Exhibit g(10)
FORM OF
APPENDIX "A"
TO
CUSTODIAN AGREEMENT
BETWEEN
The Chase Manhattan Bank and each of the following Investment
Companies
Dated as of ______
The following is a list of the Funds and their respective Portfolios
for which the Custodian shall serve under a Custodian Agreement dated
as of _______:
<TABLE>
<CAPTION>
<S> <C> <C>
FUND PORTFOLIO EFFECTIVE AS OF:
Fidelity Advisor Series I Fidelity Advisor Balanced Fund August 1, 1994
Fidelity Advisor Equity August 1, 1994
Growth Fund
Fidelity Advisor Equity August 1, 1994
Income Fund
Fidelity Advisor Growth & November 14, 1996
Income Fund
Fidelity Advisor TechnoQuant November 14, 1996
Growth Fund
Fidelity Advisor Series II
Fidelity Advisor Series III
Fidelity Advisor Series VII Fidelity Advisor Consumer July 18, 1996
Industries Fund
Fidelity Advisor Cyclical July 18, 1996
Industries Fund
Fidelity Advisor Financial July 18, 1996
Services Fund
Fidelity Advisor Health Care July 18, 1996
Fund
Fidelity Advisor Technology July 18, 1996
Fund
Fidelity Advisor Utilities July 18, 1996
Growth Fund
Fidelity Advisor Series VIII Fidelity Advisor Emerging August 1, 1994
Markets Income Fund
Fidelity Advisor Overseas Fund August 1, 1994
Fidelity Beacon Street Trust Fidelity Managed Currency Fund August 1, 1994
Fidelity Capital Trust Fidelity TechnoQuant Growth October 17, 1996
Fund
Fidelity Charles Street Trust Fidelity Asset Manager August 1, 1994
Fidelity Asset Manager: Growth August 1, 1994
Fidelity Asset Manager: September 22, 1999
Aggressive
Fidelity Asset Manager: Income August 1, 1994
Fidelity Commonwealth Trust Fidelity Mid-Cap Stock Fund* August 1, 1994
Fidelity Deutsche Mark Fidelity Deutsche Mark August 1, 1994
Performance Performance Portfolio, L.P.
Portfolio, L.P.
Fidelity Devonshire Trust Fidelity Equity-Income Fund August 1, 1994
Fidelity Financial Trust Fidelity Equity-Income II Fund August 1, 1994
Fidelity Hastings Street Trust Fidelity Fund August 1, 1994
Fidelity Growth & Income II March 25, 1998
Portfolio
Fidelity Investment Trust Fidelity Diversified Global August 1, 1994
Fund
Fidelity Diversified August 1, 1994
International Fund
Fidelity Emerging Markets Fund August 1, 1994
Fidelity Europe Capital August 1, 1994
Appreciation Fund
Fidelity Europe Fund August 1, 1994
Fidelity International Growth August 1, 1994
& Income Fund
Fidelity Aggressive August 1, 1994
International Fund *
Fidelity Japan Fund August 1, 1994
Fidelity Overseas Fund August 1, 1994
Fidelity Pacific Basin Fund August 1, 1994
Fidelity Southeast Asia Fund August 1, 1994
Fidelity Worldwide Fund August 1, 1994
Fidelity Mt. Vernon Street Fidelity New Millennium Fund August 1, 1994
Trust
Fidelity Puritan Trust Fidelity Puritan Fund August 1, 1994
Fidelity Revere Street Trust Taxable Central Cash Fund October 17, 1996
Central Cash Collateral Fund June 22, 1999
Fidelity School Street Trust Fidelity International Bond August 1, 1994
Fund
Fidelity New Markets Income August 1, 1994
Fund
Fidelity Securities Fund Fidelity Growth & Income August 1, 1994
Portfolio
Fidelity Sterling Performance Fidelity Sterling Performance August 1, 1994
Portfolio, L.P.
Portfolio, L.P.
Fidelity Trend Fund Fidelity Trend Fund August 1, 1994
Fidelity Union Street Trust Fidelity Export and August 1, 1994
Multinational Fund
Fidelity Yen Performance Fidelity Yen Performance August 1, 1994
Portfolio, L.P.
Portfolio, L.P.
Variable Insurance Products Equity-Income Portfolio August 1, 1994
Fund
Overseas Portfolio August 1, 1994
Variable Insurance Products Asset Manager Portfolio August 1, 1994
Fund II
Asset Manager: Growth Portfolio August 1, 1994
Variable Insurance Products Balanced Portfolio August 1, 1994
Fund III
Growth & Income Portfolio December 19, 1996
</TABLE>
*Fidelity Investment Trust: Fidelity International Value Fund changed
its name to Fidelity Aggressive International Fund effective
February 11, 2000.
IN WITNESS WHEREOF, each of the parties hereto has caused this
Appendix to be executed in its name and behalf as of the day and year
first set forth opposite each such Portfolio.
Each of the Investment The Chase Manhattan Bank
Companies
Listed on this Appendix "A",
on behalf
of each of their respective
Portfolios
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