"Stock Index Funds" "" "Fidelity mutual fund prices found on Fidelity.com are the most up-to-date available." "" Fund Name,Fund #,Symbol,NAV,DIV,NAV Change,Movement,Date Fidelity Four-in-One Index Fund, 0355, FFNOX, 24.25, , -0.09, DOWN, 11/20/2009 Fidelity International Enhanced Index Fund, 02010, FIENX, 6.96, , -0.05, DOWN, 11/20/2009 Fidelity Large Cap Core Enhanced Index Fund, 01827, FLCEX, 7.69, , -0.02, DOWN, 11/20/2009 Fidelity Large Cap Growth Enhanced Index Fund, 01829, FLGEX, 8.35, , -0.02, DOWN, 11/20/2009 Fidelity Large Cap Value Enhanced Index Fund, 01828, FLVEX, 6.67, , -0.03, DOWN, 11/20/2009 Fidelity Mid Cap Enhanced Index Fund, 02012, FMEIX, 7.94, , -0.05, DOWN, 11/20/2009 Fidelity Nasdaq Composite Index Fund, 01282, FNCMX, 28.55, , -0.14, DOWN, 11/20/2009 Fidelity Series 100 Index Fund, 01846, FOHIX, 8.02, , -0.02, DOWN, 11/20/2009 Fidelity Small Cap Enhanced Index Fund, 02011, FCPEX, 7.61, , 0.00, UNCH, 11/20/2009 Spartan 500 Index Fund - Fidelity Advantage Class, 01519, FSMAX, 76.16, , -0.23, DOWN, 11/20/2009 Spartan 500 Index Fund - Investor Class, 0317, FSMKX, 76.15, , -0.23, DOWN, 11/20/2009 Spartan Extended Market Index Fund - Fidelity Advantage Class, 01521, FSEVX, 29.02, , -0.12, DOWN, 11/20/2009 Spartan Extended Market Index Fund - Investor Class, 0398, FSEMX, 29.01, , -0.12, DOWN, 11/20/2009 Spartan International Index Fund - Fidelity Advantage Class, 01522, FSIVX, 33.78, , -0.25, DOWN, 11/20/2009 Spartan International Index Fund - Investor Class, 0399, FSIIX, 33.77, , -0.25, DOWN, 11/20/2009 Spartan Total Market Index Fund - Fidelity Advantage Class, 01520, FSTVX, 31.09, , -0.11, DOWN, 11/20/2009 Spartan Total Market Index Fund - Investor Class, 0397, FSTMX, 31.09, , -0.10, DOWN, 11/20/2009 Spartan U.S. Equity Index Fund - Fidelity Advantage Class, 01523, FUSVX, 38.71, , -0.12, DOWN, 11/20/2009 Spartan U.S. Equity Index Fund - Investor Class, 0650, FUSEX, 38.71, , -0.12, DOWN, 11/20/2009 "" "BEFORE INVESTING, CONSIDER THE FUND'S INVESTMENT OBJECTIVES, RISKS, CHARGES AND EXPENSES." "CONTACT FIDELITY FOR A PROSPECTUS CONTAINING THIS INFORMATION. READ IT CAREFULLY." "" "Stock values fluctuate in response to the activities of individual companies and general market" "and economic conditions." "" "Foreign investments involve greater risks than U.S. investments, including political and" "economic risks and the risk of currency fluctuations." "" "Closing 4:00 p.m. prices are generally released at 5:00 p.m. Prices shown in" "U.S. Eastern time. Generally, NAVs quoted one to two hours after the market" "close are preliminary and may be subject to change. Occasionally, fund prices" "are recalled for intraday rebalancing." "" "Fidelity Brokerage Services, LLC" "Member NYSE/SIPC" "900 Salem Street, Smithfield, RI 02917" "" 461756.55.0/FDC