EX-99.N 18F-3 PLAN 20 n2.htm

FORM OF

SCHEDULE I, DATED ____________, TO MULTIPLE CLASS OF SHARES PLAN FOR

FIDELITY ADVISOR FUNDS, DATED

____________

FIDELITY ADVISOR SERIES I

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Asset Allocation Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Balanced Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Dividend Growth Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Dynamic Capital Appreciation Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Equity Growth Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Equity Income Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Equity Value Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Fifty Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Growth & Income Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Growth Opportunities Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Large Cap Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Leveraged Company Stock Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Mid Cap Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Small Cap Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Strategic Growth Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Value Strategies Fund:

Initial Class

none

none

none

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.

FIDELITY ADVISOR SERIES II

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Floating Rate High Income Fund:

Fidelity Floating Rate High

Income Fund

none

none

none

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.55

0.15

Class C

contingent deferred

0.55

0.25

Institutional Class

none

none

none

Advisor Government Investment Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor High Income Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor High Yield Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Intermediate Bond Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Mortgage Securities Fund:

Fidelity Mortgage Securities

Fund

none

none

none

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Municipal Income Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Short-Fixed Income Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.15

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Strategic Income Fund:

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.

FIDELITY ADVISOR SERIES VII

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Biotechnology Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Consumer Industries Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Cyclical Industries Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Developing Communications Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Electronics Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Financial Services Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Health Care Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of
average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Natural Resources Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Real Estate Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Technology Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Telecommunications & Utilities Growth Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.

FIDELITY ADVISOR SERIES VIII

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Diversified International Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Emerging Asia Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Emerging Markets Income Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Europe Capital Appreciation Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Global Equity Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor International Capital Appreciation Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Japan Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Korea Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Latin America Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

Advisor Overseas Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.

FIDELITY BEACON STREET TRUST

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Tax Managed Stock Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FIDELITY CALIFORNIA MUNICIPAL TRUST

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Spartan California Municipal Income Fund:

Spartan California Municipal
Income Fund


none


none


none

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FIDELITY FIXED-INCOME TRUST

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Fidelity Investment Grade Bond Fund:

Fidelity Investment Grade
Bond Fund


none


none

none

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.

FIDELITY NEW YORK MUNICIPAL TRUST

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Spartan New York Municipal Income Fund:

Spartan New York Municipal
Income Fund


none


none


none

Class A*

front-end

0.00

0.15

Class T*

front-end

0.00

0.25

Class B

contingent deferred

0.65

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

FIDELITY SECURITIES FUND

FUND/CLASS

SALES CHARGE

DISTRIBUTION FEE

(as a percentage of average net assets)

SHAREHOLDER

SERVICE FEE

(as a percentage of
average net assets)

Advisor Aggressive Growth Fund:

Class A*

front-end

0.00

0.25

Class T*

front-end

0.25

0.25

Class B

contingent deferred

0.75

0.25

Class C

contingent deferred

0.75

0.25

Institutional Class

none

none

none

______________________________________________________________

* A contingent deferred sales charge of 0.25% is assessed on certain redemptions of Class A and Class T shares on which a finder's fee was paid.