Reinvestment of distributions 5,178 11,444 82,342 192,095 
Shares redeemed (166,468) (70,896) (2,689,336) (1,227,688) 
Net increase (decrease) (148,330) (51,162) $(2,398,463) $(893,100) 
Class C     
Shares sold 526,140 775,317 $8,431,685 $13,336,211 
Reinvestment of distributions 108,770 147,470 1,724,314 2,466,082 
Shares redeemed (688,225) (496,465) (11,162,645) (8,585,737) 
Net increase (decrease) (53,315) 426,322 $(1,006,646) $7,216,556 
Asset Manager 50%%     
Shares sold 41,011,505 47,441,827 $670,923,177 $826,782,885 
Reinvestment of distributions 25,198,579 36,356,893 404,423,850 614,842,843 
Shares redeemed (78,601,130) (66,529,083) (1,282,252,050) (1,158,852,052) 
Net increase (decrease) (12,391,046) 17,269,637 $(206,905,023) $282,773,676 
Class I     
Shares sold 912,142 692,682 $14,796,900 $11,771,865 
Reinvestment of distributions 112,601 148,759 1,804,785 2,511,698 
Shares redeemed (727,915) (660,383) (11,897,452) (11,497,625) 
Net increase (decrease) 296,828 181,058 $4,704,233 $2,785,938 
Fidelity Asset Manager 60%%     
Class A     
Shares sold 1,119,098 1,262,838 $11,965,702 $14,280,308 
Reinvestment of distributions 192,249 286,389 2,007,080 3,113,048 
Shares redeemed (1,138,854) (1,097,074) (12,159,554) (12,316,709) 
Net increase (decrease) 172,493 452,153 $1,813,228 $5,076,647 
Class T     
Shares sold 230,470 404,420 $2,481,092 $4,562,966 
Reinvestment of distributions 55,076 76,931 572,790 833,160 
Shares redeemed (321,919) (231,017) (3,454,754) (2,593,790) 
Net increase (decrease) (36,373) 250,334 $(400,872) $2,802,336 
Class B     
Shares sold – 2,635 $– $29,605 
Reinvestment of distributions 2,647 6,746 27,789 73,534 
Shares redeemed (118,704) (38,517) (1,267,174) (435,624) 
Net increase (decrease) (116,057) (29,136) $(1,239,385) $(332,485) 
Class C     
Shares sold 662,228 835,749 $6,939,607 $9,342,652 
Reinvestment of distributions 89,391 131,144 921,624 1,409,801 
Shares redeemed (559,512) (352,870) (5,849,062) (3,913,793) 
Net increase (decrease) 192,107 614,023 $2,012,169 $6,838,660 
Asset Manager 60%%     
Shares sold 26,084,588 32,106,770 $280,962,806 $364,754,466 
Reinvestment of distributions 4,947,085 6,877,984 51,746,504 74,901,251 
Shares redeemed (24,358,406) (21,774,879) (261,232,789) (246,451,907) 
Net increase (decrease) 6,673,267 17,209,875 $71,476,521 $193,203,810 
Class I     
Shares sold 445,534 478,598 $4,722,458 $5,335,988 
Reinvestment of distributions 57,560 68,910 602,654 751,123 
Shares redeemed (312,984) (305,046) (3,388,714) (3,483,879) 
Net increase (decrease) 190,110 242,462 $1,936,398 $2,603,232 
Fidelity Asset Manager 70%%     
Class A     
Shares sold 1,242,255 1,332,746 $23,355,609 $27,135,293 
Reinvestment of distributions 360,252 612,690 6,607,015 11,873,923 
Shares redeemed (1,351,803) (1,534,000) (25,443,048) (31,230,002) 
Net increase (decrease) 250,704 411,436 $4,519,576 $7,779,214 
Class T     
Shares sold 332,456 401,372 $6,282,649 $8,181,756 
Reinvestment of distributions 117,377 197,690 2,156,218 3,837,168 
Shares redeemed (495,128) (443,958) (9,231,214) (9,069,742) 
Net increase (decrease) (45,295) 155,104 $(792,347) $2,949,182 
Class B     
Shares sold 2,173 4,258 $39,145 $89,578 
Reinvestment of distributions 3,944 13,435 73,710 263,858 
Shares redeemed (130,852) (87,448) (2,475,477) (1,793,956) 
Net increase (decrease) (124,735) (69,755) $(2,362,622) $(1,440,520) 
Class C     
Shares sold 434,716 536,592 $8,170,264 $10,869,717 
Reinvestment of distributions 121,833 211,320 2,230,769 4,089,035 
Shares redeemed (500,903) (533,287) (9,377,032) (10,812,202) 
Net increase (decrease) 55,646 214,625 $1,024,001 $4,146,550 
Asset Manager 70%%     
Shares sold 21,741,155 30,387,652 $410,816,180 $619,467,666 
Reinvestment of distributions 11,023,418 16,897,410 202,279,723 327,640,788 
Shares redeemed (29,537,539) (24,123,037) (560,681,708) (490,668,534) 
Net increase (decrease) 3,227,034 23,162,025 $52,414,195 $456,439,920 
Class I     
Shares sold 461,077 714,757 $8,611,520 $14,467,398 
Reinvestment of distributions 119,411 181,334 2,192,381 3,519,697 
Shares redeemed (701,469) (546,838) (13,166,534) (11,076,556) 
Net increase (decrease) (120,981) 349,253 $(2,362,633) $6,910,539 
Fidelity Asset Manager 85%%     
Class A     
Shares sold 1,277,982 942,082 $19,986,726 $15,917,741 
Reinvestment of distributions 203,532 377,235 3,095,723 6,024,439 
Shares redeemed (1,011,362) (818,764) (15,702,710) (13,824,831) 
Net increase (decrease) 470,152 500,553 $7,379,739 $8,117,349 
Class T     
Shares sold 291,311 476,876 $4,494,461 $7,982,251 
Reinvestment of distributions 56,275 102,375 852,009 1,628,792 
Shares redeemed (388,740) (347,482) (6,110,365) (5,749,178) 
Net increase (decrease) (41,154) 231,769 $(763,895) $3,861,865 
Class B     
Shares sold 2,734 2,884 $40,866 $48,001 
Reinvestment of distributions 2,868 11,206 43,908 179,408 
Shares redeemed (105,601) (54,470) (1,635,914) (920,906) 
Net increase (decrease) (99,999) (40,380) $(1,551,140) $(693,497) 
Class C     
Shares sold 482,935 666,847 $7,409,041 $11,024,242 
Reinvestment of distributions 90,560 169,095 1,359,303 2,668,325 
Shares redeemed (446,523) (320,657) (6,885,905) (5,302,536) 
Net increase (decrease) 126,972 515,285 $1,882,439 $8,390,031 
Asset Manager 85%%     
Shares sold 12,327,620 21,052,151 $193,726,869 $358,458,962 
Reinvestment of distributions 4,184,448 7,541,136 64,063,900 121,186,062 
Shares redeemed (15,709,607) (22,383,027) (247,400,124) (379,093,460) 
Net increase (decrease) 802,461 6,210,260 $10,390,645 $100,551,564 
Class I     
Shares sold 669,454 1,017,644 $10,615,247 $16,957,219 
Reinvestment of distributions 107,226 225,394 1,637,339 3,610,804 
Shares redeemed (810,020) (1,101,788) (12,965,553) (18,463,501) 
Net increase (decrease) (33,340) 141,250 $(712,967) $2,104,522 

12. Other.

The Funds' 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 Funds. In the normal course of business, the Funds may also enter into contracts that provide general indemnifications. The Funds' maximum exposure under these arrangements is unknown as this would be dependent on future claims that may be made against the Funds. The risk of material loss from such claims is considered remote.

At the end of the period, a shareholder of record owned more than 25% of the total outstanding shares of the following fund:

Fund % of shares held 
Fidelity Asset Manager 60%% 31% 

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Charles Street Trust and the Shareholders of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85%:

We have audited the accompanying statements of assets and liabilities of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85% (the Funds), each a fund of Fidelity Charles Street Trust, including the schedules of investments, as of September 30, 2016, and the related statements of operations for the year then ended, the statements of changes in 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. These financial statements and financial highlights are the responsibility of the Funds' management. Our responsibility is to express an opinion on these financial statements and financial highlights based on our audits.

We conducted our audits 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 and financial highlights are free of material misstatement. The Funds are not required to have, nor were we engaged to perform, an audit of their internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Funds' internal control over financial reporting. Accordingly, we express no such opinion. An audit also 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, as well as evaluating the overall financial statement presentation. Our procedures included confirmation of securities owned as of September 30, 2016, by correspondence with the custodians and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, such financial statements and financial highlights referred to above present fairly, in all material respects, the financial position of Fidelity Asset Manager® 20%, Fidelity Asset Manager® 30%, Fidelity Asset Manager® 40%, Fidelity Asset Manager® 50%, Fidelity Asset Manager® 60%, Fidelity Asset Manager® 70% and Fidelity Asset Manager® 85% as of September 30, 2016, the results of their operations for the year then ended, the changes in their net assets for each of the two years in the period then ended, and the financial highlights for the each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America.

DELOITTE & TOUCHE LLP

Boston, Massachusetts
November 18, 2016

Trustees and Officers

The Trustees, Members of the Advisory Board (if any), and officers of the trust and funds, as applicable, are listed below. The Board of Trustees governs each fund and is responsible for protecting the interests of shareholders. The Trustees are experienced executives who meet periodically throughout the year to oversee each fund's activities, review contractual arrangements with companies that provide services to each fund, oversee management of the risks associated with such activities and contractual arrangements, and review each fund's performance.  Except for Jennifer Toolin McAuliffe and Mark A. Murray, each of the Trustees oversees 244 funds. Ms. McAuliffe and Mr. Murray each oversees 191 funds. 

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) of the trust and the funds is referred to herein as an Independent Trustee.  Each Independent Trustee shall retire not later than the last day of the calendar year in which his or her 75th birthday occurs.  The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees.  Officers and Advisory Board Members hold office without limit in time, except that any officer or 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. 

Each 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.

Experience, Skills, Attributes, and Qualifications of the Trustees. The Governance and Nominating Committee has adopted a statement of policy that describes the experience, qualifications, attributes, and skills that are necessary and desirable for potential Independent Trustee candidates (Statement of Policy). The Board believes that each Trustee satisfied at the time he or she was initially elected or appointed a Trustee, and continues to satisfy, the standards contemplated by the Statement of Policy. The Governance and Nominating Committee also engages professional search firms to help identify potential Independent Trustee candidates who have the experience, qualifications, attributes, and skills consistent with the Statement of Policy. From time to time, additional criteria based on the composition and skills of the current Independent Trustees, as well as experience or skills that may be appropriate in light of future changes to board composition, business conditions, and regulatory or other developments, have also been considered by the professional search firms and the Governance and Nominating Committee. In addition, the Board takes into account the Trustees' commitment and participation in Board and committee meetings, as well as their leadership of standing and ad hoc committees throughout their tenure.

In determining that a particular Trustee was and continues to be qualified to serve as a Trustee, the Board has considered a variety of criteria, none of which, in isolation, was controlling. The Board believes that, collectively, the Trustees have balanced and diverse experience, qualifications, attributes, and skills, which allow the Board to operate effectively in governing each fund and protecting the interests of shareholders. Information about the specific experience, skills, attributes, and qualifications of each Trustee, which in each case led to the Board's conclusion that the Trustee should serve (or continue to serve) as a trustee of the funds, is provided below.

Board Structure and Oversight Function. Abigail P. Johnson is an interested person and currently serves as Chairman. The Trustees have determined that an interested Chairman is appropriate and benefits shareholders because an interested Chairman has a personal and professional stake in the quality and continuity of services provided to the funds. Independent Trustees exercise their informed business judgment to appoint an individual of their choosing to serve as Chairman, regardless of whether the Trustee happens to be independent or a member of management. The Independent Trustees have determined that they can act independently and effectively without having an Independent Trustee serve as Chairman and that a key structural component for assuring that they are in a position to do so is for the Independent Trustees to constitute a substantial majority for the Board. The Independent Trustees also regularly meet in executive session. Marie L. Knowles serves as Chairman of the Independent Trustees and as such (i) acts as a liaison between the Independent Trustees and management with respect to matters important to the Independent Trustees and (ii) with management prepares agendas for Board meetings.

Fidelity® funds are overseen by different Boards of Trustees. The funds' Board oversees Fidelity's investment-grade bond, money market, asset allocation and certain equity funds, and other Boards oversee Fidelity's high income, sector and other equity funds. The asset allocation funds may invest in Fidelity® funds that are overseen by such other Boards. The use of separate Boards, each with its own committee structure, allows the Trustees of each group of Fidelity® funds to focus on the unique issues of the funds they oversee, including common research, investment, and operational issues. On occasion, the separate Boards establish joint committees to address issues of overlapping consequences for the Fidelity® funds overseen by each Board.

The Trustees operate using a system of committees to facilitate the timely and efficient consideration of all matters of importance to the Trustees, each fund, and fund shareholders and to facilitate compliance with legal and regulatory requirements and oversight of the funds' activities and associated risks.  The Board, acting through its committees, has charged FMR and its affiliates with (i) identifying events or circumstances the occurrence of which could have demonstrably adverse effects on the funds' business and/or reputation; (ii) implementing processes and controls to lessen the possibility that such events or circumstances occur or to mitigate the effects of such events or circumstances if they do occur; and (iii) creating and maintaining a system designed to evaluate continuously business and market conditions in order to facilitate the identification and implementation processes described in (i) and (ii) above.  Because the day-to-day operations and activities of the funds are carried out by or through FMR, its affiliates, and other service providers, the funds' exposure to risks is mitigated but not eliminated by the processes overseen by the Trustees.  While each of the Board's committees has responsibility for overseeing different aspects of the funds' activities, oversight is exercised primarily through the Operations and Audit Committees.  In addition, an ad hoc Board committee of Independent Trustees has worked with FMR to enhance the Board's oversight of investment and financial risks, legal and regulatory risks, technology risks, and operational risks, including the development of additional risk reporting to the Board.  Appropriate personnel, including but not limited to the funds' Chief Compliance Officer (CCO), FMR's internal auditor, the independent accountants, the funds' Treasurer and portfolio management personnel, make periodic reports to the Board's committees, as appropriate, including an annual review of Fidelity's risk management program for the Fidelity® funds.  The responsibilities of each standing committee, including their oversight responsibilities, are described further under "Standing Committees of the Trustees." 

Interested Trustees*:

Correspondence intended for a Trustee who is an interested person may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Abigail P. Johnson (1961)

Year of Election or Appointment: 2009

Trustee

Chairman of the Board of Trustees

Ms. Johnson also serves as Trustee of other Fidelity® funds. Ms. Johnson serves as President (2013-present) and Chief Executive Officer (2014-present) of FMR LLC (diversified financial services company), President of Fidelity Financial Services (2012-present) and President of Personal, Workplace and Institutional Services (2005-present). Ms. Johnson is Chairman and Director of FMR Co., Inc. (investment adviser firm, 2011-present), Chairman and Director of FMR (investment adviser firm, 2011-present), and the Vice Chairman and Director (2007-present) of FMR LLC. Previously, Ms. Johnson served as President and a Director of FMR (2001-2005), a Trustee of other investment companies advised by FMR, Fidelity Investments Money Management, Inc. (investment adviser firm), and FMR Co., Inc. (2001-2005), Senior Vice President of the Fidelity® funds (2001-2005), and managed a number of Fidelity® funds. Ms. Abigail P. Johnson and Mr. Arthur E. Johnson are not related.

Jennifer Toolin McAuliffe (1959)

Year of Election or Appointment: 2016

Trustee

Ms. McAuliffe also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Ms. McAuliffe previously served as Co-Head of Fixed Income of Fidelity Investments Limited (now known as FIL Limited (FIL)) (diversified financial services company). Earlier roles at FIL included Director of Research for FIL’s credit and quantitative teams in London, Hong Kong and Tokyo. Ms. McAuliffe also was the Director of Research for taxable and municipal bonds at Fidelity Investments Money Management, Inc. Ms. McAuliffe is also a director or trustee of several not-for-profit entities.

 * Determined to be an “Interested Trustee” by virtue of, among other things, his or her affiliation with the trust or various entities under common control with FMR. 

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for each fund. 

Independent Trustees:

Correspondence intended for an Independent Trustee may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Elizabeth S. Acton (1951)

Year of Election or Appointment: 2013

Trustee

Ms. Acton also serves as Trustee of other Fidelity® funds. Prior to her retirement in April 2012, Ms. Acton was Executive Vice President, Finance (2011-2012), Executive Vice President, Chief Financial Officer (2002-2011), and Treasurer (2004-2005) of Comerica Incorporated (financial services). Prior to joining Comerica, Ms. Acton held a variety of positions at Ford Motor Company (1983-2002), including Vice President and Treasurer (2000-2002) and Executive Vice President and Chief Financial Officer of Ford Motor Credit Company (1998-2000). Ms. Acton currently serves as a member of the Board of Directors and Audit and Finance Committees of Beazer Homes USA, Inc. (homebuilding, 2012-present). Previously, Ms. Acton served as a Member of the Advisory Board of certain Fidelity® funds (2013-2016).

John Engler (1948)

Year of Election or Appointment: 2014

Trustee

Mr. Engler also serves as Trustee of other Fidelity® funds. He serves as president of the Business Roundtable (2011-present), and on the board of directors for Universal Forest Products (manufacturer and distributor of wood and wood-alternative products, 2003-present) and K12 Inc. (technology-based education company, 2012-present). Previously, Mr. Engler served as a Member of the Advisory Board of certain Fidelity® funds (2014-2016), a trustee of The Munder Funds (2003-2014), president and CEO of the National Association of Manufacturers (2004-2011), member of the Board of Trustees of the Annie E. Casey Foundation (2004-2015), and as governor of Michigan (1991-2003). He is a past chairman of the National Governors Association.

Albert R. Gamper, Jr. (1942)

Year of Election or Appointment: 2006

Trustee

Mr. Gamper also serves as Trustee of other Fidelity® funds. 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 (2002-2003). Mr. Gamper currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2000-present), and Member of the Board of Trustees of Barnabas Health Care System (1997-present). Previously, Mr. Gamper served as Chairman (2012-2015) and Vice Chairman (2011-2012) of the Independent Trustees of certain Fidelity® funds and as Chairman of the Board of Governors, Rutgers University (2004-2007).

Robert F. Gartland (1951)

Year of Election or Appointment: 2010

Trustee

Mr. Gartland also serves as Trustee of other Fidelity® funds. Mr. Gartland is Chairman and an investor in Gartland & Mellina Group Corp. (consulting, 2009-present). Previously, Mr. Gartland served as a partner and investor of Vietnam Partners LLC (investments and consulting, 2008-2011). Prior to his retirement, Mr. Gartland held a variety of positions at Morgan Stanley (financial services, 1979-2007) including Managing Director (1987-2007).

Arthur E. Johnson (1947)

Year of Election or Appointment: 2008

Trustee

Vice Chairman of the Independent Trustees

Mr. Johnson also serves as Trustee of other Fidelity® funds. Mr. Johnson serves as a member of the Board of Directors of Eaton Corporation plc (diversified power management, 2009-present), AGL Resources, Inc. (holding company, 2002-present) and Booz Allen Hamilton (management consulting, 2011-present). Prior to his retirement, Mr. Johnson served as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor, 1999-2009). He previously served on the Board of Directors of IKON Office Solutions, Inc. (1999-2008) and Delta Airlines (2005-2007). Mr. Arthur E. Johnson is not related to Ms. Abigail P. Johnson.

Michael E. Kenneally (1954)

Year of Election or Appointment: 2009

Trustee

Mr. Kenneally also serves as Trustee of other Fidelity® funds. Prior to his retirement, Mr. Kenneally served as Chairman and Global Chief Executive Officer of Credit Suisse Asset Management. Before joining Credit Suisse, he was an Executive Vice President and Chief Investment Officer for Bank of America Corporation. Earlier roles at Bank of America included Director of Research, Senior Portfolio Manager and Research Analyst, and Mr. Kenneally was awarded the Chartered Financial Analyst (CFA) designation in 1991.

James H. Keyes (1940)

Year of Election or Appointment: 2007

Trustee

Mr. Keyes also serves as Trustee of other Fidelity® funds. Mr. Keyes serves as a member of the Board and Non-Executive Chairman of Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, since 2002). Previously, Mr. Keyes served as a member of the Board of Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions, 1998-2013). Prior to his retirement, Mr. Keyes served as Chairman (1993-2002) and Chief Executive Officer (1988-2002) of Johnson Controls (automotive, building, and energy) and as a member of the Board of LSI Logic Corporation (semiconductor technologies, 1984-2008).

Marie L. Knowles (1946)

Year of Election or Appointment: 2001

Trustee

Chairman of the Independent Trustees

Ms. Knowles also serves as Trustee of other Fidelity® funds. 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 (pipeline and tanker operations). Ms. Knowles currently serves as a Director and Chairman of the Audit Committee of McKesson Corporation (healthcare service, since 2002). Ms. Knowles is a member of the Board of the Santa Catalina Island Company (real estate, 2009-present). Ms. Knowles is a Member of the Investment Company Institute Board of Governors and a Member of the Governing Council of the Independent Directors Council (2014-present). She also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California. Previously, Ms. Knowles served as a Director of Phelps Dodge Corporation (copper mining and manufacturing, 1994-2007), URS Corporation (engineering and construction, 2000-2003) and America West (airline, 1999-2002). Ms. Knowles previously served as Vice Chairman of the Independent Trustees of certain Fidelity® funds (2012-2015).

Mark A. Murray (1954)

Year of Election or Appointment: 2016

Trustee

Mr. Murray also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Mr. Murray is Vice Chairman (2013-present) of Meijer, Inc. (regional retail chain). Previously, Mr. Murray served as Co-Chief Executive Officer (2013-2016) and President (2006-2013) of Meijer, Inc. Mr. Murray serves as a member of the Board of Directors and Nuclear Review and Public Policy and Responsibility Committees of DTE Energy Company (diversified energy company, 2009-present). Mr. Murray also serves as a member of the Board of Directors of Spectrum Health (not-for-profit health system, 2015-present). Mr. Murray previously served as President of Grand Valley State University (2001-2006), Treasurer for the State of Michigan (1999-2001), Vice President of Finance and Administration for Michigan State University (1998-1999), and a member of the Board of Directors and Audit Committee and Chairman of the Nominating and Corporate Governance Committee of Universal Forest Products, Inc. (manufacturer and distributor of wood and wood-alternative products, 2004-2016). Mr. Murray is also a director or trustee of many community and professional organizations.

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for each fund. 

Advisory Board Members and Officers:

Correspondence intended for an officer may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.  Officers appear below in alphabetical order. 

Name, Year of Birth; Principal Occupation

Marc R. Bryant (1966)

Year of Election or Appointment: 2015

Secretary and Chief Legal Officer (CLO)

Mr. Bryant also serves as Secretary and CLO of other funds. Mr. Bryant serves as CLO, Secretary, and Senior Vice President of Fidelity Management & Research Company (investment adviser firm, 2015-present) and FMR Co., Inc. (investment adviser firm, 2015-present); Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2015-present) and Fidelity Investments Money Management, Inc. (investment adviser firm, 2015-present); and CLO of Fidelity Management & Research (Hong Kong) Limited and FMR Investment Management (U.K.) Limited (investment adviser firms, 2015-present) and Fidelity Management & Research (Japan) Limited (investment adviser firm, 2016-present). He is Senior Vice President and Deputy General Counsel of FMR LLC (diversified financial services company). Previously, Mr. Bryant served as Secretary and CLO of Fidelity Rutland Square Trust II (2010-2014) and Assistant Secretary of Fidelity's Fixed Income and Asset Allocation Funds (2013-2015). Prior to joining Fidelity Investments, Mr. Bryant served as a Senior Vice President and the Head of Global Retail Legal for AllianceBernstein L.P. (2006-2010), and as the General Counsel for ProFund Advisors LLC (2001-2006).

Jeffrey S. Christian (1961)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Christian also serves as Assistant Treasurer of other funds. Mr. Christian is an employee of Fidelity Investments (2003-present).

Jonathan Davis (1968)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Davis also serves as Assistant Treasurer of other funds, and is an employee of Fidelity Investments. Previously, Mr. Davis served as Vice President and Associate General Counsel of FMR LLC (diversified financial services company, 2003-2010).

Adrien E. Deberghes (1967)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Deberghes also serves as an officer of other funds. He serves as Executive Vice President of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2016-present) and is an employee of Fidelity Investments (2008-present). Prior to joining Fidelity Investments, Mr. Deberghes was Senior Vice President of Mutual Fund Administration at State Street Corporation (2007-2008), Senior Director of Mutual Fund Administration at Investors Bank & Trust (2005-2007), and Director of Finance for Dunkin' Brands (2000-2005). Previously, Mr. Deberghes served in other fund officer roles.

Stephanie J. Dorsey (1969)

Year of Election or Appointment: 2013

President and Treasurer

Ms. Dorsey also serves as an officer of other funds. She is an employee of Fidelity Investments (2008-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Dorsey served as Treasurer (2004-2008) of the JPMorgan Mutual Funds and Vice President (2004-2008) of JPMorgan Chase Bank.

Howard J. Galligan III (1966)

Year of Election or Appointment: 2014

Chief Financial Officer

Mr. Galligan also serves as Chief Financial Officer of other funds. Mr. Galligan serves as President of Fidelity Pricing and Cash Management Services (FPCMS) (2014-present) and as a Director of Strategic Advisers, Inc. (investment adviser firm, 2008-present). Previously, Mr. Galligan served as Chief Administrative Officer of Asset Management (2011-2014) and Chief Operating Officer and Senior Vice President of Investment Support for Strategic Advisers, Inc. (2003-2011).

Scott C. Goebel (1968)

Year of Election or Appointment: 2015

Vice President

Mr. Goebel serves as Vice President of other funds and is an employee of Fidelity Investments (2001-present). Previously, Mr. Goebel served as Senior Vice President of Fidelity Management & Research Company (FMR) (investment adviser firm, 2016), Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2013-2015), Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2010-2015), and Fidelity Research and Analysis Company (FRAC) (investment adviser firm, 2010-2015); General Counsel, Secretary, and Senior Vice President of FMR (investment adviser firm, 2008-2015) and FMR Co., Inc. (investment adviser firm, 2008-2015); Assistant Secretary of Fidelity Management & Research (Japan) Limited (investment adviser firm, 2008-2015) and Fidelity Management & Research (U.K.) Inc. (investment adviser firm, 2008-2015); Chief Legal Officer (CLO) of Fidelity Management & Research (Hong Kong) Limited (investment adviser firm, 2008-2015); Secretary and CLO of certain Fidelity® funds (2008-2015); Assistant Secretary of FIMM (2008-2010), FRAC (2008-2010), and certain funds (2007-2008); and as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (2005-2007).

Colm A. Hogan (1973)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Hogan also serves as an officer of other funds. Mr. Hogan is an employee of Fidelity Investments (2005-present). 

Chris Maher (1972)

Year of Election or Appointment: 2013

Assistant Treasurer

Mr. Maher serves as Assistant Treasurer of other funds. Mr. Maher is Vice President of Valuation Oversight and is an employee of Fidelity Investments. Previously, Mr. Maher served as Vice President of Asset Management Compliance (2013), Vice President of the Program Management Group of FMR (investment adviser firm, 2010-2013), and Vice President of Valuation Oversight (2008-2010).

John B. McGinty, Jr. (1962)

Year of Election or Appointment: 2016

Chief Compliance Officer

Mr. McGinty also serves as Chief Compliance Officer of other funds. Mr. McGinty is Senior Vice President of Asset Management Compliance for Fidelity Investments and is an employee of Fidelity Investments (2016-present). Mr. McGinty previously served as Vice President, Senior Attorney at Eaton Vance Management (investment management firm, 2015-2016), and prior to Eaton Vance as global CCO for all firm operations and registered investment companies at GMO LLC (investment management firm, 2009-2015). Before joining GMO LLC, Mr. McGinty served as Senior Vice President, Deputy General Counsel for Fidelity Investments (2007-2009).

John F. Papandrea (1972)

Year of Election or Appointment: 2016

Anti-Money Laundering (AML) Officer

Mr. Papandrea also serves as AML Officer of other funds. Mr. Papandrea is Vice President of FMR LLC (diversified financial services company, 2008-present) and is an employee of Fidelity Investments (2005-present).

Jason P. Pogorelec (1975)

Year of Election or Appointment: 2015

Assistant Secretary

Mr. Pogorelec also serves as Assistant Secretary of other funds. Mr. Pogorelec serves as Vice President, Associate General Counsel (2010-present) and is an employee of Fidelity Investments (2006-present).

Nancy D. Prior (1967)

Year of Election or Appointment: 2014

Vice President

Ms. Prior also serves as Vice President of other funds. Ms. Prior serves as a Director of FMR Investment Management (U.K.) Limited (investment adviser firm, 2015-present), President (2016-present) and Director (2014-present) of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm), President, Fixed Income (2014-present), Vice Chairman of FIAM LLC (investment adviser firm, 2014-present), and is an employee of Fidelity Investments (2002-present). Previously, Ms. Prior served as Vice President of Fidelity's Money Market Funds (2012-2014), President, Money Market and Short Duration Bond Group of Fidelity Management & Research (FMR) (investment adviser firm, 2013-2014), President, Money Market Group of FMR (2011-2013), Managing Director of Research (2009-2011), Senior Vice President and Deputy General Counsel (2007-2009), and Assistant Secretary of certain Fidelity® funds (2008-2009).

Stacie M. Smith (1974)

Year of Election or Appointment: 2013

Assistant Treasurer

Ms. Smith also serves as an officer of other funds. She is an employee of Fidelity Investments (2009-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Smith served as Senior Audit Manager of Ernst & Young LLP (1996-2009). Previously, Ms. Smith served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Renee Stagnone (1975)

Year of Election or Appointment: 2016

Assistant Treasurer

Ms. Stagnone also serves as an officer of other funds. Ms. Stagnone is an employee of Fidelity Investments (1997-present). Previously, Ms. Stagnone served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Christine J. Thompson (1958)

Year of Election or Appointment: 2015

Vice President of Fidelity's Bond Funds

Ms. Thompson also serves as Vice President of other funds. Ms. Thompson also serves as Chief Investment Officer of FMR's Bond Group (2010-present) and is an employee of Fidelity Investments (1985-present). Previously, Ms. Thompson served as Vice President of Fidelity's Bond Funds (2010-2012).

Derek L. Young (1964)

Year of Election or Appointment: 2009

Vice President of Fidelity's Asset Allocation Funds

Mr. Young also serves as an officer of other funds. He is a Director of Strategic Advisers, Inc. (investment adviser firm, 2011-present) and FMR Investment Management (U.K.) Limited (investment adviser firm, 2016-present), President of Fidelity Global Asset Allocation (GAA) (2011-present), and Vice Chairman of FIAM LLC (investment adviser firm, 2011-present). Previously, Mr. Young served as Trustee of certain funds (2012-2015), President of Strategic Advisers, Inc. (2011-2015), Chief Investment Officer of GAA (2009-2011), and as a portfolio manager.

Shareholder Expense Example

The Funds invest in Fidelity Central Funds, which are open-end investment companies with similar investment objectives to those of the Funds, available only to other mutual funds and accounts managed by Fidelity Management & Research Company FMR) and its affiliates. In addition to the direct expenses incurred by the Funds presented in the table, as a shareholder of the underlying Fidelity Central Funds, the Funds also indirectly bear their proportionate share of the expenses of the underlying Fidelity Central Funds. These expenses are not included in the Funds' annualized expense ratio used to calculate either the actual or hypothetical expense estimates presented in the table but are summarized in a footnote to the table.

As a shareholder of a 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 Funds 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 (April 1, 2016 to September 30, 2016).

Actual Expenses

The first line of the accompanying table for each class of each 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. 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.

Hypothetical Example for Comparison Purposes

The second line of the accompanying table for each class of each 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. 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.

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.

 Annualized Expense Ratio-A Beginning
Account Value
April 1, 2016 
Ending
Account Value
September 30, 2016 
Expenses Paid
During Period-B
April 1, 2016
to September 30, 2016 
Fidelity Asset Manager 20%     
Class A .83%    
Actual  $1,000.00 $1,036.90 $4.23 
Hypothetical-C  $1,000.00 $1,020.85 $4.19 
Class T 1.09%    
Actual  $1,000.00 $1,035.70 $5.55 
Hypothetical-C  $1,000.00 $1,019.55 $5.50 
Class C 1.60%    
Actual  $1,000.00 $1,034.00 $8.14 
Hypothetical-C  $1,000.00 $1,017.00 $8.07 
Asset Manager 20% .52%    
Actual  $1,000.00 $1,038.50 $2.65 
Hypothetical-C  $1,000.00 $1,022.40 $2.63 
Class I .57%    
Actual  $1,000.00 $1,039.20 $2.91 
Hypothetical-C  $1,000.00 $1,022.15 $2.88 
Fidelity Asset Manager 30%     
Class A .85%    
Actual  $1,000.00 $1,045.30 $4.35 
Hypothetical-C  $1,000.00 $1,020.75 $4.29 
Class T 1.11%    
Actual  $1,000.00 $1,043.90 $5.67 
Hypothetical-C  $1,000.00 $1,019.45 $5.60 
Class C 1.61%    
Actual  $1,000.00 $1,041.60 $8.22 
Hypothetical-C  $1,000.00 $1,016.95 $8.12 
Asset Manager 30% .54%    
Actual  $1,000.00 $1,047.70 $2.76 
Hypothetical-C  $1,000.00 $1,022.30 $2.73 
Class I .60%    
Actual  $1,000.00 $1,046.60 $3.07 
Hypothetical-C  $1,000.00 $1,022.00 $3.03 
Fidelity Asset Manager 40%     
Class A .84%    
Actual  $1,000.00 $1,049.50 $4.30 
Hypothetical-C  $1,000.00 $1,020.80 $4.24 
Class T 1.12%    
Actual  $1,000.00 $1,047.90 $5.73 
Hypothetical-C  $1,000.00 $1,019.40 $5.65 
Class C 1.61%    
Actual  $1,000.00 $1,045.70 $8.23 
Hypothetical-C  $1,000.00 $1,016.95 $8.12 
Asset Manager 40% .54%    
Actual  $1,000.00 $1,051.00 $2.77 
Hypothetical-C  $1,000.00 $1,022.30 $2.73 
Class I .57%    
Actual  $1,000.00 $1,050.80 $2.92 
Hypothetical-C  $1,000.00 $1,022.15 $2.88 
Fidelity Asset Manager 50%     
Class A .96%    
Actual  $1,000.00 $1,054.20 $4.93 
Hypothetical-C  $1,000.00 $1,020.20 $4.85 
Class T 1.22%    
Actual  $1,000.00 $1,053.50 $6.26 
Hypothetical-C  $1,000.00 $1,018.90 $6.16 
Class C 1.72%    
Actual  $1,000.00 $1,050.60 $8.82 
Hypothetical-C  $1,000.00 $1,016.40 $8.67 
Asset Manager 50% .65%    
Actual  $1,000.00 $1,056.20 $3.34 
Hypothetical-C  $1,000.00 $1,021.75 $3.29 
Class I .70%    
Actual  $1,000.00 $1,056.00 $3.60 
Hypothetical-C  $1,000.00 $1,021.50 $3.54 
Fidelity Asset Manager 60%     
Class A 1.03%    
Actual  $1,000.00 $1,059.40 $5.30 
Hypothetical-C  $1,000.00 $1,019.85 $5.20 
Class T 1.29%    
Actual  $1,000.00 $1,057.80 $6.64 
Hypothetical-C  $1,000.00 $1,018.55 $6.51 
Class C 1.78%    
Actual  $1,000.00 $1,055.40 $9.15 
Hypothetical-C  $1,000.00 $1,016.10 $8.97 
Asset Manager 60% .71%    
Actual  $1,000.00 $1,061.10 $3.66 
Hypothetical-C  $1,000.00 $1,021.45 $3.59 
Class I .74%    
Actual  $1,000.00 $1,061.00 $3.81 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Fidelity Asset Manager 70%     
Class A 1.02%    
Actual  $1,000.00 $1,062.30 $5.26 
Hypothetical-C  $1,000.00 $1,019.90 $5.15 
Class T 1.28%    
Actual  $1,000.00 $1,061.20 $6.60 
Hypothetical-C  $1,000.00 $1,018.60 $6.46 
Class C 1.78%    
Actual  $1,000.00 $1,058.80 $9.16 
Hypothetical-C  $1,000.00 $1,016.10 $8.97 
Asset Manager 70% .72%    
Actual  $1,000.00 $1,064.40 $3.72 
Hypothetical-C  $1,000.00 $1,021.40 $3.64 
Class I .74%    
Actual  $1,000.00 $1,064.30 $3.82 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Fidelity Asset Manager 85%     
Class A 1.05%    
Actual  $1,000.00 $1,068.20 $5.43 
Hypothetical-C  $1,000.00 $1,019.75 $5.30 
Class T 1.32%    
Actual  $1,000.00 $1,066.60 $6.82 
Hypothetical-C  $1,000.00 $1,018.40 $6.66 
Class C 1.80%    
Actual  $1,000.00 $1,063.90 $9.29 
Hypothetical-C  $1,000.00 $1,016.00 $9.07 
Asset Manager 85% .74%    
Actual  $1,000.00 $1,069.60 $3.83 
Hypothetical-C  $1,000.00 $1,021.30 $3.74 
Class I .75%    
Actual  $1,000.00 $1,069.80 $3.88 
Hypothetical-C  $1,000.00 $1,021.25 $3.79 

 A Annualized expense ratio reflects expenses net of applicable fee waivers.

 B Expenses are equal to each Class' annualized expense ratio, multiplied by the average account value over the period, multiplied by 183/ 366 (to reflect the one-half year period). The fees and expenses of the underlying Fidelity Central Funds in which the Fund invests are not included in each Class' annualized expense ratio. In addition to the expenses noted above, the Fund also indirectly bears its proportional share of the expenses of the underlying Fidelity Central Funds. Annualized expenses of the underlying Fidelity Central Funds as of their most recent fiscal half year ranged from less than .005% to .09%.

 C 5% return per year before expenses


Distributions (Unaudited)

The funds hereby designate as capital gain dividend the amounts noted below for the taxable year ended September 30, 2016, or, if subsequently determined to be different, the net capital gain of such year.

Fidelity Asset Manager 20% $27,018,098 
Fidelity Asset Manager 30% $2,276,861 
Fidelity Asset Manager 40% $3,061,075 
Fidelity Asset Manager 50% $56,868,271 
Fidelity Asset Manager 60% $5,761,313 
Fidelity Asset Manager 70% $20,299,396 
Fidelity Asset Manager 85% $7,299,198 

A percentage of the dividends distributed during the fiscal year for the following funds were derived from interest on U.S. Government securities which is generally exempt from state income tax

Fidelity Asset Manager 20%  
Class A 3.77% 
Class T 3.77% 
Class B 3.77% 
Class C 3.77% 
Asset Manager 20% 3.77% 
Class I 3.77% 
Fidelity Asset Manager 30%  
Class A 3.55% 
Class T 3.55% 
Class B 3.55% 
Class C 3.55% 
Asset Manager 30% 3.55% 
Class I 3.55% 
Fidelity Asset Manager 40%  
Class A 3.29% 
Class T 3.29% 
Class B 3.29% 
Class C 3.29% 
Asset Manager 40% 3.29% 
Class I 3.29% 
Fidelity Asset Manager 50%  
Class A 2.93% 
Class T 2.93% 
Class B 2.93% 
Class C 2.93% 
Asset Manager 50% 2.93% 
Class I 2.93% 
Fidelity Asset Manager 60%  
Class A 2.38% 
Class T 2.38% 
Class B 2.38% 
Class C 2.38% 
Asset Manager 60% 2.38% 
Class I 2.38% 
Fidelity Asset Manager 70%  
Class A 1.73% 
Class T 1.73% 
Class B 1.73% 
Class C 1.73% 
Asset Manager 70% 1.73% 
Class I 1.73% 
Fidelity Asset Manager 85%  
Class A 0.87% 
Class T 0.87% 
Class B 0.87% 
Class C 0.87% 
Asset Manager 85% 0.87% 
Class I 0.87% 

The funds hereby designate the amounts noted below as distributions paid during the period January 1, 2016 to September 30, 2016 as qualifying to be taxed as interest-related dividends for nonresident alien shareholders:

Fidelity Asset Manager 20% $55,061,114 
Fidelity Asset Manager 30% $11,058,409 
Fidelity Asset Manager 40% $9,368,368 
Fidelity Asset Manager 50% $62,419,040 

A percentage of the dividends distributed during the fiscal year for the following funds qualify for the dividends–received deduction for corporate shareholders:

 Class A Class T Class B Class C Retail Class I 
Fidelity Asset Manager 20%       
December 2015 7% 8% 9% 9% 7% 7% 
February 2016 12% 15% 26% 26% 10% 10% 
March 2016 12% 15% 27% 24% 10% 10% 
April 2016 12% 14% 21% 19% 10% 10% 
May 2016 12% 15% 30% 30% 10% 10% 
June 2016 12% 15% 26% 26% 10% 10% 
July 2016 12% 14% N/A 22% 10% 10% 
August 2016 13% 16% N/A 40% 10% 10% 
September 2016 13% 15% N/A 30% 10% 11% 
Fidelity Asset Manager 30%       
December 2015 11% 12% 15% 14% 10% 10% 
February 2016 19% 25% 58% 58% 15% 15% 
March 2016 18% 22% 37% 37% 15% 15% 
April 2016 17% 19% 28% 28% 15% 15% 
May 2016 17% 22% 44% 37% 15% 15% 
June 2016 17% 20% 30% 30% 15% 15% 
July 2016 17% 21% N/A 30% 15% 16% 
August 2016 19% 24% N/A 48% 15% 15% 
September 2016 17% 22% N/A 37% 15% 15% 
Fidelity Asset Manager 40%       
December 2015 14% 16% 25% 22% 13% 13% 
April 2016 33% 44% 77% 77% 27% 28% 
July 2016 33% 40% N/A 64% 28% 28% 
Fidelity Asset Manager 50%       
December 2015 15% 16% 21% 21% 13% 13% 
April 2016 45% 59% 100% 100% 36% 37% 
July 2016 43% 51% N/A 85% 36% 37% 
Fidelity Asset Manager 60%       
December 2015 32% 38% 89% 58% 26% 27% 
Fidelity Asset Manager 70%       
December 2015 41% 50% 100% 84% 33% 34% 
Fidelity Asset Manager 85%       
December 2015 62% 82% 0% 100% 50% 51% 

A percentage of the dividends distributed during the fiscal year for the following funds may be taken into account as a dividend for purposes of the maximum rate under section 1(h)(11) of the Internal Revenue Code.

 Class A Class T Class B Class C Retail Class I 
Fidelity Asset Manager 20%       
December 2015 10% 11% 12% 12% 9% 9% 
February 2016 19% 24% 41% 41% 16% 16% 
March 2016 19% 23% 43% 37% 16% 16% 
April 2016 19% 22% 33% 30% 16% 16% 
May 2016 19% 24% 47% 47% 16% 16% 
June 2016 19% 24% 41% 41% 16% 16% 
July 2016 19% 22% N/A 35% 16% 16% 
August 2016 21% 25% N/A 63% 16% 16% 
September 2016 20% 24% N/A 47% 16% 17% 
Fidelity Asset Manager 30%       
December 2015 15% 16% 20% 20% 13% 14% 
February 2016 35% 45% 100% 100% 26% 26% 
March 2016 33% 39% 65% 65% 26% 26% 
April 2016 30% 35% 50% 50% 27% 27% 
May 2016 30% 39% 78% 65% 26% 26% 
June 2016 30% 35% 53% 53% 27% 27% 
July 2016 31% 38% N/A 52% 26% 28% 
August 2016 34% 42% N/A 84% 26% 26% 
September 2016 30% 39% N/A 65% 26% 26% 
Fidelity Asset Manager 40%       
December 2015 19% 21% 32% 28% 16% 17% 
April 2016 56% 75% 100% 100% 47% 48% 
July 2016 55% 68% N/A 100% 47% 48% 
Fidelity Asset Manager 50%       
December 2015 19% 21% 26% 26% 17% 17% 
April 2016 79% 100% 100% 100% 63% 65% 
July 2016 75% 90% N/A 100% 63% 65% 
Fidelity Asset Manager 60%       
December 2015 59% 69% 100% 100% 49% 50% 
Fidelity Asset Manager 70%       
December 2015 74% 91% 100% 100% 61% 62% 
Fidelity Asset Manager 85%       
December 2015 100% 100% 0% 100% 83% 85% 

The funds will notify shareholders in January 2017 of amounts for use in preparing 2016 income tax returns.

Board Approval of Investment Advisory Contracts and Management Fees

Fidelity Asset Manager 20%
Fidelity Asset Manager 30%
Fidelity Asset Manager 40%
Fidelity Asset Manager 50%
Fidelity Asset Manager 60%
Fidelity Asset Manager 70%
Fidelity Asset Manager 85%

Each year, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract with Fidelity Management & Research Company (FMR) and the sub-advisory agreements (together, the Advisory Contracts) for each fund. The Board, assisted by the advice of fund counsel and Independent Trustees' counsel, requests and considers a broad range of information relevant to the renewal of the Advisory Contracts throughout the year.

The Board meets regularly and, at each of its meetings, covers an extensive agenda of topics and materials and considers factors that are relevant to its annual consideration of the renewal of each fund's Advisory Contracts, including the services and support provided to each fund and its shareholders. The Board has established four standing committees (Committees) — Operations, Audit, Fair Valuation, and Governance and Nominating — each composed of and chaired by 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. The Operations Committee, of which all of the Independent Trustees are members, meets regularly throughout the year and considers, among other matters, information specifically related to the annual consideration of the renewal of each fund's Advisory Contracts. The Board, acting directly and through its Committees, requests and receives information concerning the annual consideration of the renewal of each fund's Advisory Contracts. The Board also meets as needed to consider matters specifically related to the Board's annual consideration of the renewal of the Advisory Contracts. Members of the Board may also meet with trustees of other Fidelity funds through ad hoc joint committees to discuss certain matters relevant to all of the Fidelity funds.

At its September 2016 meeting, the Board unanimously determined to renew each fund's Advisory Contracts. 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 each fund and its shareholders (including the investment performance of each fund); (ii) the competitiveness of each fund's management fee and total expense ratio relative to peer funds; (iii) the total costs of the services to be provided by and the profits to be realized by Fidelity from its relationships with each fund; and (iv) the extent to which, if any, economies of scale exist and would be realized as each fund grows, and whether any economies of scale are appropriately shared with fund shareholders.

In considering whether to renew the Advisory Contracts for each fund, the Board reached a determination, with the assistance of fund counsel and Independent Trustees' counsel and through the exercise of its business judgment, that the renewal of the Advisory Contracts was in the best interests of each fund and its shareholders and that the compensation payable under the Advisory Contracts was fair and reasonable. The Board's decision to renew the Advisory Contracts was not based on any single factor, but rather was based on a comprehensive consideration of all the information provided to the Board at its meetings throughout the year. The Board, in reaching its determination to renew the Advisory Contracts, was aware that shareholders of each fund have a broad range of investment choices available to them, including a wide choice among funds offered by Fidelity's competitors, and that each fund's shareholders, who have the opportunity to review and weigh the disclosure provided by the fund in its prospectus and other public disclosures, have chosen to invest in that fund, which is part of the Fidelity family of funds.

Nature, Extent, and Quality of Services Provided.  The Board considered Fidelity's staffing as it relates to the funds, including the backgrounds of investment personnel of Fidelity, and also considered the funds' investment objectives, strategies, and related investment philosophies. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the investment personnel compensation program and whether this structure provides appropriate incentives to act in the best interests of each fund. Additionally, the Board considered the portfolio managers' investments, if any, in the funds that they manage.

Resources Dedicated to Investment Management and Support Services.  The Board reviewed the general qualifications and capabilities of Fidelity's investment staff, including its size, education, experience, and resources, as well as Fidelity's approach to recruiting, managing, and compensating investment personnel. The Board noted that Fidelity has continued to increase the resources devoted to non-U.S. offices, including expansion of Fidelity's global investment organization. The Board also noted that Fidelity's analysts have extensive resources, tools and capabilities that allow them to conduct sophisticated quantitative and fundamental analysis, as well as credit analysis of issuers, counterparties and guarantors. Further, the Board considered that Fidelity's investment professionals have sufficient access to global information and data so as to provide competitive investment results over time, and that those professionals also have access to sophisticated tools that permit them to assess portfolio construction and risk and performance attribution characteristics continuously, as well as to transmit new information and research conclusions rapidly around the world. Additionally, in its deliberations, the Board considered Fidelity's trading, risk management, compliance, and technology and operations capabilities and resources, which are integral parts of the investment management process.

Shareholder and Administrative Services.  The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, and shareholder services performed by FMR, the sub-advisers (together with FMR, 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 each fund; (ii) the nature and extent of the supervision of third party service providers, principally custodians, subcustodians, and pricing vendors; and (iii) the resources devoted to, and the record of compliance with, each fund's compliance policies and procedures. The Board also 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 noted that the growth of fund assets over time 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 telephone representatives and over the Internet, investor education materials and asset allocation tools, and the expanded availability of Fidelity Investor Centers.

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 a large variety of mutual fund investor services. The Board noted that Fidelity had taken, or had made recommendations that resulted in the Fidelity funds taking, a number of actions over the previous year that benefited particular funds, including: (i) continuing to dedicate additional resources to investment research and to the support of the senior management team that oversees asset management; (ii) continuing efforts to enhance Fidelity's global research capabilities; (iii) launching new funds and making other enhancements to meet client needs; (iv) broadening eligibility requirements for certain lower-priced share classes of, and streamlining the fee structure for, certain existing equity index funds; (v) lowering expense caps for certain existing funds and classes to reduce expenses paid by shareholders; (vi) eliminating redemption fees for certain variable insurance product funds and classes; (vii) continuing to launch dedicated lower cost underlying funds to meet portfolio construction needs related to expanding underlying fund options for Fidelity funds of funds, specifically for the Freedom Fund product lines; (viii) launching a lower cost share class for use by the Freedom Index Fund product line; (ix) rationalizing product lines and gaining increased efficiencies through fund mergers and share class consolidations; (x) continuing to develop, acquire and implement systems and technology to improve services to the funds and shareholders, strengthen information security, and increase efficiency; (xi) implementing investment enhancements to further strengthen Fidelity's target date product line to increase investors' probability of success in achieving their goals; (xii) accelerating the conversion of all remaining Class B shares to Class A shares, which have a lower expense structure; and (xiii) implementing changes to Fidelity's money market fund product line in response to recent regulatory reforms.

Investment Performance.  The Board considered whether each fund has operated in accordance with its investment objective, as well as its record of compliance with its investment restrictions and its performance history.

The Board took into account discussions with representatives of the Investment Advisers about fund investment performance that occur at Board meetings throughout the year. In this regard the Board noted that as part of regularly scheduled fund reviews and other reports to the Board on fund performance, the Board considers annualized return information for each fund for different time periods, measured against one or more securities market indices, including a customized blended index representative of the fund's asset classes (each a "benchmark index") and a peer group of funds with similar objectives ("peer group"), if any. In its evaluation of fund investment performance at meetings throughout the year, the Board gave particular attention to information indicating underperformance of certain Fidelity funds for specific time periods and discussed with the Investment Advisers the reasons for such underperformance.

In addition to reviewing absolute and relative fund performance, the Independent Trustees periodically consider the appropriateness of fund performance metrics in evaluating the results achieved. In general, the Independent Trustees believe that fund performance should be evaluated based on gross performance (before fees and expenses but after transaction costs) compared to appropriate benchmark indices, over appropriate time periods that may include full market cycles, and on net performance (after fees and expenses) compared to peer groups, as applicable, over the same periods, taking into account relevant factors including the following: general market conditions; expectations for interest rate levels and credit conditions; issuer-specific information including credit quality; and fund cash flows and other factors. Depending on the circumstances, the Independent Trustees may be satisfied with a fund's performance notwithstanding that it lags its benchmark index or peer group for certain periods.

The Independent Trustees recognize that shareholders evaluate performance on a net basis over their own holding periods, for which one-, three-, and five-year periods are often used as a proxy. For this reason, the performance information reviewed by the Board also included net cumulative calendar year total return information for each fund and an appropriate benchmark index and peer group for the most recent one-, three-, and five-year periods.

Based on its review, the Board concluded that the nature, extent, and quality of services provided to each fund under the Advisory Contracts should continue to benefit the shareholders of each fund.

Competitiveness of Management Fee and Total Expense Ratio.  The Board considered each fund's management fee and total expense ratio compared to "mapped groups" of competitive funds and classes created for the purpose of facilitating the Trustees' competitive analysis of management fees and total expenses. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable investment mandates. Combining Lipper investment objective categories aids the Board's management fee and total expense ratio comparisons by broadening the competitive group used for comparison.

Management Fee.  The Board considered two proprietary management fee comparisons for the 12-month periods shown in basis points (BP) in the charts 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 in terms of gross management fees before expense reimbursements or caps relative to the total universe of funds with comparable investment mandates, regardless of whether their management fee structures also are comparable. Funds with comparable investment mandates offer exposure to similar types of securities. Funds with comparable management fee structures have similar management fee contractual arrangements (e.g., flat rate charged for advisory services, all-inclusive fee rate, etc.). "TMG %" represents the percentage of funds in the Total Mapped Group that had management fees that were lower than a fund's. For example, a hypothetical TMG % of 20% would mean that 80% of the funds in the Total Mapped Group had higher, and 20% had lower, management fees than a fund. The funds' actual TMG %s and the number of funds in the Total Mapped Group are in the charts below. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to a subset of non-Fidelity funds within the Total Mapped Group that are similar in size and management fee structure. For example, if a fund is in the first quartile of the ASPG, the fund's management fee ranks in the least expensive or lowest 25% of funds in the ASPG. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee structures, 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 a fund's management fee rate ranked, is also included in the charts and considered by the Board.

Fidelity Asset Manager 20%


Fidelity Asset Manager 30%


Fidelity Asset Manager 40%


Fidelity Asset Manager 50%


Fidelity Asset Manager 60%


Fidelity Asset Manager 70%


Fidelity Asset Manager 85%


The Board noted that each fund's management fee rate ranked below the median of its Total Mapped Group and below the median of its ASPG for 2015.

The Board noted that, in 2014, the ad hoc Committee on Group Fee was formed by it and the boards of other Fidelity funds to conduct an in-depth review of the "group fee" component of the management fee of funds with such management fee structures. The Committee's focus included the mechanics of the group fee, the competitive landscape of group fee structures, Fidelity funds with no group fee component and investment products not included in group fee assets. The Board also considered that, for funds subject to the group fee, FMR agreed to voluntarily waive fees over a specified period of time in amounts designed to account for assets converted from certain funds to certain collective investment trusts.

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

Total Expense Ratio.  In its review of the total expense ratio of each class of each fund, the Board considered the fund's management fee rate 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 that Fidelity may agree to waive fees and expenses from time to time, and the extent to which, if any, it has done so for the funds. As part of its review, the Board also considered the current and historical total expense ratios of each class of each fund compared to competitive fund median expenses. Each class of each 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 expense ratio of each class of Fidelity Asset Manager 20% ranked below the competitive median for 2015.

The Board noted that the total expense ratio of each of Class A, Class C, Class I, and the retail class of each of Fidelity Asset Manager 30%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70%, and Fidelity Asset Manager 85% ranked below the competitive median for 2015 and the total expense ratio of Class T of each of Fidelity Asset Manager 30%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70%, and Fidelity Asset Manager 85% ranked above the competitive median for 2015.

The Board noted that the total expense ratio of each of Class A, Class C, Class I, and the retail class of Fidelity Asset Manager 40% ranked below the competitive median for 2015 and the total expense ratio of Class T ranked equal to the competitive median for 2015.

The Board considered that, in general, various factors can affect total expense ratios. The Board noted that the total expense ratio of Class T of certain funds was above the competitive median primarily because of higher 12b-1 fees on Class T as compared to most competitor funds. Class T has a higher 12b-1 fee, but a lower front-end sales charge, than traditionally priced front-end sales charge classes. The Board considered that Class T is primarily sold load-waived in the retirement plan market where its 0.50% 12b-1 fee is comparable to competing no-load, higher 12b-1 fee classes designed specifically for retirement plans. The Board noted that each fund offers multiple classes, each of which has a different sales load and 12b-1 fee structure, and that the multiple structures are intended to offer a range of pricing options for the intermediary market. The Board also noted that the total expense ratios of the classes of each fund vary primarily by the level of their 12b-1 fees, although differences in transfer agent fees may also cause expenses to vary from class to class.

Fees Charged to Other Fidelity Clients.  The Board also considered Fidelity fee structures and other information with respect to clients of Fidelity, such as other funds advised or subadvised by Fidelity, pension plan clients, and other institutional clients with similar mandates. The Board noted that an ad hoc joint committee created by it and the boards of other Fidelity funds periodically (most recently in 2013) reviews and compares Fidelity's institutional investment advisory business with its business of providing services to the Fidelity funds, including the differences in services provided, fees charged, and costs incurred, as well as competition in their respective marketplaces.

Based on its review of total expense ratios and fees charged to other Fidelity clients, the Board concluded that, although some classes were above the median of the universe presented for comparison, the total expense ratio of each class of each fund was 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 each fund and servicing each fund's shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, Fidelity presents to the Board information about the profitability of its relationships with each fund. Fidelity calculates profitability information for each fund, as well as aggregate profitability information for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the books and records of Fidelity on which Fidelity's audited financial statements are based. 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 Fidelity's profitability analysis. PwC's engagement includes the review and assessment of the methodologies used by Fidelity in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures in respect of the mathematical accuracy of the fund profitability information and its conformity to established allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board concluded that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board also reviewed Fidelity's non-fund businesses and 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 funds' business.

The Board considered the costs of the services provided by and the profits realized by Fidelity in connection with the operation of each fund and was satisfied that the profitability was not excessive.

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 each 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 each fund will benefit from economies of scale as assets grow through increased services to the fund, through waivers or reimbursements, or through fee or expense ratio reductions. The Board also noted that a committee (the Economies of Scale Committee) created by it and the boards of other Fidelity funds periodically (most recently in 2013) analyzes whether Fidelity attains economies of scale in respect of the management and servicing of the Fidelity funds, whether the Fidelity funds have appropriately benefited from such economies of scale, and whether there is potential for realization of any further economies of scale.

The Board recognized that each fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total group assets increase, and for higher group fee rates as total group assets decrease (with "group assets" defined to include fund assets under FMR's management plus the assets of sector funds previously under FMR's management). FMR calculates the group fee rates based on a tiered asset "breakpoint" schedule that varies based on asset class. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total Fidelity 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 concluded that, given the group fee structure, fund shareholders will benefit from lower management fees as group assets increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board concluded, taking into account the analysis of the Economies of Scale Committee, that economies of scale, if any, are being appropriately shared between fund shareholders and Fidelity.

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 certain topics, including: (i) Fidelity's fund profitability methodology, profitability trends for certain funds, and the impact of certain factors on fund profitability results; (ii) portfolio manager changes that have occurred during the past year and the amount of the investment that each portfolio manager has made in the Fidelity fund(s) that he or she manages; (iii) Fidelity's compensation structure for portfolio managers, research analysts, and other key personnel, including its effects on fund profitability, the rationale for the compensation structure, and the extent to which current market conditions have affected retention and recruitment; (iv) the arrangements with and compensation paid to certain fund sub-advisers on behalf of the Fidelity funds; (v) Fidelity's voluntary waiver of its fees to maintain minimum yields for certain money market funds and classes as well as contractual waivers in place for certain funds; (vi) the methodology with respect to competitive fund data and peer group classifications; (vii) Fidelity's transfer agent fee, expense, and service structures for different funds and classes relative to competitive trends, and the impact of the increased use of omnibus accounts; (viii) Fidelity's long-term expectations for its offerings in the workplace investing channel; (ix) new developments in the retail and institutional marketplaces; (x) the approach to considering "fall-out" benefits; and (xi) the impact of money market reform on Fidelity's money market funds, including with respect to costs and profitability. In addition, the Board considered its discussions with Fidelity throughout the year regarding enhanced information security initiatives and the funds' fair valuation policies.

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

Proxy Voting Results

A special meeting of shareholders was held on November 18, 2015. 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 elect a Board of Trustees. 
 # of
Votes 
% of
Votes 
Elizabeth S. Acton   
Affirmative 14,943,915,330.95 96.336 
Withheld 568,375,299.84 3.664 
TOTAL 15,512,290,630.79 100.000 
John Engler   
Affirmative 14,882,992,640.02 95.944 
Withheld 629,297,990.77 4.056 
TOTAL 15,512,290,630.79 100.000 
Albert R. Gamper, Jr.   
Affirmative 14,876,209,021.25 95.900 
Withheld 636,081,609.54 4.100 
TOTAL 15,512,290,630.79 100.000 
Robert F. Gartland   
Affirmative 14,911,998,079.07 96.131 
Withheld 600,292,551.72 3.869 
TOTAL 15,512,290,630.79 100.000 
Abigail P. Johnson   
Affirmative 14,938,566,748.36 96.302 
Withheld 573,723,882.43 3.698 
TOTAL 15,512,290,630.79 100.000 
Arthur E. Johnson   
Affirmative 14,924,734,316.31 96.213 
Withheld 587,556,314.48 3.787 
TOTAL 15,512,290,630.79 100.000 
Michael E. Kenneally   
Affirmative 14,957,076,322.58 96.421 
Withheld 555,214,308.21 3.579 
TOTAL 15,512,290,630.79 100.000 
James H. Keyes   
Affirmative 14,883,069,701.12 95.944 
Withheld 629,220,929.67 4.056 
TOTAL 15,512,290,630.79 100.000 
Marie L. Knowles   
Affirmative 14,926,474,549.99 96.224 
Withheld 585,816,080.80 3.776 
TOTAL 15,512,290,630.79 100.000 
Geoffrey A. von Kuhn   
Affirmative 14,911,889,870.77 96.130 
Withheld 600,400,760.02 3.870 
TOTAL 15,512,290,630.79 100.000 
Proposal 1 reflects trust wide proposal and voting results. 





Fidelity Investments

AAR-ANN-1116
1.878289.108


Fidelity® Series Broad Market Opportunities Fund



Annual Report

September 30, 2016




Fidelity Investments


Contents

Performance

Management's Discussion of Fund Performance

Investment Summary

Investments

Financial Statements

Notes to Financial Statements

Report of Independent Registered Public Accounting Firm

Trustees and Officers

Shareholder Expense Example

Distributions

Board Approval of Investment Advisory Contracts and Management Fees

Proxy Voting Results


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/proxyvotingresults 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. © 2016 FMR LLC. All rights reserved.



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, http://www.institutional.fidelity.com, or http://www.401k.com, as applicable.

NOT FDIC INSURED •MAY LOSE VALUE •NO BANK GUARANTEE

Neither the Fund nor Fidelity Distributors Corporation is a bank.



Performance: The Bottom Line

Average annual total return reflects the change in the value of an investment, assuming reinvestment of distributions from 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 hypothetical investment and the average annual total 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

For the periods ended September 30, 2016 Past 1 year Past 5 years Life of fundA 
Fidelity® Series Broad Market Opportunities Fund 14.17% 15.46% 6.72% 

 A From August 21, 2007


$10,000 Over Life of Fund

Let's say hypothetically that $10,000 was invested in Fidelity® Series Broad Market Opportunities Fund on August 21, 2007, when the fund started.

The chart shows how the value of your investment would have changed, and also shows how the Dow Jones U.S. Total Stock Market Index℠ performed over the same period.


Period Ending Values

$18,088Fidelity® Series Broad Market Opportunities Fund

$18,588Dow Jones U.S. Total Stock Market Index℠

Management's Discussion of Fund Performance

Market Recap:  The S&P 500® index rose 15.43% for the year ending September 2016, overcoming uncertainty about the global economy, U.S. Federal Reserve monetary policy and the U.K.’s June vote to leave the European Union (Brexit). Volatility peaked in early 2016, as continued oil-price weakness and U.S.-dollar strength pushed the S&P 500® to its worst January since 2009. Markets regained positive momentum amid U.S. job gains, a rally in energy and materials markets, global economic stimulus and perceived softening of U.S. monetary policy. The June 23 Brexit vote surprised markets, though, and was followed by a two-day near-tumult. Sentiment rebounded rapidly and stayed largely positive through September. For the year, value-oriented and small-cap stocks outperformed. Among S&P 500 sectors, dividend-rich telecom services (+27%) led amid strong demand for yield, especially earlier in the period, as well as increased competition and consolidation. Utilities (+17%) and consumer staples (+16%) also benefited. Added demand for perceived safe-haven investments such as precious metals-related securities boosted materials (+22%). Information technology (+23%) was helped by strong results from some of the largest and best-known tech names. The newly created real estate sector (+17%) finished far ahead of financials (+6%), which was held back by low interest rates that squeezed bank profits.

Comments from Co-Lead Portfolio Managers Christopher Sharpe and Geoff Stein:  For the year, the fund gained 14.17%, trailing the 14.93% return of the Dow Jones U.S. Total Stock Market Index℠. Our sector-focused co-managers generally struggled, with most underlying central funds trailing their respective index components. Versus the Dow Jones benchmark, the primary detractors were stock picks in real estate (part of the financials central fund), health care and materials. Among individual holdings, primary relative detractors included an underweighting in index heavyweight Microsoft; an out-of-benchmark position in Teva Pharmaceutical Industries; and a zero weighting in pharmaceutical giant and index constituent Johnson & Johnson. On the positive side, the technology central fund added considerable value, led by picks in internet software & services. Selections in energy also notably contributed. The top relative contributors overall were single-serve coffee titan Keurig Green Mountain, taken private in March; an overweighting in medical-device developer Boston Scientific; and a non-index stake in New Oriental Education & Technology Group, a China-based provider of private educational services.

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.

Note to shareholders:  On November 1, 2016, Katherine Shaw (consumer discretionary) and Samuel Wald (real estate) became Co-Portfolio Managers of the fund. Katherine Shaw succeeds Peter Dixon.

Investment Summary (Unaudited)

The information in the following tables is based on the Fund’s pro-rata share of the investments of Fidelity’s Equity Central Funds.

Top Ten Stocks as of September 30, 2016

 % of fund's net assets % of fund's net assets 6 months ago 
Apple, Inc. 2.3 2.2 
Amazon.com, Inc. 1.9 1.3 
Facebook, Inc. Class A 1.5 1.1 
Medtronic PLC 1.4 1.3 
Alphabet, Inc. Class C 1.3 1.2 
Alphabet, Inc. Class A 1.3 1.1 
General Electric Co. 1.2 1.5 
Allergan PLC 1.1 0.7 
Berkshire Hathaway, Inc. Class B 1.1 1.0 
Procter & Gamble Co. 1.0 1.2 
 14.1  

Asset Allocation (% of fund's net assets)

As of September 30, 2016  
   Stocks 98.1% 
   Convertible Securities 0.2% 
   Short-Term Investments and Net Other Assets (Liabilities) 1.7% 


As of March 31, 2016  
   Stocks 96.7% 
   Convertible Securities 0.4% 
   Short-Term Investments and Net Other Assets (Liabilities) 2.9% 


An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable.

At period end, investments in foreign securities including the Fund's pro-rata share of Fidelity's Equity Central Funds, was 17.2% of net assets.

Investments September 30, 2016

Showing Percentage of Net Assets

Equity Central Funds - 100.2%   
 Shares Value 
Fidelity Consumer Discretionary Central Fund (a) 6,369 $1,584,232 
Fidelity Consumer Staples Central Fund (a) 5,144 1,172,847 
Fidelity Energy Central Fund (a) 7,396 942,752 
Fidelity Financials Central Fund (a) 31,136 2,638,488 
Fidelity Health Care Central Fund (a) 5,464 1,904,914 
Fidelity Industrials Central Fund (a) 5,585 1,352,740 
Fidelity Information Technology Central Fund (a) 9,366 3,093,102 
Fidelity Materials Central Fund (a) 1,955 417,017 
Fidelity Telecom Services Central Fund (a) 1,971 377,471 
Fidelity Utilities Central Fund (a) 2,834 461,642 
TOTAL EQUITY CENTRAL FUNDS   
(Cost $9,819,639)  13,945,205 
TOTAL INVESTMENT PORTFOLIO - 100.2%   
(Cost $9,819,639)  13,945,205 
NET OTHER ASSETS (LIABILITIES) - (0.2)%  (27,030) 
NET ASSETS - 100%  $13,918,175 

Legend

 (a) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-Q and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC's website or upon request.


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 Consumer Discretionary Central Fund $26,777 
Fidelity Consumer Staples Central Fund 29,754 
Fidelity Energy Central Fund 14,168 
Fidelity Financials Central Fund 50,890 
Fidelity Health Care Central Fund 15,707 
Fidelity Industrials Central Fund $22,371 
Fidelity Information Technology Central Fund 24,440 
Fidelity Materials Central Fund 9,595 
Fidelity Telecom Services Central Fund 9,316 
Fidelity Utilities Central Fund 13,736 
Total $216,754 

Additional information regarding the Fund's fiscal year to date purchases and sales, including the ownership percentage, of the non Money Market Central Funds is as follows:

Fund Value, beginning of period Purchases Sales Proceeds Value, end of period % ownership, end of period 
Fidelity Consumer Discretionary Central Fund $1,913,792 $207,224 $654,246 $1,584,232 0.1% 
Fidelity Consumer Staples Central Fund 1,271,398 210,190 470,839 1,172,847 0.1% 
Fidelity Energy Central Fund 960,413 181,583 397,058 942,752 0.1% 
Fidelity Financials Central Fund 2,996,417 309,271 804,835 2,638,488 0.1% 
Fidelity Health Care Central Fund 2,189,010 369,703 805,656 1,904,914 0.1% 
Fidelity Industrials Central Fund 1,498,749 98,449 469,463 1,352,740 0.1% 
Fidelity Information Technology Central Fund 3,052,677 203,196 888,261 3,093,102 0.1% 
Fidelity Materials Central Fund 460,855 29,263 133,026 417,017 0.1% 
Fidelity Telecom Services Central Fund 333,950 75,547 113,021 377,471 0.1% 
Fidelity Utilities Central Fund 520,836 53,267 178,004 461,642 0.1% 
Total $15,198,097 $1,737,693 $4,914,409 $13,945,205  

Investment Valuation

All investments are categorized as Level 1 under the Fair Value Hierarchy. The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs please refer to the Investment Valuation section in the accompanying Notes to Financial Statements.

Other Information

Distribution of investments by country or territory of incorporation, as a percentage of Total Net Assets, is as follows (Unaudited):

United States of America 82.8% 
Ireland 3.2% 
Japan 2.1% 
United Kingdom 2.0% 
Cayman Islands 1.6% 
Switzerland 1.1% 
Taiwan 1.0% 
Others (Individually Less Than 1%) 6.2% 
 100.0% 

The information in the above table is based on the Fund's pro-rata share of the investments of Fidelity's Equity Central Funds.

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


Financial Statements

Statement of Assets and Liabilities

  September 30, 2016 
Assets   
Investments in Fidelity Central Funds (cost $9,819,639)  $13,945,205 
Cash  
Receivable for investments sold  57,078 
Receivable for fund shares sold  2,658 
Prepaid expenses  40 
Total assets  14,004,988 
Liabilities   
Payable for fund shares redeemed $52,845  
Accrued management fee 6,355  
Audit fees payable 22,025  
Other affiliated payables 1,822  
Other payables and accrued expenses 3,766  
Total liabilities  86,813 
Net Assets  $13,918,175 
Net Assets consist of:   
Paid in capital  $11,225,190 
Undistributed net investment income  47,639 
Accumulated undistributed net realized gain (loss) on investments  (1,480,220) 
Net unrealized appreciation (depreciation) on investments  4,125,566 
Net Assets, for 901,028 shares outstanding  $13,918,175 
Net Asset Value, offering price and redemption price per share ($13,918,175 ÷ 901,028 shares)  $15.45 

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


Statement of Operations

  Year ended September 30, 2016 
Investment Income   
Income from Fidelity Central Funds  $216,754 
Expenses   
Management fee $80,362  
Transfer agent fees 25,287  
Accounting fees and expenses 5,697  
Custodian fees and expenses 9,086  
Independent trustees' fees and expenses 65  
Registration fees 20  
Audit 33,461  
Legal 54  
Miscellaneous 439  
Total expenses before reductions 154,471  
Expense reductions (8,289) 146,182 
Net investment income (loss)  70,572 
Realized and Unrealized Gain (Loss)   
Net realized gain (loss) on:   
Fidelity Central Funds 123,075  
Total net realized gain (loss)  123,075 
Change in net unrealized appreciation (depreciation) on investment securities  1,800,750 
Net gain (loss)  1,923,825 
Net increase (decrease) in net assets resulting from operations  $1,994,397 

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


Statement of Changes in Net Assets

 Year ended September 30, 2016 Year ended September 30, 2015 
Increase (Decrease) in Net Assets   
Operations   
Net investment income (loss) $70,572 $60,033 
Net realized gain (loss) 123,075 (3,072) 
Change in net unrealized appreciation (depreciation) 1,800,750 (501,343) 
Net increase (decrease) in net assets resulting from operations 1,994,397 (444,382) 
Distributions to shareholders from net investment income (62,043) (64,587) 
Distributions to shareholders from net realized gain (619,409) (916,756) 
Total distributions (681,452) (981,343) 
Share transactions   
Proceeds from sales of shares 2,683,634 5,805,706 
Reinvestment of distributions 681,452 981,344 
Cost of shares redeemed (5,929,562) (5,196,521) 
Net increase (decrease) in net assets resulting from share transactions (2,564,476) 1,590,529 
Total increase (decrease) in net assets (1,251,531) 164,804 
Net Assets   
Beginning of period 15,169,706 15,004,902 
End of period $13,918,175 $15,169,706 
Other Information   
Undistributed net investment income end of period $47,639 $38,378 
Shares   
Sold 188,043 377,315 
Issued in reinvestment of distributions 47,956 66,577 
Redeemed (405,282) (333,650) 
Net increase (decrease) (169,283) 110,242 

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


Financial Highlights — Fidelity Series Broad Market Opportunities Fund

Years ended September 30, 2016 2015 2014 2013 2012 
Selected Per–Share Data      
Net asset value, beginning of period $14.17 $15.63 $13.61 $11.11 $8.65 
Income from Investment Operations      
Net investment income (loss)A .07 .06 .07 .08 .07 
Net realized and unrealized gain (loss) 1.88 (.50) 2.15 2.50 2.44 
Total from investment operations 1.95 (.44) 2.22 2.58 2.51 
Distributions from net investment income (.06) (.07) (.06) (.07) (.04) 
Distributions from net realized gain (.61) (.95) (.14) (.01) B 
Total distributions (.67) (1.02) (.20) (.08) (.05)C 
Net asset value, end of period $15.45 $14.17 $15.63 $13.61 $11.11 
Total ReturnD 14.17% (3.08)% 16.46% 23.39% 29.07% 
Ratios to Average Net AssetsE,F      
Expenses before reductions 1.05% 1.04% 1.09% 1.40% 1.87% 
Expenses net of fee waivers, if any 1.00% 1.00% 1.00% 1.00% 1.00% 
Expenses net of all reductions 1.00% .99% 1.00% .98% .98% 
Net investment income (loss) .48% .38% .44% .66% .64% 
Supplemental Data      
Net assets, end of period (000 omitted) $13,918 $15,170 $15,005 $7,500 $5,131 
Portfolio turnover rateG 12% 23% 18% 28% 36% 

 A Calculated based on average shares outstanding during the period.

 B Amount represents less than $.005 per share.

 C Total distributions of $.05 per share is comprised of distributions from net investment income of $.041 and distributions from net realized gain of $.004 per share.

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

 E Fees and expenses of any 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. Based on their most recent shareholder report date, the expenses ranged from less than .005% to .01%.

 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 reductions from 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 does not include the portfolio activity of any underlying Fidelity Central Funds.


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


Notes to Financial Statements

For the period ended September 30, 2016

1. Organization.

Fidelity Series Broad Market Opportunities Fund (the Fund) is a fund of Fidelity Charles Street Trust (the Trust) and is authorized to issue an unlimited number of shares. Shares of the Fund are only available for purchase by mutual funds for which Fidelity Management & Research Company (FMR) or an affiliate serves as an investment manager. 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 invests in Fidelity Central Funds, which are open-end investment companies generally available only to other investment companies and accounts managed by the investment adviser and its affiliates. The Fund's Schedule of Investments lists each of the Fidelity Central Funds held as of period end, 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.

Based on its investment objective, each Fidelity Central Fund may invest or participate in various investment vehicles or strategies that are similar to those of the Fund. These strategies are consistent with the investment objectives of the Fund and may involve certain economic risks which may cause a decline in value of each of the Fidelity Central Funds and thus a decline in the value of the Fund. The following summarizes the Fund's investment in each Fidelity Central Fund.

Fidelity Central Fund Investment Manager Investment Objective Investment Practices Expense Ratio(a) 
Fidelity Equity Central Funds FMR Co., Inc. (FMRC) Each fund seeks capital appreciation by investing primarily in common stocks, with a concentration in a particular industry. Delayed Delivery & When Issued Securities
Foreign Securities
Restricted Securities
 
Less than .005% to .01% 

 (a) Expenses expressed as a percentage of average net assets and are as of each underlying Central Fund's most recent annual or semi-annual shareholder report.


An unaudited holdings listing for each Fund, which presents direct holdings as well as the pro-rata share of any securities and other investments held indirectly through each Fund's investment in underlying non-money market Fidelity Central Funds, is available at fidelity.com. A complete unaudited list of holdings for each Fidelity Central Fund is available upon request or at the Securities and Exchange Commission (the SEC) website at www.sec.gov. In addition, the financial statements of the Fidelity Central Funds which contain the significant accounting policies (including investment valuation policies) of those funds, which are not covered by the Fund's Report of Independent Registered Public Accounting Firm, are available on the SEC website 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 (GAAP), which require management to make certain estimates and assumptions at the date of the financial statements. Actual results could differ from those estimates. Subsequent events, if any, through the date that the financial statements were issued have been evaluated in the preparation of the financial statements. The following summarizes the significant accounting policies of the Fund:

Investment Valuation. Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. The Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels as shown below:

  • 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)

Valuation techniques used to value the Fund's investments by major category are as follows.

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

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 per share for processing shareholder transactions is calculated as of the close of business of the New York Stock Exchange (NYSE), normally 4:00 p.m. Eastern time and 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. Income and capital gain distributions from Fidelity Central Funds, if any, are recorded on the ex-dividend date.

Expenses. Expenses directly attributable to a fund are charged to that fund. Expenses attributable to more than one fund are allocated among the respective funds on the basis of relative net assets or other appropriate methods. Expense estimates are accrued in the period to which they relate and adjustments are made when actual amounts are known. Expenses included in the accompanying financial statements reflect the expenses of the Fund and do not include any expenses of the Fidelity Central Funds. Although not included in the Fund's expenses, the Fund indirectly bears its proportionate share of the Fidelity Central Funds' expenses through the impact of these expenses on each Fidelity Central Fund's NAV.

Income Tax Information and Distributions to Shareholders. Each year, the Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code, including distributing substantially all of its taxable income and realized gains. As a result, no provision for U.S. Federal income taxes is required. As of September 30, 2016, the Fund did not have any unrecognized tax benefits in the financial statements; nor is the Fund aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months. The Fund files a U.S. federal tax return, in addition to state and local tax returns as required. The Fund's federal income tax returns are subject to examination by the Internal Revenue Service (IRS) for a period of three fiscal years after they are filed. State and local tax returns may be subject to examination for an additional fiscal year depending on the jurisdiction.

Distributions are declared and recorded on the ex-dividend date. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from GAAP.

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. Capital accounts are not adjusted for temporary book-tax differences which will reverse in a subsequent period.

Book-tax differences are primarily due to the partnerships (including allocations from Fidelity Central Funds) and losses deferred due to excise tax regulations.

The federal tax cost of investment securities and unrealized appreciation (depreciation) as of period end were as follows:

Gross unrealized appreciation $2,764,417 
Gross unrealized depreciation (22,814) 
Net unrealized appreciation (depreciation) on securities $2,741,603 
Tax Cost $11,203,602 

The tax-based components of distributable earnings as of period end were as follows:

Undistributed ordinary income $54,952 
Net unrealized appreciation (depreciation) on securities and other investments $2,741,603 

The Fund intends to elect to defer to its next fiscal year $103,571 of capital losses recognized during the period November 1, 2015 to September 30, 2016.

The tax character of distributions paid was as follows:

 September 30, 2016 September 30, 2015 
Ordinary Income $78,316 $ 257,386 
Long-term Capital Gains 603,136 723,957 
Total $681,452 $ 981,343 

4. Purchases and Redemptions of Underlying Fund Shares.

Purchases and redemptions of the Underlying Fund shares, aggregated $1,737,693 and $4,914,409, respectively.

5. Fees and Other Transactions with Affiliates.

Management Fee. Fidelity Management & Research Company (the investment adviser) 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 an annualized group fee rate that averaged .25% during the period. The group fee rate is based upon the average net assets of all the mutual funds advised by the investment adviser, including any mutual funds previously advised by the investment adviser that are currently advised by Fidelity SelectCo, LLC, an affiliate of the investment adviser. The group fee rate decreases as assets under management increase and increases as assets under management decrease. For the reporting period, the total annual management fee rate was .55% of the Fund's average net assets.

The investment adviser pays a portion of the management fees received from the Fund to the Fidelity Central Funds' investment advisers, who are also affiliates, for managing the assets of the Fidelity Central Funds.

Transfer Agent Fees. Fidelity Investments Institutional Operations Company, Inc. (FIIOC), an affiliate of the investment adviser, is the Fund's transfer, dividend disbursing and shareholder servicing agent. FIIOC receives account fees and asset-based fees that vary according to account size and type of account. FIIOC 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.

Accounting Fees. Fidelity Service Company, Inc. (FSC), an affiliate of the investment adviser, maintains the Fund's accounting records. The fee is based on the level of average net assets for each month.

6. Committed Line of Credit.

The Fund participates with other funds managed by the investment adviser or an affiliate in a $4.25 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 $31 and is reflected in Miscellaneous expenses on the Statement of Operations. During the period, the Fund did not borrow on this line of credit.

7. Expense Reductions.

The investment adviser voluntarily agreed to reimburse the Fund to the extent annual operating expenses exceeded 1.00% of average net assets. Some expenses, for example interest expense, including commitment fees, are excluded from this reimbursement. During the period this reimbursement reduced the Fund's expenses by $7,866.

Commissions paid to certain brokers with whom the investment adviser, or its affiliates, places trades on behalf of the Fund and the Equity Central Funds include an amount in addition to trade execution, which may be rebated back to the Fund to offset certain expenses. This amount totaled $313 for the period.

In addition, during the period the investment adviser reimbursed and/or waived a portion of operating expenses in the amount of $110.

8. 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.

At the end of the period, mutual funds managed by the investment adviser or its affiliates were the owners of record of all of the outstanding shares of the Fund.

Report of Independent Registered Public Accounting Firm

To the Trustees of Fidelity Charles Street Trust and Shareholders of Fidelity Series Broad Market Opportunities 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 Series Broad Market Opportunities Fund (a fund of Fidelity Charles Street Trust) at September 30, 2016, 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 Series Broad Market Opportunities 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 September 30, 2016 by correspondence with the custodian and brokers, provide a reasonable basis for our opinion.

PricewaterhouseCoopers LLP

Boston, Massachusetts
November 17, 2016

Trustees and Officers

The Trustees, Members of the Advisory Board (if any), and 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, oversee management of the risks associated with such activities and contractual arrangements, and review the fund's performance.  Except for Jennifer Toolin McAuliffe and Mark A. Murray, each of the Trustees oversees 244 funds. Ms. McAuliffe and Mr. Murray each oversees 191 funds. 

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) of the trust and the fund is referred to herein as an Independent Trustee.  Each Independent Trustee shall retire not later than the last day of the calendar year in which his or her 75th birthday occurs.  The Independent Trustees may waive this mandatory retirement age policy with respect to individual Trustees.  Officers and Advisory Board Members hold office without limit in time, except that any officer or 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.

Experience, Skills, Attributes, and Qualifications of the Trustees. The Governance and Nominating Committee has adopted a statement of policy that describes the experience, qualifications, attributes, and skills that are necessary and desirable for potential Independent Trustee candidates (Statement of Policy). The Board believes that each Trustee satisfied at the time he or she was initially elected or appointed a Trustee, and continues to satisfy, the standards contemplated by the Statement of Policy. The Governance and Nominating Committee also engages professional search firms to help identify potential Independent Trustee candidates who have the experience, qualifications, attributes, and skills consistent with the Statement of Policy. From time to time, additional criteria based on the composition and skills of the current Independent Trustees, as well as experience or skills that may be appropriate in light of future changes to board composition, business conditions, and regulatory or other developments, have also been considered by the professional search firms and the Governance and Nominating Committee. In addition, the Board takes into account the Trustees' commitment and participation in Board and committee meetings, as well as their leadership of standing and ad hoc committees throughout their tenure.

In determining that a particular Trustee was and continues to be qualified to serve as a Trustee, the Board has considered a variety of criteria, none of which, in isolation, was controlling. The Board believes that, collectively, the Trustees have balanced and diverse experience, qualifications, attributes, and skills, which allow the Board to operate effectively in governing the fund and protecting the interests of shareholders. Information about the specific experience, skills, attributes, and qualifications of each Trustee, which in each case led to the Board's conclusion that the Trustee should serve (or continue to serve) as a trustee of the fund, is provided below.

Board Structure and Oversight Function. Abigail P. Johnson is an interested person and currently serves as Chairman. The Trustees have determined that an interested Chairman is appropriate and benefits shareholders because an interested Chairman has a personal and professional stake in the quality and continuity of services provided to the fund. Independent Trustees exercise their informed business judgment to appoint an individual of their choosing to serve as Chairman, regardless of whether the Trustee happens to be independent or a member of management. The Independent Trustees have determined that they can act independently and effectively without having an Independent Trustee serve as Chairman and that a key structural component for assuring that they are in a position to do so is for the Independent Trustees to constitute a substantial majority for the Board. The Independent Trustees also regularly meet in executive session. Marie L. Knowles serves as Chairman of the Independent Trustees and as such (i) acts as a liaison between the Independent Trustees and management with respect to matters important to the Independent Trustees and (ii) with management prepares agendas for Board meetings.

Fidelity® funds are overseen by different Boards of Trustees. The fund's Board oversees Fidelity's investment-grade bond, money market, asset allocation and certain equity funds, and other Boards oversee Fidelity's high income, sector and other equity funds. The asset allocation funds may invest in Fidelity® funds that are overseen by such other Boards. The use of separate Boards, each with its own committee structure, allows the Trustees of each group of Fidelity® funds to focus on the unique issues of the funds they oversee, including common research, investment, and operational issues. On occasion, the separate Boards establish joint committees to address issues of overlapping consequences for the Fidelity® funds overseen by each Board.

The Trustees operate using a system of committees to facilitate the timely and efficient consideration of all matters of importance to the Trustees, the fund, and fund shareholders and to facilitate compliance with legal and regulatory requirements and oversight of the fund's activities and associated risks.  The Board, acting through its committees, has charged FMR and its affiliates with (i) identifying events or circumstances the occurrence of which could have demonstrably adverse effects on the fund's business and/or reputation; (ii) implementing processes and controls to lessen the possibility that such events or circumstances occur or to mitigate the effects of such events or circumstances if they do occur; and (iii) creating and maintaining a system designed to evaluate continuously business and market conditions in order to facilitate the identification and implementation processes described in (i) and (ii) above.  Because the day-to-day operations and activities of the fund are carried out by or through FMR, its affiliates, and other service providers, the fund's exposure to risks is mitigated but not eliminated by the processes overseen by the Trustees.  While each of the Board's committees has responsibility for overseeing different aspects of the fund's activities, oversight is exercised primarily through the Operations and Audit Committees.  In addition, an ad hoc Board committee of Independent Trustees has worked with FMR to enhance the Board's oversight of investment and financial risks, legal and regulatory risks, technology risks, and operational risks, including the development of additional risk reporting to the Board.  Appropriate personnel, including but not limited to the fund's Chief Compliance Officer (CCO), FMR's internal auditor, the independent accountants, the fund's Treasurer and portfolio management personnel, make periodic reports to the Board's committees, as appropriate, including an annual review of Fidelity's risk management program for the Fidelity® funds.  The responsibilities of each standing committee, including their oversight responsibilities, are described further under "Standing Committees of the Trustees." 

Interested Trustees*:

Correspondence intended for a Trustee who is an interested person may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Abigail P. Johnson (1961)

Year of Election or Appointment: 2009

Trustee

Chairman of the Board of Trustees

Ms. Johnson also serves as Trustee of other Fidelity® funds. Ms. Johnson serves as President (2013-present) and Chief Executive Officer (2014-present) of FMR LLC (diversified financial services company), President of Fidelity Financial Services (2012-present) and President of Personal, Workplace and Institutional Services (2005-present). Ms. Johnson is Chairman and Director of FMR Co., Inc. (investment adviser firm, 2011-present), Chairman and Director of FMR (investment adviser firm, 2011-present), and the Vice Chairman and Director (2007-present) of FMR LLC. Previously, Ms. Johnson served as President and a Director of FMR (2001-2005), a Trustee of other investment companies advised by FMR, Fidelity Investments Money Management, Inc. (investment adviser firm), and FMR Co., Inc. (2001-2005), Senior Vice President of the Fidelity® funds (2001-2005), and managed a number of Fidelity® funds. Ms. Abigail P. Johnson and Mr. Arthur E. Johnson are not related.

Jennifer Toolin McAuliffe (1959)

Year of Election or Appointment: 2016

Trustee

Ms. McAuliffe also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Ms. McAuliffe previously served as Co-Head of Fixed Income of Fidelity Investments Limited (now known as FIL Limited (FIL)) (diversified financial services company). Earlier roles at FIL included Director of Research for FIL’s credit and quantitative teams in London, Hong Kong and Tokyo. Ms. McAuliffe also was the Director of Research for taxable and municipal bonds at Fidelity Investments Money Management, Inc. Ms. McAuliffe is also a director or trustee of several not-for-profit entities.

 * Determined to be an “Interested Trustee” by virtue of, among other things, his or her affiliation with the trust or various entities under common control with FMR. 

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for the fund. 

Independent Trustees:

Correspondence intended for an Independent Trustee may be sent to Fidelity Investments, P.O. Box 55235, Boston, Massachusetts 02205-5235.

Name, Year of Birth; Principal Occupations and Other Relevant Experience+

Elizabeth S. Acton (1951)

Year of Election or Appointment: 2013

Trustee

Ms. Acton also serves as Trustee of other Fidelity® funds. Prior to her retirement in April 2012, Ms. Acton was Executive Vice President, Finance (2011-2012), Executive Vice President, Chief Financial Officer (2002-2011), and Treasurer (2004-2005) of Comerica Incorporated (financial services). Prior to joining Comerica, Ms. Acton held a variety of positions at Ford Motor Company (1983-2002), including Vice President and Treasurer (2000-2002) and Executive Vice President and Chief Financial Officer of Ford Motor Credit Company (1998-2000). Ms. Acton currently serves as a member of the Board of Directors and Audit and Finance Committees of Beazer Homes USA, Inc. (homebuilding, 2012-present). Previously, Ms. Acton served as a Member of the Advisory Board of certain Fidelity® funds (2013-2016).

John Engler (1948)

Year of Election or Appointment: 2014

Trustee

Mr. Engler also serves as Trustee of other Fidelity® funds. He serves as president of the Business Roundtable (2011-present), and on the board of directors for Universal Forest Products (manufacturer and distributor of wood and wood-alternative products, 2003-present) and K12 Inc. (technology-based education company, 2012-present). Previously, Mr. Engler served as a Member of the Advisory Board of certain Fidelity® funds (2014-2016), a trustee of The Munder Funds (2003-2014), president and CEO of the National Association of Manufacturers (2004-2011), member of the Board of Trustees of the Annie E. Casey Foundation (2004-2015), and as governor of Michigan (1991-2003). He is a past chairman of the National Governors Association.

Albert R. Gamper, Jr. (1942)

Year of Election or Appointment: 2006

Trustee

Mr. Gamper also serves as Trustee of other Fidelity® funds. 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 (2002-2003). Mr. Gamper currently serves as a member of the Board of Directors of Public Service Enterprise Group (utilities, 2000-present), and Member of the Board of Trustees of Barnabas Health Care System (1997-present). Previously, Mr. Gamper served as Chairman (2012-2015) and Vice Chairman (2011-2012) of the Independent Trustees of certain Fidelity® funds and as Chairman of the Board of Governors, Rutgers University (2004-2007).

Robert F. Gartland (1951)

Year of Election or Appointment: 2010

Trustee

Mr. Gartland also serves as Trustee of other Fidelity® funds. Mr. Gartland is Chairman and an investor in Gartland & Mellina Group Corp. (consulting, 2009-present). Previously, Mr. Gartland served as a partner and investor of Vietnam Partners LLC (investments and consulting, 2008-2011). Prior to his retirement, Mr. Gartland held a variety of positions at Morgan Stanley (financial services, 1979-2007) including Managing Director (1987-2007).

Arthur E. Johnson (1947)

Year of Election or Appointment: 2008

Trustee

Vice Chairman of the Independent Trustees

Mr. Johnson also serves as Trustee of other Fidelity® funds. Mr. Johnson serves as a member of the Board of Directors of Eaton Corporation plc (diversified power management, 2009-present), AGL Resources, Inc. (holding company, 2002-present) and Booz Allen Hamilton (management consulting, 2011-present). Prior to his retirement, Mr. Johnson served as Senior Vice President of Corporate Strategic Development of Lockheed Martin Corporation (defense contractor, 1999-2009). He previously served on the Board of Directors of IKON Office Solutions, Inc. (1999-2008) and Delta Airlines (2005-2007). Mr. Arthur E. Johnson is not related to Ms. Abigail P. Johnson.

Michael E. Kenneally (1954)

Year of Election or Appointment: 2009

Trustee

Mr. Kenneally also serves as Trustee of other Fidelity® funds. Prior to his retirement, Mr. Kenneally served as Chairman and Global Chief Executive Officer of Credit Suisse Asset Management. Before joining Credit Suisse, he was an Executive Vice President and Chief Investment Officer for Bank of America Corporation. Earlier roles at Bank of America included Director of Research, Senior Portfolio Manager and Research Analyst, and Mr. Kenneally was awarded the Chartered Financial Analyst (CFA) designation in 1991.

James H. Keyes (1940)

Year of Election or Appointment: 2007

Trustee

Mr. Keyes also serves as Trustee of other Fidelity® funds. Mr. Keyes serves as a member of the Board and Non-Executive Chairman of Navistar International Corporation (manufacture and sale of trucks, buses, and diesel engines, since 2002). Previously, Mr. Keyes served as a member of the Board of Pitney Bowes, Inc. (integrated mail, messaging, and document management solutions, 1998-2013). Prior to his retirement, Mr. Keyes served as Chairman (1993-2002) and Chief Executive Officer (1988-2002) of Johnson Controls (automotive, building, and energy) and as a member of the Board of LSI Logic Corporation (semiconductor technologies, 1984-2008).

Marie L. Knowles (1946)

Year of Election or Appointment: 2001

Trustee

Chairman of the Independent Trustees

Ms. Knowles also serves as Trustee of other Fidelity® funds. 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 (pipeline and tanker operations). Ms. Knowles currently serves as a Director and Chairman of the Audit Committee of McKesson Corporation (healthcare service, since 2002). Ms. Knowles is a member of the Board of the Santa Catalina Island Company (real estate, 2009-present). Ms. Knowles is a Member of the Investment Company Institute Board of Governors and a Member of the Governing Council of the Independent Directors Council (2014-present). She also serves as a member of the Advisory Board for the School of Engineering of the University of Southern California. Previously, Ms. Knowles served as a Director of Phelps Dodge Corporation (copper mining and manufacturing, 1994-2007), URS Corporation (engineering and construction, 2000-2003) and America West (airline, 1999-2002). Ms. Knowles previously served as Vice Chairman of the Independent Trustees of certain Fidelity® funds (2012-2015).

Mark A. Murray (1954)

Year of Election or Appointment: 2016

Trustee

Mr. Murray also serves as Trustee or Member of the Advisory Board of other Fidelity® funds. Mr. Murray is Vice Chairman (2013-present) of Meijer, Inc. (regional retail chain). Previously, Mr. Murray served as Co-Chief Executive Officer (2013-2016) and President (2006-2013) of Meijer, Inc. Mr. Murray serves as a member of the Board of Directors and Nuclear Review and Public Policy and Responsibility Committees of DTE Energy Company (diversified energy company, 2009-present). Mr. Murray also serves as a member of the Board of Directors of Spectrum Health (not-for-profit health system, 2015-present). Mr. Murray previously served as President of Grand Valley State University (2001-2006), Treasurer for the State of Michigan (1999-2001), Vice President of Finance and Administration for Michigan State University (1998-1999), and a member of the Board of Directors and Audit Committee and Chairman of the Nominating and Corporate Governance Committee of Universal Forest Products, Inc. (manufacturer and distributor of wood and wood-alternative products, 2004-2016). Mr. Murray is also a director or trustee of many community and professional organizations.

 + The information includes the Trustee's principal occupation during the last five years and other information relating to the experience, attributes, and skills relevant to the Trustee's qualifications to serve as a Trustee, which led to the conclusion that the Trustee should serve as a Trustee for the fund. 

Advisory Board Members and Officers:

Correspondence intended for an officer may be sent to Fidelity Investments, 245 Summer Street, Boston, Massachusetts 02210.  Officers appear below in alphabetical order. 

Name, Year of Birth; Principal Occupation

Marc R. Bryant (1966)

Year of Election or Appointment: 2015

Secretary and Chief Legal Officer (CLO)

Mr. Bryant also serves as Secretary and CLO of other funds. Mr. Bryant serves as CLO, Secretary, and Senior Vice President of Fidelity Management & Research Company (investment adviser firm, 2015-present) and FMR Co., Inc. (investment adviser firm, 2015-present); Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2015-present) and Fidelity Investments Money Management, Inc. (investment adviser firm, 2015-present); and CLO of Fidelity Management & Research (Hong Kong) Limited and FMR Investment Management (U.K.) Limited (investment adviser firms, 2015-present) and Fidelity Management & Research (Japan) Limited (investment adviser firm, 2016-present). He is Senior Vice President and Deputy General Counsel of FMR LLC (diversified financial services company). Previously, Mr. Bryant served as Secretary and CLO of Fidelity Rutland Square Trust II (2010-2014) and Assistant Secretary of Fidelity's Fixed Income and Asset Allocation Funds (2013-2015). Prior to joining Fidelity Investments, Mr. Bryant served as a Senior Vice President and the Head of Global Retail Legal for AllianceBernstein L.P. (2006-2010), and as the General Counsel for ProFund Advisors LLC (2001-2006).

Jeffrey S. Christian (1961)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Christian also serves as Assistant Treasurer of other funds. Mr. Christian is an employee of Fidelity Investments (2003-present).

Jonathan Davis (1968)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Davis also serves as Assistant Treasurer of other funds, and is an employee of Fidelity Investments. Previously, Mr. Davis served as Vice President and Associate General Counsel of FMR LLC (diversified financial services company, 2003-2010).

Adrien E. Deberghes (1967)

Year of Election or Appointment: 2010

Assistant Treasurer

Mr. Deberghes also serves as an officer of other funds. He serves as Executive Vice President of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2016-present) and is an employee of Fidelity Investments (2008-present). Prior to joining Fidelity Investments, Mr. Deberghes was Senior Vice President of Mutual Fund Administration at State Street Corporation (2007-2008), Senior Director of Mutual Fund Administration at Investors Bank & Trust (2005-2007), and Director of Finance for Dunkin' Brands (2000-2005). Previously, Mr. Deberghes served in other fund officer roles.

Stephanie J. Dorsey (1969)

Year of Election or Appointment: 2013

President and Treasurer

Ms. Dorsey also serves as an officer of other funds. She is an employee of Fidelity Investments (2008-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Dorsey served as Treasurer (2004-2008) of the JPMorgan Mutual Funds and Vice President (2004-2008) of JPMorgan Chase Bank.

Howard J. Galligan III (1966)

Year of Election or Appointment: 2014

Chief Financial Officer

Mr. Galligan also serves as Chief Financial Officer of other funds. Mr. Galligan serves as President of Fidelity Pricing and Cash Management Services (FPCMS) (2014-present) and as a Director of Strategic Advisers, Inc. (investment adviser firm, 2008-present). Previously, Mr. Galligan served as Chief Administrative Officer of Asset Management (2011-2014) and Chief Operating Officer and Senior Vice President of Investment Support for Strategic Advisers, Inc. (2003-2011).

Scott C. Goebel (1968)

Year of Election or Appointment: 2015

Vice President

Mr. Goebel serves as Vice President of other funds and is an employee of Fidelity Investments (2001-present). Previously, Mr. Goebel served as Senior Vice President of Fidelity Management & Research Company (FMR) (investment adviser firm, 2016), Secretary of Fidelity SelectCo, LLC (investment adviser firm, 2013-2015), Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm, 2010-2015), and Fidelity Research and Analysis Company (FRAC) (investment adviser firm, 2010-2015); General Counsel, Secretary, and Senior Vice President of FMR (investment adviser firm, 2008-2015) and FMR Co., Inc. (investment adviser firm, 2008-2015); Assistant Secretary of Fidelity Management & Research (Japan) Limited (investment adviser firm, 2008-2015) and Fidelity Management & Research (U.K.) Inc. (investment adviser firm, 2008-2015); Chief Legal Officer (CLO) of Fidelity Management & Research (Hong Kong) Limited (investment adviser firm, 2008-2015); Secretary and CLO of certain Fidelity® funds (2008-2015); Assistant Secretary of FIMM (2008-2010), FRAC (2008-2010), and certain funds (2007-2008); and as Vice President and Secretary of Fidelity Distributors Corporation (FDC) (2005-2007).

Colm A. Hogan (1973)

Year of Election or Appointment: 2016

Assistant Treasurer

Mr. Hogan also serves as an officer of other funds. Mr. Hogan is an employee of Fidelity Investments (2005-present). 

Chris Maher (1972)

Year of Election or Appointment: 2013

Assistant Treasurer

Mr. Maher serves as Assistant Treasurer of other funds. Mr. Maher is Vice President of Valuation Oversight and is an employee of Fidelity Investments. Previously, Mr. Maher served as Vice President of Asset Management Compliance (2013), Vice President of the Program Management Group of FMR (investment adviser firm, 2010-2013), and Vice President of Valuation Oversight (2008-2010).

John B. McGinty, Jr. (1962)

Year of Election or Appointment: 2016

Chief Compliance Officer

Mr. McGinty also serves as Chief Compliance Officer of other funds. Mr. McGinty is Senior Vice President of Asset Management Compliance for Fidelity Investments and is an employee of Fidelity Investments (2016-present). Mr. McGinty previously served as Vice President, Senior Attorney at Eaton Vance Management (investment management firm, 2015-2016), and prior to Eaton Vance as global CCO for all firm operations and registered investment companies at GMO LLC (investment management firm, 2009-2015). Before joining GMO LLC, Mr. McGinty served as Senior Vice President, Deputy General Counsel for Fidelity Investments (2007-2009).

John F. Papandrea (1972)

Year of Election or Appointment: 2016

Anti-Money Laundering (AML) Officer

Mr. Papandrea also serves as AML Officer of other funds. Mr. Papandrea is Vice President of FMR LLC (diversified financial services company, 2008-present) and is an employee of Fidelity Investments (2005-present).

Jason P. Pogorelec (1975)

Year of Election or Appointment: 2015

Assistant Secretary

Mr. Pogorelec also serves as Assistant Secretary of other funds. Mr. Pogorelec serves as Vice President, Associate General Counsel (2010-present) and is an employee of Fidelity Investments (2006-present).

Nancy D. Prior (1967)

Year of Election or Appointment: 2014

Vice President

Ms. Prior also serves as Vice President of other funds. Ms. Prior serves as a Director of FMR Investment Management (U.K.) Limited (investment adviser firm, 2015-present), President (2016-present) and Director (2014-present) of Fidelity Investments Money Management, Inc. (FIMM) (investment adviser firm), President, Fixed Income (2014-present), Vice Chairman of FIAM LLC (investment adviser firm, 2014-present), and is an employee of Fidelity Investments (2002-present). Previously, Ms. Prior served as Vice President of Fidelity's Money Market Funds (2012-2014), President, Money Market and Short Duration Bond Group of Fidelity Management & Research (FMR) (investment adviser firm, 2013-2014), President, Money Market Group of FMR (2011-2013), Managing Director of Research (2009-2011), Senior Vice President and Deputy General Counsel (2007-2009), and Assistant Secretary of certain Fidelity® funds (2008-2009).

Stacie M. Smith (1974)

Year of Election or Appointment: 2013

Assistant Treasurer

Ms. Smith also serves as an officer of other funds. She is an employee of Fidelity Investments (2009-present) and has served in other fund officer roles. Prior to joining Fidelity Investments, Ms. Smith served as Senior Audit Manager of Ernst & Young LLP (1996-2009). Previously, Ms. Smith served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Renee Stagnone (1975)

Year of Election or Appointment: 2016

Assistant Treasurer

Ms. Stagnone also serves as an officer of other funds. Ms. Stagnone is an employee of Fidelity Investments (1997-present). Previously, Ms. Stagnone served as Deputy Treasurer of certain Fidelity® funds (2013-2016).

Derek L. Young (1964)

Year of Election or Appointment: 2009

Vice President of Fidelity's Asset Allocation Funds

Mr. Young also serves as an officer of other funds. He is a Director of Strategic Advisers, Inc. (investment adviser firm, 2011-present) and FMR Investment Management (U.K.) Limited (investment adviser firm, 2016-present), President of Fidelity Global Asset Allocation (GAA) (2011-present), and Vice Chairman of FIAM LLC (investment adviser firm, 2011-present). Previously, Mr. Young served as Trustee of certain funds (2012-2015), President of Strategic Advisers, Inc. (2011-2015), Chief Investment Officer of GAA (2009-2011), and as a portfolio manager.

Shareholder Expense Example

The Fund invests in Fidelity Central Funds, which are open-end investment companies with similar investment objectives to those of the Fund, available only to other mutual funds and accounts managed by Fidelity Management & Research Company FMR) and its affiliates. In addition to the direct expenses incurred by the Fund presented in the table, as a shareholder of the underlying Fidelity Central Funds, the Fund also indirectly bear their proportionate share of the expenses of the underlying Fidelity Central Funds. These expenses are not included in the Fund's annualized expense ratio used to calculate either the actual or hypothetical expense estimates presented in the table.

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 (April 1, 2016 to September 30, 2016).

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.

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.

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.

 Annualized Expense Ratio-A Beginning
Account Value
April 1, 2016 
Ending
Account Value
September 30, 2016 
Expenses Paid
During Period-B
April 1, 2016
to September 30, 2016 
Actual 1.00% $1,000.00 $1,082.70 $5.21 
Hypothetical-C  $1,000.00 $1,020.00 $5.05 

 A Annualized expense ratio reflects expenses net of applicable fee waivers.

 B Expenses are equal to the Fund's annualized expense ratio, multiplied by the average account value over the period, multiplied by 183/366 (to reflect the one-half year period). The fees and expenses of the underlying Fidelity Central Funds in which the Fund invests are not included in the Fund's annualized expense ratio. In addition to the expenses noted above, the Fund also indirectly bears its proportional share of the expenses of the underlying Fidelity Central Funds. Annualized expenses of the underlying Fidelity Central Funds as of their most recent fiscal half year ranged from .005% to .01%.

 C 5% return per year before expenses


Distributions (Unaudited)

The fund hereby designates as a capital gain dividend with respect to the taxable year ended September 30, 2016, $4,862, or, if subsequently determined to be different, the net capital gain of such year.

The fund designates 100% of the dividends 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 2017 of amounts for use in preparing 2016 income tax returns.

Board Approval of Investment Advisory Contracts and Management Fees

Fidelity Series Broad Market Opportunities Fund

Each year, the Board of Trustees, including the Independent Trustees (together, the Board), votes on the renewal of the management contract with Fidelity Management & Research Company (FMR) and the 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 relevant to the renewal of the Advisory Contracts throughout the year.

The Board meets regularly and, at each of its meetings, covers an extensive agenda of topics and materials and considers factors that are relevant to its annual consideration of the renewal of the fund's Advisory Contracts, including the services and support provided to the fund and its shareholders. The Board has established four standing committees (Committees) — Operations, Audit, Fair Valuation, and Governance and Nominating — each composed of and chaired by 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. The Operations Committee, of which all of the Independent Trustees are members, meets regularly throughout the year and considers, among other matters, information specifically related to the annual consideration of the renewal of the fund's Advisory Contracts. The Board, acting directly and through its Committees, requests and receives information concerning the annual consideration of the renewal of the fund's Advisory Contracts. The Board also meets as needed to consider matters specifically related to the Board's annual consideration of the renewal of the Advisory Contracts. Members of the Board may also meet with trustees of other Fidelity funds through ad hoc joint committees to discuss certain matters relevant to all of the Fidelity funds.

At its September 2016 meeting, the Board unanimously determined to renew the fund's Advisory Contracts. 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 fund's management fee and total expense ratio relative to peer funds; (iii) the total costs of the services to be provided by and the profits to be realized by Fidelity from its relationships with the fund; and (iv) the extent to which, if any, economies of scale exist and would be realized as the fund grows, and whether any economies of scale are appropriately shared with fund shareholders.

In considering whether to renew the Advisory Contracts for the fund, the Board reached a determination, with the assistance of fund counsel and Independent Trustees' counsel and through the exercise of its business judgment, that the renewal of the Advisory Contracts was in the best interests of the fund and its shareholders and that the compensation payable under the Advisory Contracts was fair and reasonable. The Board's decision to renew the Advisory Contracts was not based on any single factor, but rather was based on a comprehensive consideration of all the information provided to the Board at its meetings throughout the year. The Board, in reaching its determination to renew the Advisory Contracts, was aware that shareholders of the fund have a broad range of investment choices available to them, including a wide choice among funds offered by Fidelity's competitors, and that the fund's shareholders, who have 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, which is part of the Fidelity family of funds.

Nature, Extent, and Quality of Services Provided.  The Board considered Fidelity's staffing as it relates to the fund, including the backgrounds of investment personnel of Fidelity, and also considered the fund's investment objective, strategies, and related investment philosophy. The Independent Trustees also had discussions with senior management of Fidelity's investment operations and investment groups. The Board considered the structure of the investment personnel compensation program and whether this structure provides appropriate incentives to act in the best interests of the fund. Additionally, the Board considered the portfolio managers' investments, if any, in the funds that they manage.

Resources Dedicated to Investment Management and Support Services.  The Board reviewed the general qualifications and capabilities of Fidelity's investment staff, including its size, education, experience, and resources, as well as Fidelity's approach to recruiting, managing, and compensating investment personnel. The Board noted that Fidelity has continued to increase the resources devoted to non-U.S. offices, including expansion of Fidelity's global investment organization. The Board also noted that Fidelity's analysts have extensive resources, tools and capabilities that allow them to conduct sophisticated quantitative and fundamental analysis, as well as credit analysis of issuers, counterparties and guarantors. Further, the Board considered that Fidelity's investment professionals have sufficient access to global information and data so as to provide competitive investment results over time, and that those professionals also have access to sophisticated tools that permit them to assess portfolio construction and risk and performance attribution characteristics continuously, as well as to transmit new information and research conclusions rapidly around the world. Additionally, in its deliberations, the Board considered Fidelity's trading, risk management, compliance, and technology and operations capabilities and resources, which are integral parts of the investment management process.

Shareholder and Administrative Services.  The Board considered (i) the nature, extent, quality, and cost of advisory, administrative, and shareholder services performed by FMR, the sub-advisers (together with FMR, 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 supervision of third party service providers, principally custodians, subcustodians, and pricing vendors; and (iii) the resources devoted to, and the record of compliance with, the fund's compliance policies and procedures. The Board also 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 noted that the growth of fund assets over time 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 telephone representatives and over the Internet, investor education materials and asset allocation tools, and the expanded availability of Fidelity Investor Centers.

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 a large variety of mutual fund investor services. The Board noted that Fidelity had taken, or had made recommendations that resulted in the Fidelity funds taking, a number of actions over the previous year that benefited particular funds, including: (i) continuing to dedicate additional resources to investment research and to the support of the senior management team that oversees asset management; (ii) continuing efforts to enhance Fidelity's global research capabilities; (iii) launching new funds and making other enhancements to meet client needs; (iv) broadening eligibility requirements for certain lower-priced share classes of, and streamlining the fee structure for, certain existing equity index funds; (v) lowering expense caps for certain existing funds and classes to reduce expenses paid by shareholders; (vi) eliminating redemption fees for certain variable insurance product funds and classes; (vii) continuing to launch dedicated lower cost underlying funds to meet portfolio construction needs related to expanding underlying fund options for Fidelity funds of funds, specifically for the Freedom Fund product lines; (viii) launching a lower cost share class for use by the Freedom Index Fund product line; (ix) rationalizing product lines and gaining increased efficiencies through fund mergers and share class consolidations; (x) continuing to develop, acquire and implement systems and technology to improve services to the funds and shareholders, strengthen information security, and increase efficiency; (xi) implementing investment enhancements to further strengthen Fidelity's target date product line to increase investors' probability of success in achieving their goals; (xii) accelerating the conversion of all remaining Class B shares to Class A shares, which have a lower expense structure; and (xiii) implementing changes to Fidelity's money market fund product line in response to recent regulatory reforms.

Investment Performance.  The Board considered whether the fund has operated in accordance with its investment objective, as well as its record of compliance with its investment restrictions and its performance history.

The Board took into account discussions with representatives of the Investment Advisers about fund investment performance that occur at Board meetings throughout the year. In this regard the Board noted that as part of regularly scheduled fund reviews and other reports to the Board on fund performance, the Board considers annualized return information for the fund for different time periods, measured against one or more securities market indices, including a customized blended index representative of the fund's asset classes (each a "benchmark index") and a peer group of funds with similar objectives ("peer group"), if any. In its evaluation of fund investment performance at meetings throughout the year, the Board gave particular attention to information indicating underperformance of certain Fidelity funds for specific time periods and discussed with the Investment Advisers the reasons for such underperformance. The fund underperformed its benchmark for the one- and three-year periods ended January 31, 2016, and as a result, the Board will continue to discuss with FMR the steps it is taking to address the fund's performance.

In addition to reviewing absolute and relative fund performance, the Independent Trustees periodically consider the appropriateness of fund performance metrics in evaluating the results achieved. In general, the Independent Trustees believe that fund performance should be evaluated based on gross performance (before fees and expenses but after transaction costs) compared to appropriate benchmark indices, over appropriate time periods that may include full market cycles, and on net performance (after fees and expenses) compared to peer groups, as applicable, over the same periods, taking into account relevant factors including the following: general market conditions; expectations for interest rate levels and credit conditions; issuer-specific information including credit quality; and fund cash flows and other factors. Depending on the circumstances, the Independent Trustees may be satisfied with a fund's performance notwithstanding that it lags its benchmark index or peer group for certain periods.

The Independent Trustees recognize that shareholders evaluate performance on a net basis over their own holding periods, for which one-, three-, and five-year periods are often used as a proxy. For this reason, the performance information reviewed by the Board also included net cumulative calendar year total return information for the fund and an appropriate benchmark index and peer group for the most recent one-, three-, and five-year periods.

Based on its review, the Board concluded that the nature, extent, and quality of services provided to the fund under the Advisory Contracts should continue to benefit the shareholders of the fund.

Competitiveness of Management Fee and Total Expense Ratio.  The Board considered the fund's management fee and total expense ratio compared to "mapped groups" of competitive funds and classes created for the purpose of facilitating the Trustees' competitive analysis of management fees and total expenses. Fidelity creates "mapped groups" by combining similar Lipper investment objective categories that have comparable investment mandates. Combining Lipper investment objective categories aids the Board's management fee and total expense ratio comparisons by broadening the competitive group used for comparison.

Management Fee.  The Board considered two proprietary management fee comparisons for the 12-month periods shown in basis points (BP) 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 in terms of gross management fees before expense reimbursements or caps relative to the total universe of funds with comparable investment mandates, regardless of whether their management fee structures also are comparable. Funds with comparable investment mandates offer exposure to similar types of securities. Funds with comparable management fee structures have similar management fee contractual arrangements (e.g., flat rate charged for advisory services, all-inclusive fee rate, etc.). "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 hypothetical TMG % of 20% would mean that 80% of the funds in the Total Mapped Group had higher, and 20% had lower, management fees than the fund. The fund's actual TMG %s and the number of funds in the Total Mapped Group are in the chart below. The "Asset-Size Peer Group" (ASPG) comparison focuses on a fund's standing relative to a subset of non-Fidelity funds within the Total Mapped Group that are similar in size and management fee structure. For example, if a fund is in the first quartile of the ASPG, the fund's management fee ranks in the least expensive or lowest 25% of funds in the ASPG. The ASPG represents at least 15% of the funds in the Total Mapped Group with comparable asset size and management fee structures, 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 rate ranked, is also included in the chart and considered by the Board.

Fidelity Series Broad Market Opportunities Fund


The Board noted that the fund's management fee rate ranked below the median of its Total Mapped Group and below the median of its ASPG for 2015.

The Board noted that, in 2014, the ad hoc Committee on Group Fee was formed by it and the boards of other Fidelity funds to conduct an in-depth review of the "group fee" component of the management fee of funds with such management fee structures. The Committee's focus included the mechanics of the group fee, the competitive landscape of group fee structures, Fidelity funds with no group fee component and investment products not included in group fee assets. The Board also considered that, for funds subject to the group fee, FMR agreed to voluntarily waive fees over a specified period of time in amounts designed to account for assets converted from certain funds to certain collective investment trusts.

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

Total Expense Ratio.  In its review of the fund's total expense ratio, the Board considered the fund's management fee rate 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 that Fidelity may agree to waive fees and expenses from time to time, and the extent to which, if any, it has done so for the fund. As part of its review, the Board also considered the current and historical total expense ratios 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 expense ratio ranked above the competitive median for 2015. The Board considered that, in general, various factors can affect total expense ratios. The Board noted that the total expense ratio was above the competitive median primarily because of its relatively higher other expenses due to its small fund size. The Board also noted that, when compared to the no-load universe, where pricing reflects the retail nature of the funds-of-funds that invest in the fund, the fund's total expense ratio ranks below the competitive median.

Fees Charged to Other Fidelity Clients.  The Board also considered Fidelity fee structures and other information with respect to clients of Fidelity, such as other funds advised or subadvised by Fidelity, pension plan clients, and other institutional clients with similar mandates. The Board noted that an ad hoc joint committee created by it and the boards of other Fidelity funds periodically (most recently in 2013) reviews and compares Fidelity's institutional investment advisory business with its business of providing services to the Fidelity funds, including the differences in services provided, fees charged, and costs incurred, as well as competition in their respective marketplaces.

Based on its review of total expense ratios and fees charged to other Fidelity clients, the Board concluded that, although above the median of the universe presented for comparison, the fund's total expense ratio was 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 servicing the fund's shareholders. The Board also considered the level of Fidelity's profits in respect of all the Fidelity funds.

On an annual basis, Fidelity presents to the Board information about the profitability of its relationships with the fund. Fidelity calculates profitability information for each fund, as well as aggregate profitability information for groups of Fidelity funds and all Fidelity funds, using a series of detailed revenue and cost allocation methodologies which originate with the books and records of Fidelity on which Fidelity's audited financial statements are based. 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 Fidelity's profitability analysis. PwC's engagement includes the review and assessment of the methodologies used by Fidelity in determining the revenues and expenses attributable to Fidelity's mutual fund business, and completion of agreed-upon procedures in respect of the mathematical accuracy of the fund profitability information and its conformity to established allocation methodologies. After considering PwC's reports issued under the engagement and information provided by Fidelity, the Board concluded that while other allocation methods may also be reasonable, Fidelity's profitability methodologies are reasonable in all material respects.

The Board also reviewed Fidelity's non-fund businesses and 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 was satisfied that the profitability was not excessive.

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 as assets grow through increased services to the fund, through waivers or reimbursements, or through fee or expense ratio reductions. The Board also noted that a committee (the Economies of Scale Committee) created by it and the boards of other Fidelity funds periodically (most recently in 2013) analyzes whether Fidelity attains economies of scale in respect of the management and servicing of the Fidelity funds, whether the Fidelity funds have appropriately benefited from such economies of scale, and whether there is potential for realization of any further economies of scale.

The Board recognized that the fund's management contract incorporates a "group fee" structure, which provides for lower group fee rates as total group assets increase, and for higher group fee rates as total group assets decrease (with "group assets" defined to include fund assets under FMR's management plus the assets of sector funds previously under FMR's management). FMR calculates the group fee rates based on a tiered asset "breakpoint" schedule that varies based on asset class. The Board considered that the group fee is designed to deliver the benefits of economies of scale to fund shareholders when total Fidelity 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 offered only to other Fidelity funds, it continues to incur investment management expenses. 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 benefit from lower management fees as group assets increase at the fund complex level, regardless of whether Fidelity achieves any such economies of scale.

The Board concluded, taking into account the analysis of the Economies of Scale Committee, that economies of scale, if any, are being appropriately shared between fund shareholders and Fidelity.

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 certain topics, including: (i) Fidelity's fund profitability methodology, profitability trends for certain funds, and the impact of certain factors on fund profitability results; (ii) portfolio manager changes that have occurred during the past year and the amount of the investment that each portfolio manager has made in the Fidelity fund(s) that he or she manages; (iii) Fidelity's compensation structure for portfolio managers, research analysts, and other key personnel, including its effects on fund profitability, the rationale for the compensation structure, and the extent to which current market conditions have affected retention and recruitment; (iv) the arrangements with and compensation paid to certain fund sub-advisers on behalf of the Fidelity funds; (v) Fidelity's voluntary waiver of its fees to maintain minimum yields for certain money market funds and classes as well as contractual waivers in place for certain funds; (vi) the methodology with respect to competitive fund data and peer group classifications; (vii) Fidelity's transfer agent fee, expense, and service structures for different funds and classes relative to competitive trends, and the impact of the increased use of omnibus accounts; (viii) Fidelity's long-term expectations for its offerings in the workplace investing channel; (ix) new developments in the retail and institutional marketplaces; (x) the approach to considering "fall-out" benefits; and (xi) the impact of money market reform on Fidelity's money market funds, including with respect to costs and profitability. In addition, the Board considered its discussions with Fidelity throughout the year regarding enhanced information security initiatives and the funds' fair valuation policies.

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

Proxy Voting Results

A special meeting of shareholders was held on November 18, 2015. 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 elect a Board of Trustees. 
 # of
Votes 
% of
Votes 
Elizabeth S. Acton   
Affirmative 14,943,915,330.95 96.336 
Withheld 568,375,299.84 3.664 
TOTAL 15,512,290,630.79 100.000 
John Engler   
Affirmative 14,882,992,640.02 95.944 
Withheld 629,297,990.77 4.056 
TOTAL 15,512,290,630.79 100.000 
Albert R. Gamper, Jr.   
Affirmative 14,876,209,021.25 95.900 
Withheld 636,081,609.54 4.100 
TOTAL 15,512,290,630.79 100.000 
Robert F. Gartland   
Affirmative 14,911,998,079.07 96.131 
Withheld 600,292,551.72 3.869 
TOTAL 15,512,290,630.79 100.000 
Abigail P. Johnson   
Affirmative 14,938,566,748.36 96.302 
Withheld 573,723,882.43 3.698 
TOTAL 15,512,290,630.79 100.000 
Arthur E. Johnson   
Affirmative 14,924,734,316.31 96.213 
Withheld 587,556,314.48 3.787 
TOTAL 15,512,290,630.79 100.000 
Michael E. Kenneally   
Affirmative 14,957,076,322.58 96.421 
Withheld 555,214,308.21 3.579 
TOTAL 15,512,290,630.79 100.000 
James H. Keyes   
Affirmative 14,883,069,701.12 95.944 
Withheld 629,220,929.67 4.056 
TOTAL 15,512,290,630.79 100.000 
Marie L. Knowles   
Affirmative 14,926,474,549.99 96.224 
Withheld 585,816,080.80 3.776 
TOTAL 15,512,290,630.79 100.000 
Geoffrey A. von Kuhn   
Affirmative 14,911,889,870.77 96.130 
Withheld 600,400,760.02 3.870 
TOTAL 15,512,290,630.79 100.000 
Proposal 1 reflects trust wide proposal and voting results. 





Fidelity Investments

Corporate Headquarters

245 Summer St.

Boston, MA 02210

www.fidelity.com

BMO-ANN-1116
1.848237.109



Item 2.

Code of Ethics


As of the end of the period, September 30, 2016, Fidelity Charles Street Trust (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 Elizabeth S. Acton is an audit committee financial expert, as defined in Item 3 of Form N-CSR.   Ms. Acton is independent for purposes of Item 3 of Form N-CSR.  


Item 4.  

Principal Accountant Fees and Services


Fees and Services


The following table presents fees billed by Deloitte & Touche LLP, the member firms of Deloitte Touche Tohmatsu, and their respective affiliates (collectively, “Deloitte Entities”) in each of the last two fiscal years for services rendered to Fidelity Asset Manager 20%, Fidelity Asset Manager 30%, Fidelity Asset Manager 40%, Fidelity Asset Manager 50%, Fidelity Asset Manager 60%, Fidelity Asset Manager 70%, and Fidelity Asset Manager 85% for services rendered to (the “Funds”):


Services Billed by Deloitte Entities


September 30, 2016 FeesA

 

Audit Fees

Audit-Related Fees

Tax Fees

All Other Fees

Fidelity Asset Manager 20%

 $24,000  

$-

 $5,400

$1,000

Fidelity Asset Manager 30%

 $24,000  

$-


$5,400

$800

Fidelity Asset Manager 40%

 $24,000  

$-

 $5,400

$800

Fidelity Asset Manager 50%

 $24,000  

$-

 $5,500

$1,100

Fidelity Asset Manager 60%

 $24,000  

$-

 $5,400

$800

Fidelity Asset Manager 70%

 $24,000  

$-

 $5,500

$900

Fidelity Asset Manager 85%

 $24,000  

$-

 $5,400

$800






September 30, 2015 FeesA

 

Audit Fees

Audit-Related Fees

Tax Fees

All Other Fees

Fidelity Asset Manager 20%

 $23,000  

$-

 $5,100

$1,100

Fidelity Asset Manager 30%

 $23,000  

$-


$5,100

$700

Fidelity Asset Manager 40%

 $23,000  

$-

 $5,100

$700

Fidelity Asset Manager 50%

 $23,000  

$-

 $5,100

$1,400

Fidelity Asset Manager 60%

 $23,000  

$-

 $5,100

$800

Fidelity Asset Manager 70%

 $23,000  

$-

 $5,100

$1,000

Fidelity Asset Manager 85%

 $23,000  

$-

 $5,100

$800



A Amounts may reflect rounding.



The following table presents fees billed by PricewaterhouseCoopers LLP (“PwC”) in each of the last two fiscal years for services rendered to Fidelity Series Broad Market Opportunities Fund (the “Fund”):


Services Billed by PwC


September 30, 2016 FeesA

 

Audit Fees

Audit-Related Fees

Tax Fees

All Other Fees

Fidelity Series Broad Market Opportunities Fund

 $27,000

$-

$5,000

 $1,300



September 30, 2015 FeesA

 

Audit Fees

Audit-Related Fees

Tax Fees

All Other Fees

Fidelity Series Broad Market Opportunities Fund

 $26,000

$-

$4,600

 $1,100



A Amounts may reflect rounding.





The following table presents fees billed by PwC and Deloitte Entities that were required to be approved by the Audit Committee for services that relate directly to the operations and financial reporting of the Funds and that are 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”):




Services Billed by Deloitte Entities



 

September 30, 2016A

September 30, 2015A

Audit-Related Fees

$35,000

$-

Tax Fees

$-

$10,000

All Other Fees

$-

$175,000


A Amounts may reflect rounding.


Services Billed by PwC



 

September 30, 2016A

September 30, 2015A

Audit-Related Fees

$5,885,000

$4,485,000

Tax Fees

$10,000

$-

All Other Fees

$-

$-


A Amounts may reflect rounding.



“Audit-Related Fees” represent fees billed for assurance and related services that are reasonably related to the performance of the fund audit or the review of the fund's financial statements and that are not reported under Audit Fees.


“Tax Fees” represent fees billed for tax compliance, tax advice or tax planning that relate directly to the operations and financial reporting of the fund.


“All Other Fees” represent fees billed for services provided to the fund or Fund Service Provider, a significant portion of which are assurance related, that relate directly to the operations and financial reporting of the fund, excluding those services that are reported under Audit Fees, Audit-Related Fees or Tax Fees.  


Assurance services must be performed by an independent public accountant.




* * *


The aggregate non-audit fees billed by PwC and Deloitte Entities for services rendered to 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 any Fund Service Provider for each of the last two fiscal years of the Funds are as follows:


Billed By

September 30, 2016 A

September 30, 2015 A

PwC

$6,555,000

$5,815,000

Deloitte Entities

$110,000

$345,000



A Amounts may reflect rounding.


The trust's Audit Committee has considered non-audit services that were not pre-approved that were provided by PwC and Deloitte Entities to Fund Service Providers to be compatible with maintaining the independence of PwC and Deloitte Entities in their  audits of the Funds, taking into account representations from PwC and Deloitte Entities, in accordance with Public Company Accounting Oversight Board rules, regarding their independence from the Funds and their related entities and FMR’s review of the appropriateness and permissibility under applicable law of such non-audit services prior to their provision to the Fund Service Providers.


Audit Committee Pre-Approval Policies and Procedures

 

The trust’s Audit Committee must pre-approve all audit and non-audit services provided by a fund’s independent registered public accounting firm relating to the operations or financial reporting of the fund. 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 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.


All Covered Services 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.


Non-audit services provided by a fund audit firm to a Fund Service Provider that do not relate directly to the operations and financial reporting of a Fidelity fund are reported to the Audit Committee on a periodic basis.


Non-Audit Services Approved Pursuant to Rule 2-01(c)(7)(i)(C) and (ii) of Regulation S-X (“De Minimis Exception”)


There were no non-audit services approved or required to be approved by the Audit Committee pursuant to the De Minimis Exception during the Funds’ last two fiscal years relating to services provided to (i) the Funds or (ii) any Fund Service Provider that relate directly to the operations and financial reporting of the Funds.


Item 5.

Audit Committee of Listed Registrants


Not applicable.


Item 6.  

Investments


(a)

Not applicable.


(b)

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 Charles Street Trust


By:

/s/Stephanie J. Dorsey

 

Stephanie J. Dorsey

 

President and Treasurer

 

 

Date:

November 25, 2016



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/Stephanie J. Dorsey

 

Stephanie J. Dorsey

 

President and Treasurer

 

 

Date:

November 25, 2016



By:

/s/Howard J. Galligan III

 

Howard J. Galligan III

 

Chief Financial Officer

 

 

Date:

November 25, 2016

 





EX-99.CODE ETH 2 code.htm CODE.HTM Converted by EDGARwiz

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 (Code) adopted by the Fidelity Funds (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 (Covered Officers).  Fidelity’s Ethics Office, a part of Corporate Compliance Group within Core Compliance, 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 Personal Trading 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 Chief 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 Personal Trading Committee, the Board, appropriate personnel at the relevant Fidelity company or companies and the legal counsel of any or all of the foregoing.





EX-99.CERT 3 ex99.htm EX99.HTM Converted by EDGARwiz

                                                      Exhibit EX-99.CERT

     

I, Stephanie J. Dorsey, certify that:


1.

I have reviewed this report on Form N-CSR of Fidelity Charles Street Trust;

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 registrants 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 registrants 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:

 November 25, 2016

/s/Stephanie J. Dorsey

Stephanie J. Dorsey

President and Treasurer





I, Howard J. Galligan III, certify that:

1.

I have reviewed this report on Form N-CSR of Fidelity Charles Street Trust;

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 registrants 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 registrants 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:

November 25, 2016

/s/Howard J. Galligan III

Howard J. Galligan III

Chief Financial Officer







EX-99.906 CERT 4 ex906.htm EX906.HTM Converted by EDGARwiz

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 Charles Street Trust  (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 officers 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:

November 25, 2016



/s/Stephanie J. Dorsey

Stephanie J. Dorsey

President and Treasurer



 

Dated:

November 25, 2016



/s/Howard J. Galligan III

Howard J. Galligan III

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.



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