| Filed | As-Of/On | Form | Fullname | Symbol | Country | Industry | Shares | Activity | Shares Change | Shares Pct. Change | Hypothetical Old Value | Hypothetical New Value | Hypothetical Value Chg. | Hypothetical Return | Hypothetical Results |
Director |
Other |
Ten Pct |
Officer |
Officer Title |
News Article |
History |
|---|
| 2009-05-29 | 2009-03-31 | N-Q | Renaissancere Holdings Ltd | RNR | US | Reinsurance | 86,000 | New Holding | 86,000 | 100 % | $3,936,220 | $4,655,180 | $718,960 | 18.26 % | $718,960 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Renaissancere Holdings Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Industrial And Commercial Bank Of China Asia Ltd | ICBAF.OB | CN | Commer Banks Non-Us | 0 | Sold All | -1,461,000 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Industrial And Commercial Bank Of China Asia Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Pnc Financial Services Group Inc | PNC | US | Super-Regional Banks-Us | 177,600 | New Holding | 177,600 | 100 % | $8,089,680 | $9,739,584 | $1,649,904 | 20.39 % | $1,649,904 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Pnc Financial Services Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cisco Systems Inc | CSCO | US | Networking Products | 325,200 | Sold Some | -183,200 | -36.03 % | $6,016,200 | $7,629,192 | $1,612,992 | 26.81 % | $-908,672 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cisco Systems Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Suncor Energy Inc | SU | US | Oil Comp-Integrated | 54,900 | New Holding | 54,900 | 100 % | $1,944,009 | $1,953,891 | $9,882 | 0.50 % | $9,882 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Suncor Energy Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Morgan Stanley | MS | US | Finance-Invest Bnkr/Brkr | 358,900 | Added More | 294,200 | 454.71 % | $10,881,848 | $11,520,690 | $638,842 | 5.87 % | $523,676 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Morgan Stanley |
| 2009-05-29 | 2009-03-31 | N-Q | Northwest Airlines Corp | NWA | US | Airlines | 0 | Sold All | -959,700 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Northwest Airlines Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Atwood Oceanics Inc | ATW | US | Oil And Gas Drilling | 0 | Sold All | -140,800 | -100 % | - | - | - | 39.79 % | $-1,482,624 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Atwood Oceanics Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Devry Inc | DV | US | Schools | 134,800 | New Holding | 134,800 | 100 % | $5,873,236 | $7,283,244 | $1,410,008 | 24.00 % | $1,410,008 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Devry Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Impala Platinum Holdings Ltd | IMPUF.PK | US | Platinum | 174,000 | Sold Some | -70,600 | -28.86 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Impala Platinum Holdings Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | First Solar Inc | FSLR | US | Energy-Alternate Sources | 44,400 | New Holding | 44,400 | 100 % | $8,448,876 | $5,380,392 | $-3,068,484 | -36.31 % | $-3,068,484 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of First Solar Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Altera Corp | ALTR | US | Electronic Compo-Semicon | 187,000 | New Holding | 187,000 | 100 % | $3,182,740 | $3,865,290 | $682,550 | 21.44 % | $682,550 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Altera Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Cephalon Inc | CEPH | US | Medical-Drugs | 121,800 | New Holding | 121,800 | 100 % | $7,102,158 | $7,260,498 | $158,340 | 2.22 % | $158,340 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cephalon Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Aerovironment Inc | AVAV | US | Aerospace/Defense | 84,800 | New Holding | 84,800 | 100 % | $2,367,616 | $2,387,120 | $19,504 | 0.82 % | $19,504 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Aerovironment Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Biomarin Pharmaceutical Inc | BMRN | US | Therapeutics | 0 | Sold All | -69,800 | -100 % | - | - | - | 21.73 % | $-211,494 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Biomarin Pharmaceutical Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Valero Energy Corp | VLO | US | Oil Refining And Marketing | 0 | Sold All | -189,400 | -100 % | - | - | - | -26.37 % | $1,117,460 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Valero Energy Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Smithfield Foods Inc | SFD | US | Food-Meat Products | 0 | Sold All | -78,700 | -100 % | - | - | - | 30.49 % | $-298,273 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Smithfield Foods Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Simon Property Group Inc | SPG | US | Reits-Regional Malls | 78,300 | New Holding | 78,300 | 100 % | $4,186,701 | $5,681,448 | $1,494,747 | 35.70 % | $1,494,747 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Simon Property Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Walter Industries Inc | WLT | US | Coal | 0 | Sold All | -48,900 | -100 % | - | - | - | 113.93 % | $-1,818,591 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Walter Industries Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cf Industries Holdings Inc | CF | US | Agricultural Chemicals | 0 | Sold All | -93,000 | -100 % | - | - | - | 6.55 % | $-473,370 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cf Industries Holdings Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Baxter International Inc | BAX | US | Medical Products | 159,100 | Added More | 118,400 | 290.90 % | $8,144,329 | $8,643,903 | $499,574 | 6.13 % | $371,776 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Baxter International Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Potash Corp Of Saskatchewan | POT | CA | Agricultural Chemicals | 3,600 | Sold Some | -180,000 | -98.03 % | $417,024 | $412,920 | $-4,104 | -0.98 % | $205,200 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Potash Corp Of Saskatchewan |
| 2009-05-29 | 2009-03-31 | N-Q | Everest Re Group Ltd | RE | BM | Reinsurance | 61,600 | New Holding | 61,600 | 100 % | $4,264,568 | $5,351,192 | $1,086,624 | 25.48 % | $1,086,624 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Everest Re Group Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Rockwood Holdings Inc | ROC | US | Chemicals-Diversified | 93,200 | New Holding | 93,200 | 100 % | $1,390,544 | $2,167,832 | $777,288 | 55.89 % | $777,288 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Rockwood Holdings Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Precision Castparts Corp | PCP | US | Metal Processors And Fabrica | 0 | Sold All | -20,400 | -100 % | - | - | - | 24.98 % | $-420,852 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Precision Castparts Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Mosaic Cothe | MOS | US | Agricultural Chemicals | 146,800 | Sold Some | -379,300 | -72.09 % | $8,029,960 | $8,119,508 | $89,548 | 1.11 % | $-231,373 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Mosaic Cothe |
| 2009-05-29 | 2009-03-31 | N-Q | Newmont Mining Corp | NEM | AU | Gold Mining | 202,700 | Sold Some | -6,800 | -3.24 % | $9,905,949 | $10,593,102 | $687,153 | 6.93 % | $-23,052 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Newmont Mining Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Humana Inc | HUM | US | Medical-Hmo | 148,000 | New Holding | 148,000 | 100 % | $4,636,840 | $5,985,120 | $1,348,280 | 29.07 % | $1,348,280 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Humana Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Bj Services Co | BJS | US | Oil-Field Services | 0 | Sold All | -194,600 | -100 % | - | - | - | 19.56 % | $-595,476 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Bj Services Co |
| 2009-05-29 | 2009-03-31 | N-Q | Bmc Software Inc | BMC | US | Enterprise Software/Serv | 100,400 | New Holding | 100,400 | 100 % | $3,423,640 | $3,880,460 | $456,820 | 13.34 % | $456,820 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Bmc Software Inc |
| 2009-05-29 | 2009-03-31 | N-Q | General Growth Properties Inc | GGP | US | Reits-Regional Malls | 0 | Sold All | -154,600 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of General Growth Properties Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Nortel Networks Corp | NT | US | Telecommunication Equip | 0 | Sold All | -144 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Nortel Networks Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Norfolk Southern Corp | NSC | US | Transport-Rail | 0 | Sold All | -121,700 | -100 % | - | - | - | 38.17 % | $-1,728,140 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Norfolk Southern Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Southwest Airlines Co | LUV | US | Airlines | 0 | Sold All | -239,100 | -100 % | - | - | - | 33.53 % | $-540,366 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Southwest Airlines Co |
| 2009-05-29 | 2009-03-31 | N-Q | Darden Restaurants Inc | DRI | US | Retail-Restaurants | 0 | Sold All | -116,900 | -100 % | - | - | - | -13.07 % | $552,937 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Darden Restaurants Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Covidien Ltd | COV | BM | Medical Products | 244,200 | Added More | 115,200 | 89.30 % | $8,722,824 | $11,147,730 | $2,424,906 | 27.79 % | $1,143,936 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Covidien Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Csx Corp | CSX | US | Transport-Rail | 0 | Sold All | -45,000 | -100 % | - | - | - | 53.08 % | $-758,700 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Csx Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Peabody Energy Corp | BTU | US | Coal | 0 | Sold All | -242,100 | -100 % | - | - | - | 33.57 % | $-2,762,361 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Peabody Energy Corp |
| 2009-05-29 | 2009-03-31 | N-Q | General Dynamics Corp | GD | US | Aerospace/Defense | 0 | Sold All | -30,900 | -100 % | - | - | - | 16.81 % | $-295,713 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of General Dynamics Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Apache Corp | APA | US | Oil Comp-Explor And Prodtn | 43,200 | Added More | 8,300 | 23.78 % | $3,640,032 | $4,167,504 | $527,472 | 14.49 % | $101,343 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Apache Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Eog Resources Inc | EOG | US | Oil Comp-Explor And Prodtn | 49,500 | Sold Some | -42,400 | -46.13 % | $3,622,905 | $4,280,265 | $657,360 | 18.14 % | $-563,072 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Eog Resources Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Nucor Corp | NUE | US | Steel-Producers | 0 | Sold All | -96,800 | -100 % | - | - | - | -6.33 % | $269,104 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Nucor Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Newell Rubbermaid Inc | NWL | US | Home Decoration Products | 0 | Sold All | -145,000 | -100 % | - | - | - | 25.54 % | $-426,300 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Newell Rubbermaid Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Xto Energy Inc | XTO | US | Oil Comp-Explor And Prodtn | 100 | Sold Some | -134,800 | -99.92 % | $4,277 | $4,111 | $-166 | -3.88 % | $223,768 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Xto Energy Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Questar Corp | STR | US | Pipelines | 34,700 | New Holding | 34,700 | 100 % | $1,175,983 | $1,373,773 | $197,790 | 16.81 % | $197,790 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Questar Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Best Buy Co Inc | BBY | US | Retail-Consumer Electron | 205,400 | New Holding | 205,400 | 100 % | $7,209,540 | $8,893,820 | $1,684,280 | 23.36 % | $1,684,280 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Best Buy Co Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Omniture Inc | OMTR | US | Computer Software | 85,100 | Sold Some | -22,200 | -20.68 % | $1,006,733 | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Omniture Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Halliburton Co | HAL | US | Oil-Field Services | 0 | Sold All | -50,600 | -100 % | - | - | - | 30.30 % | $-351,670 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Halliburton Co |
| 2009-05-29 | 2009-03-31 | N-Q | Mastercard Inc | MA | US | Commercial Serv-Finance | 10,000 | Sold Some | -12,200 | -54.95 % | $1,763,300 | $2,311,600 | $548,300 | 31.09 % | $-668,926 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Mastercard Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Oceaneering International Inc | OII | US | Oil-Field Services | 22,400 | New Holding | 22,400 | 100 % | $1,151,808 | $1,219,456 | $67,648 | 5.87 % | $67,648 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Oceaneering International Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Bank Of New York Mellon Corpthe | BK | US | Unknown | 109,000 | Added More | 8,700 | 8.67 % | $3,028,020 | $2,854,710 | $-173,310 | -5.72 % | $-13,833 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Bank Of New York Mellon Corpthe |
| 2009-05-29 | 2009-03-31 | N-Q | Zions Bancorporation | ZB-A | US | Commer Banks-Western Us | 0 | Sold All | -35,500 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Zions Bancorporation |
| 2009-05-29 | 2009-03-31 | N-Q | Lululemon Athletica Inc | LULU | US | Retail-Apparel/Shoe | 0 | Sold All | -45,400 | -100 % | - | - | - | 109.50 % | $-627,882 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Lululemon Athletica Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Petro-Canada | PCZ | CA | Oil Comp-Integrated | 106,400 | New Holding | 106,400 | 100 % | $4,737,992 | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Petro-Canada |
| 2009-05-29 | 2009-03-31 | N-Q | Ultra Petroleum Corp | UPL | CA | Oil Comp-Explor And Prodtn | 34,000 | Sold Some | -381,400 | -91.81 % | $1,539,520 | $1,565,700 | $26,180 | 1.70 % | $-293,678 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Ultra Petroleum Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Textron Inc | TXT-A | US | Diversified Manufact Op | 278,900 | New Holding | 278,900 | 100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Textron Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Barrick Gold Corp | ABX | CA | Gold Mining | 72,400 | Sold Some | -108,800 | -60.04 % | $2,756,992 | $3,184,152 | $427,160 | 15.49 % | $-641,920 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Barrick Gold Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Taubman Centers Inc | TCO-G | US | Reits-Regional Malls | 0 | Sold All | -59,000 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Taubman Centers Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cme Group Inc | CME | US | Finance-Other Services | 24,300 | New Holding | 24,300 | 100 % | $7,815,852 | $7,848,657 | $32,805 | 0.41 % | $32,805 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cme Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Alpha Natural Resources Inc | ANR | US | Coal | 0 | Sold All | -154,100 | -100 % | - | - | - | 45.55 % | $-1,933,955 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Alpha Natural Resources Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Slm Corp | SLM | US | Unknown | 212,200 | New Holding | 212,200 | 100 % | $1,402,642 | $2,310,858 | $908,216 | 64.75 % | $908,216 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Slm Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Intercontinentalexchange Inc | ICE | BE | Finance-Other Services | 74,600 | New Holding | 74,600 | 100 % | $8,041,134 | $7,965,042 | $-76,092 | -0.94 % | $-76,092 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Intercontinentalexchange Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Fifth Third Bancorp | FITB | US | Super-Regional Banks-Us | 0 | Sold All | -74,600 | -100 % | - | - | - | 44.49 % | $-229,022 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Fifth Third Bancorp |
| 2009-05-29 | 2009-03-31 | N-Q | Nrg Energy Inc | NRG | US | Independ Power Producer | 153,800 | Sold Some | -37,400 | -19.56 % | $3,460,500 | $3,661,978 | $201,478 | 5.82 % | $-48,994 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Nrg Energy Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Pf Changs China Bistro Inc | PFCB | US | Retail-Restaurants | 19,100 | New Holding | 19,100 | 100 % | $610,054 | $610,245 | $191 | 0.03 % | $191 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Pf Changs China Bistro Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Steel Dynamics Inc | STLD | US | Steel-Producers | 0 | Sold All | -347,600 | -100 % | - | - | - | 8.09 % | $-420,596 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Steel Dynamics Inc |
| 2009-05-29 | 2009-03-31 | N-Q | T Rowe Price Group Inc | TROW | US | Invest Mgmnt/Advis Serv | 0 | Sold All | -39,900 | -100 % | - | - | - | 20.06 % | $-324,786 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of T Rowe Price Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Pricelinecom Inc | PCLN | US | E-Commerce/Services | 0 | Sold All | -15,200 | -100 % | - | - | - | 89.58 % | $-1,499,328 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Pricelinecom Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Wells Fargo And Co | WFC | US | Unknown | 890,000 | Added More | 740,200 | 494.12 % | $22,695,000 | $24,804,300 | $2,109,300 | 9.29 % | $1,754,274 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Wells Fargo And Co |
| 2009-05-29 | 2009-03-31 | N-Q | Weatherford International Ltd | WFT | BM | Oil-Field Services | 0 | Sold All | -224,200 | -100 % | - | - | - | -18.21 % | $845,234 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Weatherford International Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Fmc Corp | FMC | US | Chemicals-Diversified | 126,600 | Sold Some | -30,900 | -19.61 % | $6,880,710 | $7,131,378 | $250,668 | 3.64 % | $-61,182 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Fmc Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Spx Corp | SPW | US | Diversified Manufact Op | 0 | Sold All | -23,000 | -100 % | - | - | - | 15.68 % | $-165,600 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Spx Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Tjx Cos Inc | TJX | US | Retail-Discount | 160,900 | New Holding | 160,900 | 100 % | $4,748,159 | $6,242,920 | $1,494,761 | 31.48 % | $1,494,761 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Tjx Cos Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Wal-Mart Stores Inc | WMT | US | Retail-Discount | 211,400 | Added More | 85,200 | 67.51 % | $10,515,036 | $11,474,792 | $959,756 | 9.12 % | $386,808 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Wal-Mart Stores Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 170,800 | New Holding | 170,800 | 100 % | $11,844,980 | $12,704,104 | $859,124 | 7.25 % | $859,124 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Exxon Mobil Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Range Resources Corp | RRC | US | Oil Comp-Explor And Prodtn | 40,300 | Sold Some | -213,600 | -84.12 % | $1,846,143 | $1,873,547 | $27,404 | 1.48 % | $-145,248 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Range Resources Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Raytheon Co | RTN | US | Aerospace/Defense | 0 | Sold All | -102,200 | -100 % | - | - | - | 13.30 % | $-607,068 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Raytheon Co |
| 2009-05-29 | 2009-03-31 | N-Q | Us Airways Group Inc | LCC | US | Airlines | 90,300 | New Holding | 90,300 | 100 % | $232,974 | $279,930 | $46,956 | 20.15 % | $46,956 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Us Airways Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Dow Chemical Cothe | DOW | US | Chemicals-Diversified | 274,200 | New Holding | 274,200 | 100 % | $4,847,856 | $7,658,406 | $2,810,550 | 57.97 % | $2,810,550 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Dow Chemical Cothe |
| 2009-05-29 | 2009-03-31 | N-Q | Celgene Corp | CELG | US | Medical-Biomedical/Gene | 46,200 | Sold Some | -99,100 | -68.20 % | $1,951,488 | $2,536,842 | $585,354 | 29.99 % | $-1,255,597 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Celgene Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Genzyme Corp | GENZ | US | Medical-Biomedical/Gene | 162,300 | New Holding | 162,300 | 100 % | $9,598,422 | $8,123,115 | $-1,475,307 | -15.37 % | $-1,475,307 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Genzyme Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Gilead Sciences Inc | GILD | US | Therapeutics | 339,400 | New Holding | 339,400 | 100 % | $14,628,140 | $15,744,766 | $1,116,626 | 7.63 % | $1,116,626 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Gilead Sciences Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Hess Corp | HES | US | Oil Comp-Integrated | 73,300 | Sold Some | -114,400 | -60.94 % | $4,881,047 | $4,312,972 | $-568,075 | -11.63 % | $886,600 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Hess Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Hewlett-Packard Co | HPQ | US | Computers | 95,700 | New Holding | 95,700 | 100 % | $3,287,295 | $4,788,828 | $1,501,533 | 45.67 % | $1,501,533 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Hewlett-Packard Co |
| 2009-05-29 | 2009-03-31 | N-Q | Ensco International Inc | ESV | US | Oil And Gas Drilling | 0 | Sold All | -71,500 | -100 % | - | - | - | 14.01 % | $-389,675 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Ensco International Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Eaton Corp | ETN | US | Diversified Manufact Op | 0 | Sold All | -32,000 | -100 % | - | - | - | 45.26 % | $-630,080 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Eaton Corp |
| 2009-05-29 | 2009-03-31 | N-Q | El Paso Corp | EP | US | Pipelines | 435,700 | New Holding | 435,700 | 100 % | $4,248,075 | $4,165,292 | $-82,783 | -1.94 % | $-82,783 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of El Paso Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Myriad Genetics Inc | MYGN | US | Medical-Biomedical/Gene | 109,600 | New Holding | 109,600 | 100 % | $3,963,136 | $2,586,560 | $-1,376,576 | -34.73 % | $-1,376,576 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Myriad Genetics Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Google Inc | GOOG | US | Web Portals/Isp | 700 | New Holding | 700 | 100 % | $292,061 | $398,972 | $106,911 | 36.60 % | $106,911 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Google Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Chesapeake Energy Corp | CHK | US | Oil Comp-Explor And Prodtn | 297,430 | Sold Some | -322,270 | -52.00 % | $6,739,764 | $6,849,813 | $110,049 | 1.63 % | $-119,240 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Chesapeake Energy Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Citigroup Inc | C | US | Finance-Invest Bnkr/Brkr | 6,000 | Sold Some | -127,900 | -95.51 % | $22,320 | $25,200 | $2,880 | 12.90 % | $-61,392 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Citigroup Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cleveland-Cliffs Inc | CLF | US | Metal-Iron | 0 | Sold All | -35,200 | -100 % | - | - | - | 57.87 % | $-555,104 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cleveland-Cliffs Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Travelers Cos Incthe | TRV | US | Property/Casualty Ins | 37,300 | New Holding | 37,300 | 100 % | $1,516,618 | $1,953,774 | $437,156 | 28.82 % | $437,156 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Travelers Cos Incthe |
| 2009-05-29 | 2009-03-31 | N-Q | Fmc Technologies Inc | FTI | US | Oil Field Mach And Equip | 0 | Sold All | -34,100 | -100 % | - | - | - | 30.63 % | $-434,775 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Fmc Technologies Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Lowes Cos Inc | LOW | US | Retail-Building Products | 373,900 | New Holding | 373,900 | 100 % | $7,107,839 | $7,982,765 | $874,926 | 12.30 % | $874,926 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Lowes Cos Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Johnson And Johnson | JNJ | US | Medical Products | 0 | Sold All | -32,400 | -100 % | - | - | - | 12.96 % | $-231,660 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Johnson And Johnson |
| 2009-05-29 | 2009-03-31 | N-Q | Genuine Parts Co | GPC | US | Distribution/Wholesale | 31,900 | New Holding | 31,900 | 100 % | $1,068,012 | $1,161,160 | $93,148 | 8.72 % | $93,148 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Genuine Parts Co |
| 2009-05-29 | 2009-03-31 | N-Q | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 78,800 | Added More | 40,300 | 104.67 % | $11,392,116 | $13,396,788 | $2,004,672 | 17.59 % | $1,025,232 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2009-05-29 | 2009-03-31 | N-Q | Graftech International Ltd | GTI | US | Electric Products-Misc | 0 | Sold All | -79,100 | -100 % | - | - | - | 41.69 % | $-335,384 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Graftech International Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Memc Electronic Materials Inc | WFR | IT | Electronic Compo-Semicon | 0 | Sold All | -104,000 | -100 % | - | - | - | -37.37 % | $749,840 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Memc Electronic Materials Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Terra Industries Inc | TRA | US | Agricultural Chemicals | 212,300 | Sold Some | -16,000 | -7.00 % | $5,899,817 | $8,504,738 | $2,604,921 | 44.15 % | $-196,320 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Terra Industries Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Tyson Foods Inc | TSN | US | Food-Meat Products | 0 | Sold All | -58,600 | -100 % | - | - | - | -1.87 % | $14,650 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Tyson Foods Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Verizon Communications Inc | VZ | US | Telephone-Integrated | 106,100 | New Holding | 106,100 | 100 % | $3,104,486 | $3,228,623 | $124,137 | 3.99 % | $124,137 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Verizon Communications Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Medco Health Solutions Inc | MHS | US | Pharmacy Services | 112,000 | New Holding | 112,000 | 100 % | $5,139,680 | $6,900,320 | $1,760,640 | 34.25 % | $1,760,640 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Medco Health Solutions Inc |
| 2009-05-29 | 2009-03-31 | N-Q | National Oilwell Varco Inc | NOV | US | Oil Field Mach And Equip | 53,800 | Sold Some | -9,700 | -15.27 % | $2,077,756 | $2,302,102 | $224,346 | 10.79 % | $-40,449 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of National Oilwell Varco Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Sempra Energy | SRE | US | Gas-Distribution | 46,600 | Added More | 5,800 | 14.21 % | $2,128,688 | $2,421,336 | $292,648 | 13.74 % | $36,424 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Sempra Energy |
| 2009-05-29 | 2009-03-31 | N-Q | Southwestern Energy Co | SWN | US | Oil Comp-Explor And Prodtn | 197,400 | Sold Some | -473,400 | -70.57 % | $8,580,978 | $8,190,126 | $-390,852 | -4.55 % | $937,332 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Southwestern Energy Co |
| 2009-05-29 | 2009-03-31 | N-Q | Research In Motion Ltd | RIMM | CA | Computers | 72,900 | Added More | 63,400 | 667.36 % | $5,732,856 | $4,353,588 | $-1,379,268 | -24.05 % | $-1,199,528 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Research In Motion Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | State Street Corp | STT | US | Fiduciary Banks | 79,200 | New Holding | 79,200 | 100 % | $3,678,840 | $3,231,360 | $-447,480 | -12.16 % | $-447,480 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of State Street Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Mbia Inc | MBI | US | Financial Guarantee Ins | 246,400 | Added More | 119,300 | 93.86 % | $1,589,280 | $859,936 | $-729,344 | -45.89 % | $-353,128 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Mbia Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Petroplus Holdings Ag | PEPFF.PK | CH | Oil Refining And Marketing | 0 | Sold All | -101,922 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Petroplus Holdings Ag |
| 2009-05-29 | 2009-03-31 | N-Q | Nintendo Co Ltd | NTDOF.PK | JP | Toys | 18,100 | Sold Some | -600 | -3.20 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Nintendo Co Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Amr Corp | AAR | US | Unknown | 238,500 | Sold Some | -84,600 | -26.18 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Amr Corp |
| 2009-05-29 | 2009-03-31 | N-Q | China Shenhua Energy Co Ltd | CUAEF.PK | CN | Coal | 0 | Sold All | -114,900 | -100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of China Shenhua Energy Co Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Vtg Ag | VT9.BE | DE | Transport-Rail | 4,000 | New Holding | 4,000 | 100 % | - | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Vtg Ag |
| 2009-05-29 | 2009-03-31 | N-Q | Philip Morris International Inc | PM | US | Tobacco | 118,800 | New Holding | 118,800 | 100 % | $5,065,632 | $5,907,924 | $842,292 | 16.62 % | $842,292 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Philip Morris International Inc |
| 2009-05-29 | 2009-03-31 | N-Q | United States Steel Corp | X | US | Steel-Producers | 0 | Sold All | -81,500 | -100 % | - | - | - | 21.24 % | $-590,060 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of United States Steel Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Visa Inc | V | US | Commercial Serv-Finance | 22,100 | Sold Some | -68,100 | -75.49 % | $1,496,391 | $1,768,000 | $271,609 | 18.15 % | $-836,949 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Visa Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Goldcorp Inc | GG | CA | Gold Mining | 0 | Sold All | -245,800 | -100 % | - | - | - | 9.84 % | $-961,078 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Goldcorp Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Tenet Healthcare Corp | THC | US | Medical-Hospitals | 370,000 | Sold Some | -469,500 | -55.92 % | $1,343,100 | $1,949,900 | $606,800 | 45.17 % | $-769,980 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Tenet Healthcare Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Occidental Petroleum Corp | OXY | US | Oil Comp-Explor And Prodtn | 96,300 | Added More | 67,100 | 229.79 % | $6,462,693 | $7,703,037 | $1,240,344 | 19.19 % | $864,248 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Occidental Petroleum Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Monsanto Co | MON | US | Agricultural Chemicals | 0 | Sold All | -229,100 | -100 % | - | - | - | -2.51 % | $474,237 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Monsanto Co |
| 2009-05-29 | 2009-03-31 | N-Q | Starent Networks Corp | STAR | US | Networking Products | 111,500 | Added More | 24,300 | 27.86 % | $2,355,995 | $3,835,600 | $1,479,605 | 62.80 % | $322,461 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Starent Networks Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Dryships Inc | DRYS | MH | Transport-Marine | 0 | Sold All | -89,100 | -100 % | - | - | - | -23.19 % | $169,290 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Dryships Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Schlumberger Ltd | SLB | AN | Oil-Field Services | 0 | Sold All | -65,000 | -100 % | - | - | - | 10.67 % | $-397,150 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Schlumberger Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Caterpillar Inc | CAT | BE | Machinery-Constr And Mining | 0 | Sold All | -62,100 | -100 % | - | - | - | 63.42 % | $-1,396,629 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Caterpillar Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Chevron Corp | CVX | BE | Oil Comp-Integrated | 32,900 | New Holding | 32,900 | 100 % | $2,193,443 | $2,525,733 | $332,290 | 15.14 % | $332,290 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Chevron Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Ual Corp | UAUA | US | Airlines | 477,600 | Sold Some | -179,214 | -27.28 % | $2,220,840 | $3,352,752 | $1,131,912 | 50.96 % | $-424,737 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Ual Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Amazoncom Inc | AMZN | US | E-Commerce/Products | 146,100 | New Holding | 146,100 | 100 % | $11,394,339 | $18,943,326 | $7,548,987 | 66.25 % | $7,548,987 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Amazoncom Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Apple Inc | AAPL | US | Computers | 93,700 | Added More | 33,300 | 55.13 % | $12,725,397 | $18,732,504 | $6,007,107 | 47.20 % | $2,134,863 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Apple Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Arch Coal Inc | ACI | US | Coal | 0 | Sold All | -243,100 | -100 % | - | - | - | 20.12 % | $-906,763 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Arch Coal Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Entropic Communications Inc | ENTR | US | Electronic Compo-Semicon | 174,000 | No Change | 0 | 0 % | $408,900 | $515,040 | $106,140 | 25.95 % | $0 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Entropic Communications Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Vertex Pharmaceuticals Inc | VRTX | US | Medical-Biomedical/Gene | 165,800 | New Holding | 165,800 | 100 % | $4,935,866 | $6,389,932 | $1,454,066 | 29.45 % | $1,454,066 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Vertex Pharmaceuticals Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Express Scripts Inc | ESRX | US | Pharmacy Services | 264,200 | Added More | 176,800 | 202.28 % | $16,922,010 | $22,480,778 | $5,558,768 | 32.84 % | $3,719,872 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Express Scripts Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cree Inc | CREE | US | Electronic Compo-Semicon | 0 | Sold All | -64,800 | -100 % | - | - | - | 54.05 % | $-1,063,368 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cree Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Biogen Idec Inc | BIIB | US | Medical-Biomedical/Gene | 120,500 | Added More | 73,300 | 155.29 % | $6,240,695 | $5,588,790 | $-651,905 | -10.44 % | $-396,553 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Biogen Idec Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Noble Corp | NE | BE | Oil And Gas Drilling | 120,600 | New Holding | 120,600 | 100 % | $4,145,022 | $4,826,412 | $681,390 | 16.43 % | $681,390 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Noble Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Cabot Oil And Gas Corp | COG | US | Oil Comp-Explor And Prodtn | 0 | Sold All | -233,800 | -100 % | - | - | - | 8.79 % | $-722,442 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cabot Oil And Gas Corp |
| 2009-05-29 | 2009-03-31 | N-Q | United Parcel Service Inc | UPS | US | Transport-Services | 71,200 | New Holding | 71,200 | 100 % | $3,641,168 | $4,094,712 | $453,544 | 12.45 % | $453,544 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of United Parcel Service Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 0 | Sold All | -289,300 | -100 % | - | - | - | 7.36 % | $-567,028 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Unitedhealth Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Sl Green Realty Corp | SLG | US | Reits-Office Property | 0 | Sold All | -94,800 | -100 % | - | - | - | 96.41 % | $-2,093,184 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Sl Green Realty Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Delta Air Lines Inc | DAL | US | Airlines | 1,547,025 | Added More | 936,925 | 153.56 % | $8,988,215 | $11,788,331 | $2,800,115 | 31.15 % | $1,695,834 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Delta Air Lines Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Kinross Gold Corp | KGC | CA | Gold Mining | 0 | Sold All | -350,800 | -100 % | - | - | - | -5.34 % | $378,864 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Kinross Gold Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Abbott Laboratories | ABT | US | Medical-Drugs | 31,200 | Sold Some | -40,400 | -56.42 % | $1,405,872 | $1,673,568 | $267,696 | 19.04 % | $-346,632 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Abbott Laboratories |
| 2009-05-29 | 2009-03-31 | N-Q | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 965,500 | Added More | 864,400 | 854.99 % | $10,881,185 | $15,534,895 | $4,653,710 | 42.76 % | $4,166,408 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Bank Of America Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Bb And T Corp | BBT | US | Commer Banks-Southern Us | 0 | Sold All | -43,800 | -100 % | - | - | - | 9.72 % | $-95,484 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Bb And T Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Sprint Nextel Corp | S | US | Telephone-Integrated | 1,820,700 | New Holding | 1,820,700 | 100 % | $9,376,605 | $6,845,832 | $-2,530,773 | -26.99 % | $-2,530,773 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Sprint Nextel Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Jpmorgan Chase And Co | JPM | US | Finance-Invest Bnkr/Brkr | 526,400 | Added More | 443,500 | 534.98 % | $19,424,160 | $22,350,944 | $2,926,784 | 15.06 % | $2,465,860 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Jpmorgan Chase And Co |
| 2009-05-29 | 2009-03-31 | N-Q | Crown Holdings Inc | CCK | US | Containers-Metal/Glass | 72,700 | New Holding | 72,700 | 100 % | $1,708,450 | $1,869,844 | $161,394 | 9.44 % | $161,394 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Crown Holdings Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Cummins Inc | CMI | US | Engines-Internal Combust | 0 | Sold All | -173,200 | -100 % | - | - | - | 43.38 % | $-2,436,924 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Cummins Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Intel Corp | INTC | US | Electronic Compo-Semicon | 198,800 | Sold Some | -9,000 | -4.33 % | $3,125,136 | $3,824,912 | $699,776 | 22.39 % | $-31,680 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Intel Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Nabors Industries Ltd | NBR | BM | Oil And Gas Drilling | 0 | Sold All | -179,300 | -100 % | - | - | - | 10.90 % | $-349,635 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Nabors Industries Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Directv Group Incthe | DTV | US | Cable Tv | 350,900 | Added More | 206,500 | 143.00 % | $7,895,250 | $11,067,386 | $3,172,136 | 40.17 % | $1,866,760 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Directv Group Incthe |
| 2009-05-29 | 2009-03-31 | N-Q | General Electric Co | GE | US | Diversified Manufact Op | 702,000 | New Holding | 702,000 | 100 % | $9,462,960 | $10,944,180 | $1,481,220 | 15.65 % | $1,481,220 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of General Electric Co |
| 2009-05-29 | 2009-03-31 | N-Q | Allianz Se | AZ | DE | Multi-Line Insurance | 39,200 | New Holding | 39,200 | 100 % | $387,688 | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Allianz Se |
| 2009-05-29 | 2009-03-31 | N-Q | Ace Ltd | ACE | BE | Multi-Line Insurance | 95,200 | New Holding | 95,200 | 100 % | $4,187,848 | $4,734,296 | $546,448 | 13.04 % | $546,448 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Ace Ltd |
| 2009-05-29 | 2009-03-31 | N-Q | Wyeth | WYE | US | Medical-Drugs | 16,800 | New Holding | 16,800 | 100 % | $753,648 | - | - | - % | | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Wyeth |
| 2009-05-29 | 2009-03-31 | N-Q | Sandridge Energy Inc | SD | US | Oil Comp-Explor And Prodtn | 19,400 | No Change | 0 | 0 % | $211,266 | $178,480 | $-32,786 | -15.51 % | $0 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Sandridge Energy Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Ambac Financial Group Inc | ABK | US | Financial Guarantee Ins | 0 | Sold All | -512,900 | -100 % | - | - | - | -28.00 % | $179,515 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Ambac Financial Group Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Energy Conversion Devices Inc | ENER | US | Batteries/Battery Sys | 43,400 | New Holding | 43,400 | 100 % | $746,914 | $458,738 | $-288,176 | -38.58 % | $-288,176 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Energy Conversion Devices Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Equinix Inc | EQIX | US | Web Hosting/Design | 57,700 | New Holding | 57,700 | 100 % | $4,292,880 | $5,478,615 | $1,185,735 | 27.62 % | $1,185,735 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Equinix Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Costco Wholesale Corp | COST | US | Retail-Discount | 274,300 | Added More | 178,200 | 185.43 % | $13,309,036 | $16,474,458 | $3,165,422 | 23.78 % | $2,056,428 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Costco Wholesale Corp |
| 2009-05-29 | 2009-03-31 | N-Q | California Pizza Kitchen Inc | CPKI | US | Retail-Restaurants | 45,500 | New Holding | 45,500 | 100 % | $634,725 | $571,935 | $-62,790 | -9.89 % | $-62,790 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of California Pizza Kitchen Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Target Corp | TGT | US | Retail-Discount | 233,500 | New Holding | 233,500 | 100 % | $9,176,550 | $11,081,910 | $1,905,360 | 20.76 % | $1,905,360 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Target Corp |
| 2009-05-29 | 2009-03-31 | N-Q | Pfizer Inc | PFE | US | Medical-Drugs | 699,200 | New Holding | 699,200 | 100 % | $10,620,848 | $12,837,312 | $2,216,464 | 20.86 % | $2,216,464 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Pfizer Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Quicksilver Resources Inc | KWK | US | Oil Comp-Explor And Prodtn | 62,800 | Sold Some | -597,400 | -90.48 % | $706,500 | $791,908 | $85,408 | 12.08 % | $-812,464 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Quicksilver Resources Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Alcoa Inc | AA | US | Metal-Aluminum | 538,400 | New Holding | 538,400 | 100 % | $4,964,048 | $7,069,192 | $2,105,144 | 42.40 % | $2,105,144 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Alcoa Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Qualcomm Inc | QCOM | US | Wireless Equipment | 100,100 | Added More | 2,500 | 2.56 % | $4,363,359 | $4,514,510 | $151,151 | 3.46 % | $3,775 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Qualcomm Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Juniper Networks Inc | JNPR | US | Networking Products | 0 | Sold All | -39,100 | -100 % | - | - | - | 1.90 % | $-18,377 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Juniper Networks Inc |
| 2009-05-29 | 2009-03-31 | N-Q | Transocean Inc | RIG | KY | Oil-Field Services | 0 | Sold All | -42,107 | -100 % | - | - | - | 5.43 % | $-181,902 | | | | | | News Article | History of Variable Insurance Products Fund V - Asset Manager Portfolio Ownership Of Transocean Inc |