Fidelity International Small Cap Opportunities Fund
Fidelity Investment Trust
Portfolio moves
Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
BEAZLEY PLC/UK
0
375,000
375,000
0.35%
$5.81M
CTP NV
0
230,000
230,000
0.30%
$4.99M
JM AB
0
290,000
290,000
0.27%
$4.45M
MINCON GROUP PLC
0
7,188,943
7,188,943
0.26%
$4.35M
AUB GROUP LTD
0
175,000
175,000
0.22%
$3.68M
PIRELLI E C SPA
0
435,000
435,000
0.20%
$3.27M
METRO BANK HOLDINGS PLC COMMON STOCK
0
1,645,608
1,645,608
0.18%
$3.00M
FRAMERY GROUP OYJ
0
275,000
275,000
0.17%
$2.83M
TOYO TIRE CORP
0
100,000
100,000
0.16%
$2.69M
INTERTEK GROUP PLC COMMON STOCK GBP.01
0
40,000
40,000
0.15%
$2.44M
PAL GROUP HOLDIN
0
210,000
210,000
0.14%
$2.26M
KINGSPAN GROUP
0
25,000
25,000
0.13%
$2.18M
GREMZ INC
0
140,000
140,000
0.13%
$2.17M
ANTERIS TECHNOLOGIES GLOBAL CORP
0
350,000
350,000
0.13%
$2.09M
FERREXPO PLC
0
875,000
875,000
0.06%
$909.95K
MIDAC HOLDINGS C
0
57,987
57,987
0.05%
$749.75K
SEOUL GUARANTEE INSURANCE CO
0
9,902
9,902
0.02%
$340.59K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
JTC PLC
1,190,000
0
-1,190,000
0.00%
-$20.39M
RIGHTMOVE PLC COMMON STOCK GBP.001
1,037,993
0
-1,037,993
0.00%
-$9.11M
TIMEE INC
660,000
0
-660,000
0.00%
-$6.40M
SOUTH BOW CORP
200,000
0
-200,000
0.00%
-$5.19M
SAGE GROUP PLC/T
333,700
0
-333,700
0.00%
-$5.04M
KUSURI NO AOKI H
198,500
0
-198,500
0.00%
-$5.03M
OBIC COMPANY LTD
152,000
0
-152,000
0.00%
-$4.72M
FUJI ELECTRIC CO LTD
65,000
0
-65,000
0.00%
-$4.66M
TAG IMMOBILIEN
210,000
0
-210,000
0.00%
-$3.48M
TAKEUCHI MFG CO
80,000
0
-80,000
0.00%
-$3.31M
BETSSON AB CL B
180,000
0
-180,000
0.00%
-$2.82M
SHAWBROOK GROUP PLC W/I
522,800
0
-522,800
0.00%
-$2.69M
AT&S
65,000
0
-65,000
0.00%
-$2.42M
ALLFUNDS GROUP P
300,000
0
-300,000
0.00%
-$2.28M
ENERGEAN PLC COMMON STOCK GBP.01
165,000
0
-165,000
0.00%
-$2.09M
KAINOS GROUP PLC
150,000
0
-150,000
0.00%
-$1.86M
RAKUS CO LTD
200,000
0
-200,000
0.00%
-$1.62M
TREASURY WINE ES
375,000
0
-375,000
0.00%
-$1.47M
ION BEAM APPLICATIONS COMMON STOCK
47,756
0
-47,756
0.00%
-$601.10K
ROLAND CORP
7,360
0
-7,360
0.00%
-$156.17K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
INTERPUMP SPA
845,440
846,840
1,400
2.97%
$5.51M
Fidelity Cash Central Fund
24,623,179
34,552,683
9,929,503
2.10%
$9.93M
HOWDEN JOINERY G
2,939,700
2,964,700
25,000
2.06%
$607.61K
BERGMAN BEVING AKTIEBOLAG
686,462
798,462
112,000
1.51%
$515.52K
USS Company, Ltd.
1,982,130
2,092,130
110,000
1.40%
$1.19M
OXFORD INSTR
348,100
658,100
310,000
1.37%
$14.00M
HOKUHOKU FINANCI
535,000
560,000
25,000
1.16%
$6.06M
LISI SA
287,284
297,284
10,000
1.14%
$2.03M
DAIEI KANKYO CO
550,000
713,447
163,447
1.14%
$6.54M
STEADFAST GROUP
4,656,460
5,156,460
500,000
1.14%
$1.72M
SHO-BOND HOLDINGS CO LTD COMMON STOCK
559,400
2,087,600
1,528,200
1.14%
$957.99K
JAPAN ELEVATOR S
1,340,200
1,605,200
265,000
1.02%
$1.05M
DIPLOMA PLC COMMON STOCK
227,000
229,000
2,000
1.01%
-$59.24K
AUTO1 GROUP SE
390,000
500,000
110,000
1.00%
$2.85M
SAN-AI OBBLI CO
780,800
815,800
35,000
0.70%
$1.21M
TOCALO CO LTD
608,636
658,636
50,000
0.67%
$2.04M
HILL & SMITH PLC COMMON STOCK
280,000
335,000
55,000
0.62%
$2.30M
TSURUHA HOLDINGS INC COMMON STOCK
350,000
625,000
275,000
0.60%
$3.88M
VISIONAL INC
101,000
165,000
64,000
0.55%
$2.06M
DCC PLC
115,000
140,000
25,000
0.54%
$1.31M
SPIRAX GROUP PLC COMMON STOCK
57,691
87,691
30,000
0.53%
$3.34M
Lumine Group Inc
395,000
485,000
90,000
0.48%
-$1.45M
DOVALUE SPA
2,000,000
2,300,000
300,000
0.43%
$893.87K
YONEX CO LTD
116,000
336,000
220,000
0.43%
$4.08M
ASTOR TRANSFORMA
1,800,000
1,900,000
100,000
0.42%
$2.78M
AVON TECHNOLOGIES PLC
165,000
284,800
119,800
0.41%
$2.69M
NORTH WEST CO IN
140,000
180,000
40,000
0.39%
$1.88M
M-UP HOLDINGS IN
567,450
1,204,900
637,450
0.39%
-$690.71K
PARK24 CO LTD
270,000
457,000
187,000
0.39%
$3.21M
ELIS SA
170,000
210,000
40,000
0.37%
$1.36M
PINEWOOD TECHNOLOGIES GROUP PLC
650,000
940,000
290,000
0.37%
$2.92M
EXAIL TECHNOLOGI
37,000
46,000
9,000
0.37%
$2.49M
CAIRN HOMES
2,335,691
2,385,691
50,000
0.36%
$698.14K
STEF
27,000
39,000
12,000
0.35%
$2.02M
ADDLIFE AB-B
351,520
373,520
22,000
0.35%
-$1.88M
FIELMANN GROUP AG COMMON STOCK
103,000
113,000
10,000
0.34%
-$76.23K
BIG YELLOW GROUP
350,000
390,000
40,000
0.33%
$383.74K
TOYO GOSEI CO
70,000
90,000
20,000
0.31%
$1.95M
Mensch und Maschine Software SE
43,000
95,000
52,000
0.30%
$2.88M
ORIZON VALORIZAC
260,000
335,000
75,000
0.29%
$2.06M
RUSTA AB (PUBL)
300,000
500,000
200,000
0.28%
$2.61M
QOL HOLDINGS CO
280,000
325,000
45,000
0.27%
$920.32K
WAREHOUSES DE PA
70,000
155,000
85,000
0.27%
$2.61M
SYSTENA
1,300,000
1,335,000
35,000
0.27%
-$97.13K
TGS ASA
305,000
400,000
95,000
0.26%
$1.58M
KATITAS CO LTD
160,000
210,000
50,000
0.25%
$1.53M
IWATANI CORP
260,000
320,000
60,000
0.23%
$1.07M
THE BANK IWATE
60,000
89,000
29,000
0.21%
$1.93M
CONSUN PHARMACEU
1,100,000
1,494,000
394,000
0.21%
$1.33M
CUSCAL LTD
925,000
1,160,000
235,000
0.21%
$909.21K
CLINICA BAVIERA SA
45,000
54,000
9,000
0.21%
$1.25M
KONINKLIJKE HEIJ
33,935
42,000
8,065
0.21%
$1.01M
FERRARI GROUP PLC
230,000
275,000
45,000
0.20%
$1.08M
ARGAN
30,000
42,000
12,000
0.20%
$951.67K
MONTANA AEROSPAC
65,000
76,000
11,000
0.20%
$706.16K
SELAMAT SEMPURNA TBK PT
25,000,000
31,000,000
6,000,000
0.20%
$340.73K
WIZZ AIR HOLDING
100,000
160,000
60,000
0.19%
$1.73M
SRE HOLDINGS COR
80,000
160,000
80,000
0.18%
$1.59M
VISCOFAN SA COMMON STOCK
30,000
45,000
15,000
0.18%
$1.14M
ENITY HOLDING AB
210,000
240,000
30,000
0.18%
$879.14K
SUMBER ALFARIA T
15,000,000
28,000,000
13,000,000
0.18%
$1.10M
CARMILA
130,000
150,000
20,000
0.18%
$538.31K
SYSTEM SUPPORT HOLDINGS INC COMMON STOCK
113,900
320,000
206,100
0.18%
$636.03K
RIGAKU HOLDINGS
270,000
370,000
100,000
0.17%
$1.15M
BLUE ZONES HOLDINGS CO LTD COMMON STOCK
40,000
47,000
7,000
0.16%
$659.01K
B&M EUROPEAN
725,000
1,095,000
370,000
0.16%
$931.28K
FUNAI SOKEN HOLDINGS INC
224,350
364,936
140,586
0.16%
-$895.04K
CTS CO LTD
340,000
400,000
60,000
0.16%
$672.43K
AS ONE CORP
170,000
171,600
1,600
0.16%
-$204.07K
CIE AUTOMOTIVE
65,000
75,000
10,000
0.16%
$380.12K
AB DYNAMICS PLC
100,000
140,000
40,000
0.15%
$790.25K
INTERMESTIC INC
175,000
210,000
35,000
0.15%
-$48.85K
IMCD NV
18,000
26,000
8,000
0.15%
$561.05K
ONEX CORP
18,000
28,000
10,000
0.14%
$820.03K
FUJI SEAL INTER
90,000
115,000
25,000
0.14%
$789.19K
KATO SANGYO CO
45,000
52,700
7,700
0.13%
$488.20K
ROBERTET SA
1,800
2,200
400
0.13%
$477.89K
BEFESA SA
50,000
60,000
10,000
0.13%
$549.28K
MAEDA KOSEN CO L
125,000
155,000
30,000
0.11%
$289.05K
LEGEND BIOTECH CORP SPON ADR
62,800
105,213
42,413
0.11%
-$193.49K
TRIPLE FLAG
40,000
50,000
10,000
0.10%
$574.99K
MONEY FORWARD IN
60,000
65,000
5,000
0.10%
-$112.72K
METAPLANET INC
350,000
530,000
180,000
0.09%
$371.19K
VRAIN SOLUTION INC
8,800
46,000
37,200
0.05%
$595.28K
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
LAGERCRANTZ-B SH
2,125,212
2,000,212
-125,000
2.66%
-$8.29M
ADDTECH AB-B SH
1,503,275
1,283,275
-220,000
2.54%
-$9.06M
GAMES WORKSHOP GROUP CO PLC
193,200
177,279
-15,921
2.51%
$928.41K
BE SEMICONDUCTOR
222,429
192,418
-30,011
2.27%
-$322.50K
AZBIL CORP
4,791,868
3,935,689
-856,179
2.08%
-$13.08M
InterContinental Hotels Group PLC SPON ADS EACH REP 1 ORD SHS