FIIIX
Fidelity International Growth Fund
Fidelity Investment Trust

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
65
Top-10 weight
37.72%
Effective holdings ?
39
Crowding ?
558.7

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ASML Holding NV 389,742 $558.85M 7.02%
2 TSMC 6,441,000 $355.09M 4.46%
3 SAFRAN SA 862,600 $308.20M 3.87%
4 Fidelity Cash Central Fund 287,018,516 $287.08M 3.61%
5 CRH PLC 2,307,066 $282.41M 3.55%
6 Airbus SE 1,139,200 $260.82M 3.28%
7 SCHNEIDER ELECTR 904,900 $259.44M 3.26%
8 UBS GROUP AG 5,092,962 $239.74M 3.01%
9 LINDE PLC 519,979 $237.61M 2.99%
10 BAE SYSTEMS PLC 8,466,836 $229.85M 2.89%
11 MITSUBISHI HEAVY INDS LTD 7,117,000 $209.55M 2.63%
12 ATLAS COPCO-A 9,995,900 $206.14M 2.59%
13 ROLLS-ROYCE HOLDINGS PLC 11,427,319 $191.03M 2.40%
14 Compass Group PLC 5,967,000 $178.92M 2.25%
15 LEGRAND SA COMMON STOCK LR 1,072,600 $171.25M 2.15%
16 ASSA ABLOY AB SER B 4,230,410 $171.05M 2.15%
17 Epiroc Aktiebolag EPIA 5,987,017 $167.84M 2.11%
18 ADVANTEST CORP 997,900 $164.46M 2.07%
19 InterContinental Hotels Group PLC SPON ADS EACH REP 1 ORD SHS IHG 1,176,270 $161.43M 2.03%
20 GE VERNOVA LLC 207,500 $150.72M 1.89%
21 KBC GROUP 1,064,000 $149.96M 1.88%
22 ABB Ltd. (Registered) ABLZF 1,685,000 $145.08M 1.82%
23 SAP SE 713,500 $142.53M 1.79%
24 LVMH MOET HENNESSY LOUIS VUITTON SE MC 217,645 $140.47M 1.77%
25 TENCENT HOLDINGS LTD 1,817,500 $139.70M 1.76%
26 ESSILORLUXOTTICA 431,021 $131.76M 1.66%
27 NINTENDO CO LTD 2,105,100 $130.36M 1.64%
28 SHERWIN WILLIAMS CO 361,411 $128.17M 1.61%
29 FRANCO-NEVADA CORP 500,980 $117.27M 1.47%
30 HOYA CORP 661,800 $110.63M 1.39%
31 DISCO CORP 253,000 $107.84M 1.36%
32 RELX PLC 2,938,700 $104.18M 1.31%
33 RECRUIT HOLDINGS 1,953,400 $102.89M 1.29%
34 KEYENCE CORP 259,748 $94.73M 1.19%
35 Kone OYJ, Class B KNYJF 1,290,204 $92.71M 1.17%
36 SCHINDLER HLD-PC 230,443 $88.89M 1.12%
37 ERSTE GROUP BANK 681,900 $88.51M 1.11%
38 HOLCIM LTD 855,000 $88.12M 1.11%
39 BE SEMICONDUCTOR 385,564 $75.18M 0.94%
40 AZBIL CORP 8,211,712 $71.47M 0.90%
41 HEIDELBERG MATERIALS AG COMMON STOCK HEI 235,000 $64.36M 0.81%
42 MASTERCARD INC CL A 108,200 $58.30M 0.73%
43 VISA INC-CLASS A 179,860 $57.88M 0.73%
44 ADDTECH AB-B SH 1,767,090 $57.69M 0.72%
45 MOODYS CORP 108,191 $55.78M 0.70%
46 EXPERIAN PLC COMMON STOCK USD.1 EXPN 1,453,084 $55.04M 0.69%
47 RHEINMETALL AG 23,567 $49.77M 0.63%
48 Fidelity Securities Lending Cash Central Fund 49,569,143 $49.57M 0.62%
49 KOMATSU LTD 1,292,900 $49.49M 0.62%
50 GAMES WORKSHOP GROUP CO PLC 196,900 $45.94M 0.58%
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