FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
I.BD-DESPRO-STK-96-01 June 21, 1996
I.BD-DESPRO-STK-96-01 June 21, 1996
FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
I.BD-DESPRO-STK-96-01 June 21, 1996
I.BD-DESPRO-STK-96-01 June 21, 1996
FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
FIDELITY DESTINY PORTFOLIOS:
DESTINY I AND DESTINY II
SUPPLEMENT TO THE PROSPECTUS
DATED NOVEMBER 29, 1995
On January 18, 1996, the Board of Trustees of the Destiny
Portfolios voted to split the shares of Destiny II 3-for-1
effective following the close of business on Friday, June
21, 1996. After that date, the net asset value (NAV) per
share will be approximately one-third of the previous
NAV.
I.BD-DESPRO-STK-96-01 June 21, 1996
I.BD-DESPRO-STK-96-01 June 21, 1996