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Fidelity Special Values PLC

Net Asset Value Dec 15, 2025

4736_rns_2025-12-15_58696668-111e-4a4e-9410-88c2366ce468.html

Net Asset Value

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National Storage Mechanism | Additional information

BLOCK LISTING SIX MONTHLY RETURN

Information provided on this form must be typed or printed electronically and provided to an ris.

Date: 15 December 2025

Name of applicant: Fidelity Special Values PLC
Name of scheme: General Corporate Purposes
Period of return: From: 14 June 2025 To: 14 December 2025
Balance of unallotted securities under scheme(s) from previous return: 915,000 ordinary shares of 5p each
Plus:  The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for): N/A
Less:  Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G): 0
Equals:  Balance under scheme(s) not yet issued/allotted at end of period: 915,000 ordinary shares of 5p each
Name of contact: Smita Amin

For and on behalf of FIL Investments International

Company Secretary
Telephone number of contact: 01737 836347


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