Page 362 - DCAC Feb 2026 Files
P. 362

Fidelity International Index 12/31/25

                                    PORTFOLIO CHARACTERISTICS                   ASSET ALLOCATION                         TOP 10 HOLDINGS
                                Total Securities  706                                                                   MSCI EAFE Index Future Dec 25     2.19 %
                                Avg. Market Cap  $64,405 Million                 Equity                   98.2%         ASML Holding NV                   1.99 %
                                P/E          15.34                                                                      Fidelity Cash Central Fund        1.51 %
                                                                                 Cash  1.6%
                                P/B          1.99                                                                       AstraZeneca PLC                   1.39 %
                                Div. Yield   3.20%                              Others  0.2%                            Roche Holding AG                  1.30 %
                                    TOP 5 COUNTRIES                                                                     Nestle SA                         1.24 %
                                                                            Fixed Income  0.0%
                                Japan                          22.71 %                                                  SAP SE                            1.22 %
                                United Kingdom                 14.43 %               0.0%     50.0%     100.0%   150.0%  Novartis AG Registered Shares    1.20 %
                                France                          9.83 %                                                  HSBC Holdings PLC                 1.18 %
                                Switzerland                     9.62 %                           3             5        Shell PLC                         1.03 %
                                                                                               Years          Years
                                Germany                         9.55 %                                                  Total                            14.25 %
                                                                            vs. MSCI EAFE (Net)
                                Total                          66.14 %
                                                                            Beta                1.01          1.04
                                 REGION ALLOCATION                                                     SECTOR ALLOCATION
                                                                                                 Equity Sector Allocation As of 11/30/2025
                                    EMEA                                          59.1%                   Real Estate  2.0%                                                                                                                                      Real Estate  2.0%
                                                                                                             Energy     3.3%                                                                                                                                                3.3%
                                                                                                            Utilities                                                                                                                                               Energy
                                                                                                 Communication Services  3.5% 5.0%                                                                                                                                 Utilities  3.5%
                                Asia Pacific                 29.1%                                         Materials      5.2%                                                                                                                          Communication Services  5.0%
                                                                                                      Consumer Staples       7.3%                                                                                                                                 Materials  5.2%
                                                                                                  Consumer Discretionary        9.2%                                                                                                                        Consumer Staples   7.3%
                                                                                                  Information Technology         9.8%                                                                                                                   Consumer Discretionary
                                   Other                                                                  Health Care              11.7%                                                                                                                                        9.2%
                                                 11.9%                                                    Industrials                         19.1%                                                                                                     Information Technology  9.8%
                                                                                                           Financials                               24.1%                                                                                                       Health Care       11.7%
                                                                                                                                                                                                                                                                 Industrials           19.1%
                                       0.0%      15.0%      30.0%     45.0%      60.0%      75.0%                 0.0%       8.0%      16.0%      24.0%      32.0%
                                                                                                                                                                                                                                                                 Financials               24.1%
                                  STYLE MAP (10/01/11 - 12/31/25)                                   UP/DOWN CAPTURE (01/01/21 - 12/31/25)                                                                                                                               0.0%      15.0%     30.0%
                                                                                                     150.0
                                         MSCI EAFE Value Index                MSCI EAFE Growth Index  125.0
                                  Capitalization                                                    Up Capture     100.0

                                                                                                      75.0
                                                                                                      50.0
                                         MSCI EAFE Small Cap                 MSCI Emerging Markets Index
                                                                                                         50.0      70.0       90.0      110.0      130.0     150.0
                                                            Manager Style                                                       Down Capture
                                  Style History      Dec-2025          Average Style Exposure       Fidelity International Index







                                                                                                59
   357   358   359   360   361   362   363   364   365   366   367