-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, TYnXR2r4BT5vNS3YLDx8+j/+upx6YI7uRsxxK19o9D4W0inBprOEavMLSycGqN4O lDlvf4tBQo7HJdVZvUG7vw== 0000880195-10-000212.txt : 20101229 0000880195-10-000212.hdr.sgml : 20101229 20101229172704 ACCESSION NUMBER: 0000880195-10-000212 CONFORMED SUBMISSION TYPE: NSAR-B PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20101031 FILED AS OF DATE: 20101229 DATE AS OF CHANGE: 20101229 EFFECTIVENESS DATE: 20101229 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY INVESTMENT TRUST CENTRAL INDEX KEY: 0000744822 IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NSAR-B SEC ACT: 1940 Act SEC FILE NUMBER: 811-04008 FILM NUMBER: 101279061 BUSINESS ADDRESS: STREET 1: 82 DEVONSHIRE ST CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 6174391269 MAIL ADDRESS: STREET 1: 82 DEVONSHIRE STREET STREET 2: MAILZONE ZH-1 CITY: BOSTON STATE: MA ZIP: 02109 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY OVERSEAS FUND DATE OF NAME CHANGE: 19861228 0000744822 S000007093 Fidelity International Discovery Fund C000019407 Fidelity International Discovery Fund FIGRX C000019408 Fidelity Advisor International Discovery Fund: Class A FAIDX C000019409 Fidelity Advisor International Discovery Fund: Class B FADDX C000019410 Fidelity Advisor International Discovery Fund: Class C FCADX C000019411 Fidelity Advisor International Discovery Fund: Class T FTADX C000019412 Fidelity Advisor International Discovery Fund: Institutional Class FIADX C000064259 Class K FIDKX 0000744822 S000007094 Fidelity Europe Fund C000019413 Fidelity Europe Fund FIEUX C000076779 Class F FEUFX 0000744822 S000007096 Fidelity Japan Fund C000019415 Fidelity Japan Fund FJPNX C000076780 Class F FJPFX C000093326 Fidelity Advisor Japan Fund: Class A C000093327 Fidelity Advisor Japan Fund: Class B C000093328 Fidelity Advisor Japan Fund: Class C C000093329 Fidelity Advisor Japan Fund: Class T C000093330 Fidelity Advisor Japan Fund: Institutional Class 0000744822 S000007097 Fidelity Japan Smaller Companies Fund C000019416 Fidelity Japan Smaller Companies Fund FJSCX 0000744822 S000007098 Fidelity Latin America Fund C000019417 Fidelity Latin America Fund FLATX C000092709 Fidelity Advisor Latin America Fund: Class A FLFAX C000092710 Fidelity Advisor Latin America Fund: Class B FLFBX C000092711 Fidelity Advisor Latin America Fund: Class C FLFCX C000092712 Fidelity Advisor Latin America Fund: Class T FLFTX C000092713 Fidelity Advisor Latin America Fund: Institutional Class FLFIX 0000744822 S000007099 Fidelity Nordic Fund C000019418 Fidelity Nordic Fund FNORX 0000744822 S000007100 Fidelity Overseas Fund C000019419 Fidelity Overseas Fund FOSFX C000064260 Class K FOSKX C000076781 Class F FFOSX 0000744822 S000007101 Fidelity Pacific Basin Fund C000019420 Fidelity Pacific Basin Fund FPBFX 0000744822 S000007102 Fidelity Emerging Asia Fund C000019421 Fidelity Emerging Asia Fund FSEAX C000076782 Class F FSEFX 0000744822 S000007103 Fidelity Worldwide Fund C000019422 Fidelity Worldwide Fund FWWFX C000074282 Fidelity Advisor Worldwide Fund: Class A FWAFX C000074283 Fidelity Advisor Worldwide Fund: Class B FWBFX C000074284 Fidelity Advisor Worldwide Fund: Class C FWCFX C000074285 Fidelity Advisor Worldwide Fund: Class T FWTFX C000074286 Fidelity Advisor Worldwide Fund: Institutional Class FWIFX 0000744822 S000007104 Fidelity International Small Cap Fund C000019423 Fidelity International Small Cap Fund FISMX C000019424 Fidelity Advisor International Small Cap Fund: Class A FIASX C000019425 Fidelity Advisor International Small Cap Fund: Class B FIBSX C000019426 Fidelity Advisor International Small Cap Fund: Class C FICSX C000019427 Fidelity Advisor International Small Cap Fund: Class T FTISX C000019428 Fidelity Advisor International Small Cap Fund: Institutional Class FIXIX 0000744822 S000007105 Fidelity International Small Cap Opportunities Fund C000019429 Fidelity International Small Cap Opportunities Fund FSCOX C000019430 Fidelity Advisor International Small Cap Opportunities Fund: Class A FOPAX C000019431 Fidelity Advisor International Small Cap Opportunities Fund: Class B FOPBX C000019432 Fidelity Advisor International Small Cap Opportunities Fund: Class C FOPCX C000019433 Fidelity Advisor International Small Cap Opportunities Fund: Class T FOPTX C000019434 Fidelity Advisor International Small Cap Opportunities Fund: Institutional Class FOPIX 0000744822 S000007106 Fidelity International Capital Appreciation Fund C000019435 Fidelity International Capital Appreciation Fund FIVFX 0000744822 S000007107 Fidelity Canada Fund C000019436 Fidelity Canada Fund FICDX C000047986 Fidelity Advisor Canada Fund: Class A FACNX C000047987 Fidelity Advisor Canada Fund: Class B FBCNX C000047988 Fidelity Advisor Canada Fund: Class C FCCNX C000047989 Fidelity Advisor Canada Fund: Class T FTCNX C000047990 Fidelity Advisor Canada Fund: Institutional Class FICCX 0000744822 S000007108 Fidelity China Region Fund C000019437 Fidelity China Region Fund FHKCX C000064261 Fidelity Advisor China Region Fund: Class A FHKAX C000064262 Fidelity Advisor China Region Fund: Class B FHKBX C000064263 Fidelity Advisor China Region Fund: Class C FCHKX C000064264 Fidelity Advisor China Region Fund: Class T FHKTX C000064265 Fidelity Advisor China Region Fund: Institutional Class FHKIX 0000744822 S000007109 Fidelity Diversified International Fund C000019438 Fidelity Diversified International Fund FDIVX C000064266 Class K FDIKX C000076783 Class F FDVFX 0000744822 S000007110 Fidelity Emerging Markets Fund C000019439 Fidelity Emerging Markets Fund FEMKX C000064267 Class K FKEMX 0000744822 S000007111 Fidelity Europe Capital Appreciation Fund C000019440 Fidelity Europe Capital Appreciation Fund FECAX 0000744822 S000012165 Fidelity International Value Fund C000033179 Fidelity International Value FIVLX C000033180 Fidelity Advisor International Value Fund: Class A FIVMX C000033181 Fidelity Advisor International Value Fund: Class B FIVNX C000033182 Fidelity Advisor International Value Fund: Class C FIVOX C000033183 Fidelity Advisor International Value Fund: Class T FIVPX C000033184 Fidelity Advisor International Value Fund: Institutional Class FIVQX 0000744822 S000019397 Fidelity International Growth Fund C000053902 Fidelity International Growth Fund FIGFX C000053903 Fidelity Advisor International Growth Fund: Class A FIAGX C000053904 Fidelity Advisor International Growth Fund: Class B FBIGX C000053905 Fidelity Advisor International Growth Fund: Class C FIGCX C000053906 Fidelity Advisor International Growth Fund: Class T FITGX C000053907 Fidelity Advisor International Growth Fund: Institutional Class FIIIX 0000744822 S000019398 Fidelity Total International Equity Fund C000053908 Fidelity Advisor Total International Equity Fund: Class C FTCEX C000053909 Fidelity Advisor Total International Equity Fund: Class T FTTEX C000053910 Fidelity Advisor Total International Equity Fund: Institutional Class FTEIX C000053911 Fidelity Total International Equity Fund FTIEX C000053912 Fidelity Advisor Total International Equity Fund: Class A FTAEX C000053913 Fidelity Advisor Total International Equity Fund: Class B FTBEX 0000744822 S000022100 Fidelity Emerging Europe, Middle East, Africa (EMEA) Fund C000063412 Fidelity Emerging Europe, Middle East, Africa (EMEA) Fund FEMEX C000063413 Fidelity Advisor Emerging Europe, Middle East, Africa (EMEA) Fund: Class A FMEAX C000063414 Fidelity Advisor Emerging Europe, Middle East, Africa (EMEA) Fund: Class B FEMBX C000063415 Fidelity Advisor Emerging Europe, Middle East, Africa (EMEA) Fund: Class C FEMCX C000063416 Fidelity Advisor Emerging Europe, Middle East, Africa (EMEA) Fund: Class T FEMTX C000063417 Fidelity Advisor Emerging Europe, Middle East, Africa (EMEA) Fund: Institutional Class FIEMX 0000744822 S000023605 Fidelity Series Emerging Markets Fund C000069437 Fidelity Series Emerging Markets Fund FEMSX C000076784 Class F FEMFX 0000744822 S000024314 Fidelity Global Commodity Stock Fund C000071913 Fidelity Global Commodity Stock Fund FFGCX C000071914 Fidelity Advisor Global Commodity Stock Fund: Class A FFGAX C000071915 Fidelity Advisor Global Commodity Stock Fund: Class B FFGBX C000071916 Fidelity Advisor Global Commodity Stock Fund: Class C FCGCX C000071917 Fidelity Advisor Global Commodity Stock Fund: Class T FFGTX C000071918 Fidelity Advisor Global Commodity Stock Fund: Institutional Class FFGIX 0000744822 S000026866 Fidelity Series International Growth Fund C000080862 Fidelity Series International Growth Fund FIGSX C000080863 Class F FFIGX 0000744822 S000026867 Fidelity Series International Value Fund C000080864 Fidelity Series International Value Fund FINVX C000080865 Class F FFVNX 0000744822 S000026868 Fidelity Series International Small Cap Fund C000080866 Fidelity Series International Small Cap Fund FSTSX C000080867 Class F FFSTX NSAR-B 1 answer04008.fil ANSWER FILE PAGE 1 000 B000000 10/31/2010 000 C000000 0000744822 000 D000000 N 000 E000000 NF 000 F000000 Y 000 G000000 N 000 H000000 N 000 I000000 6.1 000 J000000 A 001 A000000 FIDELITY INVESTMENT TRUST 001 B000000 811-04008 001 C000000 6037917481 002 A000000 82 DEVONSHIRE STREET 002 B000000 BOSTON 002 C000000 MA 002 D010000 02109 003 000000 N 004 000000 N 005 000000 N 006 000000 N 007 A000000 Y 007 B000000 27 007 C010100 1 007 C020100 Fidelity Overseas Fund 007 C030100 N 007 C010200 2 007 C020200 Fidelity Europe Fund 007 C030200 N 007 C010300 3 007 C020300 Fidelity Pacific Basin Fund 007 C030300 N 007 C010500 5 007 C020500 Fidelity International Discovery Fund 007 C030500 N 007 C010700 7 007 C020700 Fidelity Canada Fund 007 C030700 N 007 C010800 8 007 C020800 Fidelity Worldwide Fund 007 C030800 N 007 C010900 9 007 C020900 Fidelity Emerging Markets Fund 007 C030900 N 007 C011100 11 007 C021100 Fidelity Diversified International Fund 007 C031100 N 007 C011200 12 007 C021200 Fidelity Japan Fund 007 C031200 N 007 C011300 13 007 C021300 Fidelity Latin America Fund PAGE 2 007 C031300 N 007 C011400 14 007 C021400 Fidelity Emerging Asia Fund 007 C031400 N 007 C011600 16 007 C021600 Fidelity Europe Capital Appreciation Fund 007 C031600 N 007 C011700 17 007 C021700 Fidelity International Capital Appreciation 007 C031700 N 007 C012000 20 007 C022000 Fidelity China Region Fund 007 C032000 N 007 C012100 21 007 C022100 Fidelity Japan Smaller Companies Fund 007 C032100 N 007 C012200 22 007 C022200 Fidelity Nordic Fund 007 C032200 N 007 C012500 25 007 C022500 Fidelity International Small Cap Fund 007 C032500 N 007 C012600 26 007 C022600 Fidelity International Small Cap Opps. Fund 007 C032600 N 007 C012700 27 007 C022700 Fidelity International Value Fund 007 C032700 N 007 C012800 28 007 C022800 Fidelity Total International Equity Fund 007 C032800 N 007 C012900 29 007 C022900 Fidelity International Growth Fund 007 C032900 N 007 C013000 30 007 C023000 Fidelity Emerging Europe, Middle East, Africa 007 C033000 N 007 C013100 31 007 C023100 Fidelity Series Emerging Markets Fund 007 C033100 N 007 C013200 32 007 C023200 Fidelity Global Commodity Stock Fund 007 C033200 N 007 C013300 33 007 C023300 Fidelity Series International Growth Fund 007 C033300 N 007 C013400 34 007 C023400 Fidelity Series International Value Fund 007 C033400 N 007 C013500 35 007 C023500 Fidelity Series International Small Cap Fund PAGE 3 007 C033500 N 008 A000101 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000101 A 008 C000101 801-7884 008 D010101 BOSTON 008 D020101 MA 008 D030101 02109 008 A000102 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000102 S 008 C000102 801-28773 008 D010102 LONDON 008 D050102 UNITED KINGDOM 008 A000103 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000103 S 008 C000103 801-28774 008 D010103 BOSTON 008 D020103 MA 008 D030103 02109 008 A000104 FIL INVESTMENT ADVISORS 008 B000104 S 008 C000104 801-21347 008 D010104 PEMBROKE 008 D050104 BERMUDA 008 A000105 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000105 S 008 C000105 801-23620 008 D010105 HILDENBOROUGH 008 D050105 UNITED KINGDOM 008 A000106 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B000106 S 008 C000106 801-45731 008 D010106 TOKYO 008 D050106 JAPAN 008 A000107 FMR CO., INC. 008 B000107 S 008 C000107 801-3447 008 D010107 BOSTON 008 D020107 MA 008 D030107 02109 008 A000108 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000108 S 008 C000108 801-69507 008 D010108 HONG KONG 008 D050108 HONG KONG, SAR 008 A000109 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000109 S 008 C000109 801-69571 008 D010109 BOSTON 008 D020109 MA 008 D030109 02109 008 A000201 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) PAGE 4 008 B000201 A 008 C000201 801-7884 008 D010201 BOSTON 008 D020201 MA 008 D030201 02109 008 A000202 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000202 S 008 C000202 801-28773 008 D010202 LONDON 008 D050202 UNITED KINGDOM 008 A000203 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000203 S 008 C000203 801-28774 008 D010203 BOSTON 008 D020203 MA 008 D030203 02109 008 A000204 FIL INVESTMENT ADVISORS 008 B000204 S 008 C000204 801-21347 008 D010204 PEMBROKE 008 D050204 BERMUDA 008 A000205 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000205 S 008 C000205 801-23620 008 D010205 HILDENBOROUGH 008 D050205 UNITED KINGDOM 008 A000206 FMR CO., INC. 008 B000206 S 008 C000206 801-3447 008 D010206 BOSTON 008 D020206 MA 008 D030206 02109 008 A000207 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000207 S 008 C000207 801-69507 008 D010207 HONG KONG 008 D050207 HONG KONG, SAR 008 A000208 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000208 S 008 C000208 801-69571 008 D010208 BOSTON 008 D020208 MA 008 D030208 02109 008 A000301 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000301 A 008 C000301 801-7884 008 D010301 BOSTON 008 D020301 MA 008 D030301 02109 008 A000302 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000302 S PAGE 5 008 C000302 801-28773 008 D010302 LONDON 008 D050302 UNITED KINGDOM 008 A000303 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000303 S 008 C000303 801-28774 008 D010303 BOSTON 008 D020303 MA 008 D030303 02109 008 A000304 FIL INVESTMENT ADVISORS 008 B000304 S 008 C000304 801-21347 008 D010304 PEMBROKE 008 D050304 BERMUDA 008 A000305 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000305 S 008 C000305 801-23620 008 D010305 HILDENBOROUGH 008 D050305 UNITED KINGDOM 008 A000306 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B000306 S 008 C000306 801-45731 008 D010306 TOKYO 008 D050306 JAPAN 008 A000307 FMR CO., INC. 008 B000307 S 008 C000307 801-3447 008 D010307 BOSTON 008 D020307 MA 008 D030307 02109 008 A000308 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000308 S 008 C000308 801-69507 008 D010308 HONG KONG 008 D050308 HONG KONG, SAR 008 A000309 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000309 S 008 C000309 801-69571 008 D010309 BOSTON 008 D020309 MA 008 D030309 02109 008 A000501 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000501 A 008 C000501 801-7884 008 D010501 BOSTON 008 D020501 MA 008 D030501 02109 008 A000502 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000502 S 008 C000502 801-28773 008 D010502 LONDON PAGE 6 008 D050502 UNITED KINGDOM 008 A000503 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000503 S 008 C000503 801-28774 008 D010503 BOSTON 008 D020503 MA 008 D030503 02109 008 A000504 FIL INVESTMENT ADVISORS 008 B000504 S 008 C000504 801-21347 008 D010504 PEMBROKE 008 D050504 BERMUDA 008 A000505 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000505 S 008 C000505 801-23620 008 D010505 HILDENBOROUGH 008 D050505 UNITED KINGDOM 008 A000506 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B000506 S 008 C000506 801-45731 008 D010506 TOKYO 008 D050506 JAPAN 008 A000507 FMR CO., INC. 008 B000507 S 008 C000507 801-3447 008 D010507 BOSTON 008 D020507 MA 008 D030507 02109 008 A000508 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000508 S 008 C000508 801-69507 008 D010508 HONG KONG 008 D050508 HONG KONG, SAR 008 A000509 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000509 S 008 C000509 801-69571 008 D010509 BOSTON 008 D020509 MA 008 D030509 02109 008 A000701 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000701 A 008 C000701 801-7884 008 D010701 BOSTON 008 D020701 MA 008 D030701 02109 008 A000702 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000702 S 008 C000702 801-28773 008 D010702 LONDON 008 D050702 UNITED KINGDOM 008 A000703 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) PAGE 7 008 B000703 S 008 C000703 801-28774 008 D010703 BOSTON 008 D020703 MA 008 D030703 02109 008 A000704 FIL INVESTMENT ADVISORS 008 B000704 S 008 C000704 801-21347 008 D010704 PEMBROKE 008 D050704 BERMUDA 008 A000705 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000705 S 008 C000705 801-23620 008 D010705 HILDENBOROUGH 008 D050705 UNITED KINGDOM 008 A000706 FMR CO., INC. 008 B000706 S 008 C000706 801-3447 008 D010706 BOSTON 008 D020706 MA 008 D030706 02109 008 A000707 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000707 S 008 C000707 801-69507 008 D010707 HONG KONG 008 D050707 HONG KONG, SAR 008 A000708 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000708 S 008 C000708 801-69571 008 D010708 BOSTON 008 D020708 MA 008 D030708 02109 008 A000801 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000801 A 008 C000801 801-7884 008 D010801 BOSTON 008 D020801 MA 008 D030801 02109 008 A000802 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000802 S 008 C000802 801-28773 008 D010802 LONDON 008 D050802 UNITED KINGDOM 008 A000803 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000803 S 008 C000803 801-28774 008 D010803 BOSTON 008 D020803 MA 008 D030803 02109 008 A000804 FIL INVESTMENT ADVISORS 008 B000804 S PAGE 8 008 C000804 801-21347 008 D010804 PEMBROKE 008 D050804 BERMUDA 008 A000805 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000805 S 008 C000805 801-23620 008 D010805 HILDENBOROUGH 008 D050805 UNITED KINGDOM 008 A000806 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B000806 S 008 C000806 801-45731 008 D010806 TOKYO 008 D050806 JAPAN 008 A000807 FMR CO., INC. 008 B000807 S 008 C000807 801-3447 008 D010807 BOSTON 008 D020807 MA 008 D030807 02109 008 A000808 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000808 S 008 C000808 801-69507 008 D010808 HONG KONG 008 D050808 HONG KONG, SAR 008 A000809 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000809 S 008 C000809 801-69571 008 D010809 BOSTON 008 D020809 MA 008 D030809 02109 008 A000901 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B000901 A 008 C000901 801-7884 008 D010901 BOSTON 008 D020901 MA 008 D030901 02109 008 A000902 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B000902 S 008 C000902 801-28773 008 D010902 LONDON 008 D050902 UNITED KINGDOM 008 A000903 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B000903 S 008 C000903 801-28774 008 D010903 BOSTON 008 D020903 MA 008 D030903 02109 008 A000904 FIL INVESTMENT ADVISORS 008 B000904 S 008 C000904 801-21347 008 D010904 PEMBROKE PAGE 9 008 D050904 BERMUDA 008 A000905 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B000905 S 008 C000905 801-23620 008 D010905 HILDENBOROUGH 008 D050905 UNITED KINGDOM 008 A000906 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B000906 S 008 C000906 801-45731 008 D010906 TOKYO 008 D050906 JAPAN 008 A000907 FMR CO., INC. 008 B000907 S 008 C000907 801-3447 008 D010907 BOSTON 008 D020907 MA 008 D030907 02109 008 A000908 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B000908 S 008 C000908 801-69507 008 D010908 HONG KONG 008 D050908 HONG KONG, SAR 008 A000909 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B000909 S 008 C000909 801-69571 008 D010909 BOSTON 008 D020909 MA 008 D030909 02109 008 A001101 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001101 A 008 C001101 801-7884 008 D011101 BOSTON 008 D021101 MA 008 D031101 02109 008 A001102 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001102 S 008 C001102 801-28773 008 D011102 LONDON 008 D051102 UNITED KINGDOM 008 A001103 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001103 S 008 C001103 801-28774 008 D011103 BOSTON 008 D021103 MA 008 D031103 02109 008 A001104 FIL INVESTMENT ADVISORS 008 B001104 S 008 C001104 801-21347 008 D011104 PEMBROKE 008 D051104 BERMUDA 008 A001105 FIL INVESTMENT ADVISORS (UK) LIMITED PAGE 10 008 B001105 S 008 C001105 801-23620 008 D011105 HILDENBOROUGH 008 D051105 UNITED KINGDOM 008 A001106 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B001106 S 008 C001106 801-45731 008 D011106 TOKYO 008 D051106 JAPAN 008 A001107 FMR CO., INC. 008 B001107 S 008 C001107 801-3447 008 D011107 BOSTON 008 D021107 MA 008 D031107 02109 008 A001108 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001108 S 008 C001108 801-69507 008 D011108 HONG KONG 008 D051108 HONG KONG, SAR 008 A001109 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001109 S 008 C001109 801-69571 008 D011109 BOSTON 008 D021109 MA 008 D031109 02109 008 A001201 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001201 A 008 C001201 801-7884 008 D011201 BOSTON 008 D021201 MA 008 D031201 02109 008 A001202 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001202 S 008 C001202 801-28773 008 D011202 LONDON 008 D051202 UNITED KINGDOM 008 A001203 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001203 S 008 C001203 801-28774 008 D011203 BOSTON 008 D021203 MA 008 D031203 02109 008 A001204 FIL INVESTMENT ADVISORS 008 B001204 S 008 C001204 801-21347 008 D011204 PEMBROKE 008 D051204 BERMUDA 008 A001205 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B001205 S 008 C001205 801-23620 PAGE 11 008 D011205 HILDENBOROUGH 008 D051205 UNITED KINGDOM 008 A001206 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B001206 S 008 C001206 801-45731 008 D011206 TOKYO 008 D051206 JAPAN 008 A001207 FMR CO., INC. 008 B001207 S 008 C001207 801-3447 008 D011207 BOSTON 008 D021207 MA 008 D031207 02109 008 A001208 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001208 S 008 C001208 801-69507 008 D011208 HONG KONG 008 D051208 HONG KONG, SAR 008 A001209 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001209 S 008 C001209 801-69571 008 D011209 BOSTON 008 D021209 MA 008 D031209 02109 008 A001301 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001301 A 008 C001301 801-7884 008 D011301 BOSTON 008 D021301 MA 008 D031301 02109 008 A001302 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001302 S 008 C001302 801-28773 008 D011302 LONDON 008 D051302 UNITED KINGDOM 008 A001303 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001303 S 008 C001303 801-28774 008 D011303 BOSTON 008 D021303 MA 008 D031303 02109 008 A001304 FIL INVESTMENT ADVISORS 008 B001304 S 008 C001304 801-21347 008 D011304 PEMBROKE 008 D051304 BERMUDA 008 A001305 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B001305 S 008 C001305 801-23620 008 D011305 HILDENBOROUGH 008 D051305 UNITED KINGDOM PAGE 12 008 A001306 FMR CO., INC. 008 B001306 S 008 C001306 801-3447 008 D011306 BOSTON 008 D021306 MA 008 D031306 02109 008 A001307 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001307 S 008 C001307 801-69507 008 D011307 HONG KONG 008 D051307 HONG KONG, SAR 008 A001308 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001308 S 008 C001308 801-69571 008 D011308 BOSTON 008 D021308 MA 008 D031308 02109 008 A001401 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001401 A 008 C001401 801-7884 008 D011401 BOSTON 008 D021401 MA 008 D031401 02109 008 A001402 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001402 S 008 C001402 801-28773 008 D011402 LONDON 008 D051402 UNITED KINGDOM 008 A001403 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001403 S 008 C001403 801-28774 008 D011403 BOSTON 008 D021403 MA 008 D031403 02109 008 A001404 FIL INVESTMENT ADVISORS 008 B001404 S 008 C001404 801-21347 008 D011404 PEMBROKE 008 D051404 BERMUDA 008 A001405 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B001405 S 008 C001405 801-23620 008 D011405 HILDENBOROUGH 008 D051405 UNITED KINGDOM 008 A001406 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B001406 S 008 C001406 801-45731 008 D011406 TOKYO 008 D051406 JAPAN 008 A001407 FMR CO., INC. 008 B001407 S PAGE 13 008 C001407 801-3447 008 D011407 BOSTON 008 D021407 MA 008 D031407 02109 008 A001408 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001408 S 008 C001408 801-69507 008 D011408 HONG KONG 008 D051408 HONG KONG, SAR 008 A001409 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001409 S 008 C001409 801-69571 008 D011409 BOSTON 008 D021409 MA 008 D031409 02109 008 A001601 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001601 A 008 C001601 801-7884 008 D011601 BOSTON 008 D021601 MA 008 D031601 02109 008 A001602 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001602 S 008 C001602 801-28773 008 D011602 LONDON 008 D051602 UNITED KINGDOM 008 A001603 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001603 S 008 C001603 801-28774 008 D011603 BOSTON 008 D021603 MA 008 D031603 02109 008 A001604 FIL INVESTMENT ADVISORS 008 B001604 S 008 C001604 801-21347 008 D011604 PEMBROKE 008 D051604 BERMUDA 008 A001605 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B001605 S 008 C001605 801-23620 008 D011605 HILDENBOROUGH 008 D051605 UNITED KINGDOM 008 A001606 FMR CO., INC. 008 B001606 S 008 C001606 801-3447 008 D011606 BOSTON 008 D021606 MA 008 D031606 02109 008 A001607 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001607 S 008 C001607 801-69507 PAGE 14 008 D011607 HONG KONG 008 D051607 HONG KONG, SAR 008 A001608 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001608 S 008 C001608 801-69571 008 D011608 BOSTON 008 D021608 MA 008 D031608 02109 008 A001701 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B001701 A 008 C001701 801-7884 008 D011701 BOSTON 008 D021701 MA 008 D031701 02109 008 A001702 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B001702 S 008 C001702 801-28773 008 D011702 LONDON 008 D051702 UNITED KINGDOM 008 A001703 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B001703 S 008 C001703 801-28774 008 D011703 BOSTON 008 D021703 MA 008 D031703 02109 008 A001704 FIL INVESTMENT ADVISORS 008 B001704 S 008 C001704 801-21347 008 D011704 PEMBROKE 008 D051704 BERMUDA 008 A001705 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B001705 S 008 C001705 801-23620 008 D011705 HILDENBOROUGH 008 D051705 UNITED KINGDOM 008 A001706 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B001706 S 008 C001706 801-45731 008 D011706 TOKYO 008 D051706 JAPAN 008 A001707 FMR CO., INC. 008 B001707 S 008 C001707 801-3447 008 D011707 BOSTON 008 D021707 MA 008 D031707 02109 008 A001708 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B001708 S 008 C001708 801-69571 008 D011708 BOSTON 008 D021708 MA PAGE 15 008 D031708 02109 008 A001709 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B001709 S 008 C001709 801-69507 008 D011709 HONG KONG 008 D051709 HONG KONG, SAR 008 A002001 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002001 A 008 C002001 801-7884 008 D012001 BOSTON 008 D022001 MA 008 D032001 02109 008 A002002 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002002 S 008 C002002 801-28773 008 D012002 LONDON 008 D052002 UNITED KINGDOM 008 A002003 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002003 S 008 C002003 801-28774 008 D012003 BOSTON 008 D022003 MA 008 D032003 02109 008 A002004 FIL INVESTMENT ADVISORS 008 B002004 S 008 C002004 801-21347 008 D012004 PEMBROKE 008 D052004 BERMUDA 008 A002005 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002005 S 008 C002005 801-23620 008 D012005 HILDENBOROUGH 008 D052005 UNITED KINGDOM 008 A002006 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002006 S 008 C002006 801-45731 008 D012006 TOKYO 008 D052006 JAPAN 008 A002007 FMR CO., INC. 008 B002007 S 008 C002007 801-3447 008 D012007 BOSTON 008 D022007 MA 008 D032007 02109 008 A002008 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002008 S 008 C002008 801-69507 008 D012008 HONG KONG 008 D052008 HONG KONG, SAR 008 A002009 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002009 S PAGE 16 008 C002009 801-69571 008 D012009 BOSTON 008 D022009 MA 008 D032009 02109 008 A002101 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002101 A 008 C002101 801-7884 008 D012101 BOSTON 008 D022101 MA 008 D032101 02109 008 A002102 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002102 S 008 C002102 801-28773 008 D012102 LONDON 008 D052102 UNITED KINGDOM 008 A002103 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002103 S 008 C002103 801-28774 008 D012103 BOSTON 008 D022103 MA 008 D032103 02109 008 A002104 FIL INVESTMENT ADVISORS 008 B002104 S 008 C002104 801-21347 008 D012104 PEMBROKE 008 D052104 BERMUDA 008 A002105 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002105 S 008 C002105 801-23620 008 D012105 HILDENBOROUGH 008 D052105 UNITED KINGDOM 008 A002106 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002106 S 008 C002106 801-45731 008 D012106 TOKYO 008 D052106 JAPAN 008 A002107 FMR CO., INC. 008 B002107 S 008 C002107 801-3447 008 D012107 BOSTON 008 D022107 MA 008 D032107 02109 008 A002108 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002108 S 008 C002108 801-69507 008 D012108 HONG KONG 008 D052108 HONG KONG, SAR 008 A002109 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002109 S 008 C002109 801-69571 008 D012109 BOSTON PAGE 17 008 D022109 MA 008 D032109 02109 008 A002201 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002201 A 008 C002201 801-7884 008 D012201 BOSTON 008 D022201 MA 008 D032201 02109 008 A002202 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002202 S 008 C002202 801-28773 008 D012202 LONDON 008 D052202 UNITED KINGDOM 008 A002203 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002203 S 008 C002203 801-28774 008 D012203 BOSTON 008 D022203 MA 008 D032203 02109 008 A002204 FIL INVESTMENT ADVISORS 008 B002204 S 008 C002204 801-21347 008 D012204 PEMBROKE 008 D052204 BERMUDA 008 A002205 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002205 S 008 C002205 801-23620 008 D012205 HILDENBOROUGH 008 D052205 UNITED KINGDOM 008 A002206 FMR CO., INC. 008 B002206 S 008 C002206 801-3447 008 D012206 BOSTON 008 D022206 MA 008 D032206 02109 008 A002207 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002207 S 008 C002207 801-69507 008 D012207 HONG KONG 008 D052207 HONG KONG, SAR 008 A002208 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002208 S 008 C002208 801-69571 008 D012208 BOSTON 008 D022208 MA 008 D032208 02109 008 A002501 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002501 A 008 C002501 801-7884 008 D012501 BOSTON 008 D022501 MA PAGE 18 008 D032501 02109 008 A002502 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002502 S 008 C002502 801-28773 008 D012502 LONDON 008 D052502 UNITED KINGDOM 008 A002503 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002503 S 008 C002503 801-28774 008 D012503 BOSTON 008 D022503 MA 008 D032503 02109 008 A002504 FIL INVESTMENT ADVISORS 008 B002504 S 008 C002504 801-21347 008 D012504 PEMBROKE 008 D052504 BERMUDA 008 A002505 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002505 S 008 C002505 801-23620 008 D012505 HILDENBOROUGH 008 D052505 UNITED KINGDOM 008 A002506 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002506 S 008 C002506 801-45731 008 D012506 TOKYO 008 D052506 JAPAN 008 A002507 FMR CO., INC. 008 B002507 S 008 C002507 801-3447 008 D012507 BOSTON 008 D022507 MA 008 D032507 02109 008 A002508 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002508 S 008 C002508 801-69507 008 D012508 HONG KONG 008 D052508 HONG KONG, SAR 008 A002509 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002509 S 008 C002509 801-69571 008 D012509 BOSTON 008 D022509 MA 008 D032509 02109 008 A002601 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002601 A 008 C002601 801-7884 008 D012601 BOSTON 008 D022601 MA 008 D032601 02109 008 A002602 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. PAGE 19 008 B002602 S 008 C002602 801-28773 008 D012602 LONDON 008 D052602 UNITED KINGDOM 008 A002603 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002603 S 008 C002603 801-28774 008 D012603 BOSTON 008 D022603 MA 008 D032603 02109 008 A002604 FIL INVESTMENT ADVISORS 008 B002604 S 008 C002604 801-21347 008 D012604 PEMBROKE 008 D052604 BERMUDA 008 A002605 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002605 S 008 C002605 801-23620 008 D012605 HILDENBOROUGH 008 D052605 UNITED KINGDOM 008 A002606 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002606 S 008 C002606 801-45731 008 D012606 TOKYO 008 D052606 JAPAN 008 A002607 FMR CO., INC. 008 B002607 S 008 C002607 801-3447 008 D012607 BOSTON 008 D022607 MA 008 D032607 02109 008 A002608 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002608 S 008 C002608 801-69507 008 D012608 HONG KONG 008 D052608 HONG KONG, SAR 008 A002609 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002609 S 008 C002609 801-69571 008 D012609 BOSTON 008 D022609 MA 008 D032609 02109 008 A002701 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002701 A 008 C002701 801-7884 008 D012701 BOSTON 008 D022701 MA 008 D032701 02109 008 A002702 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002702 S 008 C002702 801-28773 PAGE 20 008 D012702 LONDON 008 D052702 UNITED KINGDOM 008 A002703 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002703 S 008 C002703 801-28774 008 D012703 BOSTON 008 D022703 MA 008 D032703 02109 008 A002704 FIL INVESTMENT ADVISORS 008 B002704 S 008 C002704 801-21347 008 D012704 PEMBROKE 008 D052704 BERMUDA 008 A002705 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002705 S 008 C002705 801-23620 008 D012705 HILDENBOROUGH 008 D052705 UNITED KINGDOM 008 A002706 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002706 S 008 C002706 801-45731 008 D012706 TOKYO 008 D052706 JAPAN 008 A002707 FMR CO., INC. 008 B002707 S 008 C002707 801-3447 008 D012707 BOSTON 008 D022707 MA 008 D032707 02109 008 A002708 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002708 S 008 C002708 801-69507 008 D012708 HONG KONG 008 D052708 HONG KONG, SAR 008 A002709 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002709 S 008 C002709 801-69571 008 D012709 BOSTON 008 D022709 MA 008 D032709 02109 008 A002801 FMR CO., INC. 008 B002801 S 008 C002801 801-3447 008 D012801 BOSTON 008 D022801 MA 008 D032801 02109 008 A002802 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002802 S 008 C002802 801-28773 008 D012802 LONDON 008 D052802 UNITED KINGDOM PAGE 21 008 A002803 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002803 S 008 C002803 801-28774 008 D012803 BOSTON 008 D022803 MA 008 D032803 02109 008 A002804 FIL INVESTMENT ADVISORS 008 B002804 S 008 C002804 801-21347 008 D012804 PEMBROKE 008 D052804 BERMUDA 008 A002805 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002805 S 008 C002805 801-23620 008 D012805 HILDENBOROUGH 008 D052805 UNITED KINGDOM 008 A002806 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002806 S 008 C002806 801-45731 008 D012806 TOKYO 008 D052806 JAPAN 008 A002807 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002807 A 008 C002807 801-7884 008 D012807 BOSTON 008 D022807 MA 008 D032807 02109 008 A002808 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002808 S 008 C002808 801-69571 008 D012808 BOSTON 008 D022808 MA 008 D032808 02109 008 A002809 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002809 S 008 C002809 801-69507 008 D012809 HONG KONG 008 D052809 HONG KONG, SAR 008 A002901 FMR CO., INC. 008 B002901 S 008 C002901 801-3447 008 D012901 BOSTON 008 D022901 MA 008 D032901 02109 008 A002902 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B002902 S 008 C002902 801-28773 008 D012902 LONDON 008 D052902 UNITED KINGDOM 008 A002903 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B002903 S PAGE 22 008 C002903 801-28774 008 D012903 BOSTON 008 D022903 MA 008 D032903 02109 008 A002904 FIL INVESTMENT ADVISORS 008 B002904 S 008 C002904 801-21347 008 D012904 PEMBROKE 008 D052904 BERMUDA 008 A002905 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B002905 S 008 C002905 801-23620 008 D012905 HILDENBOROUGH 008 D052905 UNITED KINGDOM 008 A002906 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B002906 S 008 C002906 801-45731 008 D012906 TOKYO 008 D052906 JAPAN 008 A002907 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B002907 A 008 C002907 801-7884 008 D012907 BOSTON 008 D022907 MA 008 D032907 02109 008 A002908 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B002908 S 008 C002908 801-69571 008 D012908 BOSTON 008 D022908 MA 008 D032908 02109 008 A002909 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B002909 S 008 C002909 801-69507 008 D012909 HONG KONG 008 D052909 HONG KONG, SAR 008 A003001 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B003001 A 008 C003001 801-7884 008 D013001 BOSTON 008 D023001 MA 008 D033001 02109 008 A003002 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B003002 S 008 C003002 801-28773 008 D013002 LONDON 008 D053002 UNITED KINGDOM 008 A003003 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B003003 S 008 C003003 801-28774 008 D013003 BOSTON PAGE 23 008 D023003 MA 008 D033003 02109 008 A003004 FIL INVESTMENT ADVISORS 008 B003004 S 008 C003004 801-21347 008 D013004 PEMBROKE 008 D053004 BERMUDA 008 A003005 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B003005 S 008 C003005 801-23620 008 D013005 HILDENBOROUGH 008 D053005 UNITED KINGDOM 008 A003006 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B003006 S 008 C003006 801-45731 008 D013006 TOKYO 008 D053006 JAPAN 008 A003007 FMR CO., INC. 008 B003007 S 008 C003007 801-3447 008 D013007 BOSTON 008 D023007 MA 008 D033007 02109 008 A003008 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B003008 S 008 C003008 801-69507 008 D013008 HONG KONG 008 D053008 HONG KONG, SAR 008 A003009 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B003009 S 008 C003009 801-69571 008 D013009 BOSTON 008 D023009 MA 008 D033009 02109 008 A003101 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B003101 A 008 C003101 801-7884 008 D013101 BOSTON 008 D023101 MA 008 D033101 02109 008 A003102 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B003102 S 008 C003102 801-28773 008 D013102 LONDON 008 D053102 UNITED KINGDOM 008 A003103 FIDELITY RESEARCH & ANALYSIS COMPANY (FRAC) 008 B003103 S 008 C003103 801-28774 008 D013103 BOSTON 008 D023103 MA 008 D033103 02109 PAGE 24 008 A003104 FIL INVESTMENT ADVISORS 008 B003104 S 008 C003104 801-21347 008 D013104 PEMBROKE 008 D053104 BERMUDA 008 A003105 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B003105 S 008 C003105 801-23620 008 D013105 HILDENBOROUGH 008 D053105 UNITED KINGDOM 008 A003106 FIL INVESTMENTS (JAPAN) LIMITED (FIJ) 008 B003106 S 008 C003106 801-45731 008 D013106 TOKYO 008 D053106 JAPAN 008 A003107 FMR CO., INC. 008 B003107 S 008 C003107 801-3447 008 D013107 BOSTON 008 D023107 MA 008 D033107 02109 008 A003108 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B003108 S 008 C003108 801-69507 008 D013108 HONG KONG 008 D053108 HONG KONG, SAR 008 A003109 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B003109 S 008 C003109 801-69571 008 D013109 BOSTON 008 D023109 MA 008 D033109 02109 008 A003201 FIDELITY MANAGEMENT & RESEARCH COMPANY (FMR) 008 B003201 A 008 C003201 801-7884 008 D013201 BOSTON 008 D023201 MA 008 D033201 02109 008 A003202 FMR CO., INC. 008 B003202 S 008 C003202 801-3447 008 D013202 BOSTON 008 D023202 MA 008 D033202 02109 008 A003203 FIDELITY MANAGEMENT & RESEARCH (U.K.), INC. 008 B003203 S 008 C003203 801-28773 008 D013203 LONDON 008 D053203 UNITED KINGDOM 008 A003204 FIDELITY MANAGEMENT & RESEARCH (HONG KONG)LTD 008 B003204 S PAGE 25 008 C003204 801-69507 008 D013204 HONG KONG 008 D053204 HONG KONG, SAR 008 A003205 FIDELITY MANAGEMENT & RESEARCH (JAPAN) INC 008 B003205 S 008 C003205 801-69571 008 D013205 BOSTON 008 D023205 MA 008 D033205 02109 008 A003206 FIL INVESTMENT ADVISORS 008 B003206 S 008 C003206 801-21347 008 D013206 PEMBROKE 008 D053206 BERMUDA 008 A003207 FIL INVESTMENT ADVISORS (UK) LIMITED 008 B003207 S 008 C003207 801-23620 008 D013207 HILDENBOROUGH 008 D053207 UNITED KINGDOM 008 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028 F012200 30177 028 F022200 0 028 F032200 0 028 F042200 11902 028 G012200 113942 028 G022200 0 028 G032200 0 028 G042200 62685 028 H002200 0 028 A012500 8562 028 A022500 0 028 A032500 0 028 A042500 21063 028 B012500 7328 028 B022500 0 028 B032500 0 028 B042500 20810 028 C012500 9437 028 C022500 0 028 C032500 0 028 C042500 11492 PAGE 60 028 D012500 7019 028 D022500 0 028 D032500 0 028 D042500 12572 028 E012500 12644 028 E022500 0 028 E032500 0 028 E042500 10799 028 F012500 42202 028 F022500 0 028 F032500 0 028 F042500 16223 028 G012500 87192 028 G022500 0 028 G032500 0 028 G042500 92959 028 H002500 159 028 A012600 5929 028 A022600 0 028 A032600 0 028 A042600 17835 028 B012600 20592 028 B022600 0 028 B032600 0 028 B042600 6003 028 C012600 7445 028 C022600 0 028 C032600 0 028 C042600 7000 028 D012600 8749 028 D022600 0 028 D032600 0 028 D042600 6455 028 E012600 4365 028 E022600 0 028 E032600 0 028 E042600 7071 028 F012600 7050 028 F022600 0 028 F032600 0 028 F042600 9772 028 G012600 54130 028 G022600 0 028 G032600 0 028 G042600 54136 028 H002600 373 028 A012700 1138 028 A022700 0 028 A032700 0 028 A042700 4615 028 B012700 872 PAGE 61 028 B022700 0 028 B032700 0 028 B042700 2421 028 C012700 1905 028 C022700 0 028 C032700 0 028 C042700 2624 028 D012700 6003 028 D022700 0 028 D032700 0 028 D042700 3137 028 E012700 752 028 E022700 0 028 E032700 0 028 E042700 5923 028 F012700 1332 028 F022700 0 028 F032700 0 028 F042700 3287 028 G012700 12002 028 G022700 0 028 G032700 0 028 G042700 22007 028 H002700 109 028 A012800 2722 028 A022800 0 028 A032800 0 028 A042800 5396 028 B012800 1812 028 B022800 0 028 B032800 0 028 B042800 1582 028 C012800 2324 028 C022800 0 028 C032800 0 028 C042800 1919 028 D012800 3984 028 D022800 0 028 D032800 0 028 D042800 2037 028 E012800 1980 028 E022800 0 028 E032800 0 028 E042800 3406 028 F012800 2952 028 F022800 0 028 F032800 0 028 F042800 1776 028 G012800 15774 028 G022800 0 028 G032800 0 PAGE 62 028 G042800 16116 028 H002800 128 028 A012900 791 028 A022900 0 028 A032900 0 028 A042900 1262 028 B012900 781 028 B022900 0 028 B032900 0 028 B042900 484 028 C012900 793 028 C022900 0 028 C032900 0 028 C042900 1272 028 D012900 1789 028 D022900 0 028 D032900 0 028 D042900 787 028 E012900 1143 028 E022900 0 028 E032900 0 028 E042900 1110 028 F012900 2940 028 F022900 0 028 F032900 0 028 F042900 788 028 G012900 8237 028 G022900 0 028 G032900 0 028 G042900 5703 028 H002900 126 028 A013000 3691 028 A023000 0 028 A033000 0 028 A043000 14061 028 B013000 2081 028 B023000 0 028 B033000 0 028 B043000 5815 028 C013000 3206 028 C023000 0 028 C033000 0 028 C043000 4161 028 D013000 6594 028 D023000 0 028 D033000 0 028 D043000 4342 028 E013000 9850 028 E023000 0 028 E033000 0 028 E043000 3708 PAGE 63 028 F013000 20402 028 F023000 0 028 F033000 0 028 F043000 2944 028 G013000 45824 028 G023000 0 028 G033000 0 028 G043000 35031 028 H003000 238 028 A013100 252236 028 A023100 0 028 A033100 0 028 A043100 24837 028 B013100 161717 028 B023100 0 028 B033100 0 028 B043100 10261 028 C013100 164473 028 C023100 0 028 C033100 0 028 C043100 36118 028 D013100 124822 028 D023100 0 028 D033100 0 028 D043100 33484 028 E013100 94383 028 E023100 0 028 E033100 0 028 E043100 6006 028 F013100 143425 028 F023100 0 028 F033100 0 028 F043100 48242 028 G013100 941056 028 G023100 0 028 G033100 0 028 G043100 158948 028 H003100 0 028 A013200 28716 028 A023200 0 028 A033200 0 028 A043200 37144 028 B013200 16508 028 B023200 0 028 B033200 0 028 B043200 12469 028 C013200 10195 028 C023200 0 028 C033200 0 028 C043200 13444 028 D013200 13890 PAGE 64 028 D023200 0 028 D033200 0 028 D043200 16430 028 E013200 14264 028 E023200 0 028 E033200 0 028 E043200 9812 028 F013200 35968 028 F023200 0 028 F033200 0 028 F043200 10994 028 G013200 119541 028 G023200 0 028 G033200 0 028 G043200 100293 028 H003200 786 028 A013300 521555 028 A023300 0 028 A033300 0 028 A043300 19577 028 B013300 410796 028 B023300 0 028 B033300 0 028 B043300 8344 028 C013300 588189 028 C023300 0 028 C033300 0 028 C043300 45466 028 D013300 358252 028 D023300 0 028 D033300 0 028 D043300 45028 028 E013300 276241 028 E023300 0 028 E033300 0 028 E043300 0 028 F013300 751566 028 F023300 0 028 F033300 0 028 F043300 63504 028 G013300 2906599 028 G023300 0 028 G033300 0 028 G043300 181919 028 H003300 0 028 A013400 532117 028 A023400 0 028 A033400 0 028 A043400 19577 028 B013400 429249 028 B023400 0 PAGE 65 028 B033400 0 028 B043400 8248 028 C013400 602252 028 C023400 0 028 C033400 0 028 C043400 44636 028 D013400 372397 028 D023400 0 028 D033400 0 028 D043400 45268 028 E013400 286801 028 E023400 0 028 E033400 0 028 E043400 0 028 F013400 776822 028 F023400 0 028 F033400 0 028 F043400 63348 028 G013400 2999638 028 G023400 0 028 G033400 0 028 G043400 181077 028 H003400 0 028 A013500 112743 028 A023500 0 028 A033500 0 028 A043500 3909 028 B013500 83943 028 B023500 0 028 B033500 0 028 B043500 1667 028 C013500 87694 028 C023500 0 028 C033500 0 028 C043500 8147 028 D013500 81339 028 D023500 0 028 D033500 0 028 D043500 8440 028 E013500 64950 028 E023500 0 028 E033500 0 028 E043500 9 028 F013500 80770 028 F023500 0 028 F033500 0 028 F043500 12296 028 G013500 511439 028 G023500 0 028 G033500 0 028 G043500 34468 PAGE 66 028 H003500 0 029 000100 N 029 000200 N 029 000300 N 029 000500 Y 029 000700 Y 029 000800 Y 029 000900 N 029 001100 N 029 001200 N 029 001300 Y 029 001400 N 029 001600 N 029 001700 N 029 002000 Y 029 002100 N 029 002200 N 029 002500 Y 029 002600 Y 029 002700 Y 029 002800 Y 029 002900 Y 029 003000 Y 029 003100 N 029 003200 Y 029 003300 N 029 003400 N 029 003500 N 030 A000100 0 030 B000100 0.00 030 C000100 0.00 030 A000200 0 030 B000200 0.00 030 C000200 0.00 030 A000300 0 030 B000300 0.00 030 C000300 0.00 030 A000500 276 030 B000500 5.75 030 C000500 0.00 030 A000700 318 030 B000700 5.75 030 C000700 0.00 030 A000800 16 030 B000800 5.75 030 C000800 0.00 030 A000900 0 030 B000900 0.00 030 C000900 0.00 030 A001100 0 030 B001100 0.00 PAGE 67 030 C001100 0.00 030 A001200 0 030 B001200 0.00 030 C001200 0.00 030 A001300 16 030 B001300 5.75 030 C001300 0.00 030 A001400 0 030 B001400 0.00 030 C001400 0.00 030 A001600 0 030 B001600 0.00 030 C001600 0.00 030 A001700 0 030 B001700 0.00 030 C001700 0.00 030 A002000 82 030 B002000 5.75 030 C002000 0.00 030 A002100 0 030 B002100 0.00 030 C002100 0.00 030 A002200 0 030 B002200 0.00 030 C002200 0.00 030 A002500 21 030 B002500 5.75 030 C002500 0.00 030 A002600 45 030 B002600 5.75 030 C002600 0.00 030 A002700 16 030 B002700 5.75 030 C002700 0.00 030 A002800 16 030 B002800 5.75 030 C002800 0.00 030 A002900 19 030 B002900 5.75 030 C002900 0.00 030 A003000 29 030 B003000 5.75 030 C003000 0.00 030 A003100 0 030 B003100 0.00 030 C003100 0.00 030 A003200 129 030 B003200 5.75 030 C003200 0.00 030 A003300 0 030 B003300 0.00 PAGE 68 030 C003300 0.00 030 A003400 0 030 B003400 0.00 030 C003400 0.00 030 A003500 0 030 B003500 0.00 030 C003500 0.00 031 A000100 0 031 B000100 0 031 A000200 0 031 B000200 0 031 A000300 0 031 B000300 0 031 A000500 74 031 B000500 0 031 A000700 172 031 B000700 0 031 A000800 7 031 B000800 0 031 A000900 0 031 B000900 0 031 A001100 0 031 B001100 0 031 A001200 0 031 B001200 0 031 A001300 7 031 B001300 0 031 A001400 0 031 B001400 0 031 A001600 0 031 B001600 0 031 A001700 0 031 B001700 0 031 A002000 30 031 B002000 0 031 A002100 0 031 B002100 0 031 A002200 0 031 B002200 0 031 A002500 7 031 B002500 0 031 A002600 9 031 B002600 0 031 A002700 4 031 B002700 0 031 A002800 5 031 B002800 0 031 A002900 5 031 B002900 0 031 A003000 14 031 B003000 0 PAGE 69 031 A003100 0 031 B003100 0 031 A003200 80 031 B003200 0 031 A003300 0 031 B003300 0 031 A003400 0 031 B003400 0 031 A003500 0 031 B003500 0 032 000100 0 032 000200 0 032 000300 0 032 000500 202 032 000700 146 032 000800 10 032 000900 0 032 001100 0 032 001200 0 032 001300 9 032 001400 0 032 001600 0 032 001700 0 032 002000 52 032 002100 0 032 002200 0 032 002500 14 032 002600 36 032 002700 12 032 002800 11 032 002900 14 032 003000 14 032 003100 0 032 003200 50 032 003300 0 032 003400 0 032 003500 0 033 000100 0 033 000200 0 033 000300 0 033 000500 0 033 000700 0 033 000800 0 033 000900 0 033 001100 0 033 001200 0 033 001300 0 033 001400 0 033 001600 0 033 001700 0 033 002000 0 PAGE 70 033 002100 0 033 002200 0 033 002500 0 033 002600 0 033 002700 0 033 002800 0 033 002900 0 033 003000 0 033 003100 0 033 003200 0 033 003300 0 033 003400 0 033 003500 0 034 000100 N 034 000200 N 034 000300 N 034 000500 Y 034 000700 Y 034 000800 Y 034 000900 N 034 001100 N 034 001200 N 034 001300 Y 034 001400 N 034 001600 N 034 001700 N 034 002000 Y 034 002100 N 034 002200 N 034 002500 Y 034 002600 Y 034 002700 Y 034 002800 Y 034 002900 Y 034 003000 Y 034 003100 N 034 003200 Y 034 003300 N 034 003400 N 034 003500 N 035 000100 0 035 000200 0 035 000300 0 035 000500 36 035 000700 46 035 000800 0 035 000900 0 035 001100 0 035 001200 0 035 001300 3 035 001400 0 PAGE 71 035 001600 0 035 001700 0 035 002000 8 035 002100 0 035 002200 0 035 002500 3 035 002600 9 035 002700 2 035 002800 1 035 002900 1 035 003000 3 035 003100 0 035 003200 70 035 003300 0 035 003400 0 035 003500 0 036 B000100 0 036 B000200 0 036 B000300 0 036 A000500 N 036 B000500 0 036 A000700 N 036 B000700 0 036 A000800 N 036 B000800 0 036 B000900 0 036 B001100 0 036 B001200 0 036 A001300 N 036 B001300 0 036 B001400 0 036 B001600 0 036 B001700 0 036 A002000 N 036 B002000 0 036 B002100 0 036 B002200 0 036 A002500 N 036 B002500 0 036 A002600 N 036 B002600 0 036 A002700 N 036 B002700 0 036 A002800 N 036 B002800 0 036 A002900 N 036 B002900 0 036 A003000 N 036 B003000 0 036 B003100 0 036 A003200 N PAGE 72 036 B003200 0 036 B003300 0 036 B003400 0 036 B003500 0 037 000100 Y 037 000200 Y 037 000300 Y 037 000500 Y 037 000700 Y 037 000800 Y 037 000900 Y 037 001100 Y 037 001200 Y 037 001300 Y 037 001400 Y 037 001600 Y 037 001700 Y 037 002000 Y 037 002100 Y 037 002200 Y 037 002500 Y 037 002600 Y 037 002700 Y 037 002800 Y 037 002900 Y 037 003000 Y 037 003100 N 037 003200 Y 037 003300 N 037 003400 N 037 003500 N 038 000100 55 038 000200 19 038 000300 275 038 000500 290 038 000700 759 038 000800 31 038 000900 1389 038 001100 822 038 001200 108 038 001300 1583 038 001400 283 038 001600 13 038 001700 31 038 002000 1093 038 002100 72 038 002200 92 038 002500 119 038 002600 61 038 002700 3 038 002800 6 PAGE 73 038 002900 3 038 003000 90 038 003100 0 038 003200 48 038 003300 0 038 003400 0 038 003500 0 039 000100 N 039 000200 N 039 000300 N 039 000500 N 039 000700 N 039 000800 N 039 000900 N 039 001100 N 039 001200 N 039 001300 N 039 001400 N 039 001600 N 039 001700 N 039 002000 N 039 002100 N 039 002200 N 039 002500 N 039 002600 N 039 002700 N 039 002800 N 039 002900 N 039 003000 N 039 003100 N 039 003200 N 039 003300 N 039 003400 N 039 003500 N 040 000100 Y 040 000200 Y 040 000300 Y 040 000500 Y 040 000700 Y 040 000800 Y 040 000900 Y 040 001100 Y 040 001200 Y 040 001300 Y 040 001400 Y 040 001600 Y 040 001700 Y 040 002000 Y 040 002100 Y 040 002200 Y 040 002500 Y PAGE 74 040 002600 Y 040 002700 Y 040 002800 Y 040 002900 Y 040 003000 Y 040 003100 Y 040 003200 Y 040 003300 Y 040 003400 Y 040 003500 Y 041 000100 N 041 000200 N 041 000300 N 041 000500 Y 041 000700 Y 041 000800 Y 041 000900 N 041 001100 N 041 001200 N 041 001300 Y 041 001400 N 041 001600 N 041 001700 N 041 002000 Y 041 002100 N 041 002200 N 041 002500 Y 041 002600 Y 041 002700 Y 041 002800 Y 041 002900 Y 041 003000 Y 041 003100 N 041 003200 Y 041 003300 N 041 003400 N 041 003500 N 042 A000100 0 042 B000100 0 042 C000100 0 042 D000100 0 042 E000100 0 042 F000100 0 042 G000100 0 042 H000100 0 042 A000200 0 042 B000200 0 042 C000200 0 042 D000200 0 042 E000200 0 042 F000200 0 PAGE 75 042 G000200 0 042 H000200 0 042 A000300 0 042 B000300 0 042 C000300 0 042 D000300 0 042 E000300 0 042 F000300 0 042 G000300 0 042 H000300 0 042 A000500 0 042 B000500 0 042 C000500 100 042 D000500 0 042 E000500 0 042 F000500 0 042 G000500 0 042 H000500 0 042 A000700 0 042 B000700 0 042 C000700 100 042 D000700 0 042 E000700 0 042 F000700 0 042 G000700 0 042 H000700 0 042 A000800 0 042 B000800 0 042 C000800 100 042 D000800 0 042 E000800 0 042 F000800 0 042 G000800 0 042 H000800 0 042 A000900 0 042 B000900 0 042 C000900 0 042 D000900 0 042 E000900 0 042 F000900 0 042 G000900 0 042 H000900 0 042 A001100 0 042 B001100 0 042 C001100 0 042 D001100 0 042 E001100 0 042 F001100 0 042 G001100 0 042 H001100 0 042 A001200 0 PAGE 76 042 B001200 0 042 C001200 0 042 D001200 0 042 E001200 0 042 F001200 0 042 G001200 0 042 H001200 0 042 A001300 0 042 B001300 0 042 C001300 100 042 D001300 0 042 E001300 0 042 F001300 0 042 G001300 0 042 H001300 0 042 A001400 0 042 B001400 0 042 C001400 0 042 D001400 0 042 E001400 0 042 F001400 0 042 G001400 0 042 H001400 0 042 A001600 0 042 B001600 0 042 C001600 0 042 D001600 0 042 E001600 0 042 F001600 0 042 G001600 0 042 H001600 0 042 A001700 0 042 B001700 0 042 C001700 0 042 D001700 0 042 E001700 0 042 F001700 0 042 G001700 0 042 H001700 0 042 A002000 0 042 B002000 0 042 C002000 100 042 D002000 0 042 E002000 0 042 F002000 0 042 G002000 0 042 H002000 0 042 A002100 0 042 B002100 0 042 C002100 0 042 D002100 0 PAGE 77 042 E002100 0 042 F002100 0 042 G002100 0 042 H002100 0 042 A002200 0 042 B002200 0 042 C002200 0 042 D002200 0 042 E002200 0 042 F002200 0 042 G002200 0 042 H002200 0 042 A002500 0 042 B002500 0 042 C002500 100 042 D002500 0 042 E002500 0 042 F002500 0 042 G002500 0 042 H002500 0 042 A002600 0 042 B002600 0 042 C002600 100 042 D002600 0 042 E002600 0 042 F002600 0 042 G002600 0 042 H002600 0 042 A002700 0 042 B002700 0 042 C002700 100 042 D002700 0 042 E002700 0 042 F002700 0 042 G002700 0 042 H002700 0 042 A002800 0 042 B002800 0 042 C002800 100 042 D002800 0 042 E002800 0 042 F002800 0 042 G002800 0 042 H002800 0 042 A002900 0 042 B002900 0 042 C002900 100 042 D002900 0 042 E002900 0 042 F002900 0 042 G002900 0 PAGE 78 042 H002900 0 042 A003000 0 042 B003000 0 042 C003000 100 042 D003000 0 042 E003000 0 042 F003000 0 042 G003000 0 042 H003000 0 042 A003100 0 042 B003100 0 042 C003100 0 042 D003100 0 042 E003100 0 042 F003100 0 042 G003100 0 042 H003100 0 042 A003200 0 042 B003200 0 042 C003200 100 042 D003200 0 042 E003200 0 042 F003200 0 042 G003200 0 042 H003200 0 042 A003300 0 042 B003300 0 042 C003300 0 042 D003300 0 042 E003300 0 042 F003300 0 042 G003300 0 042 H003300 0 042 A003400 0 042 B003400 0 042 C003400 0 042 D003400 0 042 E003400 0 042 F003400 0 042 G003400 0 042 H003400 0 042 A003500 0 042 B003500 0 042 C003500 0 042 D003500 0 042 E003500 0 042 F003500 0 042 G003500 0 042 H003500 0 043 000100 0 043 000200 0 PAGE 79 043 000300 0 043 000500 2084 043 000700 943 043 000800 21 043 000900 0 043 001100 0 043 001200 0 043 001300 92 043 001400 0 043 001600 0 043 001700 0 043 002000 128 043 002100 0 043 002200 0 043 002500 255 043 002600 217 043 002700 53 043 002800 32 043 002900 24 043 003000 71 043 003100 0 043 003200 299 043 003300 0 043 003400 0 043 003500 0 044 000100 45 044 000200 2 044 000300 2 044 000500 752 044 000700 115 044 000800 35 044 000900 17 044 001100 2409 044 001200 1 044 001300 34 044 001400 9 044 001600 2 044 001700 1 044 002000 24 044 002100 1 044 002200 2 044 002500 26 044 002600 19 044 002700 5 044 002800 3 044 002900 2 044 003000 6 044 003100 0 044 003200 32 044 003300 0 044 003400 0 PAGE 80 044 003500 0 045 00AA00 Y 046 00AA00 N 047 00AA00 N 048 00AA00 0.000 048 A01AA00 0 048 A02AA00 0.000 048 B01AA00 0 048 B02AA00 0.000 048 C01AA00 0 048 C02AA00 0.000 048 D01AA00 0 048 D02AA00 0.000 048 E01AA00 0 048 E02AA00 0.000 048 F01AA00 0 048 F02AA00 0.000 048 G01AA00 0 048 G02AA00 0.000 048 H01AA00 0 048 H02AA00 0.000 048 I01AA00 0 048 I02AA00 0.000 048 J01AA00 0 048 J02AA00 0.000 048 K01AA00 0 048 K02AA00 0.000 049 000100 N 049 000200 N 049 000300 N 049 000500 N 049 000700 N 049 000800 N 049 000900 N 049 001100 N 049 001200 N 049 001300 N 049 001400 N 049 001600 N 049 001700 N 049 002000 N 049 002100 N 049 002200 N 049 002500 N 049 002600 N 049 002700 N 049 002800 N 049 002900 N 049 003000 N 049 003100 N 049 003200 N PAGE 81 049 003300 N 049 003400 N 049 003500 N 050 000100 N 050 000200 N 050 000300 N 050 000500 N 050 000700 N 050 000800 N 050 000900 N 050 001100 N 050 001200 N 050 001300 N 050 001400 N 050 001600 N 050 001700 N 050 002000 N 050 002100 N 050 002200 N 050 002500 N 050 002600 N 050 002700 N 050 002800 N 050 002900 N 050 003000 N 050 003100 N 050 003200 N 050 003300 N 050 003400 N 050 003500 N 051 000100 Y 051 000200 Y 051 000300 Y 051 000500 Y 051 000700 Y 051 000800 Y 051 000900 N 051 001100 Y 051 001200 Y 051 001300 N 051 001400 Y 051 001600 Y 051 001700 Y 051 002000 N 051 002100 N 051 002200 N 051 002500 Y 051 002600 Y 051 002700 Y 051 002800 Y 051 002900 Y PAGE 82 051 003000 N 051 003100 N 051 003200 N 051 003300 Y 051 003400 Y 051 003500 Y 052 000100 Y 052 000200 Y 052 000300 Y 052 000500 Y 052 000700 Y 052 000800 Y 052 000900 Y 052 001100 Y 052 001200 Y 052 001300 Y 052 001400 Y 052 001600 Y 052 001700 Y 052 002000 Y 052 002100 Y 052 002200 Y 052 002500 Y 052 002600 Y 052 002700 Y 052 002800 Y 052 002900 Y 052 003000 Y 052 003100 Y 052 003200 Y 052 003300 Y 052 003400 Y 052 003500 Y 053 A000100 Y 053 B000100 Y 053 C000100 N 053 A000200 Y 053 B000200 Y 053 C000200 N 053 A000300 Y 053 B000300 Y 053 C000300 N 053 A000500 Y 053 B000500 Y 053 C000500 N 053 A000700 Y 053 B000700 Y 053 C000700 N 053 A000800 Y 053 B000800 Y 053 C000800 N PAGE 83 053 A000900 Y 053 B000900 Y 053 C000900 N 053 A001100 Y 053 B001100 Y 053 C001100 N 053 A001200 Y 053 B001200 Y 053 C001200 N 053 A001300 Y 053 B001300 Y 053 C001300 N 053 A001400 Y 053 B001400 Y 053 C001400 N 053 A001600 Y 053 B001600 Y 053 C001600 N 053 A001700 Y 053 B001700 Y 053 C001700 N 053 A002000 Y 053 B002000 Y 053 C002000 N 053 A002100 Y 053 B002100 Y 053 C002100 N 053 A002200 Y 053 B002200 Y 053 C002200 N 053 A002500 Y 053 B002500 Y 053 C002500 N 053 A002600 Y 053 B002600 Y 053 C002600 N 053 A002700 Y 053 B002700 Y 053 C002700 N 053 A002800 Y 053 B002800 Y 053 C002800 N 053 A002900 Y 053 B002900 Y 053 C002900 N 053 A003000 Y 053 B003000 Y 053 C003000 N 053 A003100 Y 053 B003100 Y 053 C003100 N PAGE 84 053 A003200 Y 053 B003200 Y 053 C003200 N 053 A003300 Y 053 B003300 Y 053 C003300 N 053 A003400 Y 053 B003400 Y 053 C003400 N 053 A003500 Y 053 B003500 Y 053 C003500 N 054 A00AA00 Y 054 B00AA00 Y 054 C00AA00 N 054 D00AA00 N 054 E00AA00 N 054 F00AA00 N 054 G00AA00 Y 054 H00AA00 Y 054 I00AA00 N 054 J00AA00 Y 054 K00AA00 Y 054 L00AA00 N 054 M00AA00 Y 054 N00AA00 Y 054 O00AA00 Y 055 A000100 N 055 B000100 N 055 A000200 N 055 B000200 N 055 A000300 N 055 B000300 N 055 A000500 N 055 B000500 N 055 A000700 N 055 B000700 N 055 A000800 N 055 B000800 N 055 A000900 N 055 B000900 N 055 A001100 N 055 B001100 N 055 A001200 N 055 B001200 N 055 A001300 N 055 B001300 N 055 A001400 N 055 B001400 N 055 A001600 N 055 B001600 N PAGE 85 055 A001700 N 055 B001700 N 055 A002000 N 055 B002000 N 055 A002100 N 055 B002100 N 055 A002200 N 055 B002200 N 055 A002500 N 055 B002500 N 055 A002600 N 055 B002600 N 055 A002700 N 055 B002700 N 055 A002800 N 055 B002800 N 055 A002900 N 055 B002900 N 055 A003000 Y 055 B003000 N 055 A003100 N 055 B003100 N 055 A003200 Y 055 B003200 Y 055 A003300 N 055 B003300 N 055 A003400 N 055 B003400 N 055 A003500 N 055 B003500 N 056 000100 Y 056 000200 Y 056 000300 Y 056 000500 Y 056 000700 Y 056 000800 Y 056 000900 Y 056 001100 Y 056 001200 Y 056 001300 Y 056 001400 Y 056 001600 Y 056 001700 Y 056 002000 Y 056 002100 Y 056 002200 Y 056 002500 Y 056 002600 Y 056 002700 Y 056 002800 Y 056 002900 Y PAGE 86 056 003000 Y 056 003100 Y 056 003200 Y 056 003300 Y 056 003400 Y 056 003500 Y 057 000100 N 057 000200 N 057 000300 N 057 000500 N 057 000700 N 057 000800 N 057 000900 N 057 001100 N 057 001200 N 057 001300 N 057 001400 N 057 001600 N 057 001700 N 057 002000 N 057 002100 N 057 002200 N 057 002500 N 057 002600 N 057 002700 N 057 002800 N 057 002900 N 057 003000 N 057 003100 N 057 003200 N 057 003300 N 057 003400 N 057 003500 N 058 A000100 N 058 A000200 N 058 A000300 N 058 A000500 N 058 A000700 N 058 A000800 N 058 A000900 N 058 A001100 N 058 A001200 N 058 A001300 N 058 A001400 N 058 A001600 N 058 A001700 N 058 A002000 N 058 A002100 N 058 A002200 N 058 A002500 N 058 A002600 N PAGE 87 058 A002700 N 058 A002800 N 058 A002900 N 058 A003000 N 058 A003100 N 058 A003200 N 058 A003300 N 058 A003400 N 058 A003500 N 059 000100 Y 059 000200 Y 059 000300 Y 059 000500 Y 059 000700 Y 059 000800 Y 059 000900 Y 059 001100 Y 059 001200 Y 059 001300 Y 059 001400 Y 059 001600 Y 059 001700 Y 059 002000 Y 059 002100 Y 059 002200 Y 059 002500 Y 059 002600 Y 059 002700 Y 059 002800 Y 059 002900 Y 059 003000 Y 059 003100 Y 059 003200 Y 059 003300 Y 059 003400 Y 059 003500 Y 060 A000100 Y 060 B000100 Y 060 A000200 Y 060 B000200 Y 060 A000300 Y 060 B000300 Y 060 A000500 Y 060 B000500 Y 060 A000700 Y 060 B000700 Y 060 A000800 Y 060 B000800 Y 060 A000900 Y 060 B000900 Y 060 A001100 Y PAGE 88 060 B001100 Y 060 A001200 Y 060 B001200 Y 060 A001300 N 060 B001300 N 060 A001400 Y 060 B001400 Y 060 A001600 Y 060 B001600 Y 060 A001700 Y 060 B001700 Y 060 A002000 Y 060 B002000 Y 060 A002100 Y 060 B002100 Y 060 A002200 Y 060 B002200 Y 060 A002500 Y 060 B002500 Y 060 A002600 Y 060 B002600 Y 060 A002700 Y 060 B002700 Y 060 A002800 Y 060 B002800 Y 060 A002900 Y 060 B002900 Y 060 A003000 N 060 B003000 N 060 A003100 Y 060 B003100 Y 060 A003200 N 060 B003200 N 060 A003300 Y 060 B003300 Y 060 A003400 Y 060 B003400 Y 060 A003500 Y 060 B003500 Y 061 000100 2500 061 000200 2500 061 000300 2500 061 000500 2500 061 000700 2500 061 000800 2500 061 000900 2500 061 001100 2500 061 001200 2500 061 001300 2500 061 001400 2500 061 001600 2500 PAGE 89 061 001700 2500 061 002000 2500 061 002100 2500 061 002200 2500 061 002500 2500 061 002600 2500 061 002700 2500 061 002800 2500 061 002900 2500 061 003000 2500 061 003100 0 061 003200 2500 061 003300 0 061 003400 0 061 003500 0 062 A00AA00 N 062 B00AA00 0.0 062 C00AA00 0.0 062 D00AA00 0.0 062 E00AA00 0.0 062 F00AA00 0.0 062 G00AA00 0.0 062 H00AA00 0.0 062 I00AA00 0.0 062 J00AA00 0.0 062 K00AA00 0.0 062 L00AA00 0.0 062 M00AA00 0.0 062 N00AA00 0.0 062 O00AA00 0.0 062 P00AA00 0.0 062 Q00AA00 0.0 062 R00AA00 0.0 063 A00AA00 0 063 B00AA00 0.0 066 A000100 Y 066 B000100 N 066 C000100 N 066 D000100 Y 066 E000100 N 066 F000100 N 066 G000100 N 066 A000200 Y 066 B000200 N 066 C000200 N 066 D000200 Y 066 E000200 N 066 F000200 N 066 G000200 N 066 A000300 Y 066 B000300 N PAGE 90 066 C000300 N 066 D000300 Y 066 E000300 N 066 F000300 N 066 G000300 N 066 A000500 Y 066 B000500 N 066 C000500 N 066 D000500 Y 066 E000500 N 066 F000500 N 066 G000500 N 066 A000700 Y 066 B000700 N 066 C000700 N 066 D000700 Y 066 E000700 N 066 F000700 N 066 G000700 N 066 A000800 Y 066 B000800 N 066 C000800 N 066 D000800 Y 066 E000800 N 066 F000800 N 066 G000800 N 066 A000900 Y 066 B000900 N 066 C000900 Y 066 D000900 N 066 E000900 N 066 F000900 N 066 G000900 N 066 A001100 Y 066 B001100 N 066 C001100 N 066 D001100 Y 066 E001100 N 066 F001100 N 066 G001100 N 066 A001200 Y 066 B001200 N 066 C001200 N 066 D001200 Y 066 E001200 N 066 F001200 N 066 G001200 N 066 A001300 Y 066 B001300 N 066 C001300 N 066 D001300 Y PAGE 91 066 E001300 N 066 F001300 N 066 G001300 N 066 A001400 Y 066 B001400 N 066 C001400 Y 066 D001400 N 066 E001400 N 066 F001400 N 066 G001400 N 066 A001600 Y 066 B001600 N 066 C001600 Y 066 D001600 N 066 E001600 N 066 F001600 N 066 G001600 N 066 A001700 Y 066 B001700 N 066 C001700 N 066 D001700 Y 066 E001700 N 066 F001700 N 066 G001700 N 066 A002000 Y 066 B002000 N 066 C002000 N 066 D002000 Y 066 E002000 N 066 F002000 N 066 G002000 N 066 A002100 Y 066 B002100 N 066 C002100 N 066 D002100 Y 066 E002100 N 066 F002100 N 066 G002100 N 066 A002200 Y 066 B002200 N 066 C002200 N 066 D002200 Y 066 E002200 N 066 F002200 N 066 G002200 N 066 A002500 Y 066 B002500 N 066 C002500 Y 066 D002500 N 066 E002500 N 066 F002500 N PAGE 92 066 G002500 N 066 A002600 Y 066 B002600 N 066 C002600 Y 066 D002600 N 066 E002600 N 066 F002600 N 066 G002600 N 066 A002700 Y 066 B002700 N 066 C002700 Y 066 D002700 N 066 E002700 N 066 F002700 N 066 G002700 N 066 A002800 Y 066 B002800 N 066 C002800 N 066 D002800 Y 066 E002800 N 066 F002800 N 066 G002800 N 066 A002900 Y 066 B002900 N 066 C002900 N 066 D002900 Y 066 E002900 N 066 F002900 N 066 G002900 N 066 A003000 Y 066 B003000 N 066 C003000 Y 066 D003000 N 066 E003000 N 066 F003000 N 066 G003000 N 066 A003100 Y 066 B003100 N 066 C003100 Y 066 D003100 N 066 E003100 N 066 F003100 N 066 G003100 N 066 A003200 Y 066 B003200 N 066 C003200 Y 066 D003200 N 066 E003200 N 066 F003200 N 066 G003200 N 066 A003300 Y PAGE 93 066 B003300 N 066 C003300 Y 066 D003300 N 066 E003300 N 066 F003300 N 066 G003300 N 066 A003400 Y 066 B003400 N 066 C003400 Y 066 D003400 N 066 E003400 N 066 F003400 N 066 G003400 N 066 A003500 Y 066 B003500 N 066 C003500 Y 066 D003500 N 066 E003500 N 066 F003500 N 066 G003500 N 067 000100 N 067 000200 N 067 000300 N 067 000500 N 067 000700 N 067 000800 N 067 000900 N 067 001100 N 067 001200 N 067 001300 N 067 001400 N 067 001600 N 067 001700 N 067 002000 N 067 002100 N 067 002200 N 067 002500 N 067 002600 N 067 002700 N 067 002800 N 067 002900 N 067 003000 N 067 003100 N 067 003200 N 067 003300 N 067 003400 N 067 003500 N 068 A000100 N 068 B000100 Y 068 A000200 N 068 B000200 Y PAGE 94 068 A000300 N 068 B000300 Y 068 A000500 N 068 B000500 Y 068 A000700 N 068 B000700 Y 068 A000800 N 068 B000800 Y 068 A000900 N 068 B000900 Y 068 A001100 N 068 B001100 Y 068 A001200 N 068 B001200 Y 068 A001300 N 068 B001300 Y 068 A001400 N 068 B001400 Y 068 A001600 N 068 B001600 Y 068 A001700 N 068 B001700 Y 068 A002000 N 068 B002000 Y 068 A002100 N 068 B002100 Y 068 A002200 N 068 B002200 Y 068 A002500 N 068 B002500 Y 068 A002600 N 068 B002600 Y 068 A002700 N 068 B002700 Y 068 A002800 N 068 B002800 Y 068 A002900 N 068 B002900 Y 068 A003000 N 068 B003000 Y 068 A003100 N 068 B003100 Y 068 A003200 N 068 B003200 Y 068 A003300 N 068 B003300 Y 068 A003400 N 068 B003400 Y 068 A003500 N 068 B003500 Y 069 000100 N PAGE 95 069 000200 N 069 000300 N 069 000500 N 069 000700 N 069 000800 N 069 000900 N 069 001100 N 069 001200 N 069 001300 N 069 001400 N 069 001600 N 069 001700 N 069 002000 N 069 002100 N 069 002200 N 069 002500 N 069 002600 N 069 002700 N 069 002800 N 069 002900 N 069 003000 N 069 003100 N 069 003200 N 069 003300 N 069 003400 N 069 003500 N 070 A010100 Y 070 A020100 Y 070 B010100 Y 070 B020100 N 070 C010100 Y 070 C020100 N 070 D010100 Y 070 D020100 N 070 E010100 Y 070 E020100 N 070 F010100 Y 070 F020100 N 070 G010100 Y 070 G020100 N 070 H010100 Y 070 H020100 N 070 I010100 N 070 I020100 N 070 J010100 Y 070 J020100 N 070 K010100 Y 070 K020100 Y 070 L010100 Y 070 L020100 Y 070 M010100 Y PAGE 96 070 M020100 Y 070 N010100 Y 070 N020100 Y 070 O010100 Y 070 O020100 N 070 P010100 Y 070 P020100 Y 070 Q010100 N 070 Q020100 N 070 R010100 Y 070 R020100 N 070 A010200 Y 070 A020200 Y 070 B010200 Y 070 B020200 N 070 C010200 Y 070 C020200 N 070 D010200 Y 070 D020200 N 070 E010200 Y 070 E020200 N 070 F010200 Y 070 F020200 N 070 G010200 Y 070 G020200 N 070 H010200 Y 070 H020200 N 070 I010200 N 070 I020200 N 070 J010200 Y 070 J020200 N 070 K010200 Y 070 K020200 Y 070 L010200 Y 070 L020200 Y 070 M010200 Y 070 M020200 Y 070 N010200 Y 070 N020200 Y 070 O010200 Y 070 O020200 N 070 P010200 Y 070 P020200 Y 070 Q010200 N 070 Q020200 N 070 R010200 Y 070 R020200 N 070 A010300 Y 070 A020300 Y 070 B010300 Y 070 B020300 N PAGE 97 070 C010300 Y 070 C020300 N 070 D010300 Y 070 D020300 N 070 E010300 Y 070 E020300 N 070 F010300 Y 070 F020300 N 070 G010300 Y 070 G020300 N 070 H010300 Y 070 H020300 N 070 I010300 N 070 I020300 N 070 J010300 Y 070 J020300 N 070 K010300 Y 070 K020300 Y 070 L010300 Y 070 L020300 Y 070 M010300 Y 070 M020300 Y 070 N010300 Y 070 N020300 Y 070 O010300 Y 070 O020300 N 070 P010300 Y 070 P020300 Y 070 Q010300 N 070 Q020300 N 070 R010300 Y 070 R020300 N 070 A010500 Y 070 A020500 Y 070 B010500 Y 070 B020500 N 070 C010500 Y 070 C020500 N 070 D010500 Y 070 D020500 N 070 E010500 Y 070 E020500 N 070 F010500 Y 070 F020500 N 070 G010500 Y 070 G020500 N 070 H010500 Y 070 H020500 N 070 I010500 N 070 I020500 N 070 J010500 Y PAGE 98 070 J020500 Y 070 K010500 Y 070 K020500 Y 070 L010500 Y 070 L020500 Y 070 M010500 Y 070 M020500 Y 070 N010500 Y 070 N020500 Y 070 O010500 Y 070 O020500 N 070 P010500 Y 070 P020500 Y 070 Q010500 N 070 Q020500 N 070 R010500 Y 070 R020500 N 070 A010700 Y 070 A020700 Y 070 B010700 Y 070 B020700 N 070 C010700 Y 070 C020700 N 070 D010700 Y 070 D020700 N 070 E010700 Y 070 E020700 N 070 F010700 Y 070 F020700 N 070 G010700 Y 070 G020700 N 070 H010700 Y 070 H020700 N 070 I010700 N 070 I020700 N 070 J010700 Y 070 J020700 Y 070 K010700 Y 070 K020700 Y 070 L010700 Y 070 L020700 Y 070 M010700 Y 070 M020700 Y 070 N010700 Y 070 N020700 Y 070 O010700 Y 070 O020700 N 070 P010700 Y 070 P020700 Y 070 Q010700 N 070 Q020700 N PAGE 99 070 R010700 Y 070 R020700 N 070 A010800 Y 070 A020800 Y 070 B010800 Y 070 B020800 N 070 C010800 Y 070 C020800 N 070 D010800 Y 070 D020800 N 070 E010800 Y 070 E020800 N 070 F010800 Y 070 F020800 N 070 G010800 Y 070 G020800 N 070 H010800 Y 070 H020800 N 070 I010800 N 070 I020800 N 070 J010800 Y 070 J020800 Y 070 K010800 Y 070 K020800 Y 070 L010800 Y 070 L020800 Y 070 M010800 Y 070 M020800 Y 070 N010800 Y 070 N020800 Y 070 O010800 Y 070 O020800 N 070 P010800 Y 070 P020800 Y 070 Q010800 N 070 Q020800 N 070 R010800 Y 070 R020800 N 070 A010900 Y 070 A020900 Y 070 B010900 Y 070 B020900 N 070 C010900 Y 070 C020900 N 070 D010900 Y 070 D020900 N 070 E010900 Y 070 E020900 N 070 F010900 Y 070 F020900 N 070 G010900 Y PAGE 100 070 G020900 N 070 H010900 Y 070 H020900 N 070 I010900 N 070 I020900 N 070 J010900 Y 070 J020900 Y 070 K010900 Y 070 K020900 Y 070 L010900 Y 070 L020900 Y 070 M010900 Y 070 M020900 Y 070 N010900 Y 070 N020900 Y 070 O010900 Y 070 O020900 N 070 P010900 Y 070 P020900 Y 070 Q010900 N 070 Q020900 N 070 R010900 Y 070 R020900 N 070 A011100 Y 070 A021100 Y 070 B011100 Y 070 B021100 N 070 C011100 Y 070 C021100 N 070 D011100 Y 070 D021100 N 070 E011100 Y 070 E021100 N 070 F011100 Y 070 F021100 N 070 G011100 Y 070 G021100 N 070 H011100 Y 070 H021100 N 070 I011100 N 070 I021100 N 070 J011100 Y 070 J021100 Y 070 K011100 Y 070 K021100 Y 070 L011100 Y 070 L021100 Y 070 M011100 Y 070 M021100 Y 070 N011100 Y 070 N021100 Y PAGE 101 070 O011100 Y 070 O021100 N 070 P011100 Y 070 P021100 Y 070 Q011100 N 070 Q021100 N 070 R011100 Y 070 R021100 N 070 A011200 Y 070 A021200 Y 070 B011200 Y 070 B021200 N 070 C011200 Y 070 C021200 N 070 D011200 Y 070 D021200 N 070 E011200 Y 070 E021200 N 070 F011200 Y 070 F021200 N 070 G011200 Y 070 G021200 N 070 H011200 Y 070 H021200 N 070 I011200 N 070 I021200 N 070 J011200 Y 070 J021200 N 070 K011200 Y 070 K021200 Y 070 L011200 Y 070 L021200 Y 070 M011200 Y 070 M021200 Y 070 N011200 Y 070 N021200 Y 070 O011200 Y 070 O021200 N 070 P011200 Y 070 P021200 N 070 Q011200 N 070 Q021200 N 070 R011200 Y 070 R021200 N 070 A011300 Y 070 A021300 Y 070 B011300 Y 070 B021300 N 070 C011300 Y 070 C021300 N 070 D011300 Y PAGE 102 070 D021300 N 070 E011300 Y 070 E021300 N 070 F011300 Y 070 F021300 N 070 G011300 Y 070 G021300 N 070 H011300 Y 070 H021300 N 070 I011300 N 070 I021300 N 070 J011300 Y 070 J021300 Y 070 K011300 Y 070 K021300 Y 070 L011300 Y 070 L021300 Y 070 M011300 Y 070 M021300 Y 070 N011300 Y 070 N021300 Y 070 O011300 Y 070 O021300 N 070 P011300 Y 070 P021300 Y 070 Q011300 N 070 Q021300 N 070 R011300 Y 070 R021300 N 070 A011400 Y 070 A021400 Y 070 B011400 Y 070 B021400 N 070 C011400 Y 070 C021400 N 070 D011400 Y 070 D021400 N 070 E011400 Y 070 E021400 N 070 F011400 Y 070 F021400 N 070 G011400 Y 070 G021400 N 070 H011400 Y 070 H021400 N 070 I011400 N 070 I021400 N 070 J011400 Y 070 J021400 N 070 K011400 Y 070 K021400 Y PAGE 103 070 L011400 Y 070 L021400 Y 070 M011400 Y 070 M021400 Y 070 N011400 Y 070 N021400 Y 070 O011400 Y 070 O021400 N 070 P011400 Y 070 P021400 Y 070 Q011400 N 070 Q021400 N 070 R011400 Y 070 R021400 N 070 A011600 Y 070 A021600 Y 070 B011600 Y 070 B021600 N 070 C011600 Y 070 C021600 N 070 D011600 Y 070 D021600 N 070 E011600 Y 070 E021600 N 070 F011600 Y 070 F021600 N 070 G011600 Y 070 G021600 N 070 H011600 Y 070 H021600 N 070 I011600 N 070 I021600 N 070 J011600 Y 070 J021600 N 070 K011600 Y 070 K021600 Y 070 L011600 Y 070 L021600 Y 070 M011600 Y 070 M021600 Y 070 N011600 Y 070 N021600 Y 070 O011600 Y 070 O021600 N 070 P011600 Y 070 P021600 Y 070 Q011600 N 070 Q021600 N 070 R011600 Y 070 R021600 N 070 A011700 Y PAGE 104 070 A021700 Y 070 B011700 Y 070 B021700 N 070 C011700 Y 070 C021700 N 070 D011700 Y 070 D021700 N 070 E011700 Y 070 E021700 N 070 F011700 Y 070 F021700 N 070 G011700 Y 070 G021700 N 070 H011700 Y 070 H021700 N 070 I011700 N 070 I021700 N 070 J011700 Y 070 J021700 Y 070 K011700 Y 070 K021700 Y 070 L011700 Y 070 L021700 Y 070 M011700 Y 070 M021700 Y 070 N011700 Y 070 N021700 Y 070 O011700 Y 070 O021700 N 070 P011700 Y 070 P021700 Y 070 Q011700 N 070 Q021700 N 070 R011700 Y 070 R021700 N 070 A012000 Y 070 A022000 Y 070 B012000 Y 070 B022000 N 070 C012000 Y 070 C022000 N 070 D012000 Y 070 D022000 N 070 E012000 Y 070 E022000 N 070 F012000 Y 070 F022000 N 070 G012000 Y 070 G022000 N 070 H012000 Y 070 H022000 N PAGE 105 070 I012000 N 070 I022000 N 070 J012000 Y 070 J022000 N 070 K012000 Y 070 K022000 Y 070 L012000 Y 070 L022000 Y 070 M012000 Y 070 M022000 Y 070 N012000 Y 070 N022000 Y 070 O012000 Y 070 O022000 N 070 P012000 Y 070 P022000 Y 070 Q012000 N 070 Q022000 N 070 R012000 Y 070 R022000 N 070 A012100 Y 070 A022100 Y 070 B012100 Y 070 B022100 N 070 C012100 Y 070 C022100 N 070 D012100 Y 070 D022100 N 070 E012100 Y 070 E022100 N 070 F012100 Y 070 F022100 N 070 G012100 Y 070 G022100 N 070 H012100 Y 070 H022100 N 070 I012100 N 070 I022100 N 070 J012100 Y 070 J022100 N 070 K012100 Y 070 K022100 Y 070 L012100 Y 070 L022100 Y 070 M012100 Y 070 M022100 Y 070 N012100 Y 070 N022100 Y 070 O012100 Y 070 O022100 N 070 P012100 Y PAGE 106 070 P022100 N 070 Q012100 N 070 Q022100 N 070 R012100 Y 070 R022100 N 070 A012200 Y 070 A022200 Y 070 B012200 Y 070 B022200 N 070 C012200 Y 070 C022200 N 070 D012200 Y 070 D022200 N 070 E012200 Y 070 E022200 N 070 F012200 Y 070 F022200 N 070 G012200 Y 070 G022200 N 070 H012200 Y 070 H022200 N 070 I012200 N 070 I022200 N 070 J012200 Y 070 J022200 N 070 K012200 Y 070 K022200 Y 070 L012200 Y 070 L022200 Y 070 M012200 Y 070 M022200 Y 070 N012200 Y 070 N022200 Y 070 O012200 Y 070 O022200 N 070 P012200 Y 070 P022200 Y 070 Q012200 N 070 Q022200 N 070 R012200 Y 070 R022200 N 070 A012500 Y 070 A022500 Y 070 B012500 Y 070 B022500 N 070 C012500 Y 070 C022500 N 070 D012500 Y 070 D022500 N 070 E012500 Y 070 E022500 N PAGE 107 070 F012500 Y 070 F022500 Y 070 G012500 Y 070 G022500 N 070 H012500 Y 070 H022500 N 070 I012500 N 070 I022500 N 070 J012500 Y 070 J022500 Y 070 K012500 Y 070 K022500 Y 070 L012500 Y 070 L022500 Y 070 M012500 Y 070 M022500 Y 070 N012500 Y 070 N022500 Y 070 O012500 Y 070 O022500 N 070 P012500 Y 070 P022500 Y 070 Q012500 N 070 Q022500 N 070 R012500 Y 070 R022500 N 070 A012600 Y 070 A022600 Y 070 B012600 Y 070 B022600 N 070 C012600 Y 070 C022600 N 070 D012600 Y 070 D022600 N 070 E012600 Y 070 E022600 N 070 F012600 Y 070 F022600 N 070 G012600 Y 070 G022600 N 070 H012600 Y 070 H022600 N 070 I012600 N 070 I022600 N 070 J012600 Y 070 J022600 Y 070 K012600 Y 070 K022600 Y 070 L012600 Y 070 L022600 Y 070 M012600 Y PAGE 108 070 M022600 Y 070 N012600 Y 070 N022600 Y 070 O012600 Y 070 O022600 N 070 P012600 Y 070 P022600 Y 070 Q012600 N 070 Q022600 N 070 R012600 Y 070 R022600 N 070 A012700 Y 070 A022700 Y 070 B012700 Y 070 B022700 N 070 C012700 Y 070 C022700 N 070 D012700 Y 070 D022700 N 070 E012700 Y 070 E022700 N 070 F012700 Y 070 F022700 N 070 G012700 Y 070 G022700 N 070 H012700 Y 070 H022700 N 070 I012700 N 070 I022700 N 070 J012700 Y 070 J022700 N 070 K012700 Y 070 K022700 Y 070 L012700 Y 070 L022700 Y 070 M012700 Y 070 M022700 Y 070 N012700 Y 070 N022700 Y 070 O012700 Y 070 O022700 N 070 P012700 Y 070 P022700 Y 070 Q012700 N 070 Q022700 N 070 R012700 Y 070 R022700 N 070 A012800 Y 070 A022800 Y 070 B012800 Y 070 B022800 N PAGE 109 070 C012800 Y 070 C022800 N 070 D012800 Y 070 D022800 N 070 E012800 Y 070 E022800 N 070 F012800 Y 070 F022800 N 070 G012800 Y 070 G022800 N 070 H012800 Y 070 H022800 N 070 I012800 N 070 I022800 N 070 J012800 Y 070 J022800 Y 070 K012800 Y 070 K022800 Y 070 L012800 Y 070 L022800 Y 070 M012800 Y 070 M022800 Y 070 N012800 Y 070 N022800 Y 070 O012800 Y 070 O022800 N 070 P012800 Y 070 P022800 Y 070 Q012800 N 070 Q022800 N 070 R012800 Y 070 R022800 N 070 A012900 Y 070 A022900 Y 070 B012900 Y 070 B022900 N 070 C012900 Y 070 C022900 N 070 D012900 Y 070 D022900 N 070 E012900 Y 070 E022900 N 070 F012900 Y 070 F022900 N 070 G012900 Y 070 G022900 N 070 H012900 Y 070 H022900 N 070 I012900 N 070 I022900 N 070 J012900 Y PAGE 110 070 J022900 Y 070 K012900 Y 070 K022900 Y 070 L012900 Y 070 L022900 Y 070 M012900 Y 070 M022900 Y 070 N012900 Y 070 N022900 Y 070 O012900 Y 070 O022900 N 070 P012900 Y 070 P022900 Y 070 Q012900 N 070 Q022900 N 070 R012900 Y 070 R022900 N 070 A013000 Y 070 A023000 Y 070 B013000 Y 070 B023000 N 070 C013000 Y 070 C023000 N 070 D013000 Y 070 D023000 N 070 E013000 Y 070 E023000 N 070 F013000 Y 070 F023000 N 070 G013000 Y 070 G023000 N 070 H013000 Y 070 H023000 N 070 I013000 N 070 I023000 N 070 J013000 Y 070 J023000 N 070 K013000 Y 070 K023000 Y 070 L013000 Y 070 L023000 Y 070 M013000 Y 070 M023000 Y 070 N013000 Y 070 N023000 N 070 O013000 Y 070 O023000 N 070 P013000 Y 070 P023000 Y 070 Q013000 N 070 Q023000 N PAGE 111 070 R013000 Y 070 R023000 N 070 A013100 Y 070 A023100 Y 070 B013100 Y 070 B023100 N 070 C013100 Y 070 C023100 N 070 D013100 Y 070 D023100 N 070 E013100 Y 070 E023100 N 070 F013100 Y 070 F023100 N 070 G013100 Y 070 G023100 N 070 H013100 Y 070 H023100 N 070 I013100 N 070 I023100 N 070 J013100 Y 070 J023100 Y 070 K013100 Y 070 K023100 Y 070 L013100 Y 070 L023100 Y 070 M013100 Y 070 M023100 Y 070 N013100 Y 070 N023100 Y 070 O013100 Y 070 O023100 N 070 P013100 Y 070 P023100 Y 070 Q013100 N 070 Q023100 N 070 R013100 Y 070 R023100 N 070 A013200 Y 070 A023200 Y 070 B013200 Y 070 B023200 N 070 C013200 Y 070 C023200 N 070 D013200 Y 070 D023200 N 070 E013200 Y 070 E023200 N 070 F013200 Y 070 F023200 N 070 G013200 Y PAGE 112 070 G023200 N 070 H013200 Y 070 H023200 N 070 I013200 N 070 I023200 N 070 J013200 Y 070 J023200 Y 070 K013200 Y 070 K023200 Y 070 L013200 Y 070 L023200 Y 070 M013200 Y 070 M023200 Y 070 N013200 Y 070 N023200 Y 070 O013200 Y 070 O023200 N 070 P013200 Y 070 P023200 Y 070 Q013200 N 070 Q023200 N 070 R013200 Y 070 R023200 N 070 A013300 Y 070 A023300 Y 070 B013300 Y 070 B023300 N 070 C013300 Y 070 C023300 N 070 D013300 Y 070 D023300 N 070 E013300 Y 070 E023300 N 070 F013300 Y 070 F023300 N 070 G013300 Y 070 G023300 N 070 H013300 Y 070 H023300 N 070 I013300 N 070 I023300 N 070 J013300 Y 070 J023300 Y 070 K013300 Y 070 K023300 Y 070 L013300 Y 070 L023300 Y 070 M013300 Y 070 M023300 Y 070 N013300 Y 070 N023300 Y PAGE 113 070 O013300 Y 070 O023300 N 070 P013300 Y 070 P023300 Y 070 Q013300 N 070 Q023300 N 070 R013300 Y 070 R023300 N 070 A013400 Y 070 A023400 Y 070 B013400 Y 070 B023400 N 070 C013400 Y 070 C023400 N 070 D013400 Y 070 D023400 N 070 E013400 Y 070 E023400 N 070 F013400 Y 070 F023400 N 070 G013400 Y 070 G023400 N 070 H013400 Y 070 H023400 N 070 I013400 N 070 I023400 N 070 J013400 Y 070 J023400 N 070 K013400 Y 070 K023400 Y 070 L013400 Y 070 L023400 Y 070 M013400 Y 070 M023400 Y 070 N013400 Y 070 N023400 Y 070 O013400 Y 070 O023400 N 070 P013400 Y 070 P023400 Y 070 Q013400 N 070 Q023400 N 070 R013400 Y 070 R023400 N 070 A013500 Y 070 A023500 Y 070 B013500 Y 070 B023500 N 070 C013500 Y 070 C023500 N 070 D013500 Y PAGE 114 070 D023500 N 070 E013500 Y 070 E023500 N 070 F013500 Y 070 F023500 N 070 G013500 Y 070 G023500 N 070 H013500 Y 070 H023500 N 070 I013500 N 070 I023500 N 070 J013500 Y 070 J023500 Y 070 K013500 Y 070 K023500 Y 070 L013500 Y 070 L023500 Y 070 M013500 Y 070 M023500 Y 070 N013500 Y 070 N023500 Y 070 O013500 Y 070 O023500 N 070 P013500 Y 070 P023500 Y 070 Q013500 N 070 Q023500 N 070 R013500 Y 070 R023500 N 071 A000100 7369512 071 B000100 8098799 071 C000100 6631370 071 D000100 111 071 A000200 2697646 071 B000200 4865987 071 C000200 1976829 071 D000200 136 071 A000300 481597 071 B000300 444843 071 C000300 673424 071 D000300 66 071 A000500 7811097 071 B000500 8569062 071 C000500 9520761 071 D000500 82 071 A000700 5636566 071 B000700 5347008 071 C000700 3745653 071 D000700 143 071 A000800 1661854 071 B000800 1707033 PAGE 115 071 C000800 1002702 071 D000800 166 071 A000900 3595488 071 B000900 3633116 071 C000900 4237989 071 D000900 85 071 A001100 19113606 071 B001100 23210050 071 C001100 33762745 071 D001100 57 071 A001200 399130 071 B001200 697220 071 C001200 919692 071 D001200 43 071 A001300 2394544 071 B001300 2764008 071 C001300 4086267 071 D001300 59 071 A001400 1735474 071 B001400 2127550 071 C001400 1656045 071 D001400 105 071 A001600 609802 071 B001600 709763 071 C001600 458801 071 D001600 133 071 A001700 2647573 071 B001700 2573967 071 C001700 536051 071 D001700 480 071 A002000 1178264 071 B002000 1564473 071 C002000 2057547 071 D002000 57 071 A002100 258361 071 B002100 360284 071 C002100 331700 071 D002100 78 071 A002200 325957 071 B002200 283636 071 C002200 354672 071 D002200 80 071 A002500 476133 071 B002500 487416 071 C002500 722684 071 D002500 66 071 A002600 186444 071 B002600 203425 071 C002600 380441 071 D002600 49 071 A002700 74051 PAGE 116 071 B002700 100612 071 C002700 172216 071 D002700 43 071 A002800 54337 071 B002800 37096 071 C002800 55640 071 D002800 67 071 A002900 31048 071 B002900 23132 071 C002900 26480 071 D002900 87 071 A003000 142395 071 B003000 123993 071 C003000 128593 071 D003000 96 071 A003100 3038675 071 B003100 1590535 071 C003100 1727013 071 D003100 92 071 A003200 387407 071 B003200 178636 071 C003200 333128 071 D003200 54 071 A003300 5254194 071 B003300 1145080 071 C003300 2008686 071 D003300 57 071 A003400 5541549 071 B003400 1304555 071 C003400 1983016 071 D003400 66 071 A003500 779008 071 B003500 72091 071 C003500 376329 071 D003500 19 072 A000100 12 072 B000100 26 072 C000100 148189 072 D000100 0 072 E000100 6599 072 F000100 40694 072 G000100 0 072 H000100 0 072 I000100 15332 072 J000100 1208 072 K000100 0 072 L000100 0 072 M000100 40 072 N000100 57 072 O000100 0 072 P000100 8 PAGE 117 072 Q000100 1713 072 R000100 114 072 S000100 52 072 T000100 0 072 U000100 0 072 V000100 0 072 W000100 94 072 X000100 59312 072 Y000100 2662 072 Z000100 98164 072AA000100 180556 072BB000100 0 072CC010100 94849 072CC020100 0 072DD010100 101745 072DD020100 6711 072EE000100 2309 072 A000200 12 072 B000200 2 072 C000200 43850 072 D000200 0 072 E000200 1478 072 F000200 16794 072 G000200 0 072 H000200 0 072 I000200 4628 072 J000200 376 072 K000200 0 072 L000200 0 072 M000200 13 072 N000200 23 072 O000200 0 072 P000200 1 072 Q000200 924 072 R000200 77 072 S000200 14 072 T000200 0 072 U000200 0 072 V000200 0 072 W000200 37 072 X000200 22887 072 Y000200 1581 072 Z000200 24024 072AA000200 399419 072BB000200 0 072CC010200 0 072CC020200 269997 072DD010200 52305 072DD020200 0 072EE000200 0 072 A000300 12 PAGE 118 072 B000300 0 072 C000300 13393 072 D000300 0 072 E000300 404 072 F000300 4790 072 G000300 0 072 H000300 0 072 I000300 1750 072 J000300 403 072 K000300 0 072 L000300 0 072 M000300 4 072 N000300 42 072 O000300 0 072 P000300 0 072 Q000300 344 072 R000300 80 072 S000300 4 072 T000300 0 072 U000300 0 072 V000300 0 072 W000300 8 072 X000300 7425 072 Y000300 232 072 Z000300 6604 072AA000300 59128 072BB000300 0 072CC010300 122327 072CC020300 0 072DD010300 4571 072DD020300 0 072EE000300 21330 072 A000500 12 072 B000500 2 072 C000500 221855 072 D000500 0 072 E000500 6282 072 F000500 72630 072 G000500 0 072 H000500 0 072 I000500 23371 072 J000500 1632 072 K000500 0 072 L000500 0 072 M000500 55 072 N000500 223 072 O000500 0 072 P000500 12 072 Q000500 1801 072 R000500 117 072 S000500 49 PAGE 119 072 T000500 2084 072 U000500 0 072 V000500 0 072 W000500 132 072 X000500 102106 072 Y000500 4562 072 Z000500 130595 072AA000500 481821 072BB000500 0 072CC010500 638780 072CC020500 0 072DD010500 103137 072DD020500 13284 072EE000500 13374 072 A000700 12 072 B000700 0 072 C000700 65906 072 D000700 0 072 E000700 3935 072 F000700 24786 072 G000700 0 072 H000700 0 072 I000700 9229 072 J000700 340 072 K000700 0 072 L000700 0 072 M000700 21 072 N000700 170 072 O000700 0 072 P000700 2 072 Q000700 1533 072 R000700 71 072 S000700 18 072 T000700 943 072 U000700 0 072 V000700 0 072 W000700 50 072 X000700 37163 072 Y000700 1985 072 Z000700 34663 072AA000700 83766 072BB000700 0 072CC010700 641048 072CC020700 0 072DD010700 34004 072DD020700 204 072EE000700 0 072 A000800 12 072 B000800 57 072 C000800 16381 072 D000800 0 PAGE 120 072 E000800 291 072 F000800 8282 072 G000800 0 072 H000800 0 072 I000800 2662 072 J000800 253 072 K000800 0 072 L000800 0 072 M000800 6 072 N000800 82 072 O000800 0 072 P000800 0 072 Q000800 482 072 R000800 78 072 S000800 6 072 T000800 21 072 U000800 0 072 V000800 0 072 W000800 14 072 X000800 11886 072 Y000800 326 072 Z000800 5169 072AA000800 100330 072BB000800 0 072CC010800 66990 072CC020800 0 072DD010800 6418 072DD020800 2 072EE000800 993 072 A000900 12 072 B000900 2 072 C000900 89902 072 D000900 0 072 E000900 849 072 F000900 30897 072 G000900 0 072 H000900 0 072 I000900 11670 072 J000900 3987 072 K000900 0 072 L000900 0 072 M000900 24 072 N000900 137 072 O000900 0 072 P000900 4 072 Q000900 1570 072 R000900 118 072 S000900 20 072 T000900 0 072 U000900 0 072 V000900 0 PAGE 121 072 W000900 53 072 X000900 48480 072 Y000900 2360 072 Z000900 44633 072AA000900 524250 072BB000900 0 072CC010900 400552 072CC020900 0 072DD010900 21031 072DD020900 2128 072EE000900 26417 072 A001100 12 072 B001100 8 072 C001100 789449 072 D001100 0 072 E001100 23268 072 F001100 248187 072 G001100 0 072 H001100 0 072 I001100 73940 072 J001100 6509 072 K001100 0 072 L001100 0 072 M001100 202 072 N001100 240 072 O001100 0 072 P001100 0 072 Q001100 2719 072 R001100 225 072 S001100 219 072 T001100 0 072 U001100 0 072 V001100 0 072 W001100 492 072 X001100 332733 072 Y001100 6448 072 Z001100 486440 072AA001100 0 072BB001100 561752 072CC011100 3614151 072CC021100 0 072DD011100 399627 072DD021100 74880 072EE001100 0 072 A001200 12 072 B001200 0 072 C001200 18989 072 D001200 0 072 E001200 137 072 F001200 6228 072 G001200 0 PAGE 122 072 H001200 0 072 I001200 2273 072 J001200 156 072 K001200 0 072 L001200 0 072 M001200 6 072 N001200 24 072 O001200 0 072 P001200 0 072 Q001200 471 072 R001200 65 072 S001200 5 072 T001200 0 072 U001200 0 072 V001200 0 072 W001200 15 072 X001200 9243 072 Y001200 0 072 Z001200 9883 072AA001200 0 072BB001200 10204 072CC011200 55568 072CC021200 0 072DD011200 6582 072DD021200 84 072EE001200 9507 072 A001300 12 072 B001300 1 072 C001300 129353 072 D001300 0 072 E001300 670 072 F001300 29683 072 G001300 0 072 H001300 0 072 I001300 9143 072 J001300 2502 072 K001300 0 072 L001300 0 072 M001300 24 072 N001300 192 072 O001300 0 072 P001300 9 072 Q001300 1584 072 R001300 73 072 S001300 20 072 T001300 92 072 U001300 0 072 V001300 0 072 W001300 55 072 X001300 43377 072 Y001300 1044 PAGE 123 072 Z001300 87691 072AA001300 293510 072BB001300 0 072CC011300 519184 072CC021300 0 072DD011300 118559 072DD021300 1 072EE001300 33986 072 A001400 12 072 B001400 0 072 C001400 37648 072 D001400 0 072 E001400 173 072 F001400 6623 072 G001400 0 072 H001400 0 072 I001400 4346 072 J001400 983 072 K001400 0 072 L001400 0 072 M001400 10 072 N001400 39 072 O001400 0 072 P001400 9 072 Q001400 754 072 R001400 74 072 S001400 9 072 T001400 0 072 U001400 0 072 V001400 0 072 W001400 344 072 X001400 13191 072 Y001400 734 072 Z001400 25364 072AA001400 143513 072BB001400 0 072CC011400 237384 072CC021400 0 072DD011400 30524 072DD021400 0 072EE001400 28589 072 A001600 12 072 B001600 0 072 C001600 9452 072 D001600 0 072 E001600 324 072 F001600 3108 072 G001600 0 072 H001600 0 072 I001600 1268 072 J001600 123 PAGE 124 072 K001600 0 072 L001600 0 072 M001600 3 072 N001600 23 072 O001600 0 072 P001600 0 072 Q001600 247 072 R001600 56 072 S001600 3 072 T001600 0 072 U001600 0 072 V001600 0 072 W001600 6 072 X001600 4837 072 Y001600 343 072 Z001600 5282 072AA001600 7731 072BB001600 0 072CC011600 29247 072CC021600 0 072DD011600 9634 072DD021600 0 072EE001600 0 072 A001700 12 072 B001700 79 072 C001700 10229 072 D001700 0 072 E001700 340 072 F001700 3270 072 G001700 0 072 H001700 0 072 I001700 1659 072 J001700 354 072 K001700 0 072 L001700 0 072 M001700 3 072 N001700 48 072 O001700 0 072 P001700 6 072 Q001700 285 072 R001700 83 072 S001700 2 072 T001700 0 072 U001700 0 072 V001700 0 072 W001700 6 072 X001700 5716 072 Y001700 937 072 Z001700 5869 072AA001700 32224 072BB001700 0 PAGE 125 072CC011700 58849 072CC021700 0 072DD011700 3188 072DD021700 0 072EE001700 5466 072 A002000 12 072 B002000 1 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0 074 A002500 0 074 B002500 0 074 C002500 1529 074 D002500 0 074 E002500 0 074 F002500 820698 074 G002500 0 074 H002500 0 074 I002500 73354 074 J002500 2674 074 K002500 90 074 L002500 4698 074 M002500 70 074 N002500 903113 074 O002500 2871 074 P002500 890 PAGE 146 074 Q002500 0 074 R012500 0 074 R022500 0 074 R032500 0 074 R042500 29872 074 S002500 0 074 T002500 869480 074 U012500 41740 074 U022500 398 074 V012500 0.00 074 V022500 0.00 074 W002500 0.0000 074 X002500 117794 074 Y002500 236 074 A002600 0 074 B002600 0 074 C002600 0 074 D002600 0 074 E002600 0 074 F002600 433893 074 G002600 0 074 H002600 0 074 I002600 27935 074 J002600 3452 074 K002600 14 074 L002600 1315 074 M002600 144 074 N002600 466753 074 O002600 4888 074 P002600 366 074 Q002600 0 074 R012600 0 074 R022600 0 074 R032600 0 074 R042600 17482 074 S002600 0 074 T002600 444017 074 U012600 44627 074 U022600 244 074 V012600 0.00 074 V022600 0.00 074 W002600 0.0000 074 X002600 68512 074 Y002600 0 074 A002700 0 074 B002700 0 074 C002700 0 074 D002700 0 074 E002700 1758 074 F002700 170416 074 G002700 0 PAGE 147 074 H002700 0 074 I002700 16668 074 J002700 447 074 K002700 4 074 L002700 714 074 M002700 5 074 N002700 190012 074 O002700 163 074 P002700 137 074 Q002700 0 074 R012700 0 074 R022700 0 074 R032700 0 074 R042700 15788 074 S002700 0 074 T002700 173924 074 U012700 21084 074 U022700 63 074 V012700 0.00 074 V022700 0.00 074 W002700 0.0000 074 X002700 14846 074 Y002700 0 074 A002800 3 074 B002800 1074 074 C002800 0 074 D002800 0 074 E002800 250 074 F002800 66514 074 G002800 0 074 H002800 0 074 I002800 698 074 J002800 225 074 K002800 65 074 L002800 270 074 M002800 238 074 N002800 69337 074 O002800 108 074 P002800 59 074 Q002800 0 074 R012800 0 074 R022800 0 074 R032800 0 074 R042800 533 074 S002800 0 074 T002800 68637 074 U012800 9314 074 U022800 4 074 V012800 0.00 074 V022800 0.00 074 W002800 0.0000 PAGE 148 074 X002800 8768 074 Y002800 0 074 A002900 1 074 B002900 685 074 C002900 0 074 D002900 0 074 E002900 0 074 F002900 33563 074 G002900 0 074 H002900 0 074 I002900 2810 074 J002900 253 074 K002900 44 074 L002900 190 074 M002900 0 074 N002900 37546 074 O002900 443 074 P002900 33 074 Q002900 0 074 R012900 0 074 R022900 0 074 R032900 0 074 R042900 2543 074 S002900 0 074 T002900 34527 074 U012900 4097 074 U022900 13 074 V012900 0.00 074 V022900 0.00 074 W002900 0.0000 074 X002900 7821 074 Y002900 0 074 A003000 446 074 B003000 0 074 C003000 0 074 D003000 688 074 E003000 0 074 F003000 158328 074 G003000 0 074 H003000 0 074 I003000 11177 074 J003000 716 074 K003000 11 074 L003000 1411 074 M003000 44 074 N003000 172821 074 O003000 5869 074 P003000 154 074 Q003000 0 074 R013000 0 074 R023000 0 PAGE 149 074 R033000 0 074 R043000 226 074 S003000 0 074 T003000 166572 074 U013000 17723 074 U023000 797 074 V013000 0.00 074 V023000 0.00 074 W003000 0.0000 074 X003000 21720 074 Y003000 0 074 A003100 1082 074 B003100 0 074 C003100 0 074 D003100 0 074 E003100 0 074 F003100 2849137 074 G003100 0 074 H003100 0 074 I003100 68101 074 J003100 22330 074 K003100 34 074 L003100 8155 074 M003100 19185 074 N003100 2968024 074 O003100 17788 074 P003100 2412 074 Q003100 0 074 R013100 0 074 R023100 0 074 R033100 0 074 R043100 68415 074 S003100 0 074 T003100 2879409 074 U013100 128662 074 U023100 24027 074 V013100 18.85 074 V023100 18.90 074 W003100 0.0000 074 X003100 35 074 Y003100 0 074 A003200 0 074 B003200 0 074 C003200 0 074 D003200 0 074 E003200 0 074 F003200 433089 074 G003200 0 074 H003200 0 074 I003200 12238 074 J003200 4050 PAGE 150 074 K003200 4 074 L003200 2011 074 M003200 1 074 N003200 451393 074 O003200 7445 074 P003200 375 074 Q003200 0 074 R013200 0 074 R023200 0 074 R033200 0 074 R043200 6830 074 S003200 0 074 T003200 436743 074 U013200 25641 074 U023200 2282 074 V013200 0.00 074 V023200 0.00 074 W003200 0.0000 074 X003200 37990 074 Y003200 0 074 A003300 0 074 B003300 0 074 C003300 0 074 D003300 0 074 E003300 0 074 F003300 4641156 074 G003300 0 074 H003300 0 074 I003300 265207 074 J003300 17175 074 K003300 113 074 L003300 14909 074 M003300 156 074 N003300 4938716 074 O003300 19259 074 P003300 3189 074 Q003300 0 074 R013300 0 074 R023300 0 074 R033300 0 074 R043300 227820 074 S003300 0 074 T003300 4688448 074 U013300 362226 074 U023300 68210 074 V013300 10.89 074 V023300 10.91 074 W003300 0.0000 074 X003300 35 074 Y003300 0 074 A003400 0 PAGE 151 074 B003400 0 074 C003400 0 074 D003400 0 074 E003400 46573 074 F003400 4508010 074 G003400 0 074 H003400 0 074 I003400 190810 074 J003400 21255 074 K003400 96 074 L003400 19338 074 M003400 0 074 N003400 4786082 074 O003400 7249 074 P003400 3143 074 Q003400 0 074 R013400 0 074 R023400 0 074 R033400 0 074 R043400 180108 074 S003400 0 074 T003400 4595582 074 U013400 389922 074 U023400 73538 074 V013400 9.91 074 V023400 9.93 074 W003400 0.0000 074 X003400 35 074 Y003400 0 074 A003500 795 074 B003500 0 074 C003500 0 074 D003500 0 074 E003500 0 074 F003500 806802 074 G003500 0 074 H003500 0 074 I003500 49495 074 J003500 4707 074 K003500 31 074 L003500 3341 074 M003500 62 074 N003500 865233 074 O003500 3824 074 P003500 712 074 Q003500 0 074 R013500 0 074 R023500 0 074 R033500 0 074 R043500 28370 074 S003500 0 PAGE 152 074 T003500 832327 074 U013500 61554 074 U023500 11423 074 V013500 11.40 074 V023500 11.43 074 W003500 0.0000 074 X003500 35 074 Y003500 0 075 A000100 0 075 B000100 6854944 075 A000200 0 075 B000200 2068642 075 A000300 0 075 B000300 695313 075 A000500 0 075 B000500 9724671 075 A000700 0 075 B000700 3844340 075 A000800 0 075 B000800 1032185 075 A000900 0 075 B000900 4357553 075 A001100 0 075 B001100 35255825 075 A001200 0 075 B001200 1007514 075 A001300 0 075 B001300 4183833 075 A001400 0 075 B001400 1687143 075 A001600 0 075 B001600 468187 075 A001700 0 075 B001700 547683 075 A002000 0 075 B002000 2117480 075 A002100 0 075 B002100 333213 075 A002200 0 075 B002200 360432 075 A002500 0 075 B002500 753008 075 A002600 0 075 B002600 389364 075 A002700 0 075 B002700 175550 075 A002800 0 075 B002800 57580 075 A002900 0 075 B002900 27162 075 A003000 0 PAGE 153 075 B003000 130930 075 A003100 0 075 B003100 1764573 075 A003200 0 075 B003200 345773 075 A003300 0 075 B003300 1861204 075 A003400 0 075 B003400 1843685 075 A003500 0 075 B003500 356863 076 000100 0.00 076 000200 0.00 076 000300 0.00 076 000500 0.00 076 000700 0.00 076 000800 0.00 076 000900 0.00 076 001100 0.00 076 001200 0.00 076 001300 0.00 076 001400 0.00 076 001600 0.00 076 001700 0.00 076 002000 0.00 076 002100 0.00 076 002200 0.00 076 002500 0.00 076 002600 0.00 076 002700 0.00 076 002800 0.00 076 002900 0.00 076 003000 0.00 076 003100 0.00 076 003200 0.00 076 003300 0.00 076 003400 0.00 076 003500 0.00 077 A000000 Y 077 B000000 Y 077 C000000 N 077 D000000 Y 077 E000000 N 077 F000000 N 077 G000000 N 077 H000000 N 077 I000000 N 077 J000000 N 077 K000000 N 077 L000000 N 077 M000000 Y PAGE 154 077 N000000 N 077 O000000 N 077 P000000 N 077 Q010000 Y 077 Q020000 N 077 Q030000 N 078 000000 N 080 A00AA00 AMERICAN INT'l SPECIALTY LINES INSURANCE CO. 080 B00AA00 FEDERAL INSURANCE COMPANY 080 C00AA00 270000 081 A00AA00 Y 081 B00AA00 400 082 A00AA00 Y 082 B00AA00 400 083 A00AA00 N 083 B00AA00 0 084 A00AA00 N 084 B00AA00 0 085 A00AA00 N 085 B00AA00 N 086 A010000 0 086 A020000 0 086 B010000 0 086 B020000 0 086 C010000 0 086 C020000 0 086 D010000 0 086 D020000 0 086 E010000 0 086 E020000 0 086 F010000 0 086 F020000 0 SIGNATURE KENNETH B. ROBINS TITLE PRESIDENT AND TREASURER EX-99.77Q1 OTHR EXHB 2 q77q1_forsubcustodiansssbt.htm SUB CUSTODIAN

Exhibit 77Q1 - Additional Items

 

 

 

 

 

Because the electronic format for filing Form N-SAR does not provide adequate space for

responding to Item 15, the registrant has included the complete list of foreign sub-custodians below.

 

 

 

Item 15

 

 

 

 

 

Foreign Sub-Custodian Network for State Street Bank & Trust

 

 

 

 

 

Country

Subcustodian Name

City

Argentina

Citibank, N.A.

1036 Buenos Aires, Argentina

Australia

The Hongkong and Shanghai Banking Corporation Limited

Sydney, NSW 2000, Australia

Australia

Citigroup Pty. Limited

Melbourne, VIC 3000, Australia

Austria

UniCredit Bank Austria AG

Vienna A-1090, Austria

Bahrain

HSBC Bank Middle East Limited

Kingdom of Bahrain

Bangladesh

Standard Chartered Bank

Dhaka 1000, Bangladesh

Belgium

Deutsche Bank AG, Netherlands

1017 CA Amsterdam, Netherlands

Benin

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Bermuda

HSBC Bank Bermuda Limited

Hamilton, HM11 Bermuda

Bosnia and Herzegovina (Federation of)

UniCredit Bank d.d.

Federation of Bosnia and Herzegovina

Botswana

Barclays Bank of Botswana Limited

Gaborone, Botswana

Brazil

Citibank, N.A.

São Paulo, Brazil 01311

Bulgaria

ING Bank N.V.

Sofia 1404, Bulgaria

Bulgaria

UniCredit Bulbank AD

Sofia 1000, Bulgaria

Burkina Faso

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Canada

State Street Trust Company Canada

Toronto, Ontario M5C 3G6 Canada

Chile

Banco Itaú Chile

Las Condes, Santiago, Chile

People's Republic of China (Shanghai and Shenzhen)

HSBC Bank (China) Company Limited

Pudong Shanghai China 200120

Colombia

Cititrust Colombia S.A. Sociedad Fiduciaria

Bogotá, Colombia

Costa Rica

Banco BCT S.A.

San José, Costa Rica

Croatia

Privredna Banka Zagreb d.d.

10000 Zagreb, Croatia

Croatia

Zagrebacka Banka d.d.

10000 Zagreb, Croatia

Cyprus

BNP Paribas Securities Services, S.A.

GR 115 28 Athens, Greece

Czech Republic

Ceskoslovenská obchodni banka, a.s.

150 57 Prague 5, Czech Republic

Czech Republic

UniCredit Bank Czech Republic, a.s.

113 80, Praha 1, Czech Republic

Denmark

Skandinaviska Enskilda Banken AB (publ)

1577 Copenhagen, Denmark

Ecuador

Banco de la Producción S.A. PRODUBANCO

Quito, Ecuador

Egypt

HSBC Bank Egypt S.A.E.

Cairo, Egypt

Estonia

AS SEB Pank

15010 Tallinn, Estonia

Finland

Skandinaviska Enskilda Banken AB (publ)

SE-106 40 Stockholm, Sweden

France

Deutsche Bank AG

1017 CA Amsterdam, Netherlands

Germany

Deutsche Bank AG

D-65760 Eschborn Germany

Ghana

Barclays Bank of Ghana Limited

Accra, Ghana

Greece

BNP Paribas Securities Services, S.A.

GR 115 28 Athens, Greece

Guinea-Bissau

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Hong Kong

Standard Chartered Bank (Hong Kong) Limited

Kwun Tong, Hong Kong

Hungary

UniCredit Bank Hungary Zrt.

H-1054 Budapest, Hungary

Iceland

NBI hf.

155 Reykjavik, Iceland

India

Deutsche Bank AG

Fort Mumbai 400 001, India

India

The Hongkong and Shanghai Banking Corporation Limited

Mumbai-400 057, India

Indonesia

Deutsche Bank AG

Jakarta 10310, Indonesia

Ireland

Bank of Ireland

Dublin 1, Ireland

Israel

Bank Hapoalim B.M.

66883 Tel Aviv, Israel

Italy

Deutsche Bank S.p.A.

20124 Milan, Italy

Ivory Coast

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Japan

Mizuho Corporate Bank Limited

Tokyo 104-0052, Japan

Japan

The Hongkong and Shanghai Banking Corporation Limited

Tokyo 103-0027, Japan

Jordan

HSBC Bank Middle East Limited

Western Amman, Jordan

Kazakhstan

SB HSBC Bank Kazakhstan JSC

050010 Almaty, Kazakhstan

Kenya

Barclays Bank of Kenya Limited

Nairobi, Kenya

Republic of Korea

Deutsche Bank AG

110-752 Seoul, Korea

Republic of Korea

The Hongkong and Shanghai Banking Corporation Limited

1-Ka Bongrae-Dong, Chung-Ku Seoul, Korea

Kuwait

HSBC Bank Middle East Limited

Safat 13017, Kuwait

Latvia

AS SEB Banka

Riga raj, LV 1076 Latvia

Lebanon

HSBC Bank Middle East Limited

Beirut 1107 2080, Lebanon

Lithuania

AB SEB Bankas

LT-2600 Vilnius, Lithuania

Malaysia

Standard Chartered Bank Malaysia Berhad

50250 Kuala Lumpur, Malaysia

Mali

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Malta

The Hongkong and Shanghai Banking Corporation Limited

Qormi, QRM 3101, Malta

Mauritius

The Hongkong and Shanghai Banking Corporation Limited

Ebene, Mauritius

Mexico

Banco Nacional de México S.A.

Mexico, DF 01210

Morocco

Citibank Maghreb

Casablanca 20190, Morocco

Namibia

Standard Bank Namibia Limited

Windhoek, Namibia

Netherlands

Deutsche Bank AG

1017 CA Amsterdam, Netherlands

New Zealand

The Hongkong and Shanghai Banking Corporation Limited

Auckland 1010, New Zealand

Niger

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Nigeria

Stanbic IBTC Bank Plc.

Victoria Island, Lagos, Nigeria

Norway

Skandinaviska Enskilda Banken AB (publ)

SE-106 40 Stockholm, Sweden

Oman

HSBC Bank Middle East Limited

Muscat, Oman

Pakistan

Deutsche Bank AG

Karachi 75530 Pakistan

Palestine

HSBC Bank Middle East Limited

Ramallah, West Bank, Palestine

Peru

Citibank del Péru, S.A.

Lima 27, Perú

Philippines

Deutsche Bank AG

Makati City 1226 Philippines

Poland

Bank Handlowy w Warszawie S.A.

00-923 Warsaw 55, Poland

Portugal

Deutsche Bank AG, Netherlands

1017 CA Amsterdam, Netherlands

Portugal

BNP Paribas Securities Services, S.A.

3 Rue D'Antin, Paris, France

Puerto Rico

Citibank, N.A.

San Juan, Puerto Rico 00901

Qatar

HSBC Bank Middle East Limited

Doha, Qatar

Romania

ING Bank N.V.

Bucharest 1, Romania

Russia

ING Bank (Eurasia) ZAO

Moscow 127473, Russia

Saudi Arabia

Saudi British Bank

Riyadh 11413, Saudi Arabia

Senegal

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Serbia

UniCredit Bank Serbia JSC

11070 New Belgrade, Serbia

Singapore

Citibank N.A.

Singapore 039190

Singapore

United Overseas Bank Limited

Singapore 048624

Slovak Republic

Ceskoslovenská obchodna banka, a.s.

814 99 Bratislava, Slovak Republic

Slovak Republic

UniCredit Bank Slovakia a.s.

Bratislava 1, Slovak Republic

Slovenia

UniCredit Banka Slovenija d.d.

SI-1000, Ljubljana, Slovenia

South Africa

Nedbank Limited

Braamfontein, Johannesburg Republic of South Africa

South Africa

Standard Bank of South Africa Limited

Johannesburg 2001 Republic of South Africa

Spain

Deutsche Bank S.A.E.

Barcelona, Spain

Sri Lanka

The Hongkong and Shanghai Banking Corporation Limited

Colombo 1, Sri Lanka

Swaziland

Standard Bank Swaziland Limited

Swazi Plaza, Mbabane, Swaziland

Sweden

Skandinaviska Enskilda Banken AB (publ)

SE-106 40 Stockholm, Sweden

Switzerland

UBS AG

8098 Zurich, Switzerland

Switzerland

Credit Suisse AG

Zurich, Switzerland

Taiwan - R.O.C.

Deutsche Bank AG

Taipei 105 Taiwan, Republic of China

Taiwan - R.O.C.

Standard Chartered Bank (Taiwan) Limited

Taipei 10549, Taiwan, Republic of China

Thailand

Standard Chartered Bank (Thai) Public Company Limited

Bangkok 10500, Thailand

Togo

Société Générale de Banques en Côte d'Ivoire

Abidjan 01 Ivory Coast

Trinidad & Tobago

Republic Bank Limited

Port of Spain, Trinidad & Tobago, W.I.

Tunisia

Banque Internationale Arabe de Tunisie

1080 Tunis, Tunisia

Turkey

Citibank, A.S.

34768 Umraniye Istanbul, Turkey

Uganda

Barclays Bank of Uganda Limited

Kampala, Uganda

Ukraine

ING Bank Ukraine

04070 Kiev, Ukraine

United Arab Emirates - ADX

HSBC Bank Middle East Limited

Dubai, United Arab Emirates

United Arab Emirates - DFM

HSBC Bank Middle East Limited

Dubai, United Arab Emirates

United Arab Emirates - DIFC

HSBC Bank Middle East Limited

Dubai, United Arab Emirates

United Kingdom

State Street Bank and Trust Company

Edinburgh EH5 2AW, Scotland

United States

State Street Bank and Trust Company

Boston, MA 02110, United States

Uruguay

Banco Itaú Uruguay S.A.

11000 Montevideo, Uruguay

Venezuela

Citibank, N.A.

Caracas, Venezuela

Vietnam

HSBC Bank (Vietnam) Limited

District 1, Ho Chi Minh City, Vietnam

Zambia

Barclays Bank of Zambia Plc.

Lusaka, Zambia

Zimbabwe

Barclays Bank of Zimbabwe Limited

Harare, Zimbabwe

EX-99.77D POLICIES 3 q77d_investmentpolicies.htm INVESTMENT POLICIES

The following information was taken from a Global Commodity Strategy Fund prospectus sticker with an effective date of February 22, 2010:

The fund may invest in a central fund that in turn invests in a wholly-owned subsidiary that invests in commodity-linked derivative instruments. FMR has contractually agreed to waive the fund's management fee in an amount equal to its proportionate share of the management fee paid to FMR by the subsidiary based on the fund's proportionate ownership of Commodity Strategy Central Fund. This arrangement will remain in effect for at least one year from the effective date of the prospectus, and will remain in effect thereafter as long as FMR's contract with the subsidiary is in place. If FMR's contract with the subsidiary is terminated, FMR, in its sole discretion, may discontinue the arrangement.

EX-99.77M MERGERS 4 q77m_mergers.htm MERGERS

AGREEMENT AND PLAN OF REORGANIZATION

THIS AGREEMENT AND PLAN OF REORGANIZATION (the Agreement) is made as of July 14, 2010, by and between Fidelity Advisor Series VIII, a Massachusetts business trust, on behalf of its series Fidelity Advisor Latin America Fund (the Acquired Fund), and Fidelity Investment Trust, a Massachusetts business trust, on behalf of its series Fidelity Latin America Fund (the Acquiring Fund). Fidelity Advisor Series VIII and Fidelity Investment Trust may be referred to herein collectively as the "Trusts" or each individually as a "Trust." The Trusts are duly organized business trusts under the laws of the Commonwealth of Massachusetts with their principal place of business at 82 Devonshire Street, Boston, Massachusetts 02109. The Acquiring Fund and the Acquired Fund may be referred to herein collectively as the "Funds" or each individually as the "Fund."

This Agreement is intended to be, and is adopted as, a plan of reorganization within the meaning of Section 368(a) of the Internal Revenue Code of 1986, as amended (the Code). The reorganization will comprise: (a) the transfer of all of the assets of the Acquired Fund to the Acquiring Fund solely in exchange for shares of beneficial interest in the Acquiring Fund (the Acquiring Fund Shares) and the assumption by the Acquiring Fund of the Acquired Fund's liabilities; and (b) the constructive distribution of such shares by the Acquired Fund pro rata to its shareholders in complete liquidation and termination of the Acquired Fund, all upon the terms and conditions set forth in this Agreement. The foregoing transactions are referred to herein as the "Reorganization."

In consideration of the mutual promises and subject to the terms and conditions herein, the parties covenant and agree as follows:

1. REPRESENTATIONS AND WARRANTIES OF THE ACQUIRED FUND. The Acquired Fund represents and warrants to and agrees with the Acquiring Fund that:

(a) The Acquired Fund is a series of the Acquired Fund Trust, a business trust duly organized, validly existing, and in good standing under the laws of the Commonwealth of Massachusetts, and has the power to own all of its properties and assets and to carry out its obligations under this Agreement. It has all necessary federal, state, and local authorizations to carry on its business as now being conducted and to carry out this Agreement;

(b) The Acquired Fund Trust is an open-end, management investment company duly registered under the Investment Company Act of 1940, as amended (the 1940 Act), and such registration is in full force and effect;

(c) The Prospectuses and Statement of Additional Information of the Acquired Fund dated December 30, 2009, as supplemented, previously furnished to the Acquiring Fund, did not and do not contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein not misleading;

(d) Except as disclosed in writing to the Acquiring Fund, there are no material legal, administrative, or other proceedings pending or, to the knowledge of the Acquired Fund, threatened against the Acquired Fund which assert liability on the part of the Acquired Fund. The Acquired Fund knows of no facts which might reasonably form the basis for the institution of such proceedings, except as otherwise disclosed to the Acquiring Fund;

(e) The Acquired Fund is not in, and the execution, delivery, and performance of this Agreement will not result in, violation of any provision of its Amended and Restated Declaration of Trust or By-laws, or, to the knowledge of the Acquired Fund, of any agreement, indenture, instrument, contract, lease, or other undertaking to which the Acquired Fund is a party or by which the Acquired Fund is bound or result in the acceleration of any obligation or the imposition of any penalty under any agreement, judgment or decree to which the Acquired Fund is a party or is bound;

(f) The Statement of Assets and Liabilities, the Statement of Operations, the Statement of Changes in Net Assets, Financial Highlights, and the Schedule of Investments (including market values) of the Acquired Fund at October 31, 2009, have been audited by PricewaterhouseCoopers LLP, independent registered public accounting firm, and have been furnished to the Acquiring Fund together with such unaudited financial statements and schedule of investments (including market values) for the six month period ended April 30, 2010. Said Statement of Assets and Liabilities and Schedule of Investments fairly present the Acquired Fund's financial position as of such date and said Statement of Operations, Statement of Changes in Net Assets, and Financial Highlights fairly reflect the Acquired Fund's results of operations, changes in financial position, and financial highlights for the periods covered thereby in conformity with generally accepted accounting principles consistently applied;

(g) The Acquired Fund has no known liabilities of a material nature, contingent or otherwise, other than those shown as belonging to it on its statement of assets and liabilities as of October 31, 2009, and those incurred in the ordinary course of the Acquired Fund's business as an investment company since October 31, 2009;

(h) Reserved;

(i) No consent, approval, authorization, or order of any court or governmental authority is required for the consummation by the Acquired Fund of the transactions contemplated by this Agreement, except such as have been obtained under the 1933 Act, the 1934 Act, the 1940 Act, and state securities or blue sky laws (which term as used in this Agreement shall include the District of Columbia and Puerto Rico);

(j) The Acquired Fund has filed or will file all federal and state tax returns which, to the knowledge of the Acquired Fund's officers, are required to be filed by the Acquired Fund and has paid or will pay all federal and state taxes shown to be due on said returns or provision shall have been made for the payment thereof, and, to the best of the Acquired Fund's knowledge, no such return is currently under audit and no assessment has been asserted with respect to such returns;

(k) The Acquired Fund has met the requirements of Subchapter M of the Code for qualification and treatment as a regulated investment company for all prior taxable years and intends to meet such requirements for its current taxable year ending on the Closing Date;

(l) All of the issued and outstanding shares of the Acquired Fund are, and at the Closing Date will be, duly and validly issued and outstanding and fully paid and nonassessable as a matter of Massachusetts law (except as disclosed in the Fund's Statement of Additional Information), and have been offered for sale and in conformity with all applicable federal securities laws. All of the issued and outstanding shares of the Acquired Fund will, at the Closing Date, be held by the persons and in the amounts set forth in the list of shareholders submitted to the Acquiring Fund in accordance with this Agreement;

(m) As of both the Valuation Time (as defined in Section 4) and the Closing Date, the Acquired Fund will have the full right, power, and authority to sell, assign, transfer, and deliver its portfolio securities and any other assets of the Acquired Fund to be transferred to the Acquiring Fund pursuant to this Agreement. As of the Closing Date, subject only to the delivery of the Acquired Fund's portfolio securities and any such other assets as contemplated by this Agreement, the Acquiring Fund will acquire the Acquired Fund's portfolio securities and any such other assets subject to no encumbrances, liens, or security interests (except for those that may arise in the ordinary course and are disclosed to the Acquiring Fund) and without any restrictions upon the transfer thereof; and

(n) The execution, delivery, and performance of this Agreement will have been duly authorized prior to the Closing Date by all necessary corporate action on the part of the Acquired Fund, and this Agreement constitutes a valid and binding obligation of the Acquired Fund enforceable in accordance with its terms.

2. REPRESENTATIONS AND WARRANTIES OF THE ACQUIRING FUND. The Acquiring Fund represents and warrants to and agrees with the Acquired Fund that:

(a) The Acquiring Fund is a series of the Acquiring Fund Trust, a business trust duly organized, validly existing, and in good standing under the laws of the Commonwealth of Massachusetts, and has the power to own all of its properties and assets and to carry out its obligations under this Agreement. It has all necessary federal, state, and local authorizations to carry on its business as now being conducted and to carry out this Agreement;

(b) The Acquiring Fund Trust is an open-end, management investment company duly registered under the 1940 Act, and such registration is in full force and effect;

(c) The Prospectus and Statement of Additional Information of the Acquiring Fund, dated December 31, 2009, as supplemented, previously furnished to the Acquired Fund did, not and do not contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein not misleading;

(d) Except as disclosed in writing to the Acquired Fund, there are no material legal, administrative, or other proceedings pending or, to the knowledge of the Acquiring Fund, threatened against the Acquiring Fund which assert liability on the part of the Acquiring Fund. The Acquiring Fund knows of no facts which might reasonably form the basis for the institution of such proceedings, except as otherwise disclosed to the Acquired Fund;

(e) The Acquiring Fund is not in, and the execution, delivery, and performance of this Agreement will not result in, violation of any provision of its Amended and Restated Declaration of Trust or By-laws, or, to the knowledge of the Acquiring Fund, of any agreement, indenture, instrument, contract, lease, or other undertaking to which the Acquiring Fund is a party or by which the Acquiring Fund is bound or result in the acceleration of any obligation or the imposition of any penalty under any agreement, judgment, or decree to which the Acquiring Fund is a party or is bound;

(f) The Statement of Assets and Liabilities, the Statement of Operations, the Statement of Changes in Net Assets, Financial Highlights, and the Schedule of Investments (including market values) of the Acquiring Fund at October 31, 2009, have been audited by PricewaterhouseCoopers LLP, independent registered public accounting firm, and have been furnished to the Acquired Fund together with such unaudited financial statements and schedule of investments (including market values) for the six month period ended April 30, 2010. Said Statement of Assets and Liabilities and Schedule of Investments fairly present the Acquiring Fund's financial position as of such date and said Statement of Operations, Statement of Changes in Net Assets, and Financial Highlights fairly reflect the Acquiring Fund's results of operations, changes in financial position, and financial highlights for the periods covered thereby in conformity with generally accepted accounting principles consistently applied;

(g) The Acquiring Fund has no known liabilities of a material nature, contingent or otherwise, other than those shown as belonging to it on its statement of assets and liabilities as of October 31, 2009, and those incurred in the ordinary course of the Acquiring Fund's business as an investment company since October 31, 2009;

(h) No consent, approval, authorization, or order of any court or governmental authority is required for the consummation by the Acquiring Fund of the transactions contemplated by this Agreement, except such as have been obtained under the 1933 Act, the 1934 Act, the 1940 Act, and state securities or blue sky laws;

(i) The Acquiring Fund has filed or will file all federal and state tax returns which, to the knowledge of the Acquiring Fund's officers, are required to be filed by the Acquiring Fund and has paid or will pay all federal and state taxes shown to be due on said returns or provision shall have been made for the payment thereof, and, to the best of the Acquiring Fund's knowledge, no such return is currently under audit and no assessment has been asserted with respect to such returns;

(j) The Acquiring Fund has met the requirements of Subchapter M of the Code for qualification and treatment as a regulated investment company for all prior taxable years and intends to meet such requirements for its current taxable year ending on October 31, 2010;

(k) As of the Closing Date, the shares of beneficial interest of the Acquiring Fund to be issued to the Acquired Fund will have been duly authorized and, when issued and delivered pursuant to this Agreement, will be legally and validly issued and will be fully paid and nonassessable (except as disclosed in the Acquiring Fund's Statement of Additional Information) by the Acquiring Fund, and no shareholder of the Acquiring Fund will have any preemptive right of subscription or purchase in respect thereof;

(l) The execution, delivery, and performance of this Agreement will have been duly authorized prior to the Closing Date by all necessary corporate action on the part of the Acquiring Fund, and this Agreement constitutes a valid and binding obligation of the Acquiring Fund enforceable in accordance with its terms;

(m) The Registration Statement filed with the Securities and Exchange Commission (Commission) by the Acquiring Fund Trust on Form N-1A (i) complies in all material respects with the provisions of the 1933 Act, the 1934 Act, and the 1940 Act, and the rules and regulations thereunder, and (ii) does not contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein not misleading; and

(n) The issuance of the Acquiring Fund Shares pursuant to this Agreement will be in compliance with all applicable federal securities laws; and

(o) All of the issued and outstanding shares of beneficial interest of the Acquiring Fund have been offered for sale and sold in conformity with the federal securities laws.

3. REORGANIZATION.

(a) Subject to the terms and conditions contained herein, the Acquired Fund agrees to assign, sell, convey, transfer, and deliver to the Acquiring Fund as of the Closing Date all of the assets of the Acquired Fund of every kind and nature existing on the Closing Date. The Acquiring Fund agrees in exchange therefor: (i) to assume all of the Acquired Fund's liabilities existing on or after the Closing Date, whether or not determinable on the Closing Date, and (ii) to issue and deliver to the Acquired Fund the number of full and fractional shares of the Acquiring Fund having an aggregate net asset value equal to the value of the assets of the Acquired Fund transferred hereunder, less the value of the liabilities of the Acquired Fund, determined as provided for under Section 4.

(b) The assets of the Acquired Fund to be acquired by the Acquiring Fund shall include, without limitation, all cash, cash equivalents, securities, commodities and futures interests, receivables (including interest or dividends receivables), claims, choses in action, and other property owned by the Acquired Fund, and any deferred or prepaid expenses shown as an asset on the books of the Acquired Fund on the Closing Date. The Acquired Fund will pay or cause to be paid to the Acquiring Fund any dividend or interest payments received by it on or after the Closing Date with respect to the assets transferred to the Acquiring Fund hereunder, and the Acquiring Fund will retain any dividend or interest payments received by it after the Valuation Time with respect to the assets transferred hereunder without regard to the payment date thereof.

(c) The liabilities of the Acquired Fund to be assumed by the Acquiring Fund shall include (except as otherwise provided for herein) all of the Acquired Fund's liabilities, debts, obligations, and duties, of whatever kind or nature, whether absolute, accrued, contingent, or otherwise, whether or not arising in the ordinary course of business, whether or not determinable on the Closing Date, and whether or not specifically referred to in this Agreement. Notwithstanding the foregoing, the Acquired Fund agrees to use its best efforts to discharge all of its known liabilities prior to the Closing Date, other than liabilities incurred in the ordinary course of business.

(d) Pursuant to this Agreement, as soon after the Closing Date as is conveniently practicable, the Acquired Fund will constructively distribute pro rata to its shareholders of record, determined as of the Valuation Time on the Closing Date, the Acquiring Fund Shares in exchange for such shareholders' shares of beneficial interest in the Acquired Fund and the Acquired Fund will be liquidated in accordance with the Acquired Fund's Amended and Restated Declaration of Trust. Such distribution shall be accomplished by the Funds' transfer agent opening accounts on the Acquiring Fund's share transfer books in the names of the Acquired Fund shareholders and transferring the Acquiring Fund shares thereto. Each Acquired Fund shareholder's account shall be credited with the respective pro rata number of full and fractional Acquiring Fund Shares due that shareholder. All outstanding Acquired Fund shares, including any represented by certificates, shall simultaneously be canceled on the Acquired Fund's share transfer records. The Acquiring Fund shall not issue certificates representing the Acquiring Fund Shares in connection with the Reorganization.

(e) Any reporting responsibility of the Acquired Fund is and shall remain its responsibility up to and including the date on which it is terminated.

(f) Any transfer taxes payable upon issuance of the Acquiring Fund Shares in a name other than that of the registered holder on the Acquired Fund's books of the Acquired Fund shares constructively exchanged for the Acquiring Fund Shares shall be paid by the person to whom such Acquiring Fund Shares are to be issued, as a condition of such transfer.

4. VALUATION.

(a) The Valuation Time shall be as of the close of business of the New York Stock Exchange on the Closing Date, or such other date as may be mutually agreed upon in writing by the parties hereto (the Valuation Time).

(b) As of the Closing Date, the Acquiring Fund will deliver to the Acquired Fund the number of Acquiring Fund Shares having an aggregate net asset value equal to the value of the assets of the Acquired Fund transferred hereunder less the liabilities of the Acquired Fund, determined as provided in this Section 4.

(c) The net asset value per share of the Acquiring Fund Shares to be delivered to the Acquired Fund, the value of the assets of the Acquired Fund transferred hereunder, and the value of the liabilities of the Acquired Fund to be assumed hereunder shall in each case be determined as of the Valuation Time.

(d) The net asset value per share of the Acquiring Fund Shares and the value of the assets and liabilities of the Acquired Fund shall be computed in the manner set forth in the then-current Acquiring Fund Prospectuses and Statement of Additional Information.

(e) All computations pursuant to this Section shall be made by or under the direction of Fidelity Service Company, Inc., a wholly-owned subsidiary of FMR LLC, in accordance with its regular practice as pricing agent for the Acquired Fund and the Acquiring Fund.

5. FEES; EXPENSES.

(a) The Acquired Fund shall be responsible for all expenses, fees and other charges in connection with the transactions contemplated by this Agreement, provided that they do not exceed the fund's or each class's expense cap, as applicable, in effect since February 1, 2005. Expenses exceeding the fund's or each class's expense cap, as applicable, will be paid by Fidelity Management & Research Company (but not including costs incurred in connection with the purchase or sale of portfolio securities).

(b) Any expenses incurred in connection with the transactions contemplated by this Agreement which may be attributable to the Acquiring Fund will be borne by the Acquiring Fund.

(c) Each of the Acquiring Fund and the Acquired Fund represents that there is no person who has dealt with it who by reason of such dealings is entitled to any broker's or finder's or other similar fee or commission arising out of the transactions contemplated by this Agreement.

6. CLOSING DATE.

(a) The Reorganization, together with related acts necessary to consummate the same (the Closing), unless otherwise provided herein, shall occur at the principal office of the Trusts, 82 Devonshire Street, Boston, Massachusetts, as of the Valuation Time on October 1, 2010, or at some other time, date, and place agreed to by the Acquired Fund and the Acquiring Fund (the Closing Date).

(b) In the event that on the Closing Date: (i) any of the markets for securities held by the Funds is closed to trading, or (ii) trading thereon is restricted, or (iii) trading or the reporting of trading on said market or elsewhere is disrupted, all so that accurate appraisal of the total net asset value of the Acquired Fund and the net asset value per share of the Acquiring Fund is impracticable, the Valuation Time and the Closing Date shall be postponed until the first business day after the day when such trading shall have been fully resumed and such reporting shall have been restored, or such other date as the parties may agree.

7. TERMINATION OF THE ACQUIRED FUND.

The Acquired Fund agrees that as soon as reasonably practicable after distribution of the Acquiring Fund Shares, the Acquired Fund shall be terminated as a series of the Acquired Fund Trust pursuant to its Amended and Restated Declaration of Trust, any further actions shall be taken in connection therewith as required by applicable law, and on and after the Closing Date the Acquired Fund shall not conduct any business except in connection with its liquidation and termination.

8. CONDITIONS TO OBLIGATIONS OF THE ACQUIRING FUND.

(a) That the Acquired Fund furnishes to the Acquiring Fund a statement, dated as of the Closing Date, signed by an authorized officer of the Acquired Fund Trust, certifying that as of the Valuation Time and the Closing Date all representations and warranties of the Acquired Fund made in this Agreement are true and correct in all material respects and that the Acquired Fund has complied with all the agreements and satisfied all the conditions on its part to be performed or satisfied at or prior to such dates;

(b) That the Acquired Fund furnishes the Acquiring Fund with copies of the resolutions, certified by an authorized officer of the Acquired Fund Trust, evidencing the adoption of this Agreement and the approval of the transactions contemplated herein by the Board of Trustees of the Acquired Fund Trust on behalf of the Acquired Fund;

(c) That, on or prior to the Closing Date, the Acquired Fund will declare one or more dividends or distributions which, together with all previous such dividends or distributions attributable to its current taxable year, shall have the effect of distributing to the shareholders of the Acquired Fund substantially all of the Acquired Fund's investment company taxable income and all of its net realized capital gain, if any, as of the Closing Date;

(d) That the Acquired Fund shall deliver to the Acquiring Fund at the Closing a statement of its assets and liabilities, together with a list of its portfolio securities showing each such security's adjusted tax basis and holding period by lot, with values determined as provided in Section 4 of this Agreement, all as of the Valuation Time, certified on the Acquired Fund's behalf by its Treasurer or Assistant Treasurer;

(e) That the Acquired Fund's custodian shall deliver to the Acquiring Fund a certificate identifying the assets of the Acquired Fund held by such custodian as of the Valuation Time on the Closing Date and stating that as of the Valuation Time: (i) the assets held by the custodian will be transferred to the Acquiring Fund; (ii) the Acquired Fund's assets have been duly endorsed in proper form for transfer in such condition as to constitute good delivery thereof; and (iii) to the best of the custodian's knowledge, all applicable taxes (including stock transfer taxes, if any) in conjunction with the delivery of the assets, that the custodian has been notified are due, have been paid or provision for payment has been made;

(f) That the Acquired Fund's transfer agent shall deliver to the Acquiring Fund at the Closing a certificate setting forth the number of shares of the Acquired Fund outstanding as of the Valuation Time and the name and address of each holder of record of any such shares and the number of shares held of record by each such shareholder;

(g) Reserved;

(h) That the Acquired Fund delivers to the Acquiring Fund a certificate of an authorized officer of the Acquired Fund Trust, dated as of the Closing Date, that there has been no material adverse change in the Acquired Fund's financial position since October 31, 2009, other than changes in the market value of its portfolio securities, or changes due to net redemptions of its shares, dividends paid, or losses from operations; and

(i) That all of the issued and outstanding shares of beneficial interest of the Acquired Fund shall have been offered for sale and sold in conformity with all applicable state securities laws and, to the extent that any audit of the records of the Acquired Fund or its transfer agent by the Acquiring Fund or its agents shall have revealed otherwise, the Acquired Fund shall have taken all actions that in the opinion of the Acquiring Fund are necessary to remedy any prior failure on the part of the Acquired Fund to have offered for sale and sold such shares in conformity with such laws.

9. CONDITIONS TO OBLIGATIONS OF THE ACQUIRED FUND.

(a) That the Acquiring Fund shall have executed and delivered to the Acquired Fund an Assumption of Liabilities, certified by an authorized officer of the Acquiring Fund Trust, dated as of the Closing Date pursuant to which the Acquiring Fund will assume all of the liabilities of the Acquired Fund existing at the Valuation Time in connection with the transactions contemplated by this Agreement;

(b) That the Acquiring Fund furnishes to the Acquired Fund a statement, dated as of the Closing Date, signed by an authorized officer of the Acquiring Fund Trust, certifying that as of the Valuation Time and the Closing Date all representations and warranties of the Acquiring Fund made in this Agreement are true and correct in all material respects, and the Acquiring Fund has complied with all the agreements and satisfied all the conditions on its part to be performed or satisfied at or prior to such dates; and

(c) Reserved.

10. CONDITIONS TO OBLIGATIONS OF THE ACQUIRING FUND AND THE ACQUIRED FUND.

(a) Reserved;

(b) That all consents of other parties and all other consents, orders, and permits of federal, state, and local regulatory authorities (including those of the Commission and of state Blue Sky and securities authorities, and including "no action" positions of such federal or state authorities) deemed necessary by the Acquiring Fund or the Acquired Fund to permit consummation, in all material respects, of the transactions contemplated hereby shall have been obtained, except where failure to obtain any such consent, order, or permit would not involve a risk of a material adverse effect on the assets or properties of the Acquiring Fund or the Acquired Fund, provided that either party hereto may for itself waive any of such conditions;

(c) That all proceedings taken by either Fund in connection with the transactions contemplated by this Agreement and all documents incidental thereto shall be satisfactory in form and substance to it and its counsel, Dechert LLP;

(d) That there shall not be any material litigation pending with respect to the matters contemplated by this Agreement;

(e) That the Registration Statement continues to be effective under the 1933 Act, and no stop order suspending such effectiveness shall have been instituted or, to the knowledge of the Acquiring Fund and the Acquired Fund, threatened by the Commission; and

(f) That the Acquiring Fund and the Acquired Fund shall have received an opinion of Dechert LLP satisfactory to the Acquiring Fund and the Acquired Fund substantially to the effect that for federal income tax purposes:

(i) The Reorganization will constitute a tax-free reorganization under Section 368(a) of the Code.

(ii) The Acquired Fund will not recognize gain or loss upon the transfer of substantially all of its assets to the Acquiring Fund in exchange solely for the Acquiring Fund Shares and the assumption of all liabilities of the Acquired Fund, except that the Acquired Fund may be required to recognize gain or loss with respect to contracts described in Section 1256(b) of the Code or stock in a passive foreign investment company, as defined in Section 1297(a) of the Code.

(iii) The Acquired Fund will not recognize gain or loss upon the distribution to its shareholders of the Acquiring Fund Shares received by the Acquired Fund in the Reorganization.

(iv) The Acquiring Fund will recognize no gain or loss upon receiving the properties of the Acquired Fund in exchange solely for the Acquiring Fund Shares and the assumption of all liabilities of the Acquired Fund.

(v) The adjusted basis to the Acquiring Fund of the properties of the Acquired Fund received by the Acquiring Fund in the Reorganization will be the same as the adjusted basis of those properties in the hands of the Acquired Fund immediately before the exchange.

(vi) The Acquiring Fund's holding periods with respect to the properties of the Acquired Fund that the Acquiring Fund acquires in the Reorganization will include the respective periods for which those properties were held by the Acquired Fund (except where investment activities of the Acquiring Fund have the effect of reducing or eliminating a holding period with respect to an asset).

(vii) The Acquired Fund shareholders will recognize no gain or loss upon receiving the Acquiring Fund Shares solely in exchange for the Acquired Fund shares.

(viii) The aggregate basis of the Acquiring Fund Shares received by an Acquired Fund shareholder in the Reorganization will be the same as the aggregate basis of the Acquired Fund shares surrendered by the Acquired Fund shareholder in exchange therefor.

(ix) An Acquired Fund shareholder's holding period for the Acquiring Fund Shares received by the Acquired Fund shareholder in the Reorganization will include the holding period during which the Acquired Fund shareholder held the Acquired Fund shares surrendered in exchange therefor, provided that the Acquired Fund shareholder held such shares as a capital asset on the date of the Reorganization.

Notwithstanding anything herein to the contrary, neither the Acquired Fund nor the Acquiring Fund may waive the conditions set forth in this subsection 10(f).

(g) That Fidelity Management & Research Company shall have received an opinion of Dechert LLP, counsel to the Acquired Fund and the Acquiring Fund, to the effect that Funds may effect the Reorganization in reliance on Rule 17a-8 under the 1940 Act without the Reorganization being approved by a vote of a majority of the Acquired Fund's outstanding voting securities.

11. COVENANTS OF THE ACQUIRING FUND AND THE ACQUIRED FUND.

(a) The Acquiring Fund and the Acquired Fund each covenants to operate its respective business in the ordinary course between the date hereof and the Closing Date, it being understood that such ordinary course of business will include the payment of customary dividends and distributions;

(b) The Acquired Fund covenants that it is not acquiring the Acquiring Fund Shares for the purpose of making any distribution other than in accordance with the terms of this Agreement;

(c) The Acquired Fund covenants that it will assist the Acquiring Fund in obtaining such information as the Acquiring Fund reasonably requests concerning the beneficial ownership of the Acquired Fund's shares; and

(d) The Acquired Fund covenants that its liquidation and termination will be effected in the manner provided in its Amended and Restated Declaration of Trust in accordance with applicable law, and after the Closing Date, the Acquired Fund will not conduct any business except in connection with its liquidation and termination.

12. TERMINATION; WAIVER.

The Acquiring Fund and the Acquired Fund may terminate this Agreement by mutual agreement. In addition, either the Acquiring Fund or the Acquired Fund may at its option terminate this Agreement at or prior to the Closing Date because:

(i) of a material breach by the other of any representation, warranty, or agreement contained herein to be performed at or prior to the Closing Date; or

(ii) a condition herein expressed to be precedent to the obligations of the terminating party has not been met and it reasonably appears that it will not or cannot be met.

In the event of any such termination, there shall be no liability for damages on the part of the Acquired Fund or the Acquiring Fund, or their respective Trustees or officers.

13. SOLE AGREEMENT; AMENDMENTS; WAIVERS; SURVIVAL OF WARRANTIES.

(a) This Agreement supersedes all previous correspondence and oral communications between the parties regarding the subject matter hereof, constitutes the only understanding with respect to such subject matter, may not be changed except by a letter of agreement signed by each party hereto and shall be construed in accordance with and governed by the laws of the Commonwealth of Massachusetts.

(b) This Agreement may be amended, modified, or supplemented in such manner as may be mutually agreed upon in writing by the respective President, any Vice President, or Treasurer of the Acquiring Fund or the Acquired Fund.

(c) Either Fund may waive any condition to its obligations hereunder, provided that such waiver does not have any material adverse effect on the interests of such Fund's shareholders.

The representations, warranties, and covenants contained in the Agreement, or in any document delivered pursuant hereto or in connection herewith, shall survive the consummation of the transactions contemplated hereunder.

14. DECLARATIONS OF TRUST.

A copy of each Fund's Amended and Restated Declaration of Trust is on file with the Secretary of State of the Commonwealth of Massachusetts, and notice is hereby given that this instrument is executed on behalf of the Trustees of each Fund as trustees and not individually and that the obligations of each Fund under this instrument are not binding upon any of such Fund's Trustees, officers, or shareholders individually but are binding only upon the assets and property of such Fund. Each Fund agrees that its obligations hereunder apply only to such Fund and not to its shareholders individually or to the Trustees of such Fund.

15. ASSIGNMENT.

This Agreement shall bind and inure to the benefit of the parties hereto and their respective successors and assigns, but no assignment or transfer of any rights or obligations hereunder shall be made by any party without the written consent of the other parties. Nothing herein expressed or implied is intended or shall be construed to confer upon or give any person, firm, or corporation other than the parties hereto and their respective successors and assigns any rights or remedies under or by reason of this Agreement.

This Agreement may be executed in any number of counterparts, each of which, when executed and delivered, shall be deemed to be an original.

IN WITNESS WHEREOF, each of the parties hereto has caused this Agreement to be executed by an appropriate officer.

FIDELITY ADVISOR SERIES VIII

on behalf of Fidelity Advisor Latin America Fund

/s/ Kenneth B. Robins

Kenneth B. Robins

Treasurer

FIDELITY INVESTMENT TRUST

on behalf of Fidelity Latin America Fund

/s/ Kenneth B. Robins

Kenneth B. Robins

Treasurer

EX-99.77Q1 OTHR EXHB 5 q77q1_forsubcustodiansbbh.htm SUB CUSTODIAN

Exhibit 77Q1 - Additional Items

 

 

 

 

 

Because the electronic format for filing Form N-SAR does not provide adequate space for

responding to Item 15, the registrant has included the complete list of foreign sub-custodians below.

 

 

 

Item 15

 

 

 

 

 

 

Brown Brothers Harriman & Co.

 

 

Global Subcustodian Network

 

 

October 2010

 

 

 

 

 

 

 

Country

Subcustodian

City / Country

 

Australia

HSBC Bank Australia Limited

Sydney / Australia

 

Austria

Unicredit Bank Austria AG

Vienna / Austria

 

Bahrain

HSBC Bank Middle East Limited, Bahrain Branch

Manama / Bahrain

 

Bangladesh

Standard Chartered Bank, Bangladesh Branch

Dhaka / Bangladesh

 

Belgium

BNP Paribas Securities Services, Paris Branch

Brussels / Belgium

 

Bermuda

Bank of Bermuda HSBC

Hamilton / Bermuda

 

Botswana

Stanbic Bank Botswa N/A Ltd

Gaborone / Botswana

 

Brazil

Citibank N.A., São Paulo

Sao Paulo / Brazil

 

Bulgaria

ING Bank, N.V., Sofia Branch

Sofia / Bulgaria

 

Canada

RBC Dexia Investor Services Trust (RBC Dexia)

Toronto / Canada

 

Chile

Banco de Chile

Santiago / Chile

 

China

Standard Chartered Bank (China) Limited

Shanghai / China

 

Colombia

Cititrust Colombia, S.A. Sociedad Fiduciaria

Bogota / Colombia

 

Cyprus

BNP Paribas Securities Services, Athens Branch

Athens / Greece

 

Czech Republic

Citibank Europe plc

Praha / Czech Republic

 

Denmark

Danske Bank A/S

Copenhagen / Denmark

 

Egypt

Citibank, N.A., Cairo Branch

Cairo / Egypt

 

Estonia

Swedbank AS

Tallinn / Finland

 

Finland

Nordea Bank Finland Plc

Helsinki / Finland

 

France

BNP Paribas Securities Services S.A., Paris Branch

Paris / France

 

Germany

Deutsche Bank AG, Frankfurt

Frankfurt / Germany

 

Ghana

Barclays Bank of Ghana Ltd.

Accra / Ghana

 

Greece

HSBC Bank Plc, Athens Branch

Athens / Greece

 

Hong Kong

Hongkong & Shanghai Banking Corporation (HSBC)

Central / Hong Kong

 

Hungary

UniCredit Bank Hungary ZRT

Budapest / Hungary

 

India

Citibank, N.A., Mumbai Branch

Mumbai / India

 

 

Hongkong & Shanghai Banking Corporation (HSBC), India Branch

Mumbai / India

 

Indonesia

Citibank, N.A., Jakarta Branch

Jakarta / Indonesia

 

Ireland

Citibank N.A., London Branch

London / UK

 

Israel

Bank Hapoalim BM

Tel Aviv / Israel

 

Italy

BNP Paribas Securities Services, Milan Branch

Milan / Italy

 

Japan

Bank of Tokyo-Mitsubishi UFJ Ltd

Tokyo / Japan

 

Jordan

HSBC Bank Middle East Limited, Jordan Branch

Western Amman / Jordan

 

Kenya

CfC Stanbic Bank Ltd

Nairobi / Kenya

 

Lebanon

HSBC Bank Middle East Limited, Lebanon Branch

Beirut / Lebanon

 

Luxembourg

Kredietbank Luxembourg

Luxembourg

 

Malaysia

Standard Chartered Bank Malaysia Berhad

Kuala Lumpur / Malaysia

 

Mauritius

Hongkong & Shanghai Banking Corporation (HSBC), Mauritius Branch

Port Louis / Mauritius

 

Mexico

Banco Nacional de Mexico, S.A. (Banamex)

Mexico City / Mexico

 

Morocco

Citibank Maghreb

Casablanca / Morocco

 

Namibia

Standard Bank Namibia Limited

Windhoek / Namibia

 

Netherlands

BNP Paribas Securities Services, Paris Branch

Amsterdam / Netherlands

 

New Zealand

Hongkong & Shanghai Banking Corporation (HSBC), New Zealand Branch

Auckland / New Zealand

 

Norway

DNB Bank Nor ASA

Oslo / Norway

 

Oman

HSBC Bank Middle East Limited, Oman Branch

Ruwi / Oman

 

Pakistan

Standard Chartered Bank (Pakistan) Limited

Karachi / Pakistan

 

Peru

Citibank del Peru S.A.

Lima / Peru

 

Philippines

Hongkong & Shanghai Banking Corporation (HSBC), Philippine Branch

Manila / Philippines

 

Poland

Bank Handlowy w Warszawie SA

Warsaw / Poland

 

Portugal

BNP Paribas Securities Services S.A., Paris Branch

Paris / France

 

Romania

ING Bank N.V., Bucharest Branch

Bucharest / Romania

 

Russia

ZAO Citibank

Moscow / Russia

 

Singapore

Standard Chartered Bank, Singapore branch

Singapore

 

Slovakia

ING Bank NV, Bratislava Branch

Bratislava / Slovakia

 

Slovenia

UniCredit Banka Slovenija d.d.

Ljubljana / Slovenia

 

South Africa

Standard Bank of South Africa Limited

Johannesburg / South Africa

 

South Korea

Citibank Korea Inc.

Seoul / South Korea

 

Spain

Société Générale Sucursal en España S.A.

Madrid / Spain

 

Sri Lanka

Hongkong & Shanghai Banking Corporation (HSBC), Sri Lanka Branch

Colombo / Sri Lanka

 

Swaziland

Standard Bank Swaziland

Mbabane / Swaziland

 

Sweden

Skandinaviska Enskilda Banken AB (publ)

Stockholm / Sweden

 

Switzerland

UBS AG

Zurich / Switzerland

 

Taiwan

Standard Chartered Bank (Taiwan) Ltd.

Taipei / Taiwan

 

Thailand

Hongkong & Shanghai Banking Corporation (HSBC), Thailand Branch

Bangkok / Thailand

 

Transnational

Brown Brothers Harriman & Co.

Boston, MA / New York, NY

 

Turkey

Citibank Anonim Sirkiti

Istanbul / Turkey

 

United Arab Emirates
(ADX, DFM and NASDAQ Dubai)

HSBC Bank Middle East Limited (DIFC) branch

Dubai / UAE

 

United Kingdom

HSBC Bank Plc

London / UK

 

Uruguay

Banco Itaú Uruguay S.A.

Montevideo / Uruguay

 

Venezuela

Citibank, N.A., Caracas Branch

Caracas / Venezuela

 

Zambia

Stanbic Bank Zambia Ltd.

Lusaka / Zambia

 

Zimbabwe

Stanbic Bank Zimbabwe Limited

Harare / Zimbabwe

EX-99.77Q1 OTHR EXHB 6 q77q1_forsubcustodiansmellon.htm SUB CUSTODIAN

Exhibit 77Q1 - Additional Items

 

 

 

 

 

Because the electronic format for filing Form N-SAR does not provide adequate space for

responding to Item 15, the registrant has included the complete list of foreign sub-custodians below.

 

 

 

Item 15

 

 

 

 

 

Foreign Sub-Custodian Network for BNY Mellon

 

 

 

 

Country

Subcustodian Name Legacy Mellon

City

Argentina

Citibank, Buenos Aires

Buenos Aires

Australia

National Australia Bank Ltd


Melbourne, Victoria 3000

Austria

UniCredit Bank Austria AG

Vienna, Austria

Bahrain

HSBC, Manama

Manama 304
Bahrain

Bangladesh

Standard Chartered Bank, Dhaka

Dhaka - 1000, Bangladesh

Belgium

ING Belgium

Brussels, Belgium

Bermuda

HSBC Bank Bermuda Limited

Côte d'Ivoire

Botswana

Barclays Bank of Botswana Limited, Gaborone

Khama Crescent Gaborone

Brazil

Citibank N.A., Sao Paulo

Sao Paulo

Bulgaria

UniCredit Bank Austria AG

Sofia

Canada

Canadian Imperial Bank of Commerce, Toronto

Côte d'Ivoire

Caymen Islands

The Bank of New York Mellon

London

Channel Islands

The Bank of New York Mellon

London

Chile

Banco Itau, Chile

Las Condes, Santiago

China A

HSBC Bank (China) Company Limited

Shanghai

China B

HSBC Bank (China) Company Limited

Shanghai

Colombia

Cititrust Colombia S.A.,

Santa Fe de Bogota, D.C.

Croatia

UniCredit Bank Austria AG

10000 Zagreb

Cyprus

EFG Eurobank Ergasias S.A.

Athens

Czech Republic

Citibank Europe plc, organizacni slozka

Prague

Denmark

Skandinaviska Enskilda Banken, Copenhagen

Copenhagen

Ecuador

Banco de la Produccion S.A

Quito

Egypt

HSBC

Maadi, Cairo

Estonia

SEB Pank AS (2005)

Tallinn

Euroclear

Euroclear Bank S.A

Brussels

Finland

SEB Finland

Helsinki

France

BNP Paribas Securities Services, Paris (1987)

Paris

Germany

BNY Mellon Asset Servicing GmbH

63067 Offenbach am Main

Ghana

Barclays Bank of Ghana Limited, Accra

Accra

Greece

EFG Eurobank Ergasias S.A.

Athens

Hong Kong

HSBC, Hong Kong

Kowloon

Hungary

Unicredit Bank Hungary Zrt.

Budapest

Iceland

Nyi Glitnir Banki hf

Reykjavik

India

HSBC, Mumbai

Mumbai

Indonesia

HSBC, Jakarta

Jakarta

Ireland

The Bank of New York Mellon, London Branch

Manchester

Israel

Citibank N.A., Tel Aviv Branch

Tel Aviv 61000, Israel

Italy

Intesa Sanpaolo S.p.A

20152 Milan

Japan

HSBC, Tokyo

Tokyo

Japan

BTMU, Tokyo (2007) (For CIBC Mellon clients only)

Tokyo

Jordan

HSBC, Amman

Amman

Kazakhstan

HSBC, Kazakhstan

Almaty

Kenya

CFC Stanbic Bank Limited

Nairobi

Kuwait

HSBC Middle East Ltd

Safat

Latvia

AS SEB banka

Riga

Lebanon

HSBC, Beirut

Beirut

Lithuania

SEB Bankas

Vilnius

Luxembourg

Euroclear Bank S.A

Luxembourg

Malaysia

Citibank Berhad

Kuala Lumpur

Malta

HSBC Bank Malta

Valletta

Mauritius

HSBC, Port Louis

18 Cybercity, Ebene

Mexico

Banco Santander Serfin, S.A.

Mexico City

Morocco

Citibank Maghreb

Casablanca

Namibia

Standard Bank Namibia LTD

Windhoek

The Netherlands

BNY Mellon Asset Servicing B.V

Manchester

New Zealand

National Australia Bank Ltd

Auckland

Niger

Societe Generale de Banques en Cote d'lvoire

Plateau Abidjan

Norway

DnB Nor Bank ASA

Oslo

Oman

HSBC

Sultanate of Oman

Pakistan

Deutsche Bank AG, Karachi

Karachi

Palestinian Autonomous Area

HSBC

Ramallah, West Bank

Peru

Citibank del Peru, Lima

Lima

The Philippines

HSBC, Manila

Makati City

Poland

Bank Handlowy w Warszawie SA., Warsaw

Warsaw

Portugal

Banco Comercial Portugues S.A., Lisbon

2744-002 Porto Salvo

Qatar

HSBC Middle East Ltd

Doha

Romania

UniCredit Bank Austria AG

Bucharest

Russia

ZAO Citibank Moscow

Moscow

Saudi Arabia

HSBC

Riyadh

Serbia

UniCredit Bank Austria AG

Belgrade

Singapore

The Development Bank of Singapore, Singapore

Singapore

Slovakia

UniCredit Bank A.S.

Bratislava

Slovenia

UniCredit Bank Austria AG

Ljubljana

South Africa

Societe Generale, Johannesburg

Johannesburg

South Korea

HSBC

Seoul

Spain

Santander Investment Services, S.A.

Madrid

Sri Lanka

HSBC

Colombo

Swaziland

Standard Bank Swaziland Limited

Mbabane

Sweden

Skandinaviska Enskilda Banken, Stockholm

SE-106 40 Stockholm

Switzerland

Union Bank of Switzerland, Zurich

8070 Zurich

Taiwan

Standard Chartered Bank (SCB), Taipei

Taipei

Thailand

HSBC, Bangkok Branch

Bangkok

Tunisia

Banque Internationale Arabe de Tunisie, Tunis

Tunis

Turkey

Deutche Bank A.S

Istanbul

Uganda

Barclays Bank of Uganda, Kampala

Kampala

Ukraine

UniCredit Bank Austria AG

Kyiv

United Arab Emirates

HSBC, Dubai

Dubai

United Kingdom

The Bank of New York Mellon, London Branch

Manchester

United States

The Bank of New York Mellon

New York

Uruguay

Banco Itaú Uruguay S.A.

Montevideo

Venezuela

Citibank, N.A., Caracas

Caracas

Vietnam

HSBC

Ho Chi Minh City

Zambia

Barclays Bank of Zambia Limited, Lusaka

Lusaka

Zimbabwe

Barclays Bank of Zimbabwe Limited, Harare

Harare

EX-99.77Q1 OTHR EXHB 7 q77q1_forsubcustodiansnt.htm SUB CUSTODIAN

Exhibit 77Q1 - Additional Items

 

 

 

 

 

Because the electronic format for filing Form N-SAR does not provide adequate space for

responding to Item 15, the registrant has included the complete list of foreign sub-custodians below.

 

 

 

Item 15

 

 

 

 

 

The Northern Trust Company

 

 

Country

Subcustodian Name

City

Argentina

Citibank NA

Buenos Aires

Australia

HSBC Bank Australia Limited

Sydney

Austria

UniCredit Bank Austria A.G

Vienna

Bahrain

HSBC Bank Middle East Limited

Manama

Bangladesh

Standard Chartered Bank

Dhaka

Belgium

ING Belgium SA/NV

Brussels

Bermuda

HSBC Bank Bermuda Limited

Hamilton

Bosnia and Herzegovina

Raiffeisenzentralbank Osterreich AG

Vienna

Botswana

Barclays Bank of Botswana Limited

Gaborone

Brazil

Citibank NA

Sao Paulo

Bulgaria

ING Bank NV

Sofia

Canada

The Northern Trust Company, Canada

Toronto

CDs

Deutsche Bank AG

London

Chile

Banco de Chile

Santiago

China A Share

HSBC Bank (China) Company Limited

Shanghai

China B Share

HSBC Bank (China) Company Limited

Shanghai

Colombia

Cititrust Colombia

Bogota

Croatia

Bank Austria Creditanstalt AG

Vienna

Cyprus

Citibank International plc

Athens

Czech Republic

UniCredit Bank Czech Republic a.s.

Prague

Denmark

Nordea Bank Danmark A/S

Taastrup

Egypt

Citibank NA

Cairo

Estonia

Swedbank AS

Tallinn

Finland

Nordea Bank Finland PLC

Helsinki

France

BNP Paribas Securities Services SA

Pantin

Germany

Deutsche Bank AG

Main office: Frankfurt am Main Domestic Custody Services: Eschborn

Ghana

Barclays Bank of Ghana Limited

Accra

Greece

Citibank International PLC

Athens

Hong Kong

The Hongkong & Shanghai Banking Corporation Limited

Kowloon

Hungary

UniCredit Bank Hungary Zrt

Budapest

Iceland

NBI hf

Reykjavik

India

Citibank NA

Mumbai

Indonesia

Standard Chartered Bank

Jakarta

Ireland

The Northern Trust Company, London

London

Israel

Bank Leumi Le-Israel BM

Tel-Aviv

Italy

BNP Paribas Securities Services SA

Milan

Japan

The Hongkong & Shanghai Banking Corporation Limited

Tokyo

Jordan

HSBC Bank Middle East Limited

Amman

Kazakhstan

HSBC Bank Kazakhstan JSC

Almaty

Kenya

Barclays Bank of Kenya Limited

Nairobi

Kuwait

HSBC Bank Middle East Limited

Kuwait City

Latvia

Swedbank AS

Riga

Lebanon

HSBC Bank Middle East Limited

Beirut

Lithuania

SEB Bankas

Vilnius

Luxembourg

ING Belgium SA/NV

Brussels

Malaysia

HSBC Bank Malaysia Berhad

Kuala Lumpur

Malta

HSBC Bank Malta PLC

Valletta

Mauritius

The Hongkong & Shanghai Banking Corporation Limited

Ebene

Mexico

Banco Nacional de Mexico SA

Colonia Santa Fe

Morocco

Societe Generale Marocaines de Banques

Casablanca

Namibia

Standard Bank Namibia Limited

Windhoek

Netherlands

ABN AMRO Bank N.V

Amsterdam

New Zealand

The Hongkong and Shanghai Banking Corporation Limited

Auckland

Nigeria

Stanbic IBTC Bank Plc

Lagos

Norway

Nordea Bank Norge ASA

Oslo

Oman

HSBC Bank Middle East Limited

Muscat

Pakistan

Citibank NA

Karachi

Palestine

HSBC Bank Middle East Limited

Ramallah

Peru

Citibank del Peru SA

Lima

Philippines

The Hongkong & Shanghai Banking Corporation Limited

Manila

Poland

Bank Polska Kasa Opieki SA

Warsaw

Portugal

Banco Santander Totta

Lisbon

Qatar

HSBC Bank Middle East Limited

Doha

Republic of Korea

The Hongkong & Shanghai Banking Corporation Limited

Seoul

Romania

ING Bank NV

Bucharest

Russia

ING Bank (Eurasia) ZAO

Moscow

Saudi Arabia

SABB Securities Limited

Riyadh

Serbia

UniCredit Bank Serbia JSC

Belgrade

Singapore

DBS Bank Limited

Singapore

Slovak Republic

ING Bank NV Bratislava Branch

Bratislava

Slovenia

UniCredit Banka Slovenija d.d.

Ljubljana

South Africa

Standard Bank of South Africa Limited

Johannesburg

Spain

BNP Paribas Securities Services SA

Madrid

Sri Lanka

Standard Chartered Bank

Colombo

Swaziland

Standard Bank Swaziland Limited

Mbabane

Sweden

Svenska Handelsbanken AB publ

Stockholm

Switzerland

UBS AG

Zurich

Taiwan

Bank of Taiwan

Taipei

Thailand

Citibank NA

Bangkok

Trinidad & Tobago

Republic Bank Limited

Port of Spain

Tunisia

Banque Internationale Arabe de Tunisie

Tunis

Turkey

Deutsche Bank AS

Istanbul

UAE - ADX

HSBC Bank Middle East Limited

Dubai

UAE - DFM

HSBC Bank Middle East Limited

Dubai

UAE - NASDAQ Dubai

HSBC Bank Middle East Limited

Dubai

Uganda

Barclays Bank of Uganda Limited

Kampala

UK

The Northern Trust Company, London

London

Ukraine

ING Bank Ukraine

Kiev

United States

The Northern Trust Company

Chicago

Uruguay

Banco Itau Uruguay SA

Montevideo

Venezuela

Citibank NA

Caracas

Vietnam

HSBC Bank (Vietnam) Ltd

Ho Chi Minh City

West Africa

United Bank for Africa plc

Abidjan

Zambia

Barclays Bank of Zambia Limited

Lusaka

EX-99.77M MERGERS 8 q77m_mergers2.htm MERGERS

Attachment III

On October 1, 2010, Fidelity Advisor Latin America Fund, a series of Advisor Series VIII, transferred all of its shares to Fidelity Latin America Fund, a series of Fidelity Investment Trust, solely in exchange for shares of Fidelity Latin America Fund and the assumption by Fidelity Latin America Fund of Fidelity Advisor Latin America Fund's liabilities, and such shares of Fidelity Latin America Fund were distributed constructively to shareholders of Fidelity Advisor Latin America Fund in complete liquidation and termination of Fidelity Advisor Latin America Fund. The transaction was approved by the Board on July 14, 2010.

EX-99.77Q1 OTHR EXHB 9 q77q1_forsubcustodiansjp.htm SUB CUSTODIAN

Exhibit 77Q1 - Additional Items

 

 

 

 

 

Because the electronic format for filing Form N-SAR does not provide adequate space for

responding to Item 15, the registrant has included the complete list of foreign sub-custodians below.

 

 

 

Item 15

 

 

 

 

 

Foreign Sub-Custodian Network for J.P. Morgan

 

 

 

 

Country

Subcustodian Name

City

Central Depository Name

Argentina

HSBC Bank Argentina S.A

Buenos Aires

CDV (Caja de Valores S.A.)

Australia

JPMorgan Chase Bank, N.A.

Sydney

Austraclear (ASX Austraclear Limited)

Austria

UniCredit Bank Austria AG

Vienna

OeKB (Oesterreichische Kontrollbank AG)

Bahrain

HSBC Bank Middle East Limited

Manama

CDS (Bahrain Stock Exchange Clearing, Settlement and Central Depository System)

Bangladesh

Standard Chartered Bank

Dhaka

CDBL (Central Depository Bangladesh Limited)

Belgium

ABN AMRO Bank N.V.

Amsterdam

Euroclear Belgium

Bermuda

The Bank of Bermuda Limited

Hamilton

BSD (Bermuda Securities Depository)

Botswana

Barclays Bank of Botswana Limited

Gaborone

CSDB (Central Securities Depository of Botswana)

Brazil

HSBC Bank Brasil S.A. Banco Multiplo

Sao Paulo

CBLC (Companhia Brasileira de Liquidacao e de Custodia)

Bulgaria

ING Bank N.V.

Sofia

BNB (Bulgaria National Bank)

Canada

Canadian Imperial Bank of Commerce

Toronto

CDS (The Canadian Depository for Securities Limited)

Canada

Royal Bank of Canada

Toronto

 

Chile

Banco Santander Chile

Santiago

DCV (Deposito Central de Valores S.A.)

China (Shanghai)

HSBC Bank (China) Company Limited

Shanghai

CSDCC, Shanghai Branch (China Securities Depository and Clearing Corporation Limited, Shanghai Branch)

China (Shenzhen)

HSBC Bank (China) Company Limited

Shanghai

CSDCC, Shenzhen Branch (China Securities Depository and Clearing Corporation Limited, Shenzhen Branch)

Colombia

Santander Investment Trust Colombia S.A.

Bogota

DCV (Deposito Central de Valores)

Croatia

Privredna banka Zagreb d.d.

Zagreb

SKDD (Central Depository and Clearing Company Inc. - Sredisnje klirinsko depozitarno drustro, d.d.)

Cyprus

Marfin Popular Bank Public Company Ltd.

Nicosia

CSD (Cyprus Stock Exchange Central Securities Depository)

Czech Republic

UniCredit Bank Czech Republic a.s.

Prague

Denmark

Nordea Bank Danmark A/S

Copenhagen

VP (VP Securities A/S)

Egypt

Citibank, N.A.

Cairo

MCDR (Misr for Clearing, Depository and Central Registry)

Estonia

Swedbank AS

Tallinn

ECSD (Estonian Central Securities Depository)

Finland

Nordea Bank Finland Plc

Helsinki

Euroclear Finland (Euroclear Finland Ltd)

France

BNP Paribas Securities Services S.A.

Paris

Euroclear France (Euroclear France S.A.)

France

Societe Generale

Paris

 

Germany

Deutsche Bank AG

Frankfurt

CBF (Clearstream Banking AG (Frankfurt)

Germany

J.P. Morgan AG

Frankfurt

 

Ghana

Barclays Bank of Ghana Limited

Accra

CSD (Central Securities Depository (Ghana) Limited)

Greece

HSBC Bank PLC

Athens

CSD (Hellenic Exchanges S.A. Holding, Clearing, Settlement and Registry)

Hong Kong

The Hongkong and Shanghai Banking Corporation Limited

Hong Kong

HKSCC (Hong Kong Securities Clearing Company Limited)

Hungary

Deutsche Bank Zrt.

Budapest

KELER Zrt. (Central Clearing House and Depository (Budapest) Ltd.)

Iceland*

Islandsbanki hf.

Reykjavik

ISD (The Islandic Securities Depository)

India

The Hongkong and Shanghai Banking Corporation Limited

Mumbai

NSDL (National Securities Depository Limited)

India

Standard Chartered Bank

Mumbai

 

India

JPMorgan Chase Bank, N.A.

Mumbai

 

Indonesia

Deutsche Bank AG

Jakarta

KSEI (PT Kustodian Sentral Efek Indonesia)

International Securities Market

Euroclear Bank

 

Euroclear Bank (Euroclear Bank S.A./N.V.)

Ireland

Bank of Ireland

Dublin

Euroclear UK & Ireland (Euroclear UK & Ireland Limited)

Israel

Bank Leumi le-Israel B.M.

Tel Aviv

TA-SECH (Tel Aviv Stock Exchange Clearing House Ltd.)

Italy

BNP Paribas Securities Services S.A.

Milan

Monte Titoli S.p.A.

Japan

Mizuho Corporate Bank, Limited

Tokyo

JASDEC (Japan Securities Depository Center, Incorporated)

Japan

The Bank of Tokyo-Mitsubishi UFJ Limited, Tokyo

Tokyo

 

Jordan

HSBC Bank Middle East Limited

Amman

SDC (Securities Depository Center)

Kazakhstan

SB HSBC Bank Kazakhstan JSC

Almaty

CSD (Central Securities Depository JSC)

Kenya

Barclays Bank of Kenya Limited

Nairobi

CBCD (Central Bank Central Depository)

Kuwait

HSBC Bank Middle East Limited

Safat

KCC (The Kuwait Clearing Company S.A.K.)

Latvia

Swedbank AS

Riga

LCD (Latvian Central Depository)

Lebanon

HSBC Bank Middle East Limited

Ras-Beirut

Midclear S.A.L. (Custodian and Clearing Center of Financial Instruments for Lebanon and the Middle East S.A.L.)

Lithuania

AB SEB Bankas

Vilnius

CSDL (Central Securities Depository of Lithuania)

Luxembourg

BGL BNP Paribas

Luxembourg

CBL (Clearstream Banking, S.A.)

Malaysia

HSBC Bank Malaysia Berhad

Kuala Lumpur

Bursa Depository (Bursa Malaysia Depository Sdn Bhd)

Malta

HSBC Bank Malta p.i.c.

Valletta

CSD (The Central Securities Depository)

Mauritius

The Hongkong and Shanghai Banking Corporation Limited

Port Louis

CDS (Central Depository and Settlement Company Limited)

Mexico

Banco Nacional de Mexico, S.A.

Mexico, D.F.

INDEVAL (S.D. INDEVAL S.A. de C.V.)

Morocco

Societe Generale Marocaine de Banques

Casablanca

Maroclear

Namibia

Standard Bank Namibia Limited

Windhoek

 

Netherlands

BNP Paribas Securities Services S.A.

Amsterdam

Euroclear Nederland

New Zealand

National Australia Bank Limited, Auckland (National Nominees Limited)

Auckland

NZCSD (New Zealand Central Securities Depository)

Nigeria

Stanbic IBTC Bank Plc

Lagos

CSCS (Central Securities Clearing System Limited)

Norway

Nordea Bank Norge ASA

Oslo

VPS (Verdipapirsentralen ASA)

Oman

HSBC Bank Middle East Limited

Ruwi

MCD (Muscat Clearing and Depository)

Pakistan

Standard Chartered Bank (Pakistan) Limited

Karachi

CDC (Central Depository Company of Pakistan Limited)

Palestine

HSBC Bank Middle East Limited

Ramallah

CDS (Palestine Stock Exchange Central Depository and Settlement Department)

Peru

Citibank del Peru S.A.

Lima

CAVALI (CAVALI ICLV S.A.)

Philippines

The Hongkong and Shanghai Banking Corporation Limited

Manila

PDTC (Philippine Depository and Trust Corp.)

Poland

Bank Handlowy w. Warszawie S.A.

Warsaw

NDS (National Depository for Securities S.A.)

Portugal

BNP Paribas Securities Services S.A.

Lisbon

INTERBOLSA (Sociedade Gestora de Sistemas de Liquidação e de Sistemas Centralizados de Valores Mobiliários, S.A.)

Qatar

HSBC Bank Middle East Limited

Doha

QE (Qatar Exchange)

Romania

ING Bank N.V.

Bucharest

CD S.A. (Central Depository S.A.)

Russia*

J.P. Morgan Bank International (Limited Liability Company)

Moscow

VTB (Vneshtorgbank)

Russia

ING Bank (Eurasia) ZAO (Closed Joint Stock Company)

Moscow

 

Saudi Arabia

SABB Securities Limited

Riyadh

Tadawul (The Saudi Securities Exchange (Tadawul) Company)

Serbia

UniCredit Bank Srbija a.d.

Belgrade

CSD (Central Securities Depository and Clearing House for Serbia)

Singapore

DBS Bank Ltd., Singapore

Singapore

CDP (The Central Depository (Pte) Limited)

Slovak Republic

UniCredit Bank Slovakia a.s.

Bratislava

CDCP (Centralny depozitar cennych papierov SR, a.s.)

Slovenia

UniCredit Banka Slovenija d.d.

Ljubljana

KDD (Centralna klirinsko depotna druzba d.d.)

South Africa

FirstRand Bank Limited

Johannesburg

Strate Ltd. (Strate Central Securities Depository)

South Korea

Standard Chartered First Bank Korea Limited

Seoul

KSD (Korea Securities Depository)

Spain

Santander Investment, S.A.

Madrid

IBERCLEAR (Sociedad de Gestion de los Sistemas de Registro, Compensacion y Liquidacion de Valores, S.A.)

Sri Lanka

The Hongkong and Shanghai Banking Corporation Limited

Colombo

CDS (Central Depository System (Private) Limited)

Sweden

Nordea Bank AB (publ)

Stockholm

Euroclear Sweden (Euroclear Sweden AB)

Switzerland

UBS AG

Zurich

SIX SIS (SIX SIS AG)

Taiwan

JPMorgan Chase Bank, N.A.

Taipei

TDCC (Taiwan Depository and Clearing Corporation)

Thailand

Standard Chartered Bank (Thai) Public Company Limited

Bangkok

TSD (Thailand Securities Depository Company Limited)

Trinidad & Tobago

Republic Bank Limited

Port of Spain

TTCD (The Trinidad and Tobago Central Depository Limited)

Tunisia

Banque Internationale Arabe de Tunisie, S.A.

Tunis

STICODEVAM (Societe Tunisienne Interprofessionnelle pour la Compensation et le Depot des Valeurs Mobilieres)

Turkey

Citibank A.S.

Istanbul

CRA (Central Registry Agency)

Uganda

Barclays Bank of Uganda Limited

Kampala

BoU (Bank of Uganda)

Ukraine*

ING Bank Ukraine

Kiev

AUSD (All Ukrainian Securities Depository)

United Arab Emirates - DFM

HSBC Bank Middle East Limited

Dubai

DFM (Dubai Financial Market)

United Arab Emirates - NASDAQ Dubai

HSBC Bank Middle East Limited

Dubai

NASDAQ Dubai (NASDAQ Dubai Limited)

United Arab Emirates - ADX

HSBC Bank Middle East Limited

Dubai

ADX (Abu Dhabi Securities Exchange)

United Kingdom

JPMorgan Chase Bank, N.A.

London

Euroclear UK & Ireland (Euroclear UK & Ireland Limited)

United Kingdom

Deutsche Bank AG, London (The Depository and Clearing Centre)

London

 

United States

JPMorgan Chase Bank, N.A.

New York

DTC (The Depository Trust Company)

Uruguay

Banco Itaú Uruguay S.A.

Montevideo

BCU (Banco Central del Uruguay)

Venezuela

Citibank, N.A.

Caracas

BCV (Banco Central de Venezuela)

Vietnam

HSBC Bank (Vietnam) Ltd.

Ho Chi Minh City

VSD (Vietnam Securities Depository)

WAEMU - Benin, Burkina Faso, Ivory Coast, Guinea-Bissau, Mali, Niger, Senegal, Togo*

Societe Generale de Banques en Cote d'Ivoire

Abidjan

DC/BR (Le Depositaire Central / Banque de Reglement)

Zambia

Barclays Bank Zambia Plc

Lusaka

CSD (LuSE Central Shares Depository Limited)

Zimbabwe*

Barclays Bank of Zimbabwe Limited

Harare

 

 

 

 

 

*Restricted Service Only

 

 

 

EX-99.77B ACCT LTTR 10 q77b_dtauditletter1.htm AUDIT LETTER INDEPENDENT AUDITORS REPORT

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Trustees of Fidelity Investment Trust and the Shareholders of Fidelity Total International Equity Fund:

In planning and performing our audit of the financial statements of Fidelity Total International Equity Fund (the "Fund"), a fund of Fidelity Investment Trust, as of and for the year ended October 31, 2010, in accordance with the standards of the Public Company Accounting Oversight Board (United States), we considered its internal control over financial reporting, including controls over safeguarding securities, as a basis for designing our auditing procedures for the purpose of expressing our opinion on the financial statements and to comply with the requirements of Form N-SAR, 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.

The management of the Fund is responsible for establishing and maintaining effective internal control over financial reporting. In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls. A funds internal control over financial reporting is a process designed 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. A funds internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the fund; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the fund are being made only in accordance with authorizations of management and trustees of the fund; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of a funds assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control does not allow management or employees, in the normal course of performing their assigned functions, to prevent or detect misstatements on a timely basis.  A material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of a fund's annual or interim financial statements will not be prevented or detected on a timely basis.

Our consideration of the Funds internal control over financial reporting was for the limited purpose described in the first paragraph and would not necessarily disclose all deficiencies in internal control that might be material weaknesses under standards established by the Public Company Accounting Oversight Board (United States). However, we noted no deficiencies in the Funds internal control over financial reporting and its operation, including controls for safeguarding securities that we consider to be a material weakness, as defined above, as of October 31, 2010.

This report is intended solely for the information and use of management, the Trustees of Fidelity Investment Trust, including Fidelity Total International Equity Fund, and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties.

 

 

 

Boston, Massachusetts

December 14, 2010

EX-99.77B ACCT LTTR 11 q77b_dtauditletter2.htm AUDIT LETTER INDEPENDENT AUDITORS REPORT

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Trustees of Fidelity Investment Trust and the Shareholders of Fidelity International Small Cap Opportunities Fund, Fidelity International Value Fund, Fidelity Emerging Europe, Middle East, Africa (EMEA) Fund, Fidelity Series Emerging Markets, Fidelity Series International Value and Fidelity Series International Small Cap Fund:

In planning and performing our audit of the financial statements of Fidelity International Small Cap Opportunities Fund, Fidelity International Value Fund, Fidelity Emerging Europe, Middle East, Africa (EMEA) Fund, Fidelity Series Emerging Markets, Fidelity Series International Value and Fidelity Series International Small Cap Fund (individually, a "Fund" and collectively the "Funds"), funds of Fidelity Investment Trust, as of and for the year ended October 31, 2010, in accordance with the standards of the Public Company Accounting Oversight Board (United States), we considered their internal control over financial reporting, including controls over safeguarding securities, as a basis for designing our auditing procedures for the purpose of expressing our opinion on each Funds financial statements and to comply with the requirements of Form N-SAR, but not for the purpose of expressing an opinion on the effectiveness of the Funds internal control over financial reporting. Accordingly, w e express no such opinion.

The management of the Funds is responsible for establishing and maintaining effective internal control over financial reporting. In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls. A funds internal control over financial reporting is a process designed 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. A fund's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the fund; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts an d expenditures of the fund are being made only in accordance with authorizations of management and trustees of the fund; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of a fund's assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control does not allow management or employees, in the normal course of performing their assigned functions, to prevent or detect misstatements on a timely basis.  A material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of a fund's annual or interim financial statements will not be prevented or detected on a timely basis.

Our consideration of the Funds internal control over financial reporting was for the limited purpose described in the first paragraph and would not necessarily disclose all deficiencies in internal control that might be material weaknesses under standards established by the Public Company Accounting Oversight Board (United States). However, we noted no deficiencies in the Funds internal control over financial reporting and its operation, including controls for safeguarding securities that we consider to be a material weakness, as defined above, as of October 31, 2010.

This report is intended solely for the information and use of management, the Trustees of Fidelity Investment Trust, including Fidelity International Small Cap Opportunities Fund, Fidelity International Value Fund, Fidelity Emerging Europe, Middle East, Africa (EMEA) Fund, Fidelity Series Emerging Markets, Fidelity Series International Value and Fidelity Series International Small Cap Fund, and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties.

 

 

Boston, Massachusetts

December 16, 2010

EX-99.77B ACCT LTTR 12 q77b_dtauditletter3.htm AUDIT LETTER INDEPENDENT AUDITORS REPORT

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Trustees of Fidelity Investment Trust and the Shareholders of Fidelity International Small Cap Fund, Fidelity Europe Capital Appreciation Fund, Fidelity International Capital Appreciation Fund, Fidelity Diversified International Fund, and Fidelity Worldwide Fund:

In planning and performing our audit of the financial statements of Fidelity International Small Cap Fund, Fidelity Europe Capital Appreciation Fund, Fidelity International Capital Appreciation Fund, Fidelity Diversified International Fund, and Fidelity Worldwide Fund (individually, a "Fund" and collectively the "Funds"), each a fund of Fidelity Investment Trust, as of and for the year ended October 31, 2010, in accordance with the standards of the Public Company Accounting Oversight Board (United States), we considered their internal control over financial reporting, including controls over safeguarding securities, as a basis for designing our auditing procedures for the purpose of expressing our opinion on each Funds financial statements and to comply with the requirements of Form N-SAR, 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.

The management of the Funds is responsible for establishing and maintaining effective internal control over financial reporting. In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls. A funds internal control over financial reporting is a process designed 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. A funds internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the fund; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the fund are being made only in accordance with authorizations of management and trustees of the fund; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of a funds assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control does not allow management or employees, in the normal course of performing their assigned functions, to prevent or detect misstatements on a timely basis.  A material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of a fund's annual or interim financial statements will not be prevented or detected on a timely basis.

Our consideration of the Funds internal control over financial reporting was for the limited purpose described in the first paragraph and would not necessarily disclose all deficiencies in internal control that might be material weaknesses under standards established by the Public Company Accounting Oversight Board (United States). However, we noted no deficiencies in the Funds internal control over financial reporting and its operation, including controls for safeguarding securities that we consider to be a material weakness, as defined above, as of October 31, 2010.

This report is intended solely for the information and use of management, the Trustees of Fidelity Investment Trust, including Fidelity International Small Cap Fund, Fidelity Europe Capital Appreciation Fund, Fidelity International Capital Appreciation Fund, Fidelity Diversified International Fund, and Fidelity Worldwide Fund, and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties.

 

 

 

Boston, Massachusetts

December 17, 2010

EX-99.77B ACCT LTTR 13 q77b_pwcauditletter.htm AUDIT LETTER REPORT OF INDEPENDENT REGISTERED ACCOUNTING FIRM

 

 

 

 

REPORT OF INDEPENDENT REGISTERED ACCOUNTING FIRM

ON INTERNAL CONTROL REQUIRED BY FORM N-SAR

____

 

To the Board of Trustees and Shareholders of Fidelity Investment Trust:

In planning and performing our audits of the financial statements Fidelity Investment Trust: Fidelity Canada Fund, Fidelity China Region Fund, Fidelity Emerging Asia Fund (f/k/a Fidelity Southeast Asia Fund), Fidelity Emerging Markets Fund, Fidelity Europe Fund, Fidelity Japan Fund, Fidelity Japan Smaller Companies Fund, Fidelity Latin America Fund, Fidelity Nordic Fund, Fidelity Pacific Basin Fund, Fidelity Overseas Fund, Fidelity Global Commodity Stock Fund, Fidelity International Discovery Fund, Fidelity International Growth Fund, and Fidelity Series International Growth Fund (collectively, the "Trust") as of and for the year ended October 31, 2010, in accordance with the standards of the Public Company Accounting Oversight Board (United States), we considered the Trust's internal control over financial reporting, including control activities for safeguarding securities, as a basis for designing our auditing procedures for the purpose of expressing our opinion on the financial statements and to co mply with the requirements of Form N-SAR, but not for the purpose of expressing an opinion on the effectiveness of the Trust's internal control over financial reporting. Accordingly, we do not express an opinion on the effectiveness of the Trust's internal control over financial reporting.

The management of the Trust is responsible for establishing and maintaining effective internal control over financial reporting. In fulfilling this responsibility, estimates and judgments by management are required to assess the expected benefits and related costs of controls. A company's internal control over financial reporting is a process designed 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. A company's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the Trust are being made only in accordance with authorizations of management and trustees of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of a Trust's assets that could have a material effect on the financial statements.

 

 

 

 

 

 

 

 

 

Because of inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods

are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control does not allow management or employees, in the normal course of performing their assigned functions, to prevent or detect misstatements on a timely basis. material weakness is a deficiency, or a combination of deficiencies, in internal control over financial reporting, such that there is a reasonable possibility that a material misstatement of the Trust's annual or interim financial statements will not be prevented or detected on a timely basis.

Our consideration of the Trust's internal control over financial reporting was for the limited purpose described in the first paragraph and would not necessarily disclose all deficiencies in internal control over financial reporting that might be material weaknesses under standards established by the Public Company Accounting Oversight Board (United States). However, we noted no deficiencies in the Trust's internal control over financial reporting and its operation, including controls over safeguarding securities, that we consider to be material weaknesses as defined above as of October 31, 2010.

This report is intended solely for the information and use of management and the Board of Trustees of Fidelity Investment Trust and the Securities and Exchange Commission and is not intended to be and should not be used by anyone other than these specified parties.

 

 

 

 

PricewaterhouseCoopers LLP

December 17, 2010

 

 

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