Fund |
Ticker |
Fidelity®
Canada Fund
Class
Fidelity® Canada Fund |
FICDX |
Fidelity®
China Region Fund
Class
Fidelity® China Region
Fund |
FHKCX |
Fidelity®
Emerging Asia Fund |
FSEAX |
Fidelity®
Emerging Markets Fund
Class
Fidelity® Emerging Markets
Fund |
FEMKX |
Fidelity®
Europe Fund
Class
Fidelity® Europe Fund |
FIEUX |
Fidelity®
Japan Fund
Class
Fidelity® Japan Fund |
FJPNX |
Fidelity®
Japan Smaller Companies Fund |
FJSCX |
Fidelity®
Latin America Fund
Class
Fidelity® Latin America
Fund |
FLATX |
Fidelity®
Nordic Fund |
FNORX |
Fidelity®
Pacific Basin Fund |
FPBFX |
Like
securities of all mutual funds, these securities have not been approved or
disapproved by the Securities and Exchange Commission, and the Securities
and Exchange Commission has not determined if this prospectus is accurate
or complete. Any representation to the contrary is a criminal
offense.
|
245
Summer Street, Boston, MA 02210 |
Fund Summary |
Fidelity® Canada Fund | |
Fidelity® China Region Fund | ||
Fidelity® Emerging 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 | ||
Fund Basics |
||
Shareholder Information |
Additional Information about the Purchase and Sale of Shares | |
Fund Services |
||
Appendix |
||
(fees
paid directly from your investment) |
|
Management
fee (fluctuates based on the fund's performance relative to a securities
market index) |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
|
-
|
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Canada Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees, expenses, or taxes) |
- |
|
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
|
-
|
-
|
|
-
|
|
|
-
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
- |
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
China Region Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees or expenses) |
- |
- |
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee (fluctuates based on the fund's performance relative to a securities
market index) |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
|
-
|
|
|
-
|
|
|
-
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Emerging Asia Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees or expenses) |
- |
- |
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
|
-
|
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Emerging Markets Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees or expenses) |
- |
- |
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee (fluctuates based on the fund's performance relative to a securities
market index) |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
-
|
|
-
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Europe Fund |
|||
|
- |
|
|
|
- |
- |
|
|
- |
|
|
(reflects
no deduction for fees or expenses) |
- |
|
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee (fluctuates based on the fund's performance relative to a securities
market index) |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
-
|
|
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Japan Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees, expenses, or taxes) |
- |
|
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
-
|
|
|
|
-
|
|
|
-
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Japan Smaller Companies Fund |
|||
|
- |
- |
|
|
- |
- |
|
|
- |
- |
|
(reflects
no deduction for fees, expenses, or taxes) |
- |
- |
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
-
|
-
|
-
|
|
|
-
|
|
-
|
-
|
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Latin America Fund |
|||
|
|
- |
- |
|
- |
- |
- |
|
|
- |
- |
(reflects
no deduction for fees or expenses) |
|
- |
- |
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
-
|
|
-
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Nordic Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees, expenses, or taxes) |
- |
|
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
(fees
paid directly from your investment) |
|
Management
fee (fluctuates based on the fund's performance relative to a securities
market index) |
|
Distribution
and/or Service (12b-1) fees |
|
Other
expenses |
|
Total
annual operating expenses |
|
1
year |
$ |
|
3
years |
$ |
|
5
years |
$ |
|
10
years |
$ |
|
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 | |
|
|
|
|
|
-
|
|
|
|
-
|
During
the periods shown in the chart: |
Returns |
Quarter
ended |
|
|
|
|
- |
|
|
|
|
For
the periods ended December 31, 2022 |
Past
1
year |
Past
5
years |
Past
10
years |
Fidelity®
Pacific Basin Fund |
|||
|
- |
|
|
|
- |
|
|
|
- |
|
|
(reflects
no deduction for fees or expenses) |
- |
- |
|
Additional
purchases:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0003 |
Redemptions:
Fidelity
Investments
P.O.
Box 770001
Cincinnati,
OH 45277-0035 |
Fund |
NAV
Calculation Times
(Eastern
Time) |
Fidelity®
Canada Fund |
4:00
p.m. |
Fidelity®
China Region Fund |
4:00
p.m. |
Fidelity®
Emerging Asia Fund |
4:00
p.m. |
Fidelity®
Emerging Markets Fund |
4:00
p.m. |
Fidelity®
Europe Fund |
4:00
p.m. |
Fidelity®
Japan Fund |
4:00
p.m. |
Fidelity®
Japan Smaller Companies Fund |
4:00
p.m. |
Fidelity®
Latin America Fund |
4:00
p.m. |
Fidelity®
Nordic Fund |
4:00
p.m. |
Fidelity®
Pacific Basin Fund |
4:00
p.m. |
Electronic
Funds Transfer: electronic money movement through the Automated Clearing
House
|
Wire:
electronic money movement through the Federal Reserve wire
system
|
Automatic
Transactions: periodic (automatic) transactions
|
Fund
Name |
Dividends
Paid | |
Fidelity®
Canada Fund |
December | |
Fidelity®
China Region Fund |
December | |
Fidelity®
Emerging Asia Fund |
December | |
Fidelity®
Emerging Markets Fund |
December | |
Fidelity®
Europe Fund |
December | |
Fidelity®
Japan Fund |
December | |
Fidelity®
Japan Smaller Companies Fund |
December | |
Fidelity®
Latin America Fund |
December | |
Fidelity®
Nordic Fund |
December | |
Fidelity®
Pacific Basin Fund |
December |
Fund
Name |
Capital
Gains Paid | |
Fidelity®
Canada Fund |
December | |
Fidelity®
China Region Fund |
December | |
Fidelity®
Emerging Asia Fund |
December | |
Fidelity®
Emerging Markets Fund |
December | |
Fidelity®
Europe Fund |
December | |
Fidelity®
Japan Fund |
December | |
Fidelity®
Japan Smaller Companies Fund |
December | |
Fidelity®
Latin America Fund |
December | |
Fidelity®
Nordic Fund |
December | |
Fidelity®
Pacific Basin Fund |
December |
FIL
Investment Advisors (FIA),
at Pembroke Hall, 42 Crow Lane, Pembroke HM19, Bermuda, serves as a
sub-adviser for each fund. As of December 31, 2022, FIA had approximately
$7.0 billion in discretionary assets under
management. |
FIA
may provide investment research and advice on issuers based outside the
United States and may also provide investment advisory services for
Fidelity® Canada Fund, Fidelity® China Region Fund, Fidelity® Emerging
Asia Fund, Fidelity® Emerging Markets Fund, Fidelity® Europe Fund,
Fidelity® Japan Fund, Fidelity® Japan Smaller Companies Fund, Fidelity®
Latin America Fund, Fidelity® Nordic Fund, and Fidelity® Pacific Basin
Fund. |
FIL
Investment Advisors (UK) Limited (FIA(UK)),
at Beech Gate, Millfield Lane, Lower Kingswood, Tadworth, Surrey, KT20
6RP, United Kingdom, serves as a sub-adviser for each fund. As of December
31, 2022, FIA(UK) had approximately $5.6 billion in discretionary assets
under management. |
FIA(UK)
may provide investment research and advice on issuers based outside the
United States and may also provide investment advisory services for
Fidelity® Canada Fund, Fidelity® China Region Fund, Fidelity® Emerging
Asia Fund, Fidelity® Emerging Markets Fund, Fidelity® Europe Fund,
Fidelity® Japan Fund, Fidelity® Japan Smaller Companies Fund, Fidelity®
Latin America Fund, Fidelity® Nordic Fund, and Fidelity® Pacific Basin
Fund. |
Fund |
Performance
Adjustment Index | |
Fidelity®
Canada Fund |
S&P/TSX
Composite Index | |
Fidelity®
Emerging Asia Fund |
MSCI
AC (All Country) Asia ex Japan Index | |
Fidelity®
Europe Fund |
MSCI
Europe Index | |
Fidelity®
Japan Fund |
Tokyo
Stock Price Index (TOPIX) | |
Fidelity®
Pacific Basin Fund |
MSCI
AC (All Country) Pacific Index |
Fund |
Group
Fee Rate |
Individual
Fund Fee Rate | ||
Fidelity®
Canada Fund |
0.22% |
0.45% | ||
Fidelity®
China Region Fund |
0.22% |
0.45% | ||
Fidelity®
Emerging Asia Fund |
0.22% |
0.45% | ||
Fidelity®
Emerging Markets Fund |
0.22% |
0.45% | ||
Fidelity®
Europe Fund |
0.22% |
0.45% | ||
Fidelity®
Japan Fund |
0.22% |
0.45% | ||
Fidelity®
Japan Smaller Companies Fund |
0.22% |
0.45% | ||
Fidelity®
Latin America Fund |
0.22% |
0.45% | ||
Fidelity®
Nordic Fund |
0.22% |
0.45% | ||
Fidelity®
Pacific Basin Fund |
0.22% |
0.45% |
Fund |
Basic
Fee Rate |
Fidelity®
Canada Fund |
0.68% |
Fidelity®
Emerging Asia Fund |
0.68% |
Fidelity®
Europe Fund |
0.68% |
Fidelity®
Japan Fund |
0.67% |
Fidelity®
Pacific Basin Fund |
0.68% |
Fund |
Total
Management Fee Rate |
Fidelity®
Canada Fund |
0.81% |
Fidelity®
China Region Fund |
0.68% |
Fidelity®
Emerging Asia Fund |
0.59% |
Fidelity®
Emerging Markets Fund |
0.67% |
Fidelity®
Europe Fund |
0.44% |
Fidelity®
Japan Fund |
0.67% |
Fidelity®
Japan Smaller Companies Fund |
0.67% |
Fidelity®
Latin America Fund |
0.68% |
Fidelity®
Nordic Fund |
0.68% |
Fidelity®
Pacific Basin Fund |
0.84% |
Fidelity®
Canada Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
59.79 |
$ |
67.62 |
$ |
46.26 |
$ |
52.21 |
$ |
50.02 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.77
|
.83
|
.74
|
.76
|
.82
| |||||
Net
realized and unrealized gain (loss) |
(.03)
C |
(5.33)
|
21.99
|
(4.38)
|
4.58
| |||||
Total
from investment operations |
.74
|
(4.50)
|
22.73
|
(3.62)
|
5.40
| |||||
Distributions
from net investment income |
(.87)
|
(.82)
|
(.78)
|
(.92)
|
(.58)
| |||||
Distributions
from net realized gain |
(1.52)
|
(2.51)
|
(.59)
|
(1.40)
|
(2.63)
| |||||
Total
distributions |
(2.39)
|
(3.33)
|
(1.37)
|
(2.33)
D |
(3.21)
| |||||
Net
asset value, end of period |
$ |
58.14 |
$ |
59.79 |
$ |
67.62 |
$ |
46.26 |
$ |
52.21 |
Total
Return E |
1.18%
|
(6.77)%
|
49.91%
|
(7.40)%
|
11.70%
| |||||
Ratios
to Average Net Assets B,F,G |
||||||||||
Expenses
before reductions |
1.05%
|
.89%
|
.80%
|
.88%
|
.88%
| |||||
Expenses
net of fee waivers, if any |
1.04%
|
.88%
|
.80%
|
.88%
|
.88%
| |||||
Expenses
net of all reductions |
1.04%
|
.88%
|
.80%
|
.88%
|
.87%
| |||||
Net
investment income (loss) |
1.25%
|
1.32%
|
1.24%
|
1.58%
|
1.64%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
774,062 |
$ |
825,488 |
$ |
821,617 |
$ |
612,716 |
$ |
803,629 |
Portfolio
turnover rate H |
9%
|
13%
|
7%
|
11%
|
8%
I |
Fidelity®
China Region Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
25.28 |
$ |
51.03 |
$ |
51.53 |
$ |
36.30 |
$ |
29.11 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.32
|
.25
|
.23
|
.21
|
.25
| |||||
Net
realized and unrealized gain (loss) |
5.85
C |
(21.32)
|
1.97
|
15.28
|
7.19
| |||||
Total
from investment operations |
6.17
|
(21.07)
|
2.20
|
15.49
|
7.44
| |||||
Distributions
from net investment income |
(.34)
|
(.06)
|
(.54)
|
(.26)
|
(.25)
| |||||
Distributions
from net realized gain |
-
|
(4.62)
|
(2.16)
|
-
|
-
| |||||
Total
distributions |
(.34)
|
(4.68)
|
(2.70)
|
(.26)
|
(.25)
| |||||
Net
asset value, end of period |
$ |
31.11 |
$ |
25.28 |
$ |
51.03 |
$ |
51.53 |
$ |
36.30 |
Total
Return D |
24.34%
C |
(45.04)%
|
3.97%
|
42.95%
|
25.72%
| |||||
Ratios
to Average Net Assets B,E,F |
||||||||||
Expenses
before reductions |
.95%
|
.94%
|
.91%
|
.93%
|
.95%
| |||||
Expenses
net of fee waivers, if any |
.95%
|
.93%
|
.91%
|
.93%
|
.95%
| |||||
Expenses
net of all reductions |
.95%
|
.93%
|
.91%
|
.91%
|
.95%
| |||||
Net
investment income (loss) |
.96%
|
.67%
|
.41%
|
.49%
|
.76%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
809,283 |
$ |
736,185 |
$ |
1,609,326 |
$ |
1,518,404 |
$ |
1,093,827 |
Portfolio
turnover rate G |
24%
|
20%
|
60%
|
60%
|
80%
|
Fidelity®
Emerging Asia Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
30.23 |
$ |
64.66 |
$ |
63.60 |
$ |
45.03 |
$ |
36.69 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.05
|
(.22)
|
(.31)
C |
(.12)
|
.34
| |||||
Net
realized and unrealized gain (loss) |
5.69
|
(26.97)
|
11.00
|
21.49
|
9.27
| |||||
Total
from investment operations |
5.74
|
(27.19)
|
10.69
|
21.37
|
9.61
| |||||
Distributions
from net investment income |
-
|
(.09)
|
-
|
(.29)
D |
(.39)
| |||||
Distributions
from net realized gain |
-
|
(7.15)
|
(9.63)
|
(2.51)
D |
(.88)
| |||||
Total
distributions |
-
|
(7.24)
|
(9.63)
|
(2.80)
|
(1.27)
| |||||
Net
asset value, end of period |
$ |
35.97 |
$ |
30.23 |
$ |
64.66 |
$ |
63.60 |
$ |
45.03 |
Total
Return E |
18.99%
|
(46.77)%
|
17.02%
|
50.46%
|
26.95%
| |||||
Ratios
to Average Net Assets B,F,G |
||||||||||
Expenses
before reductions |
.87%
|
1.18%
|
1.02%
|
1.13%
|
1.11%
| |||||
Expenses
net of fee waivers, if any |
.87%
|
1.17%
|
1.02%
|
1.13%
|
1.11%
| |||||
Expenses
net of all reductions |
.87%
|
1.17%
|
1.02%
|
1.10%
|
1.11%
| |||||
Net
investment income (loss) |
.13%
|
(.51)%
|
(.45)%
C |
(.24)%
|
.82%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
867,653 |
$ |
823,527 |
$ |
2,000,120 |
$ |
1,578,782 |
$ |
993,620 |
Portfolio
turnover rate H |
50%
|
44%
|
85%
|
114%
|
61%
I |
Fidelity®
Emerging Markets Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
27.87 |
$ |
47.56 |
$ |
40.26 |
$ |
33.03 |
$ |
26.66 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.36
C |
.28
D |
.12
|
.15
|
.61
E | |||||
Net
realized and unrealized gain (loss) |
3.98
|
(17.35)
|
7.81
|
7.68
|
5.98
| |||||
Total
from investment operations |
4.34
|
(17.07)
|
7.93
|
7.83
|
6.59
| |||||
Distributions
from net investment income |
(.24)
|
(.46)
|
(.09)
|
(.60)
|
(.22)
| |||||
Distributions
from net realized gain |
-
|
(2.16)
|
(.54)
|
-
|
-
| |||||
Total
distributions |
(.24)
|
(2.62)
|
(.63)
|
(.60)
|
(.22)
| |||||
Net
asset value, end of period |
$ |
31.97 |
$ |
27.87 |
$ |
47.56 |
$ |
40.26 |
$ |
33.03 |
Total
Return F |
15.56%
|
(37.83)%
|
19.83%
|
24.09%
|
24.91%
| |||||
Ratios
to Average Net Assets B,G,H |
||||||||||
Expenses
before reductions |
.90%
|
.90%
|
.88%
|
.92%
|
.94%
| |||||
Expenses
net of fee waivers, if any |
.90%
|
.90%
|
.88%
|
.92%
|
.94%
| |||||
Expenses
net of all reductions |
.90%
|
.90%
|
.88%
|
.91%
|
.92%
| |||||
Net
investment income (loss) |
1.07%
C |
.76%
D |
.26%
|
.43%
|
2.02%
E | |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
3,985,433 |
$ |
3,330,900 |
$ |
5,016,159 |
$ |
4,526,531 |
$ |
3,104,887 |
Portfolio
turnover rate I |
23%
|
34%
|
38%
J |
34%
|
85%
K |
Fidelity®
Europe Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
27.57 |
$ |
46.11 |
$ |
35.35 |
$ |
36.28 |
$ |
37.70 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.57
|
.57
|
.54
|
.30
|
1.52
C | |||||
Net
realized and unrealized gain (loss) |
2.44
|
(12.88)
|
10.71
|
1.46
|
.81
| |||||
Total
from investment operations |
3.01
|
(12.31)
|
11.25
|
1.76
|
2.33
| |||||
Distributions
from net investment income |
-
|
(1.11)
|
(.49)
|
(1.61)
|
(.32)
| |||||
Distributions
from net realized gain |
-
|
(5.12)
|
-
|
(1.08)
|
(3.43)
| |||||
Total
distributions |
-
|
(6.23)
|
(.49)
|
(2.69)
|
(3.75)
| |||||
Net
asset value, end of period |
$ |
30.58 |
$ |
27.57 |
$ |
46.11 |
$ |
35.35 |
$ |
36.28 |
Total
Return D |
10.92%
|
(30.07)%
|
31.99%
|
4.95%
|
7.56%
| |||||
Ratios
to Average Net Assets B,E,F |
||||||||||
Expenses
before reductions |
.70%
|
.88%
|
1.06%
|
1.03%
|
.78%
| |||||
Expenses
net of fee waivers, if any |
.69%
|
.88%
|
1.06%
|
1.03%
|
.77%
| |||||
Expenses
net of all reductions |
.69%
|
.88%
|
1.06%
|
1.02%
|
.75%
| |||||
Net
investment income (loss) |
1.75%
|
1.73%
|
1.21%
|
.86%
|
4.33%
C | |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
519,010 |
$ |
523,685 |
$ |
913,296 |
$ |
755,125 |
$ |
836,373 |
Portfolio
turnover rate G |
37%
|
55%
|
52%
|
39%
|
45%
|
Fidelity®
Japan Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
13.35 |
$ |
21.01 |
$ |
17.58 |
$ |
15.86 |
$ |
14.20 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.15
|
.08
|
.08
|
.10
|
.12
| |||||
Net
realized and unrealized gain (loss) |
1.19
|
(5.60)
|
3.72
|
1.81
|
1.59
| |||||
Total
from investment operations |
1.34
|
(5.52)
|
3.80
|
1.91
|
1.71
| |||||
Distributions
from net investment income |
-
|
(.59)
|
(.11)
|
(.11)
|
(.05)
| |||||
Distributions
from net realized gain |
-
|
(1.55)
|
(.25)
|
(.09)
|
-
| |||||
Total
distributions |
-
|
(2.14)
|
(.37)
C |
(.19)
C |
(.05)
| |||||
Net
asset value, end of period |
$ |
14.69 |
$ |
13.35 |
$ |
21.01 |
$ |
17.58 |
$ |
15.86 |
Total
Return D |
10.04%
|
(29.16)%
|
21.75%
|
12.16%
|
12.10%
| |||||
Ratios
to Average Net Assets B,E,F |
||||||||||
Expenses
before reductions |
.96%
|
1.13%
|
1.09%
|
1.06%
|
1.01%
| |||||
Expenses
net of fee waivers, if any |
.95%
|
1.12%
|
1.09%
|
1.06%
|
1.01%
| |||||
Expenses
net of all reductions |
.95%
|
1.12%
|
1.09%
|
1.06%
|
1.00%
| |||||
Net
investment income (loss) |
.96%
|
.52%
|
.37%
|
.65%
|
.82%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
149,990 |
$ |
113,015 |
$ |
167,954 |
$ |
274,433 |
$ |
401,344 |
Portfolio
turnover rate G |
25%
|
26%
|
31%
|
22%
|
27%
|
Fidelity®
Japan Smaller Companies Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
12.47 |
$ |
17.92 |
$ |
16.64 |
$ |
17.60 |
$ |
17.12 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.18
|
.19
|
.20
|
.16
|
.22
| |||||
Net
realized and unrealized gain (loss) |
1.04
|
(3.75)
|
1.36
|
.11
|
1.10
| |||||
Total
from investment operations |
1.22
|
(3.56)
|
1.56
|
.27
|
1.32
| |||||
Distributions
from net investment income |
(.01)
|
(.51)
|
(.19)
|
(.23)
|
(.11)
| |||||
Distributions
from net realized gain |
-
|
(1.38)
|
(.10)
|
(1.00)
|
(.73)
| |||||
Total
distributions |
(.01)
|
(1.89)
|
(.28)
C |
(1.23)
|
(.84)
| |||||
Net
asset value, end of period |
$ |
13.68 |
$ |
12.47 |
$ |
17.92 |
$ |
16.64 |
$ |
17.60 |
Total
Return D |
9.76%
|
(21.95)%
|
9.44%
|
1.31%
|
8.22%
| |||||
Ratios
to Average Net Assets B,E,F |
||||||||||
Expenses
before reductions |
.92%
|
.91%
|
.91%
|
.92%
|
.93%
| |||||
Expenses
net of fee waivers, if any |
.91%
|
.91%
|
.91%
|
.92%
|
.93%
| |||||
Expenses
net of all reductions |
.91%
|
.91%
|
.91%
|
.92%
|
.93%
| |||||
Net
investment income (loss) |
1.26%
|
1.33%
|
1.13%
|
1.02%
|
1.31%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
435,870 |
$ |
364,425 |
$ |
501,214 |
$ |
523,774 |
$ |
685,651 |
Portfolio
turnover rate G |
36%
|
38%
|
23%
|
20%
|
16%
|
Fidelity®
Latin America Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
21.17 |
$ |
19.36 |
$ |
17.36 |
$ |
28.30 |
$ |
21.94 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
1.07
|
1.65
|
.22
|
.10
|
.77
| |||||
Net
realized and unrealized gain (loss) |
(2.74)
|
.69
|
1.79
|
(10.36)
|
6.09
| |||||
Total
from investment operations |
(1.67)
|
2.34
|
2.01
|
(10.26)
|
6.86
| |||||
Distributions
from net investment income |
(1.63)
|
(.53)
|
(.01)
|
(.68)
|
(.50)
| |||||
Total
distributions |
(1.63)
|
(.53)
|
(.01)
|
(.68)
|
(.50)
| |||||
Net
asset value, end of period |
$ |
17.87 |
$ |
21.17 |
$ |
19.36 |
$ |
17.36 |
$ |
28.30 |
Total
Return C |
(7.88)%
|
12.55%
|
11.58%
|
(37.13)%
|
32.06%
| |||||
Ratios
to Average Net Assets B,D,E |
||||||||||
Expenses
before reductions |
1.07%
|
1.06%
|
1.04%
|
1.05%
|
1.05%
| |||||
Expenses
net of fee waivers, if any |
1.06%
|
1.05%
|
1.04%
|
1.05%
|
1.04%
| |||||
Expenses
net of all reductions |
1.06%
|
1.05%
|
1.04%
|
1.03%
|
1.04%
| |||||
Net
investment income (loss) |
5.55%
|
8.24%
|
.99%
|
.48%
|
3.13%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
217,336 |
$ |
262,361 |
$ |
262,484 |
$ |
277,942 |
$ |
517,901 |
Portfolio
turnover rate F |
37%
|
48%
|
33%
|
54%
|
48%
|
Fidelity®
Nordic Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
46.13 |
$ |
75.57 |
$ |
56.51 |
$ |
46.69 |
$ |
49.64 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.93
|
.78
|
1.06
|
.15
|
1.50
C | |||||
Net
realized and unrealized gain (loss) |
6.49
|
(20.65)
D |
20.17
|
11.86
|
.15
| |||||
Total
from investment operations |
7.42
|
(19.87)
|
21.23
|
12.01
|
1.65
| |||||
Distributions
from net investment income |
-
|
(3.02)
|
(.96)
|
(1.60)
|
(.05)
| |||||
Distributions
from net realized gain |
-
|
(6.56)
|
(1.21)
|
(.59)
|
(4.55)
| |||||
Total
distributions |
-
|
(9.57)
E |
(2.17)
|
(2.19)
|
(4.60)
| |||||
Net
asset value, end of period |
$ |
53.55 |
$ |
46.13 |
$ |
75.57 |
$ |
56.51 |
$ |
46.69 |
Total
Return F |
16.08%
|
(29.33)%
D |
38.39%
|
26.73%
|
3.96%
| |||||
Ratios
to Average Net Assets B,G,H |
||||||||||
Expenses
before reductions |
.94%
|
.93%
|
.92%
|
.96%
|
.98%
| |||||
Expenses
net of fee waivers, if any |
.93%
|
.92%
|
.92%
|
.96%
|
.98%
| |||||
Expenses
net of all reductions |
.93%
|
.92%
|
.92%
|
.96%
|
.96%
| |||||
Net
investment income (loss) |
1.69%
|
1.45%
|
1.51%
|
.31%
|
3.28%
C | |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
286,653 |
$ |
257,164 |
$ |
422,673 |
$ |
301,424 |
$ |
261,896 |
Portfolio
turnover rate I |
23%
|
42%
|
34%
|
29%
|
34%
|
Fidelity®
Pacific Basin Fund |
Years
ended October 31, |
2023
|
2022 |
2021 |
2020 |
2019 | |||||
Selected
Per-Share Data |
||||||||||
Net
asset value, beginning of period |
$ |
25.99 |
$ |
46.10 |
$ |
40.16 |
$ |
32.65 |
$ |
29.51 |
Income
from Investment Operations |
||||||||||
Net
investment income (loss) A,B |
.32
C |
.22
|
.15
|
.16
|
.26
| |||||
Net
realized and unrealized gain (loss) |
3.88
|
(14.49)
|
7.74
|
7.61
|
5.74
| |||||
Total
from investment operations |
4.20
|
(14.27)
|
7.89
|
7.77
|
6.00
| |||||
Distributions
from net investment income |
-
|
(1.17)
D |
(.10)
|
(.26)
|
(.20)
| |||||
Distributions
from net realized gain |
(2.40)
|
(4.67)
D |
(1.85)
|
-
|
(2.67)
| |||||
Total
distributions |
(2.40)
|
(5.84)
|
(1.95)
|
(.26)
|
(2.86)
E | |||||
Net
asset value, end of period |
$ |
27.79 |
$ |
25.99 |
$ |
46.10 |
$ |
40.16 |
$ |
32.65 |
Total
Return F |
16.06%
|
(35.11)%
|
20.08%
|
23.95%
|
22.37%
| |||||
Ratios
to Average Net Assets B,G,H |
||||||||||
Expenses
before reductions |
1.07%
|
1.12%
|
1.04%
|
1.11%
|
.97%
| |||||
Expenses
net of fee waivers, if any |
1.07%
|
1.12%
|
1.04%
|
1.11%
|
.97%
| |||||
Expenses
net of all reductions |
1.07%
|
1.12%
|
1.04%
|
1.10%
|
.97%
| |||||
Net
investment income (loss) |
1.08%
C |
.64%
|
.32%
|
.47%
|
.88%
| |||||
Supplemental
Data |
||||||||||
Net
assets, end of period (000 omitted) |
$ |
649,965 |
$ |
657,558 |
$ |
1,214,726 |
$ |
1,084,673 |
$ |
891,154 |
Portfolio
turnover rate I |
46%
|
29%
|
40%
|
27%
|
32%
|
IMPORTANT
INFORMATION ABOUT OPENING A NEW ACCOUNT
To
help the government fight the funding of terrorism and money laundering
activities, the Uniting and Strengthening America by Providing Appropriate
Tools Required to Intercept and Obstruct Terrorism Act of 2001 (USA
PATRIOT ACT), requires all financial institutions to obtain, verify, and
record information that identifies each person or entity that opens an
account. For individual investors opening an account: When you open an account, you will be asked for your name, address, date of birth, and other information that will allow Fidelity to identify you. You may also be asked to provide documents that may help to establish your identity, such as your driver's license. For investors other than individuals: When you open an account, you will be asked for the name of the entity, its principal place of business and taxpayer identification number (TIN). You will be asked to provide information about the entity's control person and beneficial owners, and person(s) with authority over the account, including name, address, date of birth and social security number. You may also be asked to provide documents, such as drivers' licenses, articles of incorporation, trust instruments or partnership agreements and other information that will help Fidelity identify the entity. |
The
SAI, the funds' annual and semi-annual reports and other related materials
are available from the Electronic Data Gathering, Analysis, and Retrieval
(EDGAR) Database on the SEC's web site (http://www.sec.gov). You can
obtain copies of this information, after paying a duplicating fee, by
sending a request by e-mail to [email protected] or by writing the Public
Reference Section of the SEC, Washington, D.C. 20549-1520. You can also
review and copy information about the funds, including the funds' SAI, at
the SEC's Public Reference Room in Washington, D.C. Call 1-202-551-8090
for information on the operation of the SEC's Public Reference
Room. |
Investment
Company Act of 1940, File Number(s), 811-04008 |
1.538563.127 |
TIF-PRO-1223 |