1 F FIOOX Fidelity Series Large Cap Value Index Fund 9.69% 9.7% 22,654,171 $421.37M - - 2 F FSBDX Fidelity Series Blue Chip Growth Fund 7.93% 17.6% 16,108,867 $344.57M - - 3 F FEMSX Fidelity Series Emerging Markets Opportunities Fund 7.01% 24.6% 11,722,540 $304.67M - - 4 DebtFidelity Series Government Bond Index Fund 6.85% 31.5% 32,578,682 $297.77M - - 5 DebtFidelity Series 5+ Year Inflation-Protected Bond Index Fund 6.46% 37.9% 37,031,735 $280.70M - - 6 DebtFidelity Series Investment Grade Bond Fund 6.33% 44.3% 27,230,074 $275.30M - - 7 F FHOFX Fidelity Series Large Cap Growth Index Fund 5.04% 49.3% 8,143,024 $219.13M - - 8 DebtFidelity Series International Developed Markets Bond Index Fund 4.87% 54.2% 25,000,521 $211.75M - - 9 F FGLGX Fidelity Series Large Cap Stock Fund 4.85% 59.0% 8,032,941 $210.95M - - 10 F FINVX Fidelity Series International Value Fund 4.40% 63.4% 12,095,377 $191.11M - - 11 F FSOSX Fidelity Series Overseas Fund 4.33% 67.8% 12,953,606 $188.35M - - 12 F FIGSX Fidelity Series International Growth Fund 4.28% 72.0% 9,923,971 $185.88M - - 13 DebtFidelity Series Corporate Bond Fund 4.11% 76.1% 19,112,125 $178.51M - - 14 F FHPFX Fidelity Series Investment Grade Securitized Fund 3.85% 80.0% 18,424,816 $167.48M - - 15 F FNKLX Fidelity Series Value Discovery Fund 3.48% 83.5% 8,998,810 $151.36M - - 16 DebtFidelity Series Long-Term Treasury Bond Index Fund 3.43% 86.9% 27,947,700 $148.96M - - 17 F FCNSX Fidelity Series Canada Fund 2.90% 89.8% 6,188,516 $126.12M - - 18 F FSSLX Fidelity Series Small Cap Core Fund 1.86% 91.7% 5,820,022 $80.78M - - 19 F FHKFX Fidelity Series Emerging Marke 1.76% 93.4% 6,080,648 $76.68M - - 20 F FHLFX Fidelity Series International Index Fund 1.69% 95.1% 4,811,756 $73.43M - - 21 F FSTSX Series International Small Cap 0.96% 96.1% 2,386,559 $41.72M - - 22 F FSOPX Fidelity Series Small Cap Opportunities Fund 0.94% 97.0% 2,413,592 $40.98M - - 23 F FCSSX Fidelity Series Commodity Strategy Fund 0.74% 97.8% 287,903 $32.29M - - 24 F FEDCX Fidelity Series Emerging Markets Debt Fund 0.51% 98.3% 2,655,996 $22.23M - - 25 F FSHNX Fidelity Series High Income Fund 0.51% 98.8% 2,522,683 $22.20M - - 26 DebtFidelity Series 0-5 Year Inflation-Protected Bond Index Fund 0.33% 99.1% 1,426,062 $14.18M - - 27 F FTBFX Fidelity Cash Central FundFinancials · Diversified Financial Services 0.24% 99.3% 10,527,732 $10.53M Financials Diversified Financial Services 28 F FSEDX Fidelity Series Emerging Markets Debt Local Currency Fund 0.14% 99.5% 649,574 $6.05M - - 29 F FSREX Fidelity Series Real Estate Income Fund 0.09% 99.6% 399,276 $4.00M - - 30 F FFHCX Fidelity Series Floating Rate High Income Fund 0.09% 99.7% 435,444 $3.77M - - 31 —Fidelity Series Select International Small Cap Fund 0.08% 99.8% 245,676 $3.49M - - 32 DebtCAISSE AMORTISSEMENT DE LA DETTE S MTN RegS 3.25% May 25, 2033 0.08% 99.8% - $3.50M - - 33 DebtTreasury Bill 0% Apr 30, 2026 0.05% 99.9% - $2.16M - - 34 DebtKipp Miami Revenue Bonds 0.03% 99.9% -155 $1.40M - - 35 —Us T Bill Zcp 04/16/26Financials · Diversified Financial Services 0.02% 99.9% - $698.9K Financials Diversified Financial Services 36 DebtTreasury Bill 0% May 28, 2026 0.02% 99.9% - $874.9K - - 37 DebtTreasury Bill 0% Jun 18, 2026 0.02% 100.0% - $684.6K - - 38 DebtTreasury BillFinancials · Diversified Financial Services 0.01% 100.0% - $258.9K Financials Diversified Financial Services 39 DebtTreasury Bill 0% Apr 02, 2026 0.01% 100.0% - $639.9K - - 40 DebtU.S. Treasury Bills 0 2026-04-09 0.01% 100.0% - $289.8K - - 41 DebtTreasury Bill 0% May 07, 2026 0.01% 100.0% - $388.6K - - 42 DebtTreasury Bill Jun 04, 2026 0.01% 100.0% - $347.8K - - 43 DebtU.S. Treasury Bill 3.496000% 06/25/2026 0.01% 100.0% - $238.0K - - 44 DebtTreasury Bill Jun 11, 2026Financials · Diversified Financial Services 0.00% 100.0% - $59.6K Financials Diversified Financial Services 45 —Msci Eafe Fut Jun26 Mfsm6 0.00% 100.0% 91 $190.0K - - 46 —Japan (20 Year Issue) Bonds 03/45 2.4 0.00% 100.0% -235 $-131688 - - 47 DebtUs Long Bond(Cbt) Fut Jun26 Usm6 -0.01% 100.0% 93 $-341925 - - 48 C CWK Cushman & Wakefield Us Borrower Llc 01/31/2030 -0.07% 100.0% 1,447 $-3247992 - -