Shareholder Report, Holdings (Details)
|
Apr. 30, 2025 |
Fidelity Advisor Overseas Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Overseas Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Overseas Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
29.00%
|
Fidelity Advisor Overseas Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.80%
|
Fidelity Advisor Overseas Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.30%
|
Fidelity Advisor Overseas Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.70%
|
Fidelity Advisor Overseas Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.80%
|
Fidelity Advisor Overseas Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.70%
|
Fidelity Advisor Overseas Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Overseas Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Overseas Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
18.00%
|
Fidelity Advisor Overseas Fund - Class M | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.80%
|
Fidelity Advisor Overseas Fund - Class M | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.60%
|
Fidelity Advisor Overseas Fund - Class M | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.20%
|
Fidelity Advisor Overseas Fund - Class M | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Overseas Fund - Class M | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Overseas Fund - Class M | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Overseas Fund - Class M | Spain |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Overseas Fund - Class M | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Overseas Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.40%
|
Fidelity Advisor Overseas Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
97.10%
|
Fidelity Advisor Overseas Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
30.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
25.70%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | Switzerland |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Overseas Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Overseas Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Overseas Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
29.00%
|
Fidelity Advisor Overseas Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.80%
|
Fidelity Advisor Overseas Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.30%
|
Fidelity Advisor Overseas Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.70%
|
Fidelity Advisor Overseas Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.80%
|
Fidelity Advisor Overseas Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.70%
|
Fidelity Advisor Overseas Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Overseas Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Overseas Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
18.00%
|
Fidelity Advisor Overseas Fund - Class I | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.80%
|
Fidelity Advisor Overseas Fund - Class I | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.60%
|
Fidelity Advisor Overseas Fund - Class I | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.20%
|
Fidelity Advisor Overseas Fund - Class I | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Overseas Fund - Class I | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Overseas Fund - Class I | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Overseas Fund - Class I | Spain |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Overseas Fund - Class I | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Overseas Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.40%
|
Fidelity Advisor Overseas Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
97.10%
|
Fidelity Advisor Overseas Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.00%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.10%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Emerging Asia Fund - Class Z | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Emerging Asia Fund - Class Z | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.20%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.00%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.00%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Emerging Asia Fund - Class Z | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class Z | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
36.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.10%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Singapore |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.20%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Hong Kong |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Emerging Asia Fund - Class Z | Indonesia |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class Z | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.60%
|
Fidelity Advisor Emerging Asia Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.40%
|
Fidelity Advisor Emerging Asia Fund - Class Z | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.10%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Emerging Asia Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Emerging Asia Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.20%
|
Fidelity Advisor Emerging Asia Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Emerging Asia Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor Emerging Asia Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.00%
|
Fidelity Advisor Emerging Asia Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor Emerging Asia Fund - Class M | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Emerging Asia Fund - Class M | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Emerging Asia Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class M | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
36.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.10%
|
Fidelity Advisor Emerging Asia Fund - Class M | Singapore |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Emerging Asia Fund - Class M | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.20%
|
Fidelity Advisor Emerging Asia Fund - Class M | Hong Kong |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Emerging Asia Fund - Class M | Indonesia |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.60%
|
Fidelity Advisor Emerging Asia Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.40%
|
Fidelity Advisor Emerging Asia Fund - Class M | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
30.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
25.70%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | Switzerland |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class Z | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Diversified International Fund - Class Z | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Diversified International Fund - Class Z | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Diversified International Fund - Class Z | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class Z | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class Z | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Diversified International Fund - Class Z | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class Z | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class Z | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class Z | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Diversified International Fund - Class Z | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.30%
|
Fidelity Advisor Diversified International Fund - Class Z | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Diversified International Fund - Class Z | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.90%
|
Fidelity Advisor Diversified International Fund - Class Z | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.00%
|
Fidelity Advisor Diversified International Fund - Class Z | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.20%
|
Fidelity Advisor Diversified International Fund - Class Z | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor Diversified International Fund - Class Z | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Diversified International Fund - Class Z | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Diversified International Fund - Class Z | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class Z | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.50%
|
Fidelity Advisor Diversified International Fund - Class Z | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.80%
|
Fidelity Advisor Diversified International Fund - Class Z | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor Diversified International Fund - Class Z | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Diversified International Fund - Class Z | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Diversified International Fund - Class Z | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.30%
|
Fidelity Advisor Diversified International Fund - Class Z | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class Z | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.10%
|
Fidelity Advisor Diversified International Fund - Class Z | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.70%
|
Fidelity Advisor Diversified International Fund - Class Z | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor Diversified International Fund - Class Z | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.00%
|
Fidelity Advisor Diversified International Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Diversified International Fund - Class Z | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
19.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.90%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
76.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | Denmark |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
92.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class M | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
30.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
25.70%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | Switzerland |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
32.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Brazil |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Mexico |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | South Africa |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.00%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Greece |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | Hungary |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
99.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.70%
|
Fidelity Advisor Diversified International Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Diversified International Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Diversified International Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Diversified International Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Diversified International Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Diversified International Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.30%
|
Fidelity Advisor Diversified International Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Diversified International Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.90%
|
Fidelity Advisor Diversified International Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.00%
|
Fidelity Advisor Diversified International Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.20%
|
Fidelity Advisor Diversified International Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor Diversified International Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Diversified International Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Diversified International Fund - Class M | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.50%
|
Fidelity Advisor Diversified International Fund - Class M | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.80%
|
Fidelity Advisor Diversified International Fund - Class M | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor Diversified International Fund - Class M | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Diversified International Fund - Class M | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Diversified International Fund - Class M | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.30%
|
Fidelity Advisor Diversified International Fund - Class M | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class M | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.10%
|
Fidelity Advisor Diversified International Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.70%
|
Fidelity Advisor Diversified International Fund - Class M | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor Diversified International Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.00%
|
Fidelity Advisor Diversified International Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Diversified International Fund - Class M | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
19.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.90%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
76.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | Denmark |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
92.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class I | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
19.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.90%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
76.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | Denmark |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
92.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class C | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Value Leaders Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.90%
|
Fidelity Advisor Value Leaders Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Value Leaders Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.80%
|
Fidelity Advisor Value Leaders Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.50%
|
Fidelity Advisor Value Leaders Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
23.40%
|
Fidelity Advisor Value Leaders Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Value Leaders Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.30%
|
Fidelity Advisor Value Leaders Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.70%
|
Fidelity Advisor Value Leaders Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Value Leaders Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Value Leaders Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class C | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.20%
|
Fidelity Advisor Value Leaders Fund - Class C | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.50%
|
Fidelity Advisor Value Leaders Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
88.20%
|
Fidelity Advisor Value Leaders Fund - Class C | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class C | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Value Leaders Fund - Class C | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Value Leaders Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.60%
|
Fidelity Advisor Value Leaders Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.10%
|
Fidelity Advisor Value Leaders Fund - Class C | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Diversified International Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Diversified International Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Diversified International Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Diversified International Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Diversified International Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Diversified International Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.30%
|
Fidelity Advisor Diversified International Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Diversified International Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.90%
|
Fidelity Advisor Diversified International Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.00%
|
Fidelity Advisor Diversified International Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.20%
|
Fidelity Advisor Diversified International Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor Diversified International Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Diversified International Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Diversified International Fund - Class A | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.50%
|
Fidelity Advisor Diversified International Fund - Class A | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.80%
|
Fidelity Advisor Diversified International Fund - Class A | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor Diversified International Fund - Class A | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Diversified International Fund - Class A | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Diversified International Fund - Class A | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.30%
|
Fidelity Advisor Diversified International Fund - Class A | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class A | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.10%
|
Fidelity Advisor Diversified International Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.70%
|
Fidelity Advisor Diversified International Fund - Class A | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor Diversified International Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.00%
|
Fidelity Advisor Diversified International Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Diversified International Fund - Class A | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
32.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Brazil |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Mexico |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | South Africa |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.00%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Greece |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | Hungary |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
99.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
32.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Brazil |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Mexico |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | South Africa |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.00%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Greece |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | Hungary |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
99.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.70%
|
Fidelity Advisor Value Leaders Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.90%
|
Fidelity Advisor Value Leaders Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Value Leaders Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.80%
|
Fidelity Advisor Value Leaders Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.50%
|
Fidelity Advisor Value Leaders Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
23.40%
|
Fidelity Advisor Value Leaders Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Value Leaders Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.30%
|
Fidelity Advisor Value Leaders Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.70%
|
Fidelity Advisor Value Leaders Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Value Leaders Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Value Leaders Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class M | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.20%
|
Fidelity Advisor Value Leaders Fund - Class M | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.50%
|
Fidelity Advisor Value Leaders Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
88.20%
|
Fidelity Advisor Value Leaders Fund - Class M | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class M | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Value Leaders Fund - Class M | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Value Leaders Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.60%
|
Fidelity Advisor Value Leaders Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.10%
|
Fidelity Advisor Value Leaders Fund - Class M | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
32.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Brazil |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Mexico |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | South Africa |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.00%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Greece |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | Hungary |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
99.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.70%
|
Fidelity Advisor Overseas Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Overseas Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Overseas Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
29.00%
|
Fidelity Advisor Overseas Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.80%
|
Fidelity Advisor Overseas Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.30%
|
Fidelity Advisor Overseas Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.70%
|
Fidelity Advisor Overseas Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.80%
|
Fidelity Advisor Overseas Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.70%
|
Fidelity Advisor Overseas Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Overseas Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Overseas Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
18.00%
|
Fidelity Advisor Overseas Fund - Class C | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.80%
|
Fidelity Advisor Overseas Fund - Class C | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.60%
|
Fidelity Advisor Overseas Fund - Class C | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.20%
|
Fidelity Advisor Overseas Fund - Class C | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Overseas Fund - Class C | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Overseas Fund - Class C | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Overseas Fund - Class C | Spain |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Overseas Fund - Class C | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Overseas Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.40%
|
Fidelity Advisor Overseas Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
97.10%
|
Fidelity Advisor Overseas Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.00%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.10%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Emerging Asia Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Emerging Asia Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.20%
|
Fidelity Advisor Emerging Asia Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Emerging Asia Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.00%
|
Fidelity Advisor Emerging Asia Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor Emerging Asia Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.00%
|
Fidelity Advisor Emerging Asia Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor Emerging Asia Fund - Class I | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Emerging Asia Fund - Class I | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Emerging Asia Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class I | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
36.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.10%
|
Fidelity Advisor Emerging Asia Fund - Class I | Singapore |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Emerging Asia Fund - Class I | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.20%
|
Fidelity Advisor Emerging Asia Fund - Class I | Hong Kong |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Emerging Asia Fund - Class I | Indonesia |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.60%
|
Fidelity Advisor Emerging Asia Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.40%
|
Fidelity Advisor Emerging Asia Fund - Class I | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
30.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
25.70%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | Switzerland |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.00%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.10%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Emerging Asia Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Emerging Asia Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.20%
|
Fidelity Advisor Emerging Asia Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Emerging Asia Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.00%
|
Fidelity Advisor Emerging Asia Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor Emerging Asia Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.00%
|
Fidelity Advisor Emerging Asia Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor Emerging Asia Fund - Class C | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Emerging Asia Fund - Class C | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Emerging Asia Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class C | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
36.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.10%
|
Fidelity Advisor Emerging Asia Fund - Class C | Singapore |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Emerging Asia Fund - Class C | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.20%
|
Fidelity Advisor Emerging Asia Fund - Class C | Hong Kong |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Emerging Asia Fund - Class C | Indonesia |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.60%
|
Fidelity Advisor Emerging Asia Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.40%
|
Fidelity Advisor Emerging Asia Fund - Class C | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.00%
|
Fidelity Advisor Overseas Fund - Class Z | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Overseas Fund - Class Z | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Overseas Fund - Class Z | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class Z | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class Z | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class Z | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class Z | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class Z | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class Z | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class Z | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class Z | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
29.00%
|
Fidelity Advisor Overseas Fund - Class Z | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.80%
|
Fidelity Advisor Overseas Fund - Class Z | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.30%
|
Fidelity Advisor Overseas Fund - Class Z | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.70%
|
Fidelity Advisor Overseas Fund - Class Z | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.80%
|
Fidelity Advisor Overseas Fund - Class Z | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.70%
|
Fidelity Advisor Overseas Fund - Class Z | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Overseas Fund - Class Z | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Overseas Fund - Class Z | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
18.00%
|
Fidelity Advisor Overseas Fund - Class Z | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.80%
|
Fidelity Advisor Overseas Fund - Class Z | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.60%
|
Fidelity Advisor Overseas Fund - Class Z | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.20%
|
Fidelity Advisor Overseas Fund - Class Z | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Overseas Fund - Class Z | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Overseas Fund - Class Z | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Overseas Fund - Class Z | Spain |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Overseas Fund - Class Z | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Overseas Fund - Class Z | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.40%
|
Fidelity Advisor Overseas Fund - Class Z | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
97.10%
|
Fidelity Advisor Overseas Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.10%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
32.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Brazil |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Mexico |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.80%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | South Africa |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.00%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Greece |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | Hungary |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
99.30%
|
Fidelity Advisor Focused Emerging Markets Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.70%
|
Fidelity Advisor Value Leaders Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.90%
|
Fidelity Advisor Value Leaders Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Value Leaders Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.80%
|
Fidelity Advisor Value Leaders Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.50%
|
Fidelity Advisor Value Leaders Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
23.40%
|
Fidelity Advisor Value Leaders Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Value Leaders Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.30%
|
Fidelity Advisor Value Leaders Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.70%
|
Fidelity Advisor Value Leaders Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Value Leaders Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Value Leaders Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class A | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.20%
|
Fidelity Advisor Value Leaders Fund - Class A | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.50%
|
Fidelity Advisor Value Leaders Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
88.20%
|
Fidelity Advisor Value Leaders Fund - Class A | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class A | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Value Leaders Fund - Class A | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Value Leaders Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.60%
|
Fidelity Advisor Value Leaders Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.10%
|
Fidelity Advisor Value Leaders Fund - Class A | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Overseas Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Overseas Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Overseas Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor Overseas Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Overseas Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Overseas Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
29.00%
|
Fidelity Advisor Overseas Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.80%
|
Fidelity Advisor Overseas Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.30%
|
Fidelity Advisor Overseas Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.70%
|
Fidelity Advisor Overseas Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.80%
|
Fidelity Advisor Overseas Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.70%
|
Fidelity Advisor Overseas Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Overseas Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Overseas Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
18.00%
|
Fidelity Advisor Overseas Fund - Class A | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
16.80%
|
Fidelity Advisor Overseas Fund - Class A | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.60%
|
Fidelity Advisor Overseas Fund - Class A | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.20%
|
Fidelity Advisor Overseas Fund - Class A | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.30%
|
Fidelity Advisor Overseas Fund - Class A | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.40%
|
Fidelity Advisor Overseas Fund - Class A | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Overseas Fund - Class A | Spain |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Overseas Fund - Class A | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Overseas Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.40%
|
Fidelity Advisor Overseas Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
97.10%
|
Fidelity Advisor Overseas Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
19.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.20%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.90%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
76.60%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.30%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | Denmark |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
92.10%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.40%
|
Fidelity Advisor Global Capital Appreciation Fund - Class A | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.00%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.10%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.70%
|
Fidelity Advisor Emerging Asia Fund - Class A | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Emerging Asia Fund - Class A | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.20%
|
Fidelity Advisor Emerging Asia Fund - Class A | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
24.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Emerging Asia Fund - Class A | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
13.00%
|
Fidelity Advisor Emerging Asia Fund - Class A | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor Emerging Asia Fund - Class A | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.00%
|
Fidelity Advisor Emerging Asia Fund - Class A | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.50%
|
Fidelity Advisor Emerging Asia Fund - Class A | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor Emerging Asia Fund - Class A | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Emerging Asia Fund - Class A | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Emerging Asia Fund - Class A | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Emerging Asia Fund - Class A | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
28.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | China |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
36.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | Taiwan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.10%
|
Fidelity Advisor Emerging Asia Fund - Class A | Singapore |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.50%
|
Fidelity Advisor Emerging Asia Fund - Class A | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.20%
|
Fidelity Advisor Emerging Asia Fund - Class A | Hong Kong |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Emerging Asia Fund - Class A | Indonesia |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.90%
|
Fidelity Advisor Emerging Asia Fund - Class A | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.60%
|
Fidelity Advisor Emerging Asia Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.40%
|
Fidelity Advisor Emerging Asia Fund - Class A | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.00%
|
Fidelity Advisor Value Leaders Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.90%
|
Fidelity Advisor Value Leaders Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.30%
|
Fidelity Advisor Value Leaders Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.00%
|
Fidelity Advisor Value Leaders Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.80%
|
Fidelity Advisor Value Leaders Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor Value Leaders Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.50%
|
Fidelity Advisor Value Leaders Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
23.40%
|
Fidelity Advisor Value Leaders Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.80%
|
Fidelity Advisor Value Leaders Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
22.30%
|
Fidelity Advisor Value Leaders Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.70%
|
Fidelity Advisor Value Leaders Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.40%
|
Fidelity Advisor Value Leaders Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.40%
|
Fidelity Advisor Value Leaders Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.10%
|
Fidelity Advisor Value Leaders Fund - Class I | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.20%
|
Fidelity Advisor Value Leaders Fund - Class I | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.50%
|
Fidelity Advisor Value Leaders Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
88.20%
|
Fidelity Advisor Value Leaders Fund - Class I | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.60%
|
Fidelity Advisor Value Leaders Fund - Class I | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.90%
|
Fidelity Advisor Value Leaders Fund - Class I | Korea, Republic of |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor Value Leaders Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.60%
|
Fidelity Advisor Value Leaders Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.10%
|
Fidelity Advisor Value Leaders Fund - Class I | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.20%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
26.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
30.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Utilities Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.10%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
25.70%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.50%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
6.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
12.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
5.40%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.60%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | India |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
7.00%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | Switzerland |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
98.30%
|
Fidelity Advisor International Capital Appreciation Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class I | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Diversified International Fund - Class I | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Diversified International Fund - Class I | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Diversified International Fund - Class I | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class I | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class I | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Diversified International Fund - Class I | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class I | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class I | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class I | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Diversified International Fund - Class I | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.30%
|
Fidelity Advisor Diversified International Fund - Class I | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Diversified International Fund - Class I | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.90%
|
Fidelity Advisor Diversified International Fund - Class I | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.00%
|
Fidelity Advisor Diversified International Fund - Class I | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.20%
|
Fidelity Advisor Diversified International Fund - Class I | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor Diversified International Fund - Class I | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Diversified International Fund - Class I | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Diversified International Fund - Class I | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class I | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.50%
|
Fidelity Advisor Diversified International Fund - Class I | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.80%
|
Fidelity Advisor Diversified International Fund - Class I | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor Diversified International Fund - Class I | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Diversified International Fund - Class I | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Diversified International Fund - Class I | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.30%
|
Fidelity Advisor Diversified International Fund - Class I | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class I | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.10%
|
Fidelity Advisor Diversified International Fund - Class I | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.70%
|
Fidelity Advisor Diversified International Fund - Class I | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor Diversified International Fund - Class I | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.00%
|
Fidelity Advisor Diversified International Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Diversified International Fund - Class I | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|
Fidelity Advisor Diversified International Fund - Class C | TH0Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.80%
|
Fidelity Advisor Diversified International Fund - Class C | TH1Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.60%
|
Fidelity Advisor Diversified International Fund - Class C | TH2Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.00%
|
Fidelity Advisor Diversified International Fund - Class C | TH3Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class C | TH4Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.90%
|
Fidelity Advisor Diversified International Fund - Class C | TH5Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.80%
|
Fidelity Advisor Diversified International Fund - Class C | TH6Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.70%
|
Fidelity Advisor Diversified International Fund - Class C | TH7Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class C | TH8Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.60%
|
Fidelity Advisor Diversified International Fund - Class C | TH9Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
1.50%
|
Fidelity Advisor Diversified International Fund - Class C | MSFinancialsSectorMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.30%
|
Fidelity Advisor Diversified International Fund - Class C | Information Technology Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
10.90%
|
Fidelity Advisor Diversified International Fund - Class C | Healthcare Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.90%
|
Fidelity Advisor Diversified International Fund - Class C | Industrial Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
27.00%
|
Fidelity Advisor Diversified International Fund - Class C | Materials Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.20%
|
Fidelity Advisor Diversified International Fund - Class C | Consumer Discretionary Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
8.00%
|
Fidelity Advisor Diversified International Fund - Class C | Consumer Staples Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.80%
|
Fidelity Advisor Diversified International Fund - Class C | Communications Sector Member |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
2.50%
|
Fidelity Advisor Diversified International Fund - Class C | Energy Sector |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class C | United States |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
14.50%
|
Fidelity Advisor Diversified International Fund - Class C | United Kingdom |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.80%
|
Fidelity Advisor Diversified International Fund - Class C | Japan |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
17.60%
|
Fidelity Advisor Diversified International Fund - Class C | Germany |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
11.80%
|
Fidelity Advisor Diversified International Fund - Class C | France |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
9.30%
|
Fidelity Advisor Diversified International Fund - Class C | Netherlands |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.30%
|
Fidelity Advisor Diversified International Fund - Class C | Italy |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.00%
|
Fidelity Advisor Diversified International Fund - Class C | Sweden |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.10%
|
Fidelity Advisor Diversified International Fund - Class C | OtherMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
15.70%
|
Fidelity Advisor Diversified International Fund - Class C | Canada |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
4.90%
|
Fidelity Advisor Diversified International Fund - Class C | AACommonStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
96.00%
|
Fidelity Advisor Diversified International Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
3.40%
|
Fidelity Advisor Diversified International Fund - Class C | AAPreferredStocksMember |
|
Holdings [Line Items] |
|
Percent of Net Asset Value |
0.60%
|