EX-99.GCUSTAGREEMT 12 g12.htm

Exhibit (g)(12)

Form of APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Advisor Series I and The Chase Manhattan Bank, N.A.

Dated as of July 15, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Advisor Equity Portfolio Growth

December 6, 1991

Fidelity Advisor Institutional Equity Portfolio Growth

July 15, 1993

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Advisor Series I

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Advisor Series II and The Chase Manhattan Bank, N.A.

Dated as of July 15, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Advisor Income & Growth Fund

March 27, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Advisor Series II

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Advisor Series III and The Chase Manhattan Bank, N.A.

Dated as of July 15, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Advisor Equity Portfolio Income

December 6, 1991

Fidelity Advisor Institutional Equity Portfolio Income

July 15, 1993

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Advisor Series III

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Advisor Series VII and The Chase Manhattan Bank, N.A.

Dated as of April 15, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity Advisor Overseas Portfolio

January 29, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Advisor Series VII

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Advisor Series VIII and The Chase Manhattan Bank, N.A.

Dated as of January 20, 1994

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of January 20, 1994 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Advisor Emerging Markets Income Fund

January 20, 1994

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Advisor Series VIII

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Beacon Street Trust and The Chase Manhattan Bank, N.A.

Dated as of July 16, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 16, 1992 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity Managed Currency Portfolio

July 16, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Beacon Street Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Charles Street Trust

and

The Chase Manhattan Bank, N.A.

Dated as of July 16, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Asset Manager

November 25, 1991

Asset Manager: Growth

May 8, 1992

Asset Manager: Income

July 16, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Charles Street Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Destiny Portfolios

and

The Chase Manhattan Bank, N.A.

Dated as of March 19, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Destiny I

April 10, 1992

Destiny II

April 10, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Destiny Portfolios

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Devonshire Trust

and

The Chase Manhattan Bank, N.A.

Dated as of February 17, 1994

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Equity-Income Fund

November 25, 1991

Fidelity Mid-Cap Stock Fund

February 17, 1994

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Devonshire Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Financial Trust

and

The Chase Manhattan Bank, N.A.

Dated as of April 25, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Equity-Income II

May 8, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Financial Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Hastings Street Trust and The Chase Manhattan Bank, N.A.

Dated as of April 15, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity Fund

November 25, 1991

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Hastings Street Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Investment Trust and The Chase Manhattan Bank, N.A.

Dated as of November 18, 1993

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Diversified International Fund

December 12, 1991

Fidelity Diversified Global Fund

May 14, 1992

Fidelity Emerging Markets Fund

February 17, 1993

Fidelity Europe Fund

July 18, 1991

Fidelity Europe Capital Appreciation Fund

November 18, 1993

Fidelity Global Bond Fund

July 18, 1991

Fidelity International Growth & Income Fund

May 8, 1992

Fidelity Japan Fund

July 16, 1992

Fidelity New Markets Income Fund

April 15, 1993

Fidelity Overseas Fund

July 18, 1991

Fidelity Pacific Basin Fund

July 18, 1991

Fidelity Southeast Asia Fund

March 18, 1993

Fidelity Worldwide Fund

May 8, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Investment Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Mt. Vernon Street Trust and The Chase Manhattan Bank, N.A.

Dated as of September 17, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of September 17, 1992 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity New Millennium Fund

September 17, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Mt. Vernon Street Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Puritan Trust and The Chase Manhattan Bank, N.A.

Dated as of October 1, 1991

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity Puritan Fund

November 25, 1991

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Puritan Trust

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Securities Fund

and

The Chase Manhattan Bank, N.A.

Dated as of January 16, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name:

Effective as of:

Fidelity Growth & Income Portfolio

January 16, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Securities Fund

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Fidelity Trend Fund and The Chase Manhattan Bank, N.A.

Dated as of October 1, 1991

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Fidelity Trend Fund

November 25, 1991

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Fidelity Trend Fund

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Variable Insurance Products Fund

and

The Chase Manhattan Bank, N.A.

Dated as of April 25, 1992

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Equity-Income Portfolio

November 25, 1991

Overseas Portfolio

May 8, 1992

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Variable Insurance Products Fund

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________

APPENDIX "A"

TO

CUSTODIAN AGREEMENT

BETWEEN

Variable Insurance Products Fund II

and

The Chase Manhattan Bank, N.A.

Dated as of October 1, 1991

The following is a list of Portfolios for which the Custodian shall serve under a Custodian Agreement dated as of July 18, 1991 (the "Agreement"):

Portfolio Name

Effective as of:

Asset Manager Portfolio

November 25, 1991

IN WITNESS WHEREOF, each of the parties hereto has caused this Appendix to be executed in its name and behalf as of the day and year first set forth opposite each such Portfolio.

Variable Insurance Products Fund II

The Chase Manhattan Bank, N.A.

By:

______________________

By:

__________________________

Name:

Gary L. French

Name:

__________________________

Title:

Treasurer

Title:

__________________________