0001752724-19-046558.txt : 20190528 0001752724-19-046558.hdr.sgml : 20190528 20190528140618 ACCESSION NUMBER: 0001752724-19-046558 CONFORMED SUBMISSION TYPE: NPORT-EX PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20190331 FILED AS OF DATE: 20190528 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Variable Insurance Products Fund V CENTRAL INDEX KEY: 0000823535 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-EX SEC ACT: 1940 Act SEC FILE NUMBER: 811-05361 FILM NUMBER: 19857049 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY BOSTON STREET TRUST DATE OF NAME CHANGE: 19951101 FORMER COMPANY: FORMER CONFORMED NAME: SPARTAN U S TREASURY MONEY MARKET FUND DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY U S TREASURY MONEY MARKET FUND L P DATE OF NAME CHANGE: 19900828 0000823535 S000017657 FundsManager 85% Portfolio C000048795 Investor Class C000048796 Service Class C000048797 Service Class 2 ACCESSION NUMBER: 0001752724-19-036128 NPORT-EX 1 QTLY_1593_20190331.htm

Quarterly Holdings Report
for

Fidelity® Variable Insurance Products:

FundsManager 85% Portfolio

March 31, 2019







VF85-QTLY-0519
1.847121.112





Schedule of Investments March 31, 2019 (Unaudited)

Showing Percentage of Net Assets

Equity Funds - 85.6%   
 Shares Value 
Fidelity Contrafund (a) 946,864 $11,835,795 
Fidelity Diversified International Fund (a) 423,918 14,926,156 
Fidelity Emerging Asia Fund (a) 29,408 1,262,484 
Fidelity Emerging Markets Discovery Fund (a) 91,294 1,235,201 
Fidelity Emerging Markets Fund (a) 112,887 3,475,801 
Fidelity Equity-Income Fund (a) 213,343 12,062,426 
Fidelity Europe Fund (a) 169,581 5,909,913 
Fidelity Global Commodity Stock Fund (a) 424,872 5,285,409 
Fidelity International Capital Appreciation Fund (a) 180,606 3,706,044 
Fidelity International Discovery Fund (a) 306,630 12,498,223 
Fidelity International Enhanced Index Fund (a) 1,231,071 11,375,095 
Fidelity International Small Cap Fund (a) 236,101 6,077,240 
Fidelity International Small Cap Opportunities Fund (a) 317,733 5,677,886 
Fidelity International Value Fund (a) 1,054,593 8,278,559 
Fidelity Japan Fund (a) 347,386 4,984,993 
Fidelity Japan Smaller Companies Fund (a) 617,478 10,015,496 
Fidelity Large Cap Value Enhanced Index Fund (a) 594,435 7,519,608 
Fidelity Low-Priced Stock Fund (a) 230,400 11,038,445 
Fidelity Mega Cap Stock Fund (a) 1,162,780 17,674,251 
Fidelity Overseas Fund (a) 1,227,006 55,767,405 
Fidelity Pacific Basin Fund (a) 107,859 3,236,848 
Fidelity Real Estate Investment Portfolio (a) 51,166 2,272,278 
Fidelity Stock Selector All Cap Fund (a) 5,426,054 239,723,042 
Fidelity Value Discovery Fund (a) 208,655 5,760,958 
TOTAL EQUITY FUNDS   
(Cost $462,170,219)  461,599,556 
Fixed-Income Funds - 13.7%   
Fidelity Floating Rate High Income Fund (a) 583,056 5,515,710 
Fidelity Inflation-Protected Bond Index Fund (a) 1,099,153 10,760,712 
Fidelity Long Term Treasury Bond Index Fund (a) 607,978 8,013,152 
Fidelity New Markets Income Fund (a) 171,942 2,587,720 
Fidelity U.S. Bond Index Fund (a) 4,064,462 46,863,242 
TOTAL FIXED-INCOME FUNDS   
(Cost $71,606,493)  73,740,536 
Money Market Funds - 0.5%   
Fidelity Cash Central Fund, 2.48% (b) 2,382,100 2,382,577 
Fidelity Investments Money Market Government Portfolio Institutional Class 2.35% (a)(c) 167,212 167,212 
TOTAL MONEY MARKET FUNDS   
(Cost $2,549,729)  2,549,789 
 Principal Amount Value 
U.S. Treasury Obligations - 0.2%   
U.S. Treasury Bills, yield at date of purchase 2.37% to 2.43% 4/18/19 to 6/20/19 (d)   
(Cost $1,226,998) 1,230,000 1,227,017 
TOTAL INVESTMENT IN SECURITIES - 100.0%   
(Cost $537,553,439)  539,116,898 
NET OTHER ASSETS (LIABILITIES) - 0.0%  (40,356) 
NET ASSETS - 100%  $539,076,542 

Futures Contracts      
 Number of contracts Expiration Date Notional Amount Value Unrealized Appreciation/(Depreciation) 
Purchased      
Equity Index Contracts      
ICE E-mini MSCI EAFE Index Contracts (United States) 42 June 2019 $3,919,440 $71,447 $71,447 
ICE E-mini MSCI Emerging Markets Index Contracts (United States) 215 June 2019 11,367,050 242,172 242,172 
TOTAL PURCHASED      $313,619 
Sold      
Equity Index Contracts      
CME E-mini S&P 500 Index Contracts (United States) 61 June 2019 8,655,290 (261,978) (261,978) 
JPN Nikkei 225 Index(OSE) Contracts (Japan) 15 June 2019 2,870,613 46,288 46,288 
TOTAL SOLD      $( 215,690) 
TOTAL FUTURES CONTRACTS     $97,929 

The notional amount of futures purchased as a percentage of Net Assets is 2.8%

The notional amount of futures sold as a percentage of Net Assets is 2.1%

Legend

 (a) Affiliated Fund

 (b) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.

 (c) The rate quoted is the annualized seven-day yield of the fund at period end.

 (d) Security or a portion of the security was pledged to cover margin requirements for futures contracts. At period end, the value of securities pledged amounted to $1,227,017.

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund Income earned 
Fidelity Cash Central Fund $14,058 
Total $14,058 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Affiliated Underlying Funds

Fiscal year to date information regarding the Fund's investments in affiliated Underlying Funds, excluding any Money Market Central Funds, is presented below. Exchanges between classes of the same affiliated Underlying Funds may occur. Certain Underlying Funds incurred name changes since their most recent shareholder report. The names of the Underlying Funds are those in effect at period end.

Affiliate Value, beginning of period Purchases Sales Proceeds Dividend Income Realized Gain (loss) Change in Unrealized appreciation (depreciation) Value, end of period 
Fidelity Contrafund $10,911,353 $187,335 $723,721 $104,365 $(19,017) $1,479,845 $11,835,795 
Fidelity Diversified International Fund 13,422,645 1,476,471 1,480,235 -- (162,256) 1,669,531 14,926,156 
Fidelity Emerging Asia Fund 802,584 330,878 18,162 -- (778) 147,962 1,262,484 
Fidelity Emerging Markets Discovery Fund 609,850 579,085 32,069 -- (1,108) 79,443 1,235,201 
Fidelity Emerging Markets Fund 1,039,125 2,432,586 267,683 -- 38,433 233,340 3,475,801 
Fidelity Equity-Income Fund 11,348,316 201,688 723,725 118,716 (37,769) 1,273,916 12,062,426 
Fidelity Europe Fund 5,316,539 559,321 537,592 -- (74,275) 645,920 5,909,913 
Fidelity Floating Rate High Income Fund 5,385,696 106,585 128,694 69,520 (439) 152,562 5,515,710 
Fidelity Global Commodity Stock Fund 4,842,808 37,072 128,693 -- (2,031) 536,253 5,285,409 
Fidelity Inflation-Protected Bond Index Fund 15,483,207 102,249 5,176,858 11,724 (120,767) 472,881 10,760,712 
Fidelity International Capital Appreciation Fund 3,180,337 344,686 289,594 -- (28,220) 498,835 3,706,044 
Fidelity International Discovery Fund 10,872,288 1,213,977 889,710 -- (83,035) 1,384,703 12,498,223 
Fidelity International Enhanced Index Fund 10,296,585 1,139,010 1023,319 -- (65,468) 1,028,287 11,375,095 
Fidelity International Small Cap Fund 4,942,145 820,417 150,113 -- 1,673 463,118 6,077,240 
Fidelity International Small Cap Opportunities Fund 4,959,991 306,992 137,391 -- 3,312 544,982 5,677,886 
Fidelity International Value Fund 7,036,441 833,484 167,423 -- (1,903) 577,960 8,278,559 
Fidelity Investments Money Market Government Portfolio Institutional Class 2.35% 166,257 955 -- 955 -- -- 167,212 
Fidelity Japan Fund 14,509,068 55,897 10,471,558 -- (388,693) 1,280,279 4,984,993 
Fidelity Japan Smaller Companies Fund 9,348,619 -- -- -- -- 666,877 10,015,496 
Fidelity Large Cap Value Enhanced Index Fund 7,155,153 28,647 435,017 -- (34,443) 805,268 7,519,608 
Fidelity Long Term Treasury Bond Index Fund 10,936,994 137,666 3,356,698 67,603 (86,786) 381,976 8,013,152 
Fidelity Low-Priced Stock Fund 10,584,251 82,946 723,697 -- (54,062) 1,149,007 11,038,445 
Fidelity Mega Cap Stock Fund 16,584,723 124,338 1,084,393 -- (108,979) 2,158,562 17,674,251 
Fidelity New Markets Income Fund -- 2,577,577 60,674 26,093 634 70,183 2,587,720 
Fidelity Overseas Fund 42,739,512 9,055,754 1,211,729 -- 24,359 5,159,509 55,767,405 
Fidelity Pacific Basin Fund 2,802,500 299,230 251,657 -- (56,408) 443,183 3,236,848 
Fidelity Real Estate Investment Portfolio 2,044,945 15,715 101,403 1,027 (1,757) 314,778 2,272,278 
Fidelity Stock Selector All Cap Fund 228,842,766 1,744,635 23,973,162 521 (1,625,173) 34,733,976 239,723,042 
Fidelity U.S. Bond Index Fund 27,100,800 19,763,372 996,521 291,022 2,896 992,695 46,863,242 
Fidelity Value Discovery Fund 5,545,150 41,393 361,697 -- (11,506) 547,618 5,760,958 
Total $488,810,648 $44,599,961 $54,903,188 $691,546 $(2,893,566) $59,893,449 $535,507,304 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Investment Valuation

Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. The Fund uses third party pricing vendors approved by the Board of Trustees (the Board) to value its investments. Security transactions are accounted for as of trade date. The Board has delegated the day to day responsibility for the valuation of the Fund's investments to the Fair Value Committee (the Committee) established by the Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, the Fund attempts to obtain prices from one or more third party pricing vendors or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with procedures adopted by the Board. Factors used in determining fair value vary by investment type and may include market or investment specific events, changes in interest rates and credit quality. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees the Fund’s valuation policies and procedures and reports to the Board on the Committee's activities and fair value determinations. The Board monitors the appropriateness of the procedures used in valuing the Fund's investments and ratifies the fair value determinations of the Committee. The Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels: Level 1 - quoted prices in active markets for identical investments: Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds etc.): Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available). Valuation techniques used to value the Fund's investments by major category are as follows:

Investments in the Underlying Funds are valued at their closing net asset value each business day and are categorized as Level 1 in the hierarchy.

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. U.S. government and government agency obligations are valued by pricing vendors who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type as well as broker-supplied prices.

When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy.

For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.





The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.

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