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2026-09-15 0.00000000 USD 0.00000000 USD 3097253.69000000 USD 14972.47000000 N N N WFRBS COML MTG TR 2012-C9 N/A WFRBS COML MTG TR 2012-C9 3.388% 11/15/2045 92930RAC6 186000.00000000 PA USD 191652.95000000 0.048588181025 Long ABS-MBS CORP US N 2 2045-11-15 Fixed 0.03388000 N N N N N N FNMA GTD MTG PASS THRU CTF B1V7KEBTPIMZEU4LTD58 FNMA 30YR 3% 11/01/2049#BO4757 3140K0JB5 2866510.50200000 PA USD 3021452.85000000 0.766003852464 Long ABS-MBS USGSE US N 2 2049-11-01 Fixed 0.03000000 N N N N N N 2021-06-30 Laura M. Del Prato Laura M. Del Prato Laura M. Del Prato President and Treasurer XXXX NPORT-EX 2 QTLY_3223_20210531.htm

Quarterly Holdings Report
for

Fidelity® Series Investment Grade Securitized Fund

May 31, 2021







IGS-QTLY-0721
1.9891240.102





Schedule of Investments May 31, 2021 (Unaudited)

Showing Percentage of Net Assets

U.S. Government Agency - Mortgage Securities - 106.5%   
 Principal Amount Value 
Fannie Mae - 19.4%   
2.5% 5/1/31 to 10/1/37 1,434,526 1,495,997 
3% 8/1/32 to 4/1/51 (a)(b) 33,196,771 35,080,106 
3.5% 7/1/34 to 12/1/49 31,457,711 33,455,969 
4% 3/1/46 to 4/1/49 (a) 1,509,006 1,645,368 
4.5% 12/1/48 to 9/1/49 3,869,886 4,216,439 
TOTAL FANNIE MAE  75,893,879 
Freddie Mac - 14.1%   
2.5% 6/1/31 to 11/1/50 6,866,300 7,143,308 
3% 11/1/32 to 8/1/50 26,142,217 27,607,022 
3.5% 11/1/33 to 4/1/50 (c) 14,902,980 15,919,906 
4% 5/1/38 to 5/1/48 (a)(b) 3,567,299 3,840,918 
4.5% 10/1/39 to 12/1/48 844,931 931,943 
TOTAL FREDDIE MAC  55,443,097 
Ginnie Mae - 38.3%   
2% 3/20/51 to 4/20/51 4,885,082 4,974,916 
2% 6/1/51 (c) 300,000 305,174 
2% 6/1/51 (c) 850,000 864,659 
2% 6/1/51 (c) 450,000 457,761 
2% 6/1/51 (c) 3,650,000 3,712,948 
2% 6/1/51 (c) 2,000,000 2,034,492 
2% 6/1/51 (c) 4,950,000 5,035,368 
2% 6/1/51 (c) 3,900,000 3,967,259 
2% 6/1/51 (c) 1,950,000 1,983,630 
2% 6/1/51 (c) 1,450,000 1,475,007 
2% 6/1/51 (c) 950,000 966,384 
2% 7/1/51 (c) 1,450,000 1,472,458 
2% 7/1/51 (c) 950,000 964,714 
2% 7/1/51 (c) 2,450,000 2,487,946 
2% 7/1/51 (c) 5,850,000 5,940,606 
2% 7/1/51 (c) 3,400,000 3,452,660 
2.5% 8/20/47 to 3/20/51 6,840,574 7,094,354 
2.5% 6/1/51 (c) 2,550,000 2,641,131 
2.5% 6/1/51 (c) 2,700,000 2,796,492 
2.5% 6/1/51 (c) 1,950,000 2,019,689 
2.5% 6/1/51 (c) 1,700,000 1,760,754 
2.5% 6/1/51 (c) 1,275,000 1,320,566 
2.5% 6/1/51 (c) 3,700,000 3,832,230 
3% 2/20/50 to 11/20/50 15,300,801 15,996,709 
3% 6/1/51 (c) 1,050,000 1,095,467 
3% 6/1/51 (c) 700,000 730,311 
3% 6/1/51 (c) 800,000 834,641 
3% 6/1/51 (c) 1,250,000 1,304,127 
3% 7/1/51 (c) 900,000 938,690 
3% 7/1/51 (c) 1,200,000 1,251,587 
3% 7/1/51 (c) 1,225,000 1,277,662 
3% 7/1/51 (c) 1,025,000 1,069,064 
3.5% 9/20/40 to 6/20/50 39,107,756 41,221,419 
3.5% 6/1/51 (c) 50,000 52,592 
3.5% 6/1/51 (c) 150,000 157,777 
3.5% 6/1/51 (c) 100,000 105,184 
3.5% 6/1/51 (c) 50,000 52,592 
3.5% 7/1/51 (c) 100,000 105,224 
4% 10/20/40 to 5/20/49 7,965,814 8,581,951 
4% 6/1/51 (c) 11,800,000 12,523,758 
5% 4/20/48 to 6/20/48 1,129,919 1,239,388 
TOTAL GINNIE MAE  150,099,341 
Uniform Mortgage Backed Securities - 34.7%   
1.5% 6/1/36 (c) 4,750,000 4,808,633 
2% 6/1/36 (c) 4,800,000 4,959,375 
2% 6/1/51 (c) 5,650,000 5,708,612 
2% 6/1/51 (c) 5,800,000 5,860,168 
2% 6/1/51 (c) 6,150,000 6,213,799 
2% 6/1/51 (c) 4,500,000 4,546,682 
2% 6/1/51 (c) 2,900,000 2,930,084 
2% 6/1/51 (c) 2,900,000 2,930,084 
2% 6/1/51 (c) 1,850,000 1,869,192 
2% 7/1/51 (c) 3,550,000 3,578,784 
2% 7/1/51 (c) 5,600,000 5,645,406 
2% 7/1/51 (c) 5,650,000 5,695,811 
2.5% 6/1/51 (c) 1,800,000 1,863,773 
2.5% 6/1/51 (c) 1,000,000 1,035,430 
2.5% 6/1/51 (c) 2,700,000 2,795,660 
2.5% 6/1/51 (c) 6,800,000 7,040,921 
2.5% 6/1/51 (c) 2,850,000 2,950,974 
2.5% 6/1/51 (c) 2,400,000 2,485,031 
2.5% 6/1/51 (c) 3,450,000 3,572,232 
2.5% 7/1/51 (c) 2,550,000 2,634,269 
3.5% 6/1/51 (c) 3,100,000 3,272,332 
3.5% 6/1/51 (c) 10,700,000 11,294,824 
3.5% 6/1/51 (c) 8,500,000 8,972,524 
3.5% 6/1/51 (c) 3,975,000 4,195,974 
3.5% 6/1/51 (c) 3,825,000 4,037,636 
3.5% 6/1/51 (c) 4,900,000 5,172,396 
3.5% 6/1/51 (c) 600,000 633,355 
3.5% 6/1/51 (c) 1,300,000 1,372,268 
3.5% 7/1/51 (c) 7,100,000 7,499,134 
3.5% 7/1/51 (c) 4,700,000 4,964,215 
3.5% 7/1/51 (c) 5,150,000 5,439,512 
TOTAL UNIFORM MORTGAGE BACKED SECURITIES  135,979,090 
TOTAL U.S. GOVERNMENT AGENCY - MORTGAGE SECURITIES   
(Cost $416,943,783)  417,415,407 
Asset-Backed Securities - 0.9%   
Affirm, Inc. Series 2021-A Class A, 0.88% 8/15/25 (d) $113,000 $113,209 
Cascade Funding Mortgage Trust Series 2020-HB2 Class A, 3.4047% 4/25/30 (d) 299,054 302,318 
CNH Equipment Trust Series 2018-A Class A3, 3.12% 7/17/23 30,487 30,827 
Consumer Loan Underlying Bond Credit Trust:   
Series 2019-HP1 Class A, 2.59% 12/15/26 (d) 213,752 215,868 
Series 2019-P1 Class A, 2.94% 7/15/26 (d) 9,940 9,957 
Enterprise Fleet Financing LLC Series 2021-1 Class A2, 0.44% 12/21/26 (d) 315,000 315,231 
Finance of America HECM Buyout Series 2021-HB1 Class A, 0.8754% 2/25/31 (d)(e) 208,587 208,717 
Lanark Master Issuer PLC Series 2020-1A Class 1A, 2.277% 12/22/69 (d)(e) 200,000 205,044 
Marlette Funding Trust:   
Series 2019-4A Class A, 2.39% 12/17/29 (d) 24,559 24,695 
Series 2020-1A Class A, 2.24% 3/15/30 (d) 15,374 15,410 
Metlife Securitization Trust Series 2019-1A Class A1A, 3.75% 4/25/58 (d) 55,034 56,710 
Nationstar HECM Loan Trust:   
Series 2019-1A Class A, 2.6513% 6/25/29 (d) 98,125 98,289 
Series 2020-1A Class A1, 1.2686% 9/25/30 (d) 206,008 205,770 
Provident Funding Mortgage Trust Series 2020-1 Class A3, 3% 2/25/50 (d) 25,660 25,763 
RMF Buyout Issuance Trust Series 2020-1 Class A, 2.1582% 2/25/30 (d) 46,438 46,602 
Store Master Funding Series 2021-1A Class A1, 2.12% 6/20/51 (c)(d) 800,000 805,571 
Towd Point Mortgage Trust Series 2019-1 Class A1, 3.7395% 3/25/58 (d)(e) 63,376 67,129 
Upstart Securitization Trust:   
Series 2021-1 Class A, 0.87% 3/20/31 (d) 130,273 130,477 
Series 2021-2 Class A, 0.91% 6/20/31 (d) 572,000 572,739 
TOTAL ASSET-BACKED SECURITIES   
(Cost $3,427,417)  3,450,326 
Collateralized Mortgage Obligations - 1.1%   
Private Sponsor - 0.6%   
Brass PLC Series 2021-10A Class A1, 0.669% 4/16/69 (d)(e) 223,403 223,691 
Cascade Funding Mortgage Trust Series 2021-HB5 Class A, 0.8006% 2/25/31 (d) 162,669 162,593 
CFMT LLC Series 2020-HB4 Class A, 0.9461% 12/26/30 (d) 114,418 114,541 
CSMC Trust sequential payer Series 2020-RPL4 Class A1, 2% 1/25/60 (d) 81,616 82,853 
Ginnie Mae guaranteed REMIC pass-thru certificates floater Series 2019-23 Class NF, 1 month U.S. LIBOR + 0.450% 0.5493% 2/20/49 (e)(f) 183,270 185,115 
Lanark Master Issuer PLC:   
floater Series 2019-1A Class 1A1, 3 month U.S. LIBOR + 0.770% 0.9201% 12/22/69 (d)(e)(f) 100,000 100,129 
Series 2019-2A Class 1A, 2.71% 12/22/69 (d)(e) 418,000 426,808 
Nationstar HECM Loan Trust sequential payer Series 2019-2A Class A, 2.2722% 11/25/29 (d) 46,067 46,152 
New Residential Mortgage Loan Trust Series 2020-1A Class A1B, 3.5% 10/25/59 (d) 86,051 91,268 
Provident Funding Mortgage Trust sequential payer Series 2019-1 Class A3, 3% 12/25/49 (d) 4,533 4,530 
RMF Buyout Issuance Trust:   
sequential payer Series 2020-2 Class A, 1.7063% 6/25/30 (d) 364,595 365,588 
Series 2020-HB1 Class A1, 1.7188% 10/25/50 (d) 499,930 494,564 
Silverstone Master Issuer PLC floater Series 2019-1A Class 1A, 3 month U.S. LIBOR + 0.570% 0.756% 1/21/70 (d)(e)(f) 127,000 127,160 
TOTAL PRIVATE SPONSOR  2,424,992 
U.S. Government Agency - 0.5%   
Fannie Mae Series 2013-44 Class DJ, 1.85% 5/25/33 157,998 162,084 
Ginnie Mae guaranteed REMIC pass-thru certificates:   
floater:   
Series 2019-153 Class FB, 1 month U.S. LIBOR + 0.450% 0.5493% 12/20/49 (e)(f) 657,236 661,574 
Series 2020-32 Class GF, 1 month U.S. LIBOR + 0.400% 0.4993% 3/20/50 (e)(f) 622,436 625,165 
planned amortization class Series 2016-69 Class WA, 3% 2/20/46 35,343 37,561 
sequential payer:   
Series 2017-139 Class BA, 3% 9/20/47 229,342 244,916 
Series 2018-H12 Class HA, 3.25% 8/20/68 (g) 84,933 90,152 
TOTAL U.S. GOVERNMENT AGENCY  1,821,452 
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS   
(Cost $4,221,981)  4,246,444 
Commercial Mortgage Securities - 17.8%   
BAMLL Commercial Mortgage Securities Trust:   
floater sequential payer Series 2020-JGDN Class A, 1 month U.S. LIBOR + 2.750% 2.851% 11/15/30 (d)(e)(f) 164,000 166,364 
sequential payer Series 2019-BPR:   
Class AMP, 3.287% 11/5/32 (d) 600,000 615,357 
Class ANM, 3.112% 11/5/32 (d) 100,000 103,925 
BANK Series 2021-BN33 Class XA, 1.1766% 5/15/64 (e)(h) 2,028,000 167,323 
Benchmark Mortgage Trust:   
sequential payer:   
Series 2018-B1 Class ASB, 3.602% 1/15/51 400,000 441,025 
Series 2018-B2 Class ASB, 3.7802% 2/15/51 355,000 388,187 
Series 2019-B10 Class A4, 3.717% 3/15/62 29,000 32,554 
Series 2019-B12 Class XA, 1.0644% 8/15/52 (e)(h) 967,151 60,562 
Series 2019-B14 Class XA, 0.7858% 12/15/62 (e)(h) 1,205,268 57,099 
Series 2020-B17 Class XA, 1.4192% 3/15/53 (e)(h) 2,098,358 183,866 
Series 2020-B18 Class XA, 1.7935% 7/15/53 (e)(h) 1,485,403 169,381 
BFLD Trust floater sequential payer Series 2020-OBRK Class A, 1 month U.S. LIBOR + 2.050% 2.151% 11/15/28 (d)(e)(f) 94,000 95,288 
BX Commercial Mortgage Trust:   
floater:   
Series 2018-BIOA Class A, 1 month U.S. LIBOR + 0.670% 0.7721% 3/15/37 (d)(e)(f) 900,000 900,973 
Series 2021-VINO Class A, 1 month U.S. LIBOR + 0.650% 0.7623% 5/15/38 (d)(e)(f) 400,000 399,640 
floater sequential payer Series 2019-CALM Class A, 1 month U.S. LIBOR + 0.870% 0.977% 11/15/32 (d)(e)(f) 32,000 32,030 
BX Trust:   
floater:   
Series 2018-EXCL Class A, 1 month U.S. LIBOR + 1.088% 1.1886% 9/15/37 (d)(e)(f) 1,179,603 1,151,520 
Series 2018-IND Class B, 1 month U.S. LIBOR + 0.900% 1.001% 11/15/35 (d)(e)(f) 70,000 70,021 
floater sequential payer Series 2021-MFM1 Class A, 1 month U.S. LIBOR + 0.700% 0.8009% 1/15/34 (d)(e)(f) 111,000 111,000 
floater, sequential payer Series 2019-XL Class A, 1 month U.S. LIBOR + 0.920% 1.021% 10/15/36 (d)(e)(f) 1,030,488 1,031,627 
CD Commercial Mortgage Trust sequential payer Series 2017-CD6 Class ASB, 3.332% 11/13/50 1,895,000 2,054,646 
CGDB Commercial Mortgage Trust floater Series 2019-MOB:   
Class A, 1 month U.S. LIBOR + 0.950% 1.0509% 11/15/36 (d)(e)(f) 100,000 100,030 
Class B, 1 month U.S. LIBOR + 1.250% 1.3509% 11/15/36 (d)(e)(f) 100,000 100,000 
CGMS Commercial Mortgage Trust Series 2017-MDRA Class A, 3.656% 7/10/30 (d) 138,000 139,409 
CHC Commercial Mortgage Trust floater Series 2019-CHC Class A, 1 month U.S. LIBOR + 1.120% 1.221% 6/15/34 (d)(e)(f) 2,892,836 2,893,711 
Citigroup Commercial Mortgage Trust:   
sequential payer:   
Series 2014-GC21 Class AAB, 3.477% 5/10/47 307,100 320,779 
Series 2017-P7 Class AAB, 3.509% 4/14/50 400,000 432,188 
Series 2019-GC41 Class XA, 1.0575% 8/10/56 (e)(h) 1,295,618 86,512 
COMM Mortgage Trust:   
sequential payer Series 2017-CD4 Class ASB, 3.317% 5/10/50 1,024,000 1,106,500 
Series 2012-CR1 Class AM, 3.912% 5/15/45 3,694,000 3,766,602 
Credit Suisse Mortgage Trust:   
floater Series 2019-ICE4 Class A, 1 month U.S. LIBOR + 0.980% 1.081% 5/15/36 (d)(e)(f) 1,800,000 1,803,822 
Series 2018-SITE Class A, 4.284% 4/15/36 (d) 100,000 104,115 
DBJPM Mortgage Trust sequential payer Series 2017-C6 Class ASB, 3.121% 6/10/50 700,000 753,200 
DBUBS Mortgage Trust Series 2011-LC3A Class B, 5.4266% 8/10/44 (d)(e) 617,639 617,413 
Freddie Mac:   
floater:   
Series 2021-F108 Class A/S, UNITED STATES 30 DAY AVERAGE S + 0.250% 0.26% 2/25/31 (e)(f) 2,000,000 2,001,802 
Series 2021-F109 Class A/S, UNITED STATES 30 DAY AVERAGE S + 0.240% 0.25% 3/25/31 (e)(f) 2,800,000 2,801,972 
Series 2021-F110 Class A/S, 1 month U.S. LIBOR + 0.240% 0.25% 3/25/31 (e)(f) 2,000,000 2,001,393 
Series 2021-F111 Class A/S, UNITED STATES 30 DAY AVERAGE S + 0.240% 0.25% 3/25/31 (e)(f) 2,200,000 2,201,550 
Series 2021-F112 Class A/S, UNITED STATES 30 DAY AVERAGE S + 0.250% 0.24% 4/25/31 (e)(f) 2,200,000 2,201,371 
sequential payer:   
Series 2019-K092 Class A2, 3.298% 4/25/29 1,370,000 1,546,397 
Series 2020-K118 Class A2, 1.493% 9/25/30 1,507,000 1,489,842 
Series 2020-K121 Class A2, 1.547% 10/25/30 1,000,000 992,068 
Series 2020-K739 Class A2, 1.336% 9/25/27 1,321,000 1,334,838 
Series 2021-K125 Class A2, 1.846% 1/25/31 1,632,000 1,660,678 
Series 2021-K126 Class A2, 2.074% 1/25/31 907,000 941,145 
Series 2021-K127 Class A2, 2.108% 1/25/31 4,100,000 4,262,597 
Series 2021-K128 Class A2, 2.02% 3/25/31 700,000 722,254 
Series 2020-K122 Class A2, 1.521% 11/25/30 500,000 494,621 
GS Mortgage Securities Trust:   
floater:   
Series 2018-3PCK Class A, 1 month U.S. LIBOR + 1.450% 1.551% 9/15/31 (d)(e)(f) 1,725,000 1,694,545 
Series 2018-HART Class A, 1 month U.S. LIBOR + 1.090% 1.2% 10/15/31 (d)(e)(f) 1,400,000 1,402,307 
sequential payer Series 2016-GC34 Class AAB, 3.278% 10/10/48 65,575 69,054 
Series 2011-GC5 Class A/S, 5.209% 8/10/44 (d) 1,425,000 1,424,726 
Series 2013-GC13 Class A/S, 4.084% 7/10/46 (d)(e) 140,000 148,771 
Series 2013-GC16 Class A/S, 4.649% 11/10/46 275,000 297,160 
JP Morgan Chase Commercial Mortgage Securities Trust sequential payer Series 2020-NNN Class AFX, 2.8123% 1/16/37 (d) 670,000 693,827 
JPMBB Commercial Mortgage Securities Trust:   
sequential payer Series 2014-C22 Class ASB, 3.5036% 9/15/47 232,429 243,388 
Series 2013-C14 Class A/S, 4.4093% 8/15/46 114,000 120,680 
JPMDB Commercial Mortgage Securities Trust sequential payer:   
Series 2017-C5 Class ASB, 3.4919% 3/15/50 400,000 430,319 
Series 2018-C8 Class ASB, 4.145% 6/15/51 1,000,000 1,130,966 
JPMorgan Chase Commercial Mortgage Securities Corp. Series 2012-LC9 Class A/S, 3.3533% 12/15/47 (d) 200,000 205,393 
JPMorgan Chase Commercial Mortgage Securities Trust:   
sequential payer:   
Series 2013-C13 Class ASB, 3.4137% 1/15/46 233,593 240,479 
Series 2013-LC11 Class A5, 2.9599% 4/15/46 218,000 226,692 
Series 2012-C8 Class A/S, 3.4239% 10/15/45 (d) 188,000 193,137 
Series 2012-CBX Class A/S, 4.2707% 6/15/45 227,000 233,774 
Series 2013-LC11 Class A/S, 3.216% 4/15/46 308,000 320,103 
Series 2018-WPT Class AFX, 4.2475% 7/5/33 (d) 59,000 62,332 
LIFE Mortgage Trust floater Series 2021-BMR Class A, 1 month U.S. LIBOR + 0.700% 0.801% 3/15/38 (d)(e)(f) 369,000 369,232 
MHC Commercial Mortgage Trust floater sequential payer Series 2021-MHC Class A, 1 month U.S. LIBOR + 0.800% 0.9018% 4/15/38 (d)(e)(f) 2,700,000 2,700,810 
Morgan Stanley BAML Trust:   
sequential payer:   
Series 2014-C19 Class ASB, 3.326% 12/15/47 1,210,467 1,265,474 
Series 2016-C28 Class A3, 3.272% 1/15/49 94,227 100,312 
Series 2012-C5 Class A/S, 3.792% 8/15/45 780,000 804,238 
Morgan Stanley Capital Barclays Bank Trust sequential payer Series 2016-MART Class A, 2.2004% 9/13/31 (d) 46,000 46,018 
Morgan Stanley Capital I Trust:   
floater sequential payer Series 2019-NUGS Class A, 1 month U.S. LIBOR + 0.950% 2.45% 12/15/36 (d)(e)(f) 1,000,000 1,008,663 
sequential payer Series 2019-MEAD Class A, 3.17% 11/10/36 (d) 279,000 293,703 
Series 2011-C3 Class AJ, 5.2155% 7/15/49 (d)(e) 173,481 173,995 
Series 2019-MEAD Class B, 3.1771% 11/10/36 (d)(e) 26,000 26,760 
RETL floater Series 2019-RVP Class C, 1 month U.S. LIBOR + 2.100% 2.201% 3/15/36 (d)(e)(f) 67,829 67,657 
RLGH Trust floater Series 2021-TROT Class A, 1 month U.S. LIBOR + 0.800% 0.91% 4/15/36 (d)(e)(f) 1,900,000 1,900,564 
UBS Commercial Mortgage Trust:   
sequential payer:   
Series 2017-C1 Class ASB, 3.462% 11/15/50 100,000 109,067 
Series 2017-C3 Class ASB, 3.215% 8/15/50 300,000 324,870 
Series 2012-C1 Class A/S, 4.171% 5/10/45 267,000 272,528 
UBS-Barclays Commercial Mortgage Trust:   
sequential payer Series 2012-C4 Class A/S, 3.3165% 12/10/45 (d) 800,000 825,448 
Series 2012-C3 Class A/S, 3.814% 8/10/49 (d) 435,000 449,320 
VLS Commercial Mortgage Trust Series 2020-LAB Class X, 0.4294% 10/10/42 (d)(e)(h) 1,600,000 56,803 
Wells Fargo Commercial Mortgage Trust:   
floater Series 2021-FCMT Class A, 1 month U.S. LIBOR + 1.200% 1.3% 5/15/31 (d)(e)(f) 845,000 846,606 
sequential payer:   
Series 2015-C29 Class ASB, 3.4% 6/15/48 160,156 168,572 
Series 2016-LC24 Class A3, 2.684% 10/15/49 200,000 211,396 
Series 2018-C46 Class XA, 0.9374% 8/15/51 (e)(h) 1,202,690 55,038 
Series 2019-C54 Class XA, 0.8388% 12/15/52 (e)(h) 2,489,274 150,718 
WF-RBS Commercial Mortgage Trust:   
Series 2012-C8 Class A/S, 3.66% 8/15/45 68,000 69,884 
Series 2012-C9 Class A/S, 3.388% 11/15/45 186,000 191,653 
Series 2013-C12 Class A/S, 3.56% 3/15/48 2,000,000 2,090,605 
Series 2013-C16 Class A/S, 4.668% 9/15/46 (e) 830,000 897,298 
TOTAL COMMERCIAL MORTGAGE SECURITIES   
(Cost $69,989,514)  69,724,082 
 Shares Value 
Money Market Funds - 27.3%   
Fidelity Cash Central Fund 0.03% (i)   
(Cost $106,836,285) 106,814,922 106,836,285 

Purchased Swaptions - 0.0%    
 Expiration Date Notional Amount Value 
Put Options - 0.0%    
Option on an interest rate swap with Bank of America N.A. to pay semi-annually a fixed rate of 0.865% and receive quarterly a floating rate based on 3-month LIBOR, expiring October 2031 10/14/21 700,000 $52,105 
Option on an interest rate swap with Goldman Sachs Bank U.S.A. to pay semi-annually a fixed rate of 1.4025% and receive quarterly a floating rate based on 3-month LIBOR, expiring February 2030 2/26/25 800,000 37,897 
Option on an interest rate swap with JPMorgan Chase Bank N.A. to pay semi-annually a fixed rate of 1.57125% and receive quarterly a floating rate based on 3-month LIBOR, expiring September 2029 9/5/24 600,000 22,840 
TOTAL PUT OPTIONS   112,842 
Call Options - 0.0%    
Option on an interest rate swap with Bank of America N.A. to receive semi-annually a fixed rate of 0.865% and pay quarterly a floating rate based on 3-month LIBOR, expiring October 2031 10/14/21 700,000 634 
Option on an interest rate swap with Goldman Sachs Bank U.S.A. to receive semi-annually a fixed rate of 1.4025% and pay quarterly a floating rate based on 3-month LIBOR, expiring February 2030 2/26/25 800,000 11,383 
Option on an interest rate swap with JPMorgan Chase Bank N.A. to receive semi-annually a fixed rate of 1.57125% and pay quarterly a floating rate based on 3-month LIBOR, expiring September 2029 9/5/24 600,000 10,196 
TOTAL CALL OPTIONS   22,213 
TOTAL PURCHASED SWAPTIONS    
(Cost $112,272)   135,055 
TOTAL INVESTMENT IN SECURITIES - 153.6%    
(Cost $601,531,252)   601,807,599 
NET OTHER ASSETS (LIABILITIES) - (53.6)%   (210,051,682) 
NET ASSETS - 100%   $391,755,917 

TBA Sale Commitments   
 Principal Amount Value 
Ginnie Mae   
2% 6/1/51 $(1,450,000) $(1,475,007) 
2% 6/1/51 (950,000) (966,385) 
2% 6/1/51 (2,450,000) (2,492,253) 
2% 6/1/51 (5,850,000) (5,950,889) 
2% 6/1/51 (3,400,000) (3,458,636) 
2.5% 6/1/51 (2,550,000) (2,641,131) 
3% 6/1/51 (900,000) (938,971) 
3.5% 6/1/51 (100,000) (105,184) 
TOTAL GINNIE MAE  (18,028,456) 
Uniform Mortgage Backed Securities   
1.5% 6/1/36 (1,700,000) (1,720,984) 
1.5% 6/1/36 (3,050,000) (3,087,649) 
2% 6/1/51 (4,000,000) (4,041,495) 
2% 6/1/51 (5,650,000) (5,708,612) 
2% 6/1/51 (3,550,000) (3,586,827) 
2% 6/1/51 (5,600,000) (5,658,093) 
2% 6/1/51 (5,650,000) (5,708,612) 
2.5% 6/1/51 (2,550,000) (2,640,345) 
2.5% 6/1/51 (5,400,000) (5,591,320) 
2.5% 6/1/51 (1,300,000) (1,346,058) 
2.5% 6/1/51 (3,300,000) (3,416,918) 
3.5% 6/1/51 (7,100,000) (7,494,696) 
3.5% 6/1/51 (4,700,000) (4,961,278) 
3.5% 6/1/51 (5,150,000) (5,436,294) 
3.5% 6/1/51 (2,500,000) (2,638,978) 
3.5% 6/1/51 (2,800,000) (2,955,655) 
TOTAL UNIFORM MORTGAGE BACKED SECURITIES  (65,993,814) 
TOTAL TBA SALE COMMITMENTS   
(Proceeds $83,964,501)  $(84,022,270) 

Written Swaptions    
 Expiration Date Notional Amount Value 
Put Swaptions    
Option on an interest rate swap with Bank of America N.A. to pay semi-annually a fixed rate of 1.9% and receive quarterly a floating rate based on 3-month LIBOR, expiring December 2029 12/10/24 1,200,000 $(38,327) 
Option on an interest rate swap with Bank of America N.A. to pay semi-annually a fixed rate of 2.5175% and receive quarterly a floating rate based on 3-month LIBOR, expiring April 2026 4/1/26 2,000,000 (55,667) 
Option on an interest rate swap with Goldman Sachs Bank U.S.A. to pay semi-annually a fixed rate of 1.27% and receive quarterly a floating rate based on 3-month LIBOR, expiring November 2030 11/25/25 700,000 (40,075) 
Option on an interest rate swap with Morgan Stanley Capital Services to pay semi-annually a fixed rate of 2.3725% and receive quarterly a floating rate based on 3-month LIBOR, expiring May 2026 5/18/26 2,000,000 (62,308) 
TOTAL PUT SWAPTIONS   (196,377) 
Call Swaptions    
Option on an interest rate swap with Bank of America N.A. to receive semi-annually a fixed rate of 1.9% and pay quarterly a floating rate based on 3-month LIBOR, expiring December 2029 12/10/24 1,200,000 (28,748) 
Option on an interest rate swap with Bank of America N.A. to receive semi-annually a fixed rate of 2.5175% and pay quarterly a floating rate based on 3-month LIBOR, expiring April 2026 4/1/26 2,000,000 (78,172) 
Option on an interest rate swap with Goldman Sachs Bank U.S.A. to receive semi-annually a fixed rate of 1.27% and pay quarterly a floating rate based on 3-month LIBOR, expiring November 2030 11/25/25 700,000 (9,076) 
Option on an interest rate swap with Morgan Stanley Capital Services to receive semi-annually a fixed rate of 2.3725% and pay quarterly a floating rate based on 3-month LIBOR, expiring May 2026 5/18/26 2,000,000 (70,289) 
TOTAL CALL SWAPTIONS   (186,285) 
TOTAL WRITTEN SWAPTIONS   $(382,662) 

Futures Contracts      
 Number of contracts Expiration Date Notional Amount Value Unrealized Appreciation/(Depreciation) 
Purchased      
Treasury Contracts      
CBOT 10-Year U.S. Treasury Note Contracts (United States) 83 Sept. 2021 $10,950,813 $21,358 $21,358 
CBOT Long Term U.S. Treasury Bond Contracts (United States) 100 Sept. 2021 15,653,125 75,366 75,366 
TOTAL PURCHASED FUTURES     96,724 
Sold      
Treasury Contracts      
CBOT 2-Year U.S. Treasury Note Contracts (United States) 152 Sept. 2021 33,551,625 (15,736) (15,736) 
CBOT 5-Year U.S. Treasury Note Contracts (United States) 32 Sept. 2021 3,963,250 (7,811) (7,811) 
TOTAL SOLD FUTURES     (23,547
TOTAL FUTURES CONTRACTS     $73,177 

The notional amount of futures purchased as a percentage of Net Assets is 6.8%

The notional amount of futures sold as a percentage of Net Assets is 9.6%

Swaps

Underlying Reference Maturity Date Clearinghouse / Counterparty Fixed Payment Received/(Paid) Payment Frequency Notional Amount Value Upfront Premium Received/(Paid) Unrealized Appreciation/(Depreciation) 
Credit Default Swaps         
Sell Protection         
CMBX N.A. AAA Index Series 13 Dec. 2072 Citigroup Global Markets Ltd. 0.5% Monthly $$0 $12,068 $(5,602) $6,466 
CMBX N.A. AAA Index Series 13 Dec. 2072 Citigroup Global Markets Ltd. 0.5% Monthly $0 4,328  (2,081) 2,247 
CMBX N.A. AAA Index Series 13 Dec. 2072 Goldman Sachs & Co. LLC 0.5% Monthly $0 10,570 (6,253) 4,317 
TOTAL CREDIT DEFAULT SWAPS      $26,966 $(13,936) $13,030 

Swaps

Payment Received Payment Frequency Payment Paid Payment Frequency Clearinghouse / Counterparty(1) Maturity Date Notional Amount Value Upfront Premium Received/(Paid)(2) Unrealized Appreciation/(Depreciation) 
Interest Rate Swaps          
0.25% Semi - annual 3-month LIBOR(3) Quarterly LCH Sep. 2023 $11,642,000 $16,705 $0 $16,705 
0.5% Semi - annual 3-month LIBOR(3) Quarterly LCH Sep. 2026 3,187,000 14,972 14,972 
0.75% Semi - annual 3-month LIBOR(3) Quarterly LCH Sep. 2028 600,000 4,300 4,300 
1% Semi - annual 3-month LIBOR(3) Quarterly LCH Sep. 2031 531,000 3,112 3,112 
1.25% Semi - annual 3-month LIBOR(3) Quarterly LCH Sep. 2051 11,000 (100) (100) 
TOTAL INTEREST RATE SWAPS       $38,989 $0 $38,989 

 (1) Swaps with LCH Clearnet Group (LCH) are centrally cleared over-the-counter (OTC) swaps.

 (2) Any premiums for centrally cleared over-the-counter (OTC) swaps are recorded periodically throughout the term of the swap to variation margin and included in unrealized appreciation (depreciation).

 (3) Represents floating rate.

Legend

 (a) Security or a portion of the security was pledged to cover margin requirements for futures contracts. At period end, the value of securities pledged amounted to $458,894.

 (b) Security or a portion of the security was pledged to cover margin requirements for centrally cleared OTC swaps. At period end, the value of securities pledged amounted to $273,405.

 (c) Security or a portion of the security purchased on a delayed delivery or when-issued basis.

 (d) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these securities amounted to $30,686,238 or 7.8% of net assets.

 (e) Coupon rates for floating and adjustable rate securities reflect the rates in effect at period end.

 (f) Coupon is indexed to a floating interest rate which may be multiplied by a specified factor and/or subject to caps or floors.

 (g) Represents an investment in an underlying pool of reverse mortgages which typically do not require regular principal and interest payments as repayment is deferred until a maturity event.

 (h) Security represents right to receive monthly interest payments on an underlying pool of mortgages or assets. Principal shown is the outstanding par amount of the pool as of the end of the period.

 (i) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund Income earned 
Fidelity Cash Central Fund $27,806 
Total $27,806 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Investment Valuation

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

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. Asset backed securities, collateralized mortgage obligations, commercial mortgage securities and U.S. government agency mortgage securities are valued by pricing vendors who utilize matrix pricing which considers prepayment speed assumptions, attributes of the collateral, yield or price of bonds of comparable quality, coupon, maturity and type or by broker supplied prices.

Swaps are marked-to-market daily based on valuations from third party pricing vendors, registered derivatives clearing organizations (clearinghouses) or broker-supplied valuations. These pricing sources may utilize inputs such as interest rate curves, credit spread curves, default possibilities and recovery rates.

When independent prices are unavailable or unreliable, debt securities and swaps may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities and swaps are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy.

Options traded over-the-counter are valued using vendor or broker-supplied valuations and are categorized as Level 2 in the hierarchy.

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

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





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

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