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Holdings disclosed 2026-01-31. They may not reflect current positioning.

FEMKX

mutual fund

Fidelity Emerging Markets

SEC registrant · equity

Delayed · holdings 2026-01-31
1

Fund snapshot

The basics: what it costs, how big it is, and how it's moved lately.

Short-term · Daily
Expense ratio
0.86% (86 bps)
Net assets
$11.48B
Yield
0.04%
Positions
85
Return · 1 yr
+45.4%
Return · 3 yr
+21.9%
+5.6%this week

+5.1% vs the broad market

2

What you actually own

The biggest positions, and where the money is concentrated.

Intermediate · Weekly

Asset mix

85 positions across 3 asset types
Common Stock98.4%
Cash0.9%
Preferred0.7%

Top holdings

Top 10 = 50% of the fund
  • 1TW0002330008TAIWAN SEMICONDUCTOR MFG CO LTD17.24%
  • 2KYG875721634TENCENT HLDGS LTD7.30%
  • 3KR7000660001SK HYNIX INC5.41%
  • 4KR7005930003SAMSUNG ELECTRONICS CO LTD5.21%
  • 5BABAALIBABA GROUP HOLDING LTD4.05%
  • 6NVDANVIDIA CORP2.96%
  • 7CNE000001KM8SIEYUAN ELECTRIC CO LTD A2.60%
  • 8ID1000109507BANK CENTRAL ASIA TBK PT1.85%
  • 9HDBHDFC BANK LTD1.83%
  • 10CNE100003662CONTEMPORARY AMPEREX TECHNOLOGY CO LTD1.80%
Show all 85 positions
  • 11ZAE000351946NASPERS LTD1.72%
  • 12KYG6683N1034NU HOLDINGS LTD/CAYMAN ISLANDS1.52%
  • 13SA0007879113AL RAJHI BANK1.32%
  • 14FR0011726835GAZTRANSPORT ET TECHNIGAZ SA1.31%
  • 15INE002A01018RELIANCE INDUSTRIES LTD1.24%
  • 16AEA000201011ABU DHABI COMMERCIAL BANK1.21%
  • 17INE296A01032BAJAJ FINANCE LTD1.19%
  • 18INE758T01015ETERNAL LTD1.16%
  • 19KYG549581067HANSOH PHARMACEUTICAL GROUP CO LTD1.10%
  • 20TW0005274005ASPEED TECHNOLOGY INC1.07%
  • 21CNE100000296BYD CO LTD1.02%
  • 22INE466L01038360 ONE WAM LTD1.00%
  • 23CA13321L1085CAMECO CORP1.00%
  • 24TMETENCENT MUSIC ENTERTAINMENT GROUP0.97%
  • 25INE397D01024BHARTI AIRTEL LTD0.96%
  • 26CNE100000B24ZIJIN MINING GROUP CO LIMITED0.96%
  • 27BRBPACUNT006BANCO BTG PACTUAL SA0.95%
  • 28SNPSSYNOPSYS INC0.92%
  • 29PLPKO0000016POWSZECHNA KASA OSZCZ BK SA0.92%
  • 30KR7207940008SAMSUNG BIOLOGICS CO LTD0.92%
  • 31INE066F01020HINDUSTAN AERONAUTICS LTD0.92%
  • 32US48581R2058KASPI/KZ JSC0.85%
  • 33GB0000456144ANTOFAGASTA PLC0.83%
  • 34TRAASELS91H2ASELSAN AS0.82%
  • 35VGG0896C1032BBB FOODS INC0.81%
  • 36CNE100001SJ6NEWAY VALVE SUZHOU CO LTD0.77%
  • 37AEA007301012ADNOC DRILLING COMPANY PJSC0.77%
  • 38INE018A01030LARSEN and TOUBRO LTD0.75%
  • 39KR7278470000APR CORP/KOREA0.75%
  • 40WBTNWEBTOON ENTERTAINMENT INC0.75%
  • 41BRTOTSACNOR8TOTVS SA0.74%
  • 42KYG014081064AIRTAC INTERNATIONAL GROUP0.73%
  • 43INE027H01010MAX HEALTHCARE INSTITUTE LTD0.72%
  • 44CNE100000TP3LUXSHARE PRECISION INDUSTRY CO LTD0.71%
  • 45MXCFFI170008PROLOGIS PROPERTY MEXICO SA0.70%
  • 46YUMCYUM CHINA HOLDINGS INC0.70%
  • 47INE237A01036KOTAK MAHINDRA BANK LTD0.69%
  • 48CNE100000ML7NAURA TECHNOLOGY GROUP CO LTD0.68%
  • 49BREQTLACNOR0EQUATORIAL ENERGIA SA0.63%
  • 50INE123W01016SBI LIFE INSURANCE CO LTD0.62%
  • 51CNE0000018R8KWEICHOW MOUTAI CO LTD0.61%
  • 52US31635A1051Fidelity Revere Street Trust0.60%
  • 53AEE01195A234ADNOC GAS PLC0.59%
  • 54CNE100002SN6BANK OF CHENGDU CO LTD0.58%
  • 55FR0000052292HERMES INTL SCA0.57%
  • 56NL0012866412BE SEMICONDUCTOR INDUSTRIES NV0.52%
  • 57CNE100004C45APT MEDICAL INC0.51%
  • 58INE596I01020COMPUTER AGE MANAGEMENT SERVICES LTD0.51%
  • 59US7223041028PDD HOLDINGS INC0.50%
  • 60PLDINPL00011DINO POLSKA SA0.48%
  • 61Creditas Financial Solutions Ltd0.46%
  • 62HU0000123096RICHTER GEDEON NYRT0.45%
  • 63GRS533003000OPTIMA BANK SA0.44%
  • 64BNTXBIONTECH SE0.43%
  • 65MELIMERCADOLIBRE INC0.41%
  • 66TW0003529004EMEMORY TECHNOLOGY INC0.40%
  • 67CNE100005576EASTROC BEVERAGE GROUP CO LTD0.39%
  • 68GRS419003009OPAP SA0.39%
  • 69MX01CH170002GRUPO COMERCIAL CHEDRAUI SA DE CV0.37%
  • 70REVOLUT GROUP HOLDINGS LTD0.36%
  • 71LU2237380790ALLEGRO.EU0.36%
  • 72PONYPONY AI INC0.35%
  • 73IT0004764699BRUNELLO CUCINELLI SPA0.31%
  • 74TW0003293007INTERNATIONAL GAMES SYSTEM CO LTD0.30%
  • 75KYG2524A1031CONSUN PHARMACEUTICAL GROUP LTD0.28%
  • 76US31635A3032Fidelity Revere Street Trust0.28%
  • 77AEE01200P230PRESIGHT AI HOLDING PLC0.25%
  • 78DOUYIN CO LTD0.22%
  • 79SE0016128151VEF AB0.17%
  • 80LENSKART SOLUTIONS LTD0.16%
  • 81TW0006409006VOLTRONIC POWER TECHNOLOGY CORP0.03%
  • 82INE956O01016LENSKART SOLUTIONS LTD0.01%
  • 83INE0VDM01015MEESHO0.01%
  • 84MEESHO0.01%
  • 85RU0009029540SBERBANK OF RUSSIA PJSC0.00%

Sector mix

Sector breakdown isn't available for this fund.

More breakdowns

Country

TW19.0%
KY17.3%
KR12.3%
IN11.8%
CN10.9%
US6.6%
3

What could move this fund

The forces this fund tends to react to: broad economic shifts, leading sectors, and its biggest single names.

Long-term · 1–3 yr

Most of this fund's holdings are outside the companies we track closely, so rolled-up signals aren't available for it.

4

Concentration & overlap

How spread out the fund is, and how much it shares with other funds.

Intermediate · Weekly

Concentration

moderately concentrated

The top 10 holdings make up 50% of the fund, and the single largest is 17.2%.

Show details

Concentration score (HHI): 492. Higher means more of the fund sits in fewer holdings.

Overlap with another fund

Pick a fund to see how many of the same holdings they share.

Overlap with the broad market

  • AGIX4% shared · 2 names
  • DIA3% shared · 1 names
  • FBALX3% shared · 3 names
  • FBGRX3% shared · 2 names
  • FCNTX3% shared · 3 names
  • FCTDX3% shared · 3 names
  • FGOMX2% shared · 10 names
  • FSELX3% shared · 1 names
  • FUSIX0% shared · 2 names
  • FXAIX3% shared · 2 names
  • FXNAX0% shared · 3 names
  • HUMN5% shared · 2 names
  • IVV3% shared · 2 names
  • IWM0% shared · 1 names
  • MAGS3% shared · 1 names
  • QQQ4% shared · 3 names
  • SMH4% shared · 2 names
  • SOXX3% shared · 1 names
  • SPY3% shared · 2 names
  • VFIAX3% shared · 2 names
  • VOO3% shared · 2 names
  • VTI3% shared · 2 names
  • VTSAX3% shared · 2 names
  • XLK4% shared · 2 names
  • XOVR3% shared · 1 names
5

Insight summary

A clear read on this fund, written from the data above.

Long-term · 1–3 yr

Fidelity Emerging Markets has 85 holdings and is moderately concentrated in its top 10, which make up 50.3% of the fund.

The fund primarily invests in common stocks, which make up 98.4% of its assets. It has a significant exposure to Taiwan (19%), the Cayman Islands (17.3%), and South Korea (12.3%). The data is as of January 31, 2026, and is considered delayed by 133 days.

What to watch: Watch for changes in emerging market conditions and sector performance, as these could impact the fund's value.

6

Data freshness

How current the numbers on this page are.

Short-term · Daily

Holdings disclosed 2026-01-31. They may not reflect current positioning.

Holdings as of 2026-01-31 · Prices as of 2026-06-12 · 133 day(s) since last disclosure

Not investment advice. Scores describe historical and current data; they are not forecasts of future returns. Consult a licensed advisor before making investment decisions.