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Trending ETFs

Name

As of 06/01/2026

Price

Aum/Mkt Cap

YIELD

Annualized forward dividend yield. Multiplies the most recent dividend payout amount by its frequency and divides by the previous close price.

Exp Ratio

Expense ratio is the fund’s total annual operating expenses, including management fees, distribution fees, and other expenses, expressed as a percentage of average net assets.

Watchlist

$22.34

$1.66 B

1.50%

$0.34

1.51%

Vitals

YTD Return

5.0%

1 yr return

15.6%

3 Yr Avg Return

12.7%

5 Yr Avg Return

4.4%

Net Assets

$1.66 B

Holdings in Top 10

23.8%

52 WEEK LOW AND HIGH

$22.7
N/A
N/A

Expenses

OPERATING FEES

Expense Ratio 1.51%

SALES FEES

Front Load 3.50%

Deferred Load N/A

TRADING FEES

Turnover 21.00%

Redemption Fee N/A


Min Investment

Standard (Taxable)

$0

IRA

N/A


Fund Classification

Fund Type

Open End Mutual Fund


Name

As of 06/01/2026

Price

Aum/Mkt Cap

YIELD

Annualized forward dividend yield. Multiplies the most recent dividend payout amount by its frequency and divides by the previous close price.

Exp Ratio

Expense ratio is the fund’s total annual operating expenses, including management fees, distribution fees, and other expenses, expressed as a percentage of average net assets.

Watchlist

$22.34

$1.66 B

1.50%

$0.34

1.51%

FOPTX - Profile

Distributions

  • YTD Total Return 5.0%
  • 3 Yr Annualized Total Return 12.7%
  • 5 Yr Annualized Total Return 4.4%
  • Capital Gain Distribution Frequency Annually
  • Net Income Ratio -0.50%
DIVIDENDS
  • Dividend Yield 1.5%
  • Dividend Distribution Frequency Annual

Fund Details

  • Legal Name
    Fidelity International Small Cap Opportunities Fund
  • Fund Family Name
    Fidelity Group of Funds
  • Inception Date
    Aug 09, 2005
  • Shares Outstanding
    N/A
  • Share Class
    M
  • Currency
    USD
  • Domiciled Country
    US
  • Manager
    Jed Weiss

Fund Description

Normally investing primarily in non-U.S. securities, including securities of issuers located in emerging markets. The Adviser considers non-U.S. securities to include investments that are tied economically to a particular country or region outside the U.S. Emerging markets include countries that have an emerging stock market as defined by MSCI, countries or markets with low- to middle-income economies as classified by the World Bank, and other countries or markets that the Adviser identifies as having similar emerging markets characteristics. The Adviser considers a number of factors to determine whether an issuer is located in or tied economically to a particular country or region including: whether a third-party vendor has assigned a particular country or region classification to the issuer or included the issuer in an index representative of a particular country or region; the issuer's domicile, incorporation, and location of assets; whether the issuer derives at least 50% of its revenues from, or has at least 50% of its assets in, a particular country or region; the source of government guarantees (if any); and the primary trading market or listing exchange. Whether an issuer is located in or tied economically to a particular country can be determined under any of these factors. Normally investing at least 80% of assets in securities of companies with small market capitalizations . The Adviser generally defines small market capitalization companies as those whose market capitalization is similar to the market capitalization of companies in the MSCI EAFE Small Cap Index or the MSCI ACWI ex USA Small Cap Index . Derivative instruments that provide investment exposure to the investments above or exposure to one or more market risk factors associated with such investments are included in the fund's 80% policy, consistent with the fund's investment policies and limitations with respect to investments in derivatives. Normally investing primarily in common stocks. Allocating investments across different countries and regions. Using fundamental analysis of factors such as each issuer's financial condition and industry position, as well as market and economic conditions, to select investments.
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FOPTX - Performance

Return Ranking - Trailing

Period FOPTX Return Category Return Low Category Return High Rank in Category (%)
YTD 5.0% -10.0% 43.7% 84.85%
1 Yr 15.6% -18.8% 101.7% 53.54%
3 Yr 12.7%* 1.2% 41.4% 43.43%
5 Yr 4.4%* -8.4% 6.9% 15.96%
10 Yr 8.6%* 2.5% 12.6% 19.05%

* Annualized

Return Ranking - Calendar

Period FOPTX Return Category Return Low Category Return High Rank in Category (%)
2025 11.0% -39.9% 38.3% 65.66%
2024 -2.2% -16.9% 20.0% 53.54%
2023 12.5% -16.8% 28.8% 27.27%
2022 -33.6% -46.4% -21.4% 74.74%
2021 7.1% -30.6% 16.4% 13.98%

Total Return Ranking - Trailing

Period FOPTX Return Category Return Low Category Return High Rank in Category (%)
YTD 5.0% -10.0% 43.7% 84.85%
1 Yr 15.6% -18.8% 101.7% 53.54%
3 Yr 12.7%* 1.2% 41.4% 43.43%
5 Yr 4.4%* -8.4% 6.9% 15.96%
10 Yr 8.6%* 2.5% 12.6% 19.05%

* Annualized

Total Return Ranking - Calendar

Period FOPTX Return Category Return Low Category Return High Rank in Category (%)
2025 24.4% -2.3% 43.3% 42.42%
2024 3.6% -12.3% 20.2% 25.25%
2023 16.4% -16.5% 30.7% 22.22%
2022 -29.4% -46.4% -18.5% 52.63%
2021 17.2% -30.6% 24.7% 12.90%

NAV & Total Return History


FOPTX - Holdings

Concentration Analysis

FOPTX Category Low Category High FOPTX % Rank
Net Assets 1.66 B 25.2 K 7.7 B 27.27%
Number of Holdings 188 37 1318 21.21%
Net Assets in Top 10 387 M 2.74 M 1.02 B 29.29%
Weighting of Top 10 23.81% 10.6% 58.6% 47.47%

Top 10 Holdings

  1. INTERPUMP GROUP SPA 3.02%
  2. LAGERCRANTZ GROUP AB CL B 2.70%
  3. ADDTECH AB CL B 2.58%
  4. GAMES WORKSHOP GROUP CO PLC 2.55%
  5. KBC ANCORA 2.46%
  6. BE SEMICOND INDUS NV (NETH) 2.31%
  7. Fidelity Cash Central Fund 2.13%
  8. AZBIL CORPORATION 2.11%
  9. HOWDEN JOINERY GROUP PLC 2.09%
  10. INTERCONTINENTAL HL GR PLC ADR 1.87%

Asset Allocation

Weighting Return Low Return High FOPTX % Rank
Stocks
97.91% 91.82% 102.22% 44.44%
Cash
3.61% 0.00% 10.61% 17.17%
Preferred Stocks
0.00% 0.00% 2.41% 75.76%
Other
0.00% 0.00% 4.81% 72.73%
Convertible Bonds
0.00% 0.00% 0.00% 66.67%
Bonds
0.00% 0.00% 5.72% 68.69%

Stock Sector Breakdown

Weighting Return Low Return High FOPTX % Rank
Industrials
32.19% 0.00% 40.13% 18.18%
Technology
19.63% 6.70% 34.51% 43.43%
Healthcare
15.85% 1.74% 29.97% 33.33%
Consumer Cyclical
10.62% 1.31% 28.28% 67.68%
Communication Services
5.28% 1.81% 23.23% 49.49%
Consumer Defense
4.52% 1.61% 17.90% 67.68%
Real Estate
3.90% 0.00% 10.74% 44.44%
Financial Services
3.74% 1.92% 22.28% 92.93%
Basic Materials
3.73% 0.00% 18.70% 72.73%
Energy
0.51% 0.00% 9.29% 72.73%
Utilities
0.02% 0.00% 5.12% 59.60%

Stock Geographic Breakdown

Weighting Return Low Return High FOPTX % Rank
Non US
91.19% 41.84% 99.49% 68.69%
US
6.73% 0.00% 57.27% 30.30%

FOPTX - Expenses

Operational Fees

FOPTX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Expense Ratio 1.51% 0.01% 4.84% 35.35%
Management Fee 0.96% 0.00% 1.50% 61.62%
12b-1 Fee 0.50% 0.00% 1.00% 75.00%
Administrative Fee N/A 0.05% 0.15% N/A

Sales Fees

FOPTX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Front Load 3.50% 3.50% 5.75% 100.00%
Deferred Load N/A 1.00% 4.00% N/A

Trading Fees

FOPTX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Max Redemption Fee N/A 2.00% 2.00% 63.83%

Related Fees

Turnover provides investors a proxy for the trading fees incurred by mutual fund managers who frequently adjust position allocations. Higher turnover means higher trading fees.

FOPTX Fees (% of AUM) Category Return Low Category Return High Rank in Category (%)
Turnover 21.00% 8.00% 236.00% 28.57%

FOPTX - Distributions

Dividend Yield Analysis

FOPTX Category Low Category High FOPTX % Rank
Dividend Yield 1.50% 0.00% 5.44% 10.10%

Dividend Distribution Analysis

FOPTX Category Low Category High Category Mod
Dividend Distribution Frequency Annual Annual SemiAnnual Annual

Net Income Ratio Analysis

FOPTX Category Low Category High FOPTX % Rank
Net Income Ratio -0.50% -1.30% 1.51% 87.23%

Capital Gain Distribution Analysis

FOPTX Category Low Category High Capital Mode
Capital Gain Distribution Frequency Annually Annually Quarterly Annually

Distributions History

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FOPTX - Fund Manager Analysis

Managers

Jed Weiss


Start Date

Tenure

Tenure Rank

Dec 17, 2008

13.46

13.5%

Jed Weiss is a portfolio manager in the Equity division at Fidelity Investments. Fidelity Investments is a leading provider of investment management, retirement planning, portfolio guidance, brokerage, benefits outsourcing, and other financial products and services to institutions, financial intermediaries, and individuals. Since joining Fidelity Investments in 1997, Mr. Weiss has worked as a research analyst and portfolio manager.

Tenure Analysis

Category Low Category High Category Average Category Mode
0.17 28.52 6.23 0.17