FIDELITY INVESTMENT TRUST
497, 1994-08-03
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FIDELITY'S INTERNATIONAL EQUITY FUNDS
FUNDS OF FIDELITY INVESTMENT TRUST
SUPPLEMENT TO THE STATEMENT OF ADDITIONAL INFORMATION
DATED FEBRUARY 28, 1994
 
   MANAGEMENT CONTRACT.  Effective August 1, 1994, FMR agreed to
voluntarily adopt the revised group fee rate schedule shown below for
purposes of calculating the group fee component of the management fee.  The
revised schedule provides for lower management fees as total assets under
management increase, and it will be presented to shareholders for approval
at the next shareholder meeting.    
   The following information replaces the "Group Fee Rate" and "Effective
Annual Fee Rate" schedules found on page 49.    
 GROUP FEE RATE SCHEDULE     EFFECTIVE ANNUAL FEE RATES    
 
<TABLE>
<CAPTION>
<S>                       <C>           <C>              <C>                    
     Average Group        Annualized    Group Net        Effective Annual Fee   
 Assets                    Rate          Assets          Rate                   
 
0 - $  3 billion          .520%          $ 0.5 billion   .5200%                 
 
3 -    6                  .490            25             .4238                  
 
6 -    9                  .460            50             .3823                  
 
9 -    12                 .430            75             .3626                  
 
12 -   15                 .400           100             .3512                  
 
15 -   18                 .385           125             .3430                  
 
18 -   21                 .370           150             .3371                  
 
21 -   24                 .360           175             .3325                  
 
24 -   30                 .350           200             .3284                  
 
30 -   36                 .345           225             .3249                  
 
36 -   42                 .340           250             .3219                  
 
42 -   48                 .335           275             .3190                  
 
48 -   66                 .325           300             .3163                  
 
66 -   84                 .320           325             .3137                  
 
84 -   102                .315           350             .3113                  
 
102 -   138               .310              375             .3090               
 
138 -   174               .305              400             .3067               
 
   174 -   210               .300                                               
 
   210 -   246               .295                                               
 
   246 -   282               .290                                               
 
   282 -   318               .285                                               
 
   318 -   354               .280                                               
 
   354 -   390               .275                                               
 
           Over 390          .270                                               
 
</TABLE>
 
The following information supplements that found on page 52.
FMR entered into sub-advisory agreements with FIJ with respect to Japan
Fund on July 16, 1992 and Southeast Asia Fund on March 18, 1993.
   INTB-94-5                                          (Page 1 of 2) August
1994    
The financial statements and financial highlights for Fidelity Europe
Capital Appreciation Fund from the unaudited Semi-Annual Report for the
period December 21, 1993 (commencement of operations) to April 30, 1994 are
incorporated herein by reference.
The following information replaces example 8 found in the section entitled
"Additional Purchase and Redemption Information" beginning on page 44.
(8) if you are a current or former Trustee or officer of a Fidelity fund or
a current or retired officer, director, or regular employee of FMR Corp. or
its direct or indirect subsidiaries (a Fidelity Trustee or employee), the
spouse of a Fidelity Trustee or employee, a Fidelity Trustee or employee
acting as custodian for a minor child, or a person acting as trustee of a
trust for the sole benefit of the minor child of a Fidelity Trustee or
employee;
The following information supplements that found in the section entitled
"Additional Purchase and Redemption Information" beginning on page 44.
(11) if you are a registered investment adviser (RIA) purchasing for your
discretionary accounts, provided you execute a Fidelity RIA load waiver
agreement which specifies certain aggregate minimum and operating
provisions.  This waiver is available only for shares purchased directly
from Fidelity, without a broker, unless purchased through a brokerage firm
which is a correspondent of National Financial Services Corporation (NFSC). 
The waiver is unavailable, however, if the RIA is part of an organization
principally engaged in the brokerage business, unless the brokerage firm in
the organization is an NFSC correspondent; 
(12) if you are a trust institution or bank trust department purchasing for
your non-discretionary, non-retirement fiduciary accounts, provided you
execute a Fidelity Trust load waiver agreement which specifies certain
aggregate minimum and operating provisions.  This waiver is available only
for shares purchased either directly from Fidelity or through a
bank-affiliated broker, and is unavailable if the trust department or
institution is part of an organization not principally engaged in banking
or trust activities; or
(13) to shares purchased as part of a pension or profit-sharing plan as
defined in Section 401(a) of the Internal Revenue Code that maintains all
of its mutual fund assets in Fidelity mutual funds, provided the plan
executes a Fidelity non-prototype sales charge waiver request form
confirming its qualification.
 
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