FEDIX
Fidelity Emerging Markets Discovery Fund
Fidelity Investment Trust

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
106
Top-10 weight
16.22%
Effective holdings ?
92
Crowding ?
133.8

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Fidelity Cash Central Fund 38,872,832 $38.88M 2.92%
2 UNIMICRON TECH 2,183,427 $26.18M 1.96%
3 NANYA TECH 2,402,210 $24.85M 1.86%
4 SOULBRAIN CO LTD/NEW 58,867 $19.82M 1.49%
5 KOREA AEROSPACE 166,139 $19.27M 1.45%
6 ASPEED TECH 68,000 $19.13M 1.43%
7 CHROMA ATE 590,760 $18.34M 1.38%
8 WOORI FINANCIAL 875,890 $18.26M 1.37%
9 KING YUAN ELEC 1,841,310 $17.27M 1.29%
10 YAGEO 1,961,000 $17.24M 1.29%
11 INNODISK 671,237 $16.88M 1.27%
12 MMG 12,708,700 $16.74M 1.26%
13 ORIZON VALORIZAC 1,159,280 $16.40M 1.23%
14 HPSP CO LTD 506,540 $16.24M 1.22%
15 PRIO SA 1,664,760 $16.13M 1.21%
16 ASELSAN 2,270,600 $15.83M 1.19%
17 DB INSURANCE CO 160,235 $15.75M 1.18%
18 EMEMORY TECH 271,230 $15.72M 1.18%
19 MAX HEALTHCARE I 1,464,990 $15.29M 1.15%
20 BIZLINK HOLDING 370,781 $15.27M 1.15%
21 Receive AKBANK Pay Overnight Rate -3 6,996,880 $14.96M 1.12%
22 BUPA ARABIA 338,181 $14.88M 1.12%
23 VIBRA ENERGIA SA COMMON STOCK VBBR3 2,714,348 $14.83M 1.11%
24 ADVANTECH 1,545,530 $14.66M 1.10%
25 ELECTRICAL INDUS 4,002,320 $14.60M 1.09%
26 ALLEGRO.EU SA 1,767,880 $14.54M 1.09%
27 AIRTAC INTERNATI 402,330 $14.53M 1.09%
28 HANSOL CHEMICAL 74,388 $14.49M 1.09%
29 BANCO DE CHILE SPONSRD ADR BCH 330,729 $14.43M 1.08%
30 REGIONAL SAB DE 1,594,622 $14.23M 1.07%
31 ROBINSONS LAND CORP RLC 46,174,079 $14.18M 1.06%
32 BENEFIT 13,107 $14.17M 1.06%
33 LI NING CO LTD 5,373,190 $14.06M 1.05%
34 BHARAT ELECTRON 2,830,023 $13.86M 1.04%
35 TAL EDUCATION GROUP- ADR DEPOSITARY RECEIPT TAL US 1,088,170 $13.82M 1.04%
36 SANY HEAVY EQUIP 8,958,910 $13.80M 1.03%
37 PKOBP 524,150 $13.66M 1.02%
38 CREDICORP LTD BAP 38,140 $13.61M 1.02%
39 LION FINANCE GRO 98,356 $13.58M 1.02%
40 INTL CONTAINER TERM SVCS INC COMMON STOCK ICT 1,245,840 $13.57M 1.02%
41 BANK SYARIAH IND 100,834,960 $13.53M 1.01%
42 FIRSTRAND LTD 2,369,466 $13.52M 1.01%
43 GRUPO AEROPORTUA 926,780 $13.49M 1.01%
44 FIRST RESOURCES 8,009,541 $13.47M 1.01%
45 FAR EAST HORIZON 13,429,244 $13.43M 1.01%
46 HYPERA SA 2,802,359 $13.42M 1.01%
47 NIEN MADE 991,270 $13.41M 1.01%
48 COPA HOLDINGS SA CL A 97,420 $13.29M 1.00%
49 MAVI - CLASS B 11,937,794 $13.27M 1.00%
50 KT&G CORP 124,620 $13.22M 0.99%
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