Form N-CSR Cover
Form N-CSR Cover | 12 Months Ended |
Jul. 31, 2024 | |
Shareholder Report [Line Items] | |
Document Type | N-CSR |
Amendment Flag | false |
Registrant Name | Fidelity Advisor Series VII |
Entity Central Index Key | 0000315700 |
Entity Investment Company Type | N-1A |
Document Period End Date | Jul. 31, 2024 |
Shareholder Report
Shareholder Report | 12 Months Ended |
Jul. 31, 2024 USD ($) shares | |
Shareholder Report [Line Items] | |
Document Type | N-CSR |
Amendment Flag | false |
Registrant Name | Fidelity Advisor Series VII |
Entity Central Index Key | 0000315700 |
Entity Investment Company Type | N-1A |
Document Period End Date | Jul. 31, 2024 |
Fidelity Advisor Global Real Estate Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Global Real Estate Fund |
Class Name | Fidelity Advisor® Global Real Estate Fund Class I |
Trading Symbol | FWRIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Global Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.95 % |
Expenses Paid, Amount | $ 99 |
Expense Ratio, Percent | 0.95% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • ® EPRA SM /NAREIT ® Developed Index for the fiscal year. • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B26"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE August 11, 2016 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $9,920 $10,563 $11,466 $10,962 $14,341 $13,033 $12,040 $13,150 FTSE® EPRA℠/NAREIT® Developed Index $10,000 $9,960 $10,524 $11,380 $9,855 $13,420 $12,176 $11,285 $12,184 MSCI ACWI (All Country World Index) Index $10,000 $11,606 $12,928 $13,363 $14,382 $19,214 $17,256 $19,556 $22,962 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class I 9.22% 2.78% 3.49% FTSE® EPRA℠/NAREIT® Developed Index 7.97% 1.38% 2.51% MSCI ACWI (All Country World Index) Index 17.42% 11.43% 10.99% A From August 11, 2016 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Aug. 11, 2016 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,027,346 |
Holdings Count | shares | 73 |
Advisory Fees Paid, Amount | $ 39,394 |
Investment Company Portfolio Turnover | 32% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 73 Total Advisory Fee $ Portfolio Turnover 32 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Residential REITs 19.8 Specialized REITs 19.1 Industrial REITs 18.3 Retail REITs 18.0 Real Estate Management & Development 11.9 Health Care REITs 7.1 Diversified REITs 2.8 Hotel & Resort REITs 1.3 Office REITs 0.6 Common Stocks 98.9 Short-Term Investments and Net Other Assets (Liabilities) 1.1 ASSET ALLOCATION (% of Fund's net assets) United States 61.9 United Kingdom 8.3 Japan 8.2 Australia 4.9 Canada 3.7 Singapore 3.0 France 2.3 Sweden 1.9 Germany 1.8 Others 4.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.1 Equinix Inc 5.2 Public Storage Operating Co 3.9 Ventas Inc 3.6 Digital Realty Trust Inc 3.0 Kimco Realty Corp 2.8 Grainger PLC 2.6 NNN REIT Inc 2.5 UDR Inc 2.4 Welltower Inc 2.4 37.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B41"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B42"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B43"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Consumer Discretionary Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Consumer Discretionary Fund |
Class Name | Fidelity Advisor® Consumer Discretionary Fund Class Z |
Trading Symbol | FIJZX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Consumer Discretionary Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.62 % |
Expenses Paid, Amount | $ 66 |
Expense Ratio, Percent | 0.62% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B60"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $10,336 $12,040 $16,643 $13,658 $15,377 $17,529 MSCI U.S. IMI Consumer Discretionary 25-50 Index $10,000 $10,388 $12,652 $18,604 $16,041 $17,671 $19,618 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 13.99% 11.14% 10.10% MSCI U.S. IMI Consumer Discretionary 25-50 Index 11.02% 13.56% 12.25% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 475,554,258 |
Holdings Count | shares | 60 |
Advisory Fees Paid, Amount | $ 2,742,271 |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 60 Total Advisory Fee $ Portfolio Turnover 25 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Broadline Retail 25.9 Specialty Retail 23.6 Hotels, Restaurants & Leisure 18.7 Automobiles 12.5 Textiles, Apparel & Luxury Goods 8.0 Household Durables 5.7 Automobile Components 3.1 Consumer Staples Distribution & Retail 1.1 Building Products 0.8 Others 0.7 Common Stocks 100.1 ASSET ALLOCATION (% of Fund's net assets) Short-Term Investments and Net Other Assets (Liabilities) - (0.1)% United States 96.1 Canada 2.3 Brazil 0.7 France 0.3 United Kingdom 0.3 Switzerland 0.3 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Amazon.com Inc 23.9 Tesla Inc 10.8 Home Depot Inc/The 5.0 Lowe's Cos Inc 4.8 TJX Cos Inc/The 3.8 Hilton Worldwide Holdings Inc 3.2 Dick's Sporting Goods Inc 2.4 McDonald's Corp 2.4 Booking Holdings Inc 2.1 Aptiv PLC 2.1 60.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B75"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B76"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B77"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Global Real Estate Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Global Real Estate Fund |
Class Name | Fidelity Advisor® Global Real Estate Fund Class M |
Trading Symbol | FWRTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Global Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.45 % |
Expenses Paid, Amount | $ 151 |
Expense Ratio, Percent | 1.45% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • ® EPRA SM /NAREIT ® Developed Index for the fiscal year. • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B94"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE August 11, 2016 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $9,525 $10,087 $10,900 $10,369 $13,501 $12,216 $11,228 $12,189 FTSE® EPRA℠/NAREIT® Developed Index $10,000 $9,960 $10,524 $11,380 $9,855 $13,420 $12,176 $11,285 $12,184 MSCI ACWI (All Country World Index) Index $10,000 $11,606 $12,928 $13,363 $14,382 $19,214 $17,256 $19,556 $22,962 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class M (incl. 3.50% sales charge) 4.76% 1.53% 2.51% Class M (without 3.50% sales charge) 8.56% 2.26% 2.97% FTSE® EPRA℠/NAREIT® Developed Index 7.97% 1.38% 2.51% MSCI ACWI (All Country World Index) Index 17.42% 11.43% 10.99% A From August 11, 2016 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Aug. 11, 2016 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,027,346 |
Holdings Count | shares | 73 |
Advisory Fees Paid, Amount | $ 39,394 |
Investment Company Portfolio Turnover | 32% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 73 Total Advisory Fee $ Portfolio Turnover 32 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Residential REITs 19.8 Specialized REITs 19.1 Industrial REITs 18.3 Retail REITs 18.0 Real Estate Management & Development 11.9 Health Care REITs 7.1 Diversified REITs 2.8 Hotel & Resort REITs 1.3 Office REITs 0.6 Common Stocks 98.9 Short-Term Investments and Net Other Assets (Liabilities) 1.1 ASSET ALLOCATION (% of Fund's net assets) United States 61.9 United Kingdom 8.3 Japan 8.2 Australia 4.9 Canada 3.7 Singapore 3.0 France 2.3 Sweden 1.9 Germany 1.8 Others 4.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.1 Equinix Inc 5.2 Public Storage Operating Co 3.9 Ventas Inc 3.6 Digital Realty Trust Inc 3.0 Kimco Realty Corp 2.8 Grainger PLC 2.6 NNN REIT Inc 2.5 UDR Inc 2.4 Welltower Inc 2.4 37.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B109"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B110"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B111"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Industrials Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Industrials Fund |
Class Name | Fidelity Advisor® Industrials Fund Class I |
Trading Symbol | FCLIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Industrials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.73 % |
Expenses Paid, Amount | $ 83 |
Expense Ratio, Percent | 0.73% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B128"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $10,845 $11,423 $12,898 $15,001 $15,348 $14,379 $19,552 $18,076 $21,514 $27,315 MSCI U.S. IMI Industrials 25-50 Index $10,000 $10,697 $11,622 $13,810 $15,836 $16,344 $15,397 $22,708 $21,070 $25,150 $29,881 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 26.97% 12.22% 10.57% MSCI U.S. IMI Industrials 25-50 Index 18.81% 12.83% 11.57% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 582,010,248 |
Holdings Count | shares | 51 |
Advisory Fees Paid, Amount | $ 3,019,014 |
Investment Company Portfolio Turnover | 29% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 51 Total Advisory Fee $ Portfolio Turnover 29 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Aerospace & Defense 22.7 Machinery 20.2 Ground Transportation 13.1 Electrical Equipment 11.1 Building Products 10.2 Trading Companies & Distributors 5.6 Construction & Engineering 3.8 Air Freight & Logistics 3.6 Professional Services 3.2 Others 5.5 Common Stocks 99.0 Short-Term Investments and Net Other Assets (Liabilities) 1.0 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) General Electric Co 6.3 Union Pacific Corp 4.9 Ingersoll Rand Inc 4.9 Howmet Aerospace Inc 4.7 Boeing Co 4.2 Parker-Hannifin Corp 4.1 Trane Technologies PLC 3.9 TransDigm Group Inc 3.7 FedEx Corp 3.4 Eaton Corp PLC 3.3 43.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B142"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B143"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B144"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Real Estate Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Real Estate Fund |
Class Name | Fidelity Advisor® Real Estate Fund Class C |
Trading Symbol | FHECX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.81 % |
Expenses Paid, Amount | $ 189 |
Expense Ratio, Percent | 1.81% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B161"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $10,885 $12,779 $11,970 $12,181 $13,244 $12,191 $15,770 $14,770 $13,041 $14,358 MSCI US IMI Real Estate 25/50 Linked Index $10,000 $11,129 $13,457 $12,695 $13,185 $14,621 $12,238 $16,556 $15,854 $14,323 $15,860 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 8.30% 1.33% 3.68% Class C 9.30% 1.33% 3.68% MSCI US IMI Real Estate 25/50 Linked Index 10.73% 1.64% 4.72% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 237,005,518 |
Holdings Count | shares | 35 |
Advisory Fees Paid, Amount | $ 1,374,363 |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 35 Total Advisory Fee $ Portfolio Turnover 24 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Specialized REITs 37.6 Industrial REITs 16.2 Residential REITs 14.2 Retail REITs 10.8 Health Care REITs 9.1 Real Estate Management & Development 7.7 Hotel & Resort REITs 2.5 Office REITs 1.2 Common Stocks 99.3 Short-Term Investments and Net Other Assets (Liabilities) 0.7 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.6 Equinix Inc 7.8 Crown Castle Inc 7.5 CBRE Group Inc Class A 6.3 American Tower Corp 5.9 Ventas Inc 5.8 CubeSmart 5.4 Digital Realty Trust Inc 3.5 Welltower Inc 3.3 Mid-America Apartment Communities Inc 3.3 58.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B175"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B176"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B177"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Technology Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Technology Fund |
Class Name | Fidelity Advisor® Technology Fund Class I |
Trading Symbol | FATIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Technology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.70 % |
Expenses Paid, Amount | $ 79 |
Expense Ratio, Percent | 0.70% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B194"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $11,130 $12,048 $16,898 $21,249 $22,855 $34,104 $49,513 $41,313 $54,052 $68,871 MSCI U.S. IMI Information Technology 25-50 Index $10,000 $11,306 $12,261 $15,808 $20,247 $23,485 $32,225 $45,360 $41,091 $50,982 $64,137 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 27.42% 24.68% 21.28% MSCI U.S. IMI Information Technology 25-50 Index 25.80% 22.25% 20.42% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,458,251,428 |
Holdings Count | shares | 89 |
Advisory Fees Paid, Amount | $ 31,726,651 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 89 Total Advisory Fee $ Portfolio Turnover 34 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 41.8 Technology Hardware, Storage & Peripherals 20.7 Software 20.6 IT Services 4.4 Communications Equipment 2.5 Ground Transportation 2.2 Broadline Retail 1.5 Hotels, Restaurants & Leisure 0.6 Entertainment 0.5 Others 0.9 Common Stocks 94.5 Preferred Stocks 1.2 Preferred Securities 0.0 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.2 China 4.5 Taiwan 2.0 Netherlands 1.2 Canada 1.0 India 0.1 Korea (South) 0.0 Israel 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 20.1 Apple Inc 19.2 Microsoft Corp 10.7 NXP Semiconductors NV 4.4 ON Semiconductor Corp 4.4 Marvell Technology Inc 3.9 Servicenow Inc 3.6 Okta Inc Class A 2.9 GlobalFoundries Inc 2.8 Cisco Systems Inc 2.5 74.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B208"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B209"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B210"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Financials Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Financials Fund |
Class Name | Fidelity Advisor® Financials Fund Class C |
Trading Symbol | FAFCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Financials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.77 % |
Expenses Paid, Amount | $ 203 |
Expense Ratio, Percent | 1.77% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B227"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $11,045 $10,285 $12,966 $14,429 $14,616 $12,308 $19,769 $18,952 $19,743 $25,701 MSCI U.S. IMI Financials 5% Capped Linked Index $10,000 $11,434 $11,272 $14,794 $16,593 $17,130 $14,510 $22,803 $21,734 $22,906 $29,316 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 28.23% 11.62% 9.90% Class C 29.23% 11.62% 9.90% MSCI U.S. IMI Financials 5% Capped Linked Index 27.98% 11.35% 11.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 507,414,487 |
Holdings Count | shares | 66 |
Advisory Fees Paid, Amount | $ 2,566,292 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 66 Total Advisory Fee $ Portfolio Turnover 44 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Banks 35.0 Capital Markets 21.1 Financial Services 20.7 Insurance 18.5 Consumer Finance 3.7 Professional Services 1.0 Common Stocks 100.0 Short-Term Investments and Net Other Assets (Liabilities) 0.0 ASSET ALLOCATION (% of Fund's net assets) United States 93.0 United Kingdom 3.7 Puerto Rico 2.1 Grand Cayman (UK Overseas Ter) 0.7 Mexico 0.5 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Mastercard Inc Class A 10.1 Wells Fargo & Co 6.4 Bank of America Corp 5.1 Citigroup Inc 3.1 Chubb Ltd 2.6 M&T Bank Corp 2.6 Morgan Stanley 2.5 Apollo Global Management Inc 2.4 Reinsurance Group of America Inc 2.3 Popular Inc 2.1 39.2 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Name [Text Block] | The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B242"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B243"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B244"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Technology Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Technology Fund |
Class Name | Fidelity Advisor® Technology Fund Class Z |
Trading Symbol | FIKHX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Technology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.56 % |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 0.56% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B261"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $10,288 $15,370 $22,342 $18,664 $24,449 $31,190 MSCI U.S. IMI Information Technology 25-50 Index $10,000 $10,841 $14,876 $20,939 $18,969 $23,535 $29,607 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 27.57% 24.83% 21.53% MSCI U.S. IMI Information Technology 25-50 Index 25.80% 22.25% 20.45% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,458,251,428 |
Holdings Count | shares | 89 |
Advisory Fees Paid, Amount | $ 31,726,651 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 89 Total Advisory Fee $ Portfolio Turnover 34 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 41.8 Technology Hardware, Storage & Peripherals 20.7 Software 20.6 IT Services 4.4 Communications Equipment 2.5 Ground Transportation 2.2 Broadline Retail 1.5 Hotels, Restaurants & Leisure 0.6 Entertainment 0.5 Others 0.9 Common Stocks 94.5 Preferred Stocks 1.2 Preferred Securities 0.0 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.2 China 4.5 Taiwan 2.0 Netherlands 1.2 Canada 1.0 India 0.1 Korea (South) 0.0 Israel 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 20.1 Apple Inc 19.2 Microsoft Corp 10.7 NXP Semiconductors NV 4.4 ON Semiconductor Corp 4.4 Marvell Technology Inc 3.9 Servicenow Inc 3.6 Okta Inc Class A 2.9 GlobalFoundries Inc 2.8 Cisco Systems Inc 2.5 74.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B276"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B277"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B278"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Real Estate Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Real Estate Fund |
Class Name | Fidelity Advisor® Real Estate Fund Class A |
Trading Symbol | FHEAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.07 % |
Expenses Paid, Amount | $ 112 |
Expense Ratio, Percent | 1.07% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B295"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $10,340 $12,235 $11,546 $11,841 $12,980 $12,044 $15,703 $14,816 $13,082 $14,403 MSCI US IMI Real Estate 25/50 Linked Index $10,000 $11,129 $13,457 $12,695 $13,185 $14,621 $12,238 $16,556 $15,854 $14,323 $15,860 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 3.76% 0.90% 3.72% Class A (without 5.75% sales charge) 10.10% 2.10% 4.33% MSCI US IMI Real Estate 25/50 Linked Index 10.73% 1.64% 4.72% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 237,005,518 |
Holdings Count | shares | 35 |
Advisory Fees Paid, Amount | $ 1,374,363 |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 35 Total Advisory Fee $ Portfolio Turnover 24 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Specialized REITs 37.6 Industrial REITs 16.2 Residential REITs 14.2 Retail REITs 10.8 Health Care REITs 9.1 Real Estate Management & Development 7.7 Hotel & Resort REITs 2.5 Office REITs 1.2 Common Stocks 99.3 Short-Term Investments and Net Other Assets (Liabilities) 0.7 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.6 Equinix Inc 7.8 Crown Castle Inc 7.5 CBRE Group Inc Class A 6.3 American Tower Corp 5.9 Ventas Inc 5.8 CubeSmart 5.4 Digital Realty Trust Inc 3.5 Welltower Inc 3.3 Mid-America Apartment Communities Inc 3.3 58.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B309"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B310"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B311"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Global Real Estate Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Global Real Estate Fund |
Class Name | Fidelity Advisor® Global Real Estate Fund Class C |
Trading Symbol | FWRCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Global Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.95 % |
Expenses Paid, Amount | $ 202 |
Expense Ratio, Percent | 1.95% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • ® EPRA SM /NAREIT ® Developed Index for the fiscal year. • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B328"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE August 11, 2016 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $9,823 $10,352 $11,130 $10,539 $13,647 $12,287 $11,239 $12,145 FTSE® EPRA℠/NAREIT® Developed Index $10,000 $9,960 $10,524 $11,380 $9,855 $13,420 $12,176 $11,285 $12,184 MSCI ACWI (All Country World Index) Index $10,000 $11,606 $12,928 $13,363 $14,382 $19,214 $17,256 $19,556 $22,962 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class C (incl. contingent deferred sales charge) 7.06% 1.76% 2.47% Class C 8.06% 1.76% 2.47% FTSE® EPRA℠/NAREIT® Developed Index 7.97% 1.38% 2.51% MSCI ACWI (All Country World Index) Index 17.42% 11.43% 10.99% A From August 11, 2016 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Aug. 11, 2016 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,027,346 |
Holdings Count | shares | 73 |
Advisory Fees Paid, Amount | $ 39,394 |
Investment Company Portfolio Turnover | 32% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 73 Total Advisory Fee $ Portfolio Turnover 32 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Residential REITs 19.8 Specialized REITs 19.1 Industrial REITs 18.3 Retail REITs 18.0 Real Estate Management & Development 11.9 Health Care REITs 7.1 Diversified REITs 2.8 Hotel & Resort REITs 1.3 Office REITs 0.6 Common Stocks 98.9 Short-Term Investments and Net Other Assets (Liabilities) 1.1 ASSET ALLOCATION (% of Fund's net assets) United States 61.9 United Kingdom 8.3 Japan 8.2 Australia 4.9 Canada 3.7 Singapore 3.0 France 2.3 Sweden 1.9 Germany 1.8 Others 4.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.1 Equinix Inc 5.2 Public Storage Operating Co 3.9 Ventas Inc 3.6 Digital Realty Trust Inc 3.0 Kimco Realty Corp 2.8 Grainger PLC 2.6 NNN REIT Inc 2.5 UDR Inc 2.4 Welltower Inc 2.4 37.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B343"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B344"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B345"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Biotechnology Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Biotechnology Fund |
Class Name | Fidelity Advisor® Biotechnology Fund Class C |
Trading Symbol | FBTCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Biotechnology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.72 % |
Expenses Paid, Amount | $ 196 |
Expense Ratio, Percent | 1.72% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B362"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $15,843 $11,239 $12,752 $14,392 $13,403 $17,299 $19,575 $15,750 $18,141 $23,441 MSCI U.S. IMI Biotechnology 25-50 Index $10,000 $15,191 $12,163 $14,140 $15,791 $14,066 $18,593 $22,002 $19,500 $21,317 $27,056 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 27.15% 11.48% 8.89% Class C 28.15% 11.48% 8.89% MSCI U.S. IMI Biotechnology 25-50 Index 26.92% 13.98% 10.47% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,812,183,981 |
Holdings Count | shares | 100 |
Advisory Fees Paid, Amount | $ 9,501,787 |
Investment Company Portfolio Turnover | 73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 100 Total Advisory Fee $ Portfolio Turnover 73 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 92.6 Pharmaceuticals 5.7 Financial Services 0.2 Health Care Technology 0.1 Common Stocks 96.8 Preferred Stocks 1.8 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 1.4 ASSET ALLOCATION (% of Fund's net assets) United States 88.0 Netherlands 5.1 Denmark 3.5 Canada 1.3 Belgium 1.1 United Kingdom 1.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Abbvie Inc 18.3 Amgen Inc 9.4 Regeneron Pharmaceuticals Inc 7.0 Vertex Pharmaceuticals Inc 4.7 Alnylam Pharmaceuticals Inc 4.5 Argenx SE ADR 3.8 Ascendis Pharma A/S ADR 3.5 Vaxcyte Inc 2.6 Cytokinetics Inc 2.6 Viking Therapeutics Inc 2.3 58.7 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B376"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B377"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B378"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Financials Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Financials Fund |
Class Name | Fidelity Advisor® Financials Fund Class M |
Trading Symbol | FAFSX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Financials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.27 % |
Expenses Paid, Amount | $ 146 |
Expense Ratio, Percent | 1.27% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B395"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $10,710 $10,021 $12,689 $14,192 $14,443 $12,222 $19,736 $19,019 $19,757 $25,665 MSCI U.S. IMI Financials 5% Capped Linked Index $10,000 $11,434 $11,272 $14,794 $16,593 $17,130 $14,510 $22,803 $21,734 $22,906 $29,316 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 25.36% 11.39% 9.88% Class M (without 3.50% sales charge) 29.90% 12.19% 10.28% MSCI U.S. IMI Financials 5% Capped Linked Index 27.98% 11.35% 11.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 507,414,487 |
Holdings Count | shares | 66 |
Advisory Fees Paid, Amount | $ 2,566,292 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 66 Total Advisory Fee $ Portfolio Turnover 44 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Banks 35.0 Capital Markets 21.1 Financial Services 20.7 Insurance 18.5 Consumer Finance 3.7 Professional Services 1.0 Common Stocks 100.0 Short-Term Investments and Net Other Assets (Liabilities) 0.0 ASSET ALLOCATION (% of Fund's net assets) United States 93.0 United Kingdom 3.7 Puerto Rico 2.1 Grand Cayman (UK Overseas Ter) 0.7 Mexico 0.5 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Mastercard Inc Class A 10.1 Wells Fargo & Co 6.4 Bank of America Corp 5.1 Citigroup Inc 3.1 Chubb Ltd 2.6 M&T Bank Corp 2.6 Morgan Stanley 2.5 Apollo Global Management Inc 2.4 Reinsurance Group of America Inc 2.3 Popular Inc 2.1 39.2 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Name [Text Block] | The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B410"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B411"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B412"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Financials Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Financials Fund |
Class Name | Fidelity Advisor® Financials Fund Class I |
Trading Symbol | FFSIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Financials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.75 % |
Expenses Paid, Amount | $ 86 |
Expense Ratio, Percent | 0.75% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B429"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $11,161 $10,504 $13,377 $15,040 $15,395 $13,100 $21,263 $20,597 $21,518 $28,086 MSCI U.S. IMI Financials 5% Capped Linked Index $10,000 $11,434 $11,272 $14,794 $16,593 $17,130 $14,510 $22,803 $21,734 $22,906 $29,316 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 30.52% 12.78% 10.88% MSCI U.S. IMI Financials 5% Capped Linked Index 27.98% 11.35% 11.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 507,414,487 |
Holdings Count | shares | 66 |
Advisory Fees Paid, Amount | $ 2,566,292 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 66 Total Advisory Fee $ Portfolio Turnover 44 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Banks 35.0 Capital Markets 21.1 Financial Services 20.7 Insurance 18.5 Consumer Finance 3.7 Professional Services 1.0 Common Stocks 100.0 Short-Term Investments and Net Other Assets (Liabilities) 0.0 ASSET ALLOCATION (% of Fund's net assets) United States 93.0 United Kingdom 3.7 Puerto Rico 2.1 Grand Cayman (UK Overseas Ter) 0.7 Mexico 0.5 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Mastercard Inc Class A 10.1 Wells Fargo & Co 6.4 Bank of America Corp 5.1 Citigroup Inc 3.1 Chubb Ltd 2.6 M&T Bank Corp 2.6 Morgan Stanley 2.5 Apollo Global Management Inc 2.4 Reinsurance Group of America Inc 2.3 Popular Inc 2.1 39.2 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Name [Text Block] | The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B444"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B445"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B446"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Energy Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Energy Fund |
Class Name | Fidelity Advisor® Energy Fund Class M |
Trading Symbol | FAGNX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Energy Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.24 % |
Expenses Paid, Amount | $ 131 |
Expense Ratio, Percent | 1.24% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B463"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $6,843 $6,910 $6,813 $8,431 $6,299 $3,801 $5,563 $9,494 $10,979 $12,202 MSCI U.S. IMI Energy 25-50 Index $10,000 $7,208 $7,220 $7,200 $8,707 $7,019 $4,258 $6,393 $10,594 $12,299 $13,570 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 7.25% 13.33% 2.01% Class M (without 3.50% sales charge) 11.14% 14.14% 2.37% MSCI U.S. IMI Energy 25-50 Index 10.33% 14.09% 3.10% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,311,457,602 |
Holdings Count | shares | 43 |
Advisory Fees Paid, Amount | $ 7,393,032 |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 43 Total Advisory Fee $ Portfolio Turnover 31 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Oil, Gas & Consumable Fuels 81.1 Energy Equipment & Services 16.3 Independent Power and Renewable Electricity Producers 1.4 Machinery 1.0 Common Stocks 99.8 Short-Term Investments and Net Other Assets (Liabilities) 0.2 ASSET ALLOCATION (% of Fund's net assets) United States 82.6 Canada 13.4 United Kingdom 3.3 Norway 0.3 Cameroon 0.2 France 0.1 United Arab Emirates 0.1 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Exxon Mobil Corp 24.8 Cenovus Energy Inc 6.2 Schlumberger NV 5.4 Chevron Corp 4.8 Marathon Petroleum Corp 4.8 Canadian Natural Resources Ltd 4.5 Valero Energy Corp 3.9 Cheniere Energy Inc 3.9 Occidental Petroleum Corp 3.8 Hess Corp 3.4 65.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B477"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B478"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B479"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Energy Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Energy Fund |
Class Name | Fidelity Advisor® Energy Fund Class A |
Trading Symbol | FANAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Energy Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 0.99 % |
Expenses Paid, Amount | $ 105 |
Expense Ratio, Percent | 0.99% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B496"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $6,699 $6,783 $6,705 $8,319 $6,234 $3,769 $5,532 $9,467 $10,976 $12,232 MSCI U.S. IMI Energy 25-50 Index $10,000 $7,208 $7,220 $7,200 $8,707 $7,019 $4,258 $6,393 $10,594 $12,299 $13,570 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 5.03% 13.08% 2.03% Class A (without 5.75% sales charge) 11.44% 14.43% 2.64% MSCI U.S. IMI Energy 25-50 Index 10.33% 14.09% 3.10% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,311,457,602 |
Holdings Count | shares | 43 |
Advisory Fees Paid, Amount | $ 7,393,032 |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 43 Total Advisory Fee $ Portfolio Turnover 31 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Oil, Gas & Consumable Fuels 81.1 Energy Equipment & Services 16.3 Independent Power and Renewable Electricity Producers 1.4 Machinery 1.0 Common Stocks 99.8 Short-Term Investments and Net Other Assets (Liabilities) 0.2 ASSET ALLOCATION (% of Fund's net assets) United States 82.6 Canada 13.4 United Kingdom 3.3 Norway 0.3 Cameroon 0.2 France 0.1 United Arab Emirates 0.1 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Exxon Mobil Corp 24.8 Cenovus Energy Inc 6.2 Schlumberger NV 5.4 Chevron Corp 4.8 Marathon Petroleum Corp 4.8 Canadian Natural Resources Ltd 4.5 Valero Energy Corp 3.9 Cheniere Energy Inc 3.9 Occidental Petroleum Corp 3.8 Hess Corp 3.4 65.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B510"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B511"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B512"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Financials Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Financials Fund |
Class Name | Fidelity Advisor® Financials Fund Class A |
Trading Symbol | FAFDX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Financials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.03 % |
Expenses Paid, Amount | $ 118 |
Expense Ratio, Percent | 1.03% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B529"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $10,489 $9,844 $12,499 $14,014 $14,301 $12,135 $19,639 $18,971 $19,762 $25,727 MSCI U.S. IMI Financials 5% Capped Linked Index $10,000 $11,434 $11,272 $14,794 $16,593 $17,130 $14,510 $22,803 $21,734 $22,906 $29,316 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 22.69% 11.14% 9.91% Class A (without 5.75% sales charge) 30.18% 12.46% 10.56% MSCI U.S. IMI Financials 5% Capped Linked Index 27.98% 11.35% 11.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 507,414,487 |
Holdings Count | shares | 66 |
Advisory Fees Paid, Amount | $ 2,566,292 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 66 Total Advisory Fee $ Portfolio Turnover 44 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Banks 35.0 Capital Markets 21.1 Financial Services 20.7 Insurance 18.5 Consumer Finance 3.7 Professional Services 1.0 Common Stocks 100.0 Short-Term Investments and Net Other Assets (Liabilities) 0.0 ASSET ALLOCATION (% of Fund's net assets) United States 93.0 United Kingdom 3.7 Puerto Rico 2.1 Grand Cayman (UK Overseas Ter) 0.7 Mexico 0.5 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Mastercard Inc Class A 10.1 Wells Fargo & Co 6.4 Bank of America Corp 5.1 Citigroup Inc 3.1 Chubb Ltd 2.6 M&T Bank Corp 2.6 Morgan Stanley 2.5 Apollo Global Management Inc 2.4 Reinsurance Group of America Inc 2.3 Popular Inc 2.1 39.2 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Name [Text Block] | The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B544"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B545"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B546"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Semiconductors Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Semiconductors Fund |
Class Name | Fidelity Advisor® Semiconductors Fund Class C |
Trading Symbol | FELCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Semiconductors Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.71 % |
Expenses Paid, Amount | $ 204 |
Expense Ratio, Percent | 1.71% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B563"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $11,003 $13,147 $17,118 $21,634 $23,652 $30,685 $49,454 $47,513 $70,942 $98,975 MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index $10,000 $10,481 $13,028 $17,291 $21,750 $23,948 $32,281 $51,070 $48,484 $72,407 $107,971 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 37.46% 32.74% 25.76% Class C 38.46% 32.74% 25.76% MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index 49.12% 35.15% 26.86% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 2,698,217,311 |
Holdings Count | shares | 45 |
Advisory Fees Paid, Amount | $ 11,387,050 |
Investment Company Portfolio Turnover | 30% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 45 Total Advisory Fee $ Portfolio Turnover 30 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 92.7 Technology Hardware, Storage & Peripherals 2.4 Electronic Equipment, Instruments & Components 0.1 Financial Services 0.0 Metals & Mining 0.0 Common Stocks 95.0 Preferred Stocks 0.2 Preferred Securities 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.8 ASSET ALLOCATION (% of Fund's net assets) United States 79.9 Taiwan 7.1 China 5.6 Netherlands 5.0 Israel 1.7 Japan 0.7 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 25.8 ON Semiconductor Corp 7.3 Taiwan Semiconductor Manufacturing Co Ltd ADR 6.1 NXP Semiconductors NV 5.6 Micron Technology Inc 5.4 ASML Holding NV depository receipt 5.0 GlobalFoundries Inc 4.8 Lam Research Corp 4.8 Broadcom Inc 4.3 Advanced Micro Devices Inc 3.8 72.9 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B577"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B578"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B579"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Utilities Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Utilities Fund |
Class Name | Fidelity Advisor® Utilities Fund Class I |
Trading Symbol | FUGIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Utilities Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.73 % |
Expenses Paid, Amount | $ 79 |
Expense Ratio, Percent | 0.73% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B596"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $10,235 $11,648 $12,833 $14,133 $15,835 $15,628 $18,020 $21,444 $21,156 $24,715 MSCI U.S. IMI Utilities 25-50 Index $10,000 $10,922 $13,519 $14,434 $15,013 $17,419 $17,988 $20,183 $23,242 $21,712 $24,456 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 16.82% 9.31% 9.47% MSCI U.S. IMI Utilities 25-50 Index 12.64% 7.02% 9.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 819,716,826 |
Holdings Count | shares | 30 |
Advisory Fees Paid, Amount | $ 4,138,318 |
Investment Company Portfolio Turnover | 84% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 30 Total Advisory Fee $ Portfolio Turnover 84 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Electric Utilities 63.0 Multi-Utilities 23.0 Independent Power and Renewable Electricity Producers 7.0 Gas Utilities 2.2 Oil, Gas & Consumable Fuels 0.2 Common Stocks 95.4 Short-Term Investments and Net Other Assets (Liabilities) 4.6 ASSET ALLOCATION (% of Fund's net assets) United States 99.8 Australia 0.2 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NextEra Energy Inc 12.7 Sempra 7.1 PG&E Corp 5.9 American Electric Power Co Inc 5.6 Edison International 5.4 Public Service Enterprise Group Inc 5.0 Eversource Energy 5.0 Constellation Energy Corp 5.0 Entergy Corp 4.8 FirstEnergy Corp 4.3 60.8 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B610"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B611"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B612"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Health Care Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Health Care Fund |
Class Name | Fidelity Advisor® Health Care Fund Class C |
Trading Symbol | FHCCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Health Care Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.70 % |
Expenses Paid, Amount | $ 175 |
Expense Ratio, Percent | 1.70% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B629"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $13,304 $11,907 $12,940 $15,384 $15,708 $19,413 $23,253 $20,332 $21,087 $22,496 MSCI U.S. IMI Health Care 25-50 Index $10,000 $13,063 $12,726 $13,917 $16,068 $16,693 $19,997 $25,628 $24,807 $25,460 $28,709 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 4.90% 7.13% 8.45% Class C 5.90% 7.13% 8.45% MSCI U.S. IMI Health Care 25-50 Index 12.76% 11.45% 11.12% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 4,615,583,149 |
Holdings Count | shares | 103 |
Advisory Fees Paid, Amount | $ 27,914,465 |
Investment Company Portfolio Turnover | 37% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 103 Total Advisory Fee $ Portfolio Turnover 37 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 24.4 Health Care Equipment & Supplies 23.5 Health Care Providers & Services 21.8 Pharmaceuticals 16.6 Life Sciences Tools & Services 10.9 Health Care Technology 2.0 Financial Services 0.2 Common Stocks 97.9 Preferred Stocks 1.5 Preferred Securities 0.2 Bonds 0.1 Short-Term Investments and Net Other Assets (Liabilities) 0.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.5 Netherlands 3.0 United Kingdom 1.7 Denmark 1.5 Belgium 1.3 Canada 0.9 Israel 0.1 China 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Boston Scientific Corp 9.6 Eli Lilly & Co 8.2 UnitedHealth Group Inc 7.8 Danaher Corp 6.4 Regeneron Pharmaceuticals Inc 4.4 Merck & Co Inc 3.9 Cigna Group/The 3.4 Penumbra Inc 3.1 Stryker Corp 2.4 Insulet Corp 2.2 51.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B643"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B644"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B645"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Industrials Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Industrials Fund |
Class Name | Fidelity Advisor® Industrials Fund Class Z |
Trading Symbol | FIKEX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Industrials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.61 % |
Expenses Paid, Amount | $ 69 |
Expense Ratio, Percent | 0.61% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B662"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $9,808 $9,199 $12,525 $11,596 $13,816 $17,564 MSCI U.S. IMI Industrials 25-50 Index $10,000 $10,039 $9,457 $13,947 $12,942 $15,447 $18,353 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 27.12% 12.36% 10.14% MSCI U.S. IMI Industrials 25-50 Index 18.81% 12.83% 10.97% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 582,010,248 |
Holdings Count | shares | 51 |
Advisory Fees Paid, Amount | $ 3,019,014 |
Investment Company Portfolio Turnover | 29% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 51 Total Advisory Fee $ Portfolio Turnover 29 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Aerospace & Defense 22.7 Machinery 20.2 Ground Transportation 13.1 Electrical Equipment 11.1 Building Products 10.2 Trading Companies & Distributors 5.6 Construction & Engineering 3.8 Air Freight & Logistics 3.6 Professional Services 3.2 Others 5.5 Common Stocks 99.0 Short-Term Investments and Net Other Assets (Liabilities) 1.0 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) General Electric Co 6.3 Union Pacific Corp 4.9 Ingersoll Rand Inc 4.9 Howmet Aerospace Inc 4.7 Boeing Co 4.2 Parker-Hannifin Corp 4.1 Trane Technologies PLC 3.9 TransDigm Group Inc 3.7 FedEx Corp 3.4 Eaton Corp PLC 3.3 43.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B677"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B678"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B679"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Global Real Estate Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Global Real Estate Fund |
Class Name | Fidelity Advisor® Global Real Estate Fund Class Z |
Trading Symbol | FIKKX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Global Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.80 % |
Expenses Paid, Amount | $ 83 |
Expense Ratio, Percent | 0.80% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • ® EPRA SM /NAREIT ® Developed Index for the fiscal year. • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B696"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $11,017 $10,544 $13,820 $12,587 $11,646 $12,734 FTSE® EPRA℠/NAREIT® Developed Index $10,000 $11,066 $9,583 $13,050 $11,840 $10,973 $11,848 MSCI ACWI (All Country World Index) Index $10,000 $10,222 $11,001 $14,698 $13,199 $14,959 $17,565 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 9.34% 2.94% 4.23% FTSE® EPRA℠/NAREIT® Developed Index 7.97% 1.38% 2.95% MSCI ACWI (All Country World Index) Index 17.42% 11.43% 10.14% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,027,346 |
Holdings Count | shares | 73 |
Advisory Fees Paid, Amount | $ 39,394 |
Investment Company Portfolio Turnover | 32% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 73 Total Advisory Fee $ Portfolio Turnover 32 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Residential REITs 19.8 Specialized REITs 19.1 Industrial REITs 18.3 Retail REITs 18.0 Real Estate Management & Development 11.9 Health Care REITs 7.1 Diversified REITs 2.8 Hotel & Resort REITs 1.3 Office REITs 0.6 Common Stocks 98.9 Short-Term Investments and Net Other Assets (Liabilities) 1.1 ASSET ALLOCATION (% of Fund's net assets) United States 61.9 United Kingdom 8.3 Japan 8.2 Australia 4.9 Canada 3.7 Singapore 3.0 France 2.3 Sweden 1.9 Germany 1.8 Others 4.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.1 Equinix Inc 5.2 Public Storage Operating Co 3.9 Ventas Inc 3.6 Digital Realty Trust Inc 3.0 Kimco Realty Corp 2.8 Grainger PLC 2.6 NNN REIT Inc 2.5 UDR Inc 2.4 Welltower Inc 2.4 37.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B711"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B712"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B713"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Semiconductors Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Semiconductors Fund |
Class Name | Fidelity Advisor® Semiconductors Fund Class I |
Trading Symbol | FELIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Semiconductors Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.71 % |
Expenses Paid, Amount | $ 86 |
Expense Ratio, Percent | 0.71% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B730"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $11,117 $13,435 $17,683 $22,589 $24,951 $32,705 $53,262 $51,688 $77,383 $108,234 MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index $10,000 $10,481 $13,028 $17,291 $21,750 $23,948 $32,281 $51,070 $48,484 $72,407 $107,971 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 39.87% 34.11% 26.89% MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index 49.12% 35.15% 26.86% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 2,698,217,311 |
Holdings Count | shares | 45 |
Advisory Fees Paid, Amount | $ 11,387,050 |
Investment Company Portfolio Turnover | 30% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 45 Total Advisory Fee $ Portfolio Turnover 30 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 92.7 Technology Hardware, Storage & Peripherals 2.4 Electronic Equipment, Instruments & Components 0.1 Financial Services 0.0 Metals & Mining 0.0 Common Stocks 95.0 Preferred Stocks 0.2 Preferred Securities 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.8 ASSET ALLOCATION (% of Fund's net assets) United States 79.9 Taiwan 7.1 China 5.6 Netherlands 5.0 Israel 1.7 Japan 0.7 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 25.8 ON Semiconductor Corp 7.3 Taiwan Semiconductor Manufacturing Co Ltd ADR 6.1 NXP Semiconductors NV 5.6 Micron Technology Inc 5.4 ASML Holding NV depository receipt 5.0 GlobalFoundries Inc 4.8 Lam Research Corp 4.8 Broadcom Inc 4.3 Advanced Micro Devices Inc 3.8 72.9 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B744"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B745"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B746"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Biotechnology Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Biotechnology Fund |
Class Name | Fidelity Advisor® Biotechnology Fund Class M |
Trading Symbol | FBTTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Biotechnology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.24 % |
Expenses Paid, Amount | $ 142 |
Expense Ratio, Percent | 1.24% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B763"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $15,360 $10,944 $12,463 $14,127 $13,217 $17,135 $19,480 $15,745 $18,087 $23,308 MSCI U.S. IMI Biotechnology 25-50 Index $10,000 $15,191 $12,163 $14,140 $15,791 $14,066 $18,593 $22,002 $19,500 $21,317 $27,056 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 24.36% 11.22% 8.83% Class M (without 3.50% sales charge) 28.87% 12.01% 9.22% MSCI U.S. IMI Biotechnology 25-50 Index 26.92% 13.98% 10.47% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,812,183,981 |
Holdings Count | shares | 100 |
Advisory Fees Paid, Amount | $ 9,501,787 |
Investment Company Portfolio Turnover | 73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 100 Total Advisory Fee $ Portfolio Turnover 73 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 92.6 Pharmaceuticals 5.7 Financial Services 0.2 Health Care Technology 0.1 Common Stocks 96.8 Preferred Stocks 1.8 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 1.4 ASSET ALLOCATION (% of Fund's net assets) United States 88.0 Netherlands 5.1 Denmark 3.5 Canada 1.3 Belgium 1.1 United Kingdom 1.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Abbvie Inc 18.3 Amgen Inc 9.4 Regeneron Pharmaceuticals Inc 7.0 Vertex Pharmaceuticals Inc 4.7 Alnylam Pharmaceuticals Inc 4.5 Argenx SE ADR 3.8 Ascendis Pharma A/S ADR 3.5 Vaxcyte Inc 2.6 Cytokinetics Inc 2.6 Viking Therapeutics Inc 2.3 58.7 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B777"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B778"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B779"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Health Care Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Health Care Fund |
Class Name | Fidelity Advisor® Health Care Fund Class M |
Trading Symbol | FACTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Health Care Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.22 % |
Expenses Paid, Amount | $ 126 |
Expense Ratio, Percent | 1.22% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B796"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $12,901 $11,604 $12,669 $15,135 $15,530 $19,287 $23,219 $20,405 $21,109 $22,466 MSCI U.S. IMI Health Care 25-50 Index $10,000 $13,063 $12,726 $13,917 $16,068 $16,693 $19,997 $25,628 $24,807 $25,460 $28,709 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 2.71% 6.90% 8.43% Class M (without 3.50% sales charge) 6.43% 7.66% 8.82% MSCI U.S. IMI Health Care 25-50 Index 12.76% 11.45% 11.12% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 4,615,583,149 |
Holdings Count | shares | 103 |
Advisory Fees Paid, Amount | $ 27,914,465 |
Investment Company Portfolio Turnover | 37% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 103 Total Advisory Fee $ Portfolio Turnover 37 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 24.4 Health Care Equipment & Supplies 23.5 Health Care Providers & Services 21.8 Pharmaceuticals 16.6 Life Sciences Tools & Services 10.9 Health Care Technology 2.0 Financial Services 0.2 Common Stocks 97.9 Preferred Stocks 1.5 Preferred Securities 0.2 Bonds 0.1 Short-Term Investments and Net Other Assets (Liabilities) 0.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.5 Netherlands 3.0 United Kingdom 1.7 Denmark 1.5 Belgium 1.3 Canada 0.9 Israel 0.1 China 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Boston Scientific Corp 9.6 Eli Lilly & Co 8.2 UnitedHealth Group Inc 7.8 Danaher Corp 6.4 Regeneron Pharmaceuticals Inc 4.4 Merck & Co Inc 3.9 Cigna Group/The 3.4 Penumbra Inc 3.1 Stryker Corp 2.4 Insulet Corp 2.2 51.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B810"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B811"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B812"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Biotechnology Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Biotechnology Fund |
Class Name | Fidelity Advisor® Biotechnology Fund Class A |
Trading Symbol | FBTAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Biotechnology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 0.98 % |
Expenses Paid, Amount | $ 113 |
Expense Ratio, Percent | 0.98% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B829"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $15,048 $10,752 $12,291 $13,975 $13,113 $17,047 $19,440 $15,756 $18,148 $23,450 MSCI U.S. IMI Biotechnology 25-50 Index $10,000 $15,191 $12,163 $14,140 $15,791 $14,066 $18,593 $22,002 $19,500 $21,317 $27,056 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 21.78% 11.01% 8.90% Class A (without 5.75% sales charge) 29.21% 12.33% 9.54% MSCI U.S. IMI Biotechnology 25-50 Index 26.92% 13.98% 10.47% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,812,183,981 |
Holdings Count | shares | 100 |
Advisory Fees Paid, Amount | $ 9,501,787 |
Investment Company Portfolio Turnover | 73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 100 Total Advisory Fee $ Portfolio Turnover 73 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 92.6 Pharmaceuticals 5.7 Financial Services 0.2 Health Care Technology 0.1 Common Stocks 96.8 Preferred Stocks 1.8 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 1.4 ASSET ALLOCATION (% of Fund's net assets) United States 88.0 Netherlands 5.1 Denmark 3.5 Canada 1.3 Belgium 1.1 United Kingdom 1.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Abbvie Inc 18.3 Amgen Inc 9.4 Regeneron Pharmaceuticals Inc 7.0 Vertex Pharmaceuticals Inc 4.7 Alnylam Pharmaceuticals Inc 4.5 Argenx SE ADR 3.8 Ascendis Pharma A/S ADR 3.5 Vaxcyte Inc 2.6 Cytokinetics Inc 2.6 Viking Therapeutics Inc 2.3 58.7 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B843"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B844"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B845"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Consumer Discretionary Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Consumer Discretionary Fund |
Class Name | Fidelity Advisor® Consumer Discretionary Fund Class I |
Trading Symbol | FCNIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Consumer Discretionary Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.74 % |
Expenses Paid, Amount | $ 79 |
Expense Ratio, Percent | 0.74% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B862"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $12,260 $12,245 $13,502 $16,669 $17,853 $20,771 $28,675 $23,502 $26,428 $30,087 MSCI U.S. IMI Consumer Discretionary 25-50 Index $10,000 $12,215 $12,366 $14,162 $17,199 $18,581 $22,632 $33,278 $28,694 $31,608 $35,092 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 13.84% 11.00% 11.64% MSCI U.S. IMI Consumer Discretionary 25-50 Index 11.02% 13.56% 13.38% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 475,554,258 |
Holdings Count | shares | 60 |
Advisory Fees Paid, Amount | $ 2,742,271 |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 60 Total Advisory Fee $ Portfolio Turnover 25 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Broadline Retail 25.9 Specialty Retail 23.6 Hotels, Restaurants & Leisure 18.7 Automobiles 12.5 Textiles, Apparel & Luxury Goods 8.0 Household Durables 5.7 Automobile Components 3.1 Consumer Staples Distribution & Retail 1.1 Building Products 0.8 Others 0.7 Common Stocks 100.1 ASSET ALLOCATION (% of Fund's net assets) Short-Term Investments and Net Other Assets (Liabilities) - (0.1)% United States 96.1 Canada 2.3 Brazil 0.7 France 0.3 United Kingdom 0.3 Switzerland 0.3 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Amazon.com Inc 23.9 Tesla Inc 10.8 Home Depot Inc/The 5.0 Lowe's Cos Inc 4.8 TJX Cos Inc/The 3.8 Hilton Worldwide Holdings Inc 3.2 Dick's Sporting Goods Inc 2.4 McDonald's Corp 2.4 Booking Holdings Inc 2.1 Aptiv PLC 2.1 60.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B876"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B877"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B878"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Real Estate Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Real Estate Fund |
Class Name | Fidelity Advisor® Real Estate Fund Class M |
Trading Symbol | FHETX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.30 % |
Expenses Paid, Amount | $ 137 |
Expense Ratio, Percent | 1.30% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B895"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $10,563 $12,467 $11,740 $12,014 $13,138 $12,163 $15,828 $14,906 $13,137 $14,431 MSCI US IMI Real Estate 25/50 Linked Index $10,000 $11,129 $13,457 $12,695 $13,185 $14,621 $12,238 $16,556 $15,854 $14,323 $15,860 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 6.01% 1.17% 3.74% Class M (without 3.50% sales charge) 9.85% 1.90% 4.11% MSCI US IMI Real Estate 25/50 Linked Index 10.73% 1.64% 4.72% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 237,005,518 |
Holdings Count | shares | 35 |
Advisory Fees Paid, Amount | $ 1,374,363 |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 35 Total Advisory Fee $ Portfolio Turnover 24 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Specialized REITs 37.6 Industrial REITs 16.2 Residential REITs 14.2 Retail REITs 10.8 Health Care REITs 9.1 Real Estate Management & Development 7.7 Hotel & Resort REITs 2.5 Office REITs 1.2 Common Stocks 99.3 Short-Term Investments and Net Other Assets (Liabilities) 0.7 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.6 Equinix Inc 7.8 Crown Castle Inc 7.5 CBRE Group Inc Class A 6.3 American Tower Corp 5.9 Ventas Inc 5.8 CubeSmart 5.4 Digital Realty Trust Inc 3.5 Welltower Inc 3.3 Mid-America Apartment Communities Inc 3.3 58.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B909"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B910"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B911"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Industrials Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Industrials Fund |
Class Name | Fidelity Advisor® Industrials Fund Class A |
Trading Symbol | FCLAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Industrials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.00 % |
Expenses Paid, Amount | $ 113 |
Expense Ratio, Percent | 1% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B928"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $10,195 $10,709 $12,060 $13,985 $14,274 $13,335 $18,086 $16,677 $19,792 $25,065 MSCI U.S. IMI Industrials 25-50 Index $10,000 $10,697 $11,622 $13,810 $15,836 $16,344 $15,397 $22,708 $21,070 $25,150 $29,881 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 19.36% 10.60% 9.62% Class A (without 5.75% sales charge) 26.64% 11.92% 10.28% MSCI U.S. IMI Industrials 25-50 Index 18.81% 12.83% 11.57% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 582,010,248 |
Holdings Count | shares | 51 |
Advisory Fees Paid, Amount | $ 3,019,014 |
Investment Company Portfolio Turnover | 29% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 51 Total Advisory Fee $ Portfolio Turnover 29 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Aerospace & Defense 22.7 Machinery 20.2 Ground Transportation 13.1 Electrical Equipment 11.1 Building Products 10.2 Trading Companies & Distributors 5.6 Construction & Engineering 3.8 Air Freight & Logistics 3.6 Professional Services 3.2 Others 5.5 Common Stocks 99.0 Short-Term Investments and Net Other Assets (Liabilities) 1.0 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) General Electric Co 6.3 Union Pacific Corp 4.9 Ingersoll Rand Inc 4.9 Howmet Aerospace Inc 4.7 Boeing Co 4.2 Parker-Hannifin Corp 4.1 Trane Technologies PLC 3.9 TransDigm Group Inc 3.7 FedEx Corp 3.4 Eaton Corp PLC 3.3 43.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B942"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B943"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B944"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Consumer Discretionary Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Consumer Discretionary Fund |
Class Name | Fidelity Advisor® Consumer Discretionary Fund Class M |
Trading Symbol | FACPX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Consumer Discretionary Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.27 % |
Expenses Paid, Amount | $ 135 |
Expense Ratio, Percent | 1.27% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B961"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $11,765 $11,686 $12,810 $15,728 $16,760 $19,391 $26,628 $21,706 $24,282 $27,493 MSCI U.S. IMI Consumer Discretionary 25-50 Index $10,000 $12,215 $12,366 $14,162 $17,199 $18,581 $22,632 $33,278 $28,694 $31,608 $35,092 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 9.26% 9.62% 10.64% Class M (without 3.50% sales charge) 13.23% 10.41% 11.04% MSCI U.S. IMI Consumer Discretionary 25-50 Index 11.02% 13.56% 13.38% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 475,554,258 |
Holdings Count | shares | 60 |
Advisory Fees Paid, Amount | $ 2,742,271 |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 60 Total Advisory Fee $ Portfolio Turnover 25 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Broadline Retail 25.9 Specialty Retail 23.6 Hotels, Restaurants & Leisure 18.7 Automobiles 12.5 Textiles, Apparel & Luxury Goods 8.0 Household Durables 5.7 Automobile Components 3.1 Consumer Staples Distribution & Retail 1.1 Building Products 0.8 Others 0.7 Common Stocks 100.1 ASSET ALLOCATION (% of Fund's net assets) Short-Term Investments and Net Other Assets (Liabilities) - (0.1)% United States 96.1 Canada 2.3 Brazil 0.7 France 0.3 United Kingdom 0.3 Switzerland 0.3 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Amazon.com Inc 23.9 Tesla Inc 10.8 Home Depot Inc/The 5.0 Lowe's Cos Inc 4.8 TJX Cos Inc/The 3.8 Hilton Worldwide Holdings Inc 3.2 Dick's Sporting Goods Inc 2.4 McDonald's Corp 2.4 Booking Holdings Inc 2.1 Aptiv PLC 2.1 60.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B975"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B976"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B977"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Utilities Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Utilities Fund |
Class Name | Fidelity Advisor® Utilities Fund Class M |
Trading Symbol | FAUFX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Utilities Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.27 % |
Expenses Paid, Amount | $ 137 |
Expense Ratio, Percent | 1.27% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B994"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $9,816 $11,111 $12,167 $13,327 $14,844 $14,575 $16,707 $19,776 $19,411 $22,554 MSCI U.S. IMI Utilities 25-50 Index $10,000 $10,922 $13,519 $14,434 $15,013 $17,419 $17,988 $20,183 $23,242 $21,712 $24,456 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 12.13% 7.95% 8.47% Class M (without 3.50% sales charge) 16.19% 8.73% 8.86% MSCI U.S. IMI Utilities 25-50 Index 12.64% 7.02% 9.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 819,716,826 |
Holdings Count | shares | 30 |
Advisory Fees Paid, Amount | $ 4,138,318 |
Investment Company Portfolio Turnover | 84% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 30 Total Advisory Fee $ Portfolio Turnover 84 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Electric Utilities 63.0 Multi-Utilities 23.0 Independent Power and Renewable Electricity Producers 7.0 Gas Utilities 2.2 Oil, Gas & Consumable Fuels 0.2 Common Stocks 95.4 Short-Term Investments and Net Other Assets (Liabilities) 4.6 ASSET ALLOCATION (% of Fund's net assets) United States 99.8 Australia 0.2 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NextEra Energy Inc 12.7 Sempra 7.1 PG&E Corp 5.9 American Electric Power Co Inc 5.6 Edison International 5.4 Public Service Enterprise Group Inc 5.0 Eversource Energy 5.0 Constellation Energy Corp 5.0 Entergy Corp 4.8 FirstEnergy Corp 4.3 60.8 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1008"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1009"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1010"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Biotechnology Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Biotechnology Fund |
Class Name | Fidelity Advisor® Biotechnology Fund Class Z |
Trading Symbol | FIJYX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Biotechnology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.60 % |
Expenses Paid, Amount | $ 68 |
Expense Ratio, Percent | 0.60% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1027"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $9,217 $12,031 $13,774 $11,207 $12,965 $16,814 MSCI U.S. IMI Biotechnology 25-50 Index $10,000 $8,683 $11,477 $13,581 $12,037 $13,159 $16,701 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 29.69% 12.77% 9.32% MSCI U.S. IMI Biotechnology 25-50 Index 26.92% 13.98% 9.19% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,812,183,981 |
Holdings Count | shares | 100 |
Advisory Fees Paid, Amount | $ 9,501,787 |
Investment Company Portfolio Turnover | 73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 100 Total Advisory Fee $ Portfolio Turnover 73 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 92.6 Pharmaceuticals 5.7 Financial Services 0.2 Health Care Technology 0.1 Common Stocks 96.8 Preferred Stocks 1.8 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 1.4 ASSET ALLOCATION (% of Fund's net assets) United States 88.0 Netherlands 5.1 Denmark 3.5 Canada 1.3 Belgium 1.1 United Kingdom 1.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Abbvie Inc 18.3 Amgen Inc 9.4 Regeneron Pharmaceuticals Inc 7.0 Vertex Pharmaceuticals Inc 4.7 Alnylam Pharmaceuticals Inc 4.5 Argenx SE ADR 3.8 Ascendis Pharma A/S ADR 3.5 Vaxcyte Inc 2.6 Cytokinetics Inc 2.6 Viking Therapeutics Inc 2.3 58.7 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1042"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1043"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1044"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Utilities Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Utilities Fund |
Class Name | Fidelity Advisor® Utilities Fund Class Z |
Trading Symbol | FIKIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Utilities Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.57 % |
Expenses Paid, Amount | $ 62 |
Expense Ratio, Percent | 0.57% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1061"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $10,904 $10,778 $12,439 $14,824 $14,644 $17,129 MSCI U.S. IMI Utilities 25-50 Index $10,000 $11,420 $11,793 $13,232 $15,237 $14,234 $16,033 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 16.97% 9.45% 9.67% MSCI U.S. IMI Utilities 25-50 Index 12.64% 7.02% 8.43% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 819,716,826 |
Holdings Count | shares | 30 |
Advisory Fees Paid, Amount | $ 4,138,318 |
Investment Company Portfolio Turnover | 84% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 30 Total Advisory Fee $ Portfolio Turnover 84 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Electric Utilities 63.0 Multi-Utilities 23.0 Independent Power and Renewable Electricity Producers 7.0 Gas Utilities 2.2 Oil, Gas & Consumable Fuels 0.2 Common Stocks 95.4 Short-Term Investments and Net Other Assets (Liabilities) 4.6 ASSET ALLOCATION (% of Fund's net assets) United States 99.8 Australia 0.2 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NextEra Energy Inc 12.7 Sempra 7.1 PG&E Corp 5.9 American Electric Power Co Inc 5.6 Edison International 5.4 Public Service Enterprise Group Inc 5.0 Eversource Energy 5.0 Constellation Energy Corp 5.0 Entergy Corp 4.8 FirstEnergy Corp 4.3 60.8 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee • Operating expenses The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1076"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1077"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1078"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Global Real Estate Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Global Real Estate Fund |
Class Name | Fidelity Advisor® Global Real Estate Fund Class A |
Trading Symbol | FWRAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Global Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.20 % |
Expenses Paid, Amount | $ 125 |
Expense Ratio, Percent | 1.20% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • ® EPRA SM /NAREIT ® Developed Index for the fiscal year. • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1095"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE August 11, 2016 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $9,331 $9,906 $10,722 $10,228 $13,356 $12,101 $11,156 $12,146 FTSE® EPRA℠/NAREIT® Developed Index $10,000 $9,960 $10,524 $11,380 $9,855 $13,420 $12,176 $11,285 $12,184 MSCI ACWI (All Country World Index) Index $10,000 $11,606 $12,928 $13,363 $14,382 $19,214 $17,256 $19,556 $22,962 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class A (incl. 5.75% sales charge) 2.62% 1.32% 2.47% Class A (without 5.75% sales charge) 8.88% 2.52% 3.23% FTSE® EPRA℠/NAREIT® Developed Index 7.97% 1.38% 2.51% MSCI ACWI (All Country World Index) Index 17.42% 11.43% 10.99% A From August 11, 2016 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Aug. 11, 2016 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,027,346 |
Holdings Count | shares | 73 |
Advisory Fees Paid, Amount | $ 39,394 |
Investment Company Portfolio Turnover | 32% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 73 Total Advisory Fee $ Portfolio Turnover 32 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Residential REITs 19.8 Specialized REITs 19.1 Industrial REITs 18.3 Retail REITs 18.0 Real Estate Management & Development 11.9 Health Care REITs 7.1 Diversified REITs 2.8 Hotel & Resort REITs 1.3 Office REITs 0.6 Common Stocks 98.9 Short-Term Investments and Net Other Assets (Liabilities) 1.1 ASSET ALLOCATION (% of Fund's net assets) United States 61.9 United Kingdom 8.3 Japan 8.2 Australia 4.9 Canada 3.7 Singapore 3.0 France 2.3 Sweden 1.9 Germany 1.8 Others 4.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.1 Equinix Inc 5.2 Public Storage Operating Co 3.9 Ventas Inc 3.6 Digital Realty Trust Inc 3.0 Kimco Realty Corp 2.8 Grainger PLC 2.6 NNN REIT Inc 2.5 UDR Inc 2.4 Welltower Inc 2.4 37.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1110"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1111"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1112"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Health Care Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Health Care Fund |
Class Name | Fidelity Advisor® Health Care Fund Class I |
Trading Symbol | FHCIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Health Care Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.70 % |
Expenses Paid, Amount | $ 72 |
Expense Ratio, Percent | 0.70% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1129"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $13,440 $12,150 $13,338 $16,018 $16,522 $20,626 $24,959 $22,044 $22,921 $24,520 MSCI U.S. IMI Health Care 25-50 Index $10,000 $13,063 $12,726 $13,917 $16,068 $16,693 $19,997 $25,628 $24,807 $25,460 $28,709 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 6.98% 8.22% 9.38% MSCI U.S. IMI Health Care 25-50 Index 12.76% 11.45% 11.12% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 4,615,583,149 |
Holdings Count | shares | 103 |
Advisory Fees Paid, Amount | $ 27,914,465 |
Investment Company Portfolio Turnover | 37% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 103 Total Advisory Fee $ Portfolio Turnover 37 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 24.4 Health Care Equipment & Supplies 23.5 Health Care Providers & Services 21.8 Pharmaceuticals 16.6 Life Sciences Tools & Services 10.9 Health Care Technology 2.0 Financial Services 0.2 Common Stocks 97.9 Preferred Stocks 1.5 Preferred Securities 0.2 Bonds 0.1 Short-Term Investments and Net Other Assets (Liabilities) 0.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.5 Netherlands 3.0 United Kingdom 1.7 Denmark 1.5 Belgium 1.3 Canada 0.9 Israel 0.1 China 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Boston Scientific Corp 9.6 Eli Lilly & Co 8.2 UnitedHealth Group Inc 7.8 Danaher Corp 6.4 Regeneron Pharmaceuticals Inc 4.4 Merck & Co Inc 3.9 Cigna Group/The 3.4 Penumbra Inc 3.1 Stryker Corp 2.4 Insulet Corp 2.2 51.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1143"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1144"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1145"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Financials Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Financials Fund |
Class Name | Fidelity Advisor® Financials Fund Class Z |
Trading Symbol | FIKBX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Financials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.62 % |
Expenses Paid, Amount | $ 72 |
Expense Ratio, Percent | 0.62% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1162"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $10,472 $8,924 $14,504 $14,065 $14,710 $19,231 MSCI U.S. IMI Financials 5% Capped Linked Index $10,000 $10,457 $8,858 $13,921 $13,268 $13,983 $17,897 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 30.73% 12.92% 11.86% MSCI U.S. IMI Financials 5% Capped Linked Index 27.98% 11.35% 10.49% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 507,414,487 |
Holdings Count | shares | 66 |
Advisory Fees Paid, Amount | $ 2,566,292 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 66 Total Advisory Fee $ Portfolio Turnover 44 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Banks 35.0 Capital Markets 21.1 Financial Services 20.7 Insurance 18.5 Consumer Finance 3.7 Professional Services 1.0 Common Stocks 100.0 Short-Term Investments and Net Other Assets (Liabilities) 0.0 ASSET ALLOCATION (% of Fund's net assets) United States 93.0 United Kingdom 3.7 Puerto Rico 2.1 Grand Cayman (UK Overseas Ter) 0.7 Mexico 0.5 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Mastercard Inc Class A 10.1 Wells Fargo & Co 6.4 Bank of America Corp 5.1 Citigroup Inc 3.1 Chubb Ltd 2.6 M&T Bank Corp 2.6 Morgan Stanley 2.5 Apollo Global Management Inc 2.4 Reinsurance Group of America Inc 2.3 Popular Inc 2.1 39.2 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Name [Text Block] | The fund's name changed from Fidelity Advisor Financial Services Fund to Fidelity Advisor Financials Fund during the reporting period. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1178"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1179"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1180"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Semiconductors Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Semiconductors Fund |
Class Name | Fidelity Advisor® Semiconductors Fund Class M |
Trading Symbol | FELTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Semiconductors Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.21 % |
Expenses Paid, Amount | $ 144 |
Expense Ratio, Percent | 1.21% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1197"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $10,668 $12,803 $16,735 $21,245 $23,337 $30,403 $49,249 $47,558 $70,838 $98,591 MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index $10,000 $10,481 $13,028 $17,291 $21,750 $23,948 $32,281 $51,070 $48,484 $72,407 $107,971 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 34.31% 32.45% 25.71% Class M (without 3.50% sales charge) 39.18% 33.40% 26.16% MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index 49.12% 35.15% 26.86% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 2,698,217,311 |
Holdings Count | shares | 45 |
Advisory Fees Paid, Amount | $ 11,387,050 |
Investment Company Portfolio Turnover | 30% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 45 Total Advisory Fee $ Portfolio Turnover 30 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 92.7 Technology Hardware, Storage & Peripherals 2.4 Electronic Equipment, Instruments & Components 0.1 Financial Services 0.0 Metals & Mining 0.0 Common Stocks 95.0 Preferred Stocks 0.2 Preferred Securities 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.8 ASSET ALLOCATION (% of Fund's net assets) United States 79.9 Taiwan 7.1 China 5.6 Netherlands 5.0 Israel 1.7 Japan 0.7 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 25.8 ON Semiconductor Corp 7.3 Taiwan Semiconductor Manufacturing Co Ltd ADR 6.1 NXP Semiconductors NV 5.6 Micron Technology Inc 5.4 ASML Holding NV depository receipt 5.0 GlobalFoundries Inc 4.8 Lam Research Corp 4.8 Broadcom Inc 4.3 Advanced Micro Devices Inc 3.8 72.9 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1211"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1212"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1213"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Health Care Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Health Care Fund |
Class Name | Fidelity Advisor® Health Care Fund Class Z |
Trading Symbol | FIKCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Health Care Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.56 % |
Expenses Paid, Amount | $ 58 |
Expense Ratio, Percent | 0.56% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1230"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $9,714 $12,141 $14,709 $13,008 $13,543 $14,506 MSCI U.S. IMI Health Care 25-50 Index $10,000 $9,682 $11,598 $14,864 $14,388 $14,767 $16,651 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 7.11% 8.35% 6.58% MSCI U.S. IMI Health Care 25-50 Index 12.76% 11.45% 9.14% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 4,615,583,149 |
Holdings Count | shares | 103 |
Advisory Fees Paid, Amount | $ 27,914,465 |
Investment Company Portfolio Turnover | 37% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 103 Total Advisory Fee $ Portfolio Turnover 37 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 24.4 Health Care Equipment & Supplies 23.5 Health Care Providers & Services 21.8 Pharmaceuticals 16.6 Life Sciences Tools & Services 10.9 Health Care Technology 2.0 Financial Services 0.2 Common Stocks 97.9 Preferred Stocks 1.5 Preferred Securities 0.2 Bonds 0.1 Short-Term Investments and Net Other Assets (Liabilities) 0.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.5 Netherlands 3.0 United Kingdom 1.7 Denmark 1.5 Belgium 1.3 Canada 0.9 Israel 0.1 China 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Boston Scientific Corp 9.6 Eli Lilly & Co 8.2 UnitedHealth Group Inc 7.8 Danaher Corp 6.4 Regeneron Pharmaceuticals Inc 4.4 Merck & Co Inc 3.9 Cigna Group/The 3.4 Penumbra Inc 3.1 Stryker Corp 2.4 Insulet Corp 2.2 51.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fees associated with this class changed during the reporting year. The variations in class fees are primarily the result of the following changes: • Management fee The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1245"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1246"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1247"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Health Care Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Health Care Fund |
Class Name | Fidelity Advisor® Health Care Fund Class A |
Trading Symbol | FACDX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Health Care Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 0.96 % |
Expenses Paid, Amount | $ 100 |
Expense Ratio, Percent | 0.96% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1264"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $12,636 $11,395 $12,474 $14,945 $15,374 $19,141 $23,102 $20,352 $21,109 $22,519 MSCI U.S. IMI Health Care 25-50 Index $10,000 $13,063 $12,726 $13,917 $16,068 $16,693 $19,997 $25,628 $24,807 $25,460 $28,709 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 0.55% 6.66% 8.46% Class A (without 5.75% sales charge) 6.68% 7.93% 9.10% MSCI U.S. IMI Health Care 25-50 Index 12.76% 11.45% 11.12% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 4,615,583,149 |
Holdings Count | shares | 103 |
Advisory Fees Paid, Amount | $ 27,914,465 |
Investment Company Portfolio Turnover | 37% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 103 Total Advisory Fee $ Portfolio Turnover 37 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 24.4 Health Care Equipment & Supplies 23.5 Health Care Providers & Services 21.8 Pharmaceuticals 16.6 Life Sciences Tools & Services 10.9 Health Care Technology 2.0 Financial Services 0.2 Common Stocks 97.9 Preferred Stocks 1.5 Preferred Securities 0.2 Bonds 0.1 Short-Term Investments and Net Other Assets (Liabilities) 0.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.5 Netherlands 3.0 United Kingdom 1.7 Denmark 1.5 Belgium 1.3 Canada 0.9 Israel 0.1 China 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Boston Scientific Corp 9.6 Eli Lilly & Co 8.2 UnitedHealth Group Inc 7.8 Danaher Corp 6.4 Regeneron Pharmaceuticals Inc 4.4 Merck & Co Inc 3.9 Cigna Group/The 3.4 Penumbra Inc 3.1 Stryker Corp 2.4 Insulet Corp 2.2 51.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1278"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1279"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1280"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Real Estate Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Real Estate Fund |
Class Name | Fidelity Advisor® Real Estate Fund Class Z |
Trading Symbol | FIKJX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.64 % |
Expenses Paid, Amount | $ 67 |
Expense Ratio, Percent | 0.64% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1297"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $11,122 $10,366 $13,574 $12,867 $11,413 $12,622 MSCI US IMI Real Estate 25/50 Linked Index $10,000 $11,209 $9,382 $12,693 $12,155 $10,981 $12,159 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 10.60% 2.56% 4.07% MSCI US IMI Real Estate 25/50 Linked Index 10.73% 1.64% 3.41% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 237,005,518 |
Holdings Count | shares | 35 |
Advisory Fees Paid, Amount | $ 1,374,363 |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 35 Total Advisory Fee $ Portfolio Turnover 24 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Specialized REITs 37.6 Industrial REITs 16.2 Residential REITs 14.2 Retail REITs 10.8 Health Care REITs 9.1 Real Estate Management & Development 7.7 Hotel & Resort REITs 2.5 Office REITs 1.2 Common Stocks 99.3 Short-Term Investments and Net Other Assets (Liabilities) 0.7 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.6 Equinix Inc 7.8 Crown Castle Inc 7.5 CBRE Group Inc Class A 6.3 American Tower Corp 5.9 Ventas Inc 5.8 CubeSmart 5.4 Digital Realty Trust Inc 3.5 Welltower Inc 3.3 Mid-America Apartment Communities Inc 3.3 58.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1312"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1313"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1314"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Biotechnology Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Biotechnology Fund |
Class Name | Fidelity Advisor® Biotechnology Fund Class I |
Trading Symbol | FBTIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Biotechnology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.72 % |
Expenses Paid, Amount | $ 82 |
Expense Ratio, Percent | 0.72% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1331"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $16,000 $11,469 $13,139 $14,982 $14,100 $18,376 $21,010 $17,073 $19,721 $25,543 MSCI U.S. IMI Biotechnology 25-50 Index $10,000 $15,191 $12,163 $14,140 $15,791 $14,066 $18,593 $22,002 $19,500 $21,317 $27,056 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 29.53% 12.62% 9.83% MSCI U.S. IMI Biotechnology 25-50 Index 26.92% 13.98% 10.47% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,812,183,981 |
Holdings Count | shares | 100 |
Advisory Fees Paid, Amount | $ 9,501,787 |
Investment Company Portfolio Turnover | 73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 100 Total Advisory Fee $ Portfolio Turnover 73 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Biotechnology 92.6 Pharmaceuticals 5.7 Financial Services 0.2 Health Care Technology 0.1 Common Stocks 96.8 Preferred Stocks 1.8 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 1.4 ASSET ALLOCATION (% of Fund's net assets) United States 88.0 Netherlands 5.1 Denmark 3.5 Canada 1.3 Belgium 1.1 United Kingdom 1.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Abbvie Inc 18.3 Amgen Inc 9.4 Regeneron Pharmaceuticals Inc 7.0 Vertex Pharmaceuticals Inc 4.7 Alnylam Pharmaceuticals Inc 4.5 Argenx SE ADR 3.8 Ascendis Pharma A/S ADR 3.5 Vaxcyte Inc 2.6 Cytokinetics Inc 2.6 Viking Therapeutics Inc 2.3 58.7 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1345"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1346"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1347"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Technology Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Technology Fund |
Class Name | Fidelity Advisor® Technology Fund Class A |
Trading Symbol | FADTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Technology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 0.95 % |
Expenses Paid, Amount | $ 107 |
Expense Ratio, Percent | 0.95% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1364"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $10,456 $11,278 $15,772 $19,783 $21,219 $31,580 $45,729 $38,057 $49,667 $63,121 MSCI U.S. IMI Information Technology 25-50 Index $10,000 $11,306 $12,261 $15,808 $20,247 $23,485 $32,225 $45,360 $41,091 $50,982 $64,137 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 19.78% 22.90% 20.23% Class A (without 5.75% sales charge) 27.09% 24.36% 20.95% MSCI U.S. IMI Information Technology 25-50 Index 25.80% 22.25% 20.42% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,458,251,428 |
Holdings Count | shares | 89 |
Advisory Fees Paid, Amount | $ 31,726,651 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 89 Total Advisory Fee $ Portfolio Turnover 34 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 41.8 Technology Hardware, Storage & Peripherals 20.7 Software 20.6 IT Services 4.4 Communications Equipment 2.5 Ground Transportation 2.2 Broadline Retail 1.5 Hotels, Restaurants & Leisure 0.6 Entertainment 0.5 Others 0.9 Common Stocks 94.5 Preferred Stocks 1.2 Preferred Securities 0.0 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.2 China 4.5 Taiwan 2.0 Netherlands 1.2 Canada 1.0 India 0.1 Korea (South) 0.0 Israel 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 20.1 Apple Inc 19.2 Microsoft Corp 10.7 NXP Semiconductors NV 4.4 ON Semiconductor Corp 4.4 Marvell Technology Inc 3.9 Servicenow Inc 3.6 Okta Inc Class A 2.9 GlobalFoundries Inc 2.8 Cisco Systems Inc 2.5 74.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1378"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1379"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1380"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Consumer Discretionary Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Consumer Discretionary Fund |
Class Name | Fidelity Advisor® Consumer Discretionary Fund Class C |
Trading Symbol | FCECX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Consumer Discretionary Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.76 % |
Expenses Paid, Amount | $ 188 |
Expense Ratio, Percent | 1.76% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1397"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $12,137 $12,002 $13,092 $15,998 $16,962 $19,529 $26,688 $21,648 $24,276 $27,562 MSCI U.S. IMI Consumer Discretionary 25-50 Index $10,000 $12,215 $12,366 $14,162 $17,199 $18,581 $22,632 $33,278 $28,694 $31,608 $35,092 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 11.70% 9.87% 10.67% Class C 12.70% 9.87% 10.67% MSCI U.S. IMI Consumer Discretionary 25-50 Index 11.02% 13.56% 13.38% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 475,554,258 |
Holdings Count | shares | 60 |
Advisory Fees Paid, Amount | $ 2,742,271 |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 60 Total Advisory Fee $ Portfolio Turnover 25 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Broadline Retail 25.9 Specialty Retail 23.6 Hotels, Restaurants & Leisure 18.7 Automobiles 12.5 Textiles, Apparel & Luxury Goods 8.0 Household Durables 5.7 Automobile Components 3.1 Consumer Staples Distribution & Retail 1.1 Building Products 0.8 Others 0.7 Common Stocks 100.1 ASSET ALLOCATION (% of Fund's net assets) Short-Term Investments and Net Other Assets (Liabilities) - (0.1)% United States 96.1 Canada 2.3 Brazil 0.7 France 0.3 United Kingdom 0.3 Switzerland 0.3 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Amazon.com Inc 23.9 Tesla Inc 10.8 Home Depot Inc/The 5.0 Lowe's Cos Inc 4.8 TJX Cos Inc/The 3.8 Hilton Worldwide Holdings Inc 3.2 Dick's Sporting Goods Inc 2.4 McDonald's Corp 2.4 Booking Holdings Inc 2.1 Aptiv PLC 2.1 60.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1411"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1412"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1413"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Energy Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Energy Fund |
Class Name | Fidelity Advisor® Energy Fund Class Z |
Trading Symbol | FIKAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Energy Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.59 % |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 0.59% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1430"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $7,566 $4,598 $6,781 $11,652 $13,563 $15,178 MSCI U.S. IMI Energy 25-50 Index $10,000 $7,981 $4,842 $7,269 $12,046 $13,985 $15,431 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 11.90% 14.94% 7.42% MSCI U.S. IMI Energy 25-50 Index 10.33% 14.09% 7.72% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,311,457,602 |
Holdings Count | shares | 43 |
Advisory Fees Paid, Amount | $ 7,393,032 |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 43 Total Advisory Fee $ Portfolio Turnover 31 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Oil, Gas & Consumable Fuels 81.1 Energy Equipment & Services 16.3 Independent Power and Renewable Electricity Producers 1.4 Machinery 1.0 Common Stocks 99.8 Short-Term Investments and Net Other Assets (Liabilities) 0.2 ASSET ALLOCATION (% of Fund's net assets) United States 82.6 Canada 13.4 United Kingdom 3.3 Norway 0.3 Cameroon 0.2 France 0.1 United Arab Emirates 0.1 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Exxon Mobil Corp 24.8 Cenovus Energy Inc 6.2 Schlumberger NV 5.4 Chevron Corp 4.8 Marathon Petroleum Corp 4.8 Canadian Natural Resources Ltd 4.5 Valero Energy Corp 3.9 Cheniere Energy Inc 3.9 Occidental Petroleum Corp 3.8 Hess Corp 3.4 65.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1445"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1446"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1447"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Energy Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Energy Fund |
Class Name | Fidelity Advisor® Energy Fund Class I |
Trading Symbol | FANIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Energy Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.72 % |
Expenses Paid, Amount | $ 76 |
Expense Ratio, Percent | 0.72% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1464"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $7,127 $7,234 $7,172 $8,924 $6,707 $4,069 $5,992 $10,284 $11,955 $13,358 MSCI U.S. IMI Energy 25-50 Index $10,000 $7,208 $7,220 $7,200 $8,707 $7,019 $4,258 $6,393 $10,594 $12,299 $13,570 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 11.73% 14.77% 2.94% MSCI U.S. IMI Energy 25-50 Index 10.33% 14.09% 3.10% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,311,457,602 |
Holdings Count | shares | 43 |
Advisory Fees Paid, Amount | $ 7,393,032 |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 43 Total Advisory Fee $ Portfolio Turnover 31 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Oil, Gas & Consumable Fuels 81.1 Energy Equipment & Services 16.3 Independent Power and Renewable Electricity Producers 1.4 Machinery 1.0 Common Stocks 99.8 Short-Term Investments and Net Other Assets (Liabilities) 0.2 ASSET ALLOCATION (% of Fund's net assets) United States 82.6 Canada 13.4 United Kingdom 3.3 Norway 0.3 Cameroon 0.2 France 0.1 United Arab Emirates 0.1 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Exxon Mobil Corp 24.8 Cenovus Energy Inc 6.2 Schlumberger NV 5.4 Chevron Corp 4.8 Marathon Petroleum Corp 4.8 Canadian Natural Resources Ltd 4.5 Valero Energy Corp 3.9 Cheniere Energy Inc 3.9 Occidental Petroleum Corp 3.8 Hess Corp 3.4 65.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1478"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1479"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1480"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Consumer Discretionary Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Consumer Discretionary Fund |
Class Name | Fidelity Advisor® Consumer Discretionary Fund Class A |
Trading Symbol | FCNAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Consumer Discretionary Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.00 % |
Expenses Paid, Amount | $ 107 |
Expense Ratio, Percent | 1% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1497"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $11,523 $11,479 $12,618 $15,536 $16,593 $19,253 $26,507 $21,668 $24,298 $27,587 MSCI U.S. IMI Consumer Discretionary 25-50 Index $10,000 $12,215 $12,366 $14,162 $17,199 $18,581 $22,632 $33,278 $28,694 $31,608 $35,092 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 7.01% 9.40% 10.68% Class A (without 5.75% sales charge) 13.54% 10.70% 11.34% MSCI U.S. IMI Consumer Discretionary 25-50 Index 11.02% 13.56% 13.38% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 475,554,258 |
Holdings Count | shares | 60 |
Advisory Fees Paid, Amount | $ 2,742,271 |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 60 Total Advisory Fee $ Portfolio Turnover 25 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Broadline Retail 25.9 Specialty Retail 23.6 Hotels, Restaurants & Leisure 18.7 Automobiles 12.5 Textiles, Apparel & Luxury Goods 8.0 Household Durables 5.7 Automobile Components 3.1 Consumer Staples Distribution & Retail 1.1 Building Products 0.8 Others 0.7 Common Stocks 100.1 ASSET ALLOCATION (% of Fund's net assets) Short-Term Investments and Net Other Assets (Liabilities) - (0.1)% United States 96.1 Canada 2.3 Brazil 0.7 France 0.3 United Kingdom 0.3 Switzerland 0.3 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Amazon.com Inc 23.9 Tesla Inc 10.8 Home Depot Inc/The 5.0 Lowe's Cos Inc 4.8 TJX Cos Inc/The 3.8 Hilton Worldwide Holdings Inc 3.2 Dick's Sporting Goods Inc 2.4 McDonald's Corp 2.4 Booking Holdings Inc 2.1 Aptiv PLC 2.1 60.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1511"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1512"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1513"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Industrials Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Industrials Fund |
Class Name | Fidelity Advisor® Industrials Fund Class M |
Trading Symbol | FCLTX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Industrials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.25 % |
Expenses Paid, Amount | $ 141 |
Expense Ratio, Percent | 1.25% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1530"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $10,410 $10,903 $12,248 $14,171 $14,423 $13,440 $18,178 $16,719 $19,793 $24,999 MSCI U.S. IMI Industrials 25-50 Index $10,000 $10,697 $11,622 $13,810 $15,836 $16,344 $15,397 $22,708 $21,070 $25,150 $29,881 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 21.88% 10.84% 9.60% Class M (without 3.50% sales charge) 26.30% 11.63% 9.99% MSCI U.S. IMI Industrials 25-50 Index 18.81% 12.83% 11.57% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 582,010,248 |
Holdings Count | shares | 51 |
Advisory Fees Paid, Amount | $ 3,019,014 |
Investment Company Portfolio Turnover | 29% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 51 Total Advisory Fee $ Portfolio Turnover 29 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Aerospace & Defense 22.7 Machinery 20.2 Ground Transportation 13.1 Electrical Equipment 11.1 Building Products 10.2 Trading Companies & Distributors 5.6 Construction & Engineering 3.8 Air Freight & Logistics 3.6 Professional Services 3.2 Others 5.5 Common Stocks 99.0 Short-Term Investments and Net Other Assets (Liabilities) 1.0 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) General Electric Co 6.3 Union Pacific Corp 4.9 Ingersoll Rand Inc 4.9 Howmet Aerospace Inc 4.7 Boeing Co 4.2 Parker-Hannifin Corp 4.1 Trane Technologies PLC 3.9 TransDigm Group Inc 3.7 FedEx Corp 3.4 Eaton Corp PLC 3.3 43.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1544"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1545"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1546"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Technology Fund - Class M | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Technology Fund |
Class Name | Fidelity Advisor® Technology Fund Class M |
Trading Symbol | FATEX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Technology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class M $ 1.19 % |
Expenses Paid, Amount | $ 135 |
Expense Ratio, Percent | 1.19% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1563"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class M $9,650 $10,676 $11,486 $16,023 $20,044 $21,446 $31,834 $45,991 $38,175 $49,703 $63,010 MSCI U.S. IMI Information Technology 25-50 Index $10,000 $11,306 $12,261 $15,808 $20,247 $23,485 $32,225 $45,360 $41,091 $50,982 $64,137 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class M (incl. 3.50% sales charge) 22.34% 23.17% 20.21% Class M (without 3.50% sales charge) 26.77% 24.05% 20.64% MSCI U.S. IMI Information Technology 25-50 Index 25.80% 22.25% 20.42% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,458,251,428 |
Holdings Count | shares | 89 |
Advisory Fees Paid, Amount | $ 31,726,651 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 89 Total Advisory Fee $ Portfolio Turnover 34 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 41.8 Technology Hardware, Storage & Peripherals 20.7 Software 20.6 IT Services 4.4 Communications Equipment 2.5 Ground Transportation 2.2 Broadline Retail 1.5 Hotels, Restaurants & Leisure 0.6 Entertainment 0.5 Others 0.9 Common Stocks 94.5 Preferred Stocks 1.2 Preferred Securities 0.0 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.2 China 4.5 Taiwan 2.0 Netherlands 1.2 Canada 1.0 India 0.1 Korea (South) 0.0 Israel 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 20.1 Apple Inc 19.2 Microsoft Corp 10.7 NXP Semiconductors NV 4.4 ON Semiconductor Corp 4.4 Marvell Technology Inc 3.9 Servicenow Inc 3.6 Okta Inc Class A 2.9 GlobalFoundries Inc 2.8 Cisco Systems Inc 2.5 74.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1577"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1578"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1579"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Semiconductors Fund - Class Z | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Semiconductors Fund |
Class Name | Fidelity Advisor® Semiconductors Fund Class Z |
Trading Symbol | FIKGX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Semiconductors Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class Z $ 0.59 % |
Expenses Paid, Amount | $ 71 |
Expense Ratio, Percent | 0.59% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1596"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the life of Fund? CUMULATIVE PERFORMANCE October 2, 2018 through July 31, 2024. Initial investment of $10,000. Class Z $10,000 $11,203 $14,700 $23,970 $23,292 $34,912 $48,893 MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index $10,000 $10,992 $14,816 $23,440 $22,253 $33,233 $49,556 S&P 500® Index $10,000 $10,365 $11,604 $15,833 $15,098 $17,064 $20,843 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year Life of Fund A Class Z 40.05% 34.27% 31.27% MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index 49.12% 35.15% 31.57% S&P 500® Index 22.15% 15.00% 13.42% A From October 2, 2018 Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Performance Inception Date | Oct. 02, 2018 |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 2,698,217,311 |
Holdings Count | shares | 45 |
Advisory Fees Paid, Amount | $ 11,387,050 |
Investment Company Portfolio Turnover | 30% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 45 Total Advisory Fee $ Portfolio Turnover 30 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 92.7 Technology Hardware, Storage & Peripherals 2.4 Electronic Equipment, Instruments & Components 0.1 Financial Services 0.0 Metals & Mining 0.0 Common Stocks 95.0 Preferred Stocks 0.2 Preferred Securities 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.8 ASSET ALLOCATION (% of Fund's net assets) United States 79.9 Taiwan 7.1 China 5.6 Netherlands 5.0 Israel 1.7 Japan 0.7 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 25.8 ON Semiconductor Corp 7.3 Taiwan Semiconductor Manufacturing Co Ltd ADR 6.1 NXP Semiconductors NV 5.6 Micron Technology Inc 5.4 ASML Holding NV depository receipt 5.0 GlobalFoundries Inc 4.8 Lam Research Corp 4.8 Broadcom Inc 4.3 Advanced Micro Devices Inc 3.8 72.9 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1611"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1612"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1613"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Utilities Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Utilities Fund |
Class Name | Fidelity Advisor® Utilities Fund Class A |
Trading Symbol | FUGAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Utilities Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 1.00 % |
Expenses Paid, Amount | $ 109 |
Expense Ratio, Percent | 1% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1630"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $9,615 $10,912 $11,989 $13,169 $14,713 $14,485 $16,651 $19,764 $19,451 $22,657 MSCI U.S. IMI Utilities 25-50 Index $10,000 $10,922 $13,519 $14,434 $15,013 $17,419 $17,988 $20,183 $23,242 $21,712 $24,456 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 9.78% 7.73% 8.52% Class A (without 5.75% sales charge) 16.48% 9.02% 9.17% MSCI U.S. IMI Utilities 25-50 Index 12.64% 7.02% 9.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 819,716,826 |
Holdings Count | shares | 30 |
Advisory Fees Paid, Amount | $ 4,138,318 |
Investment Company Portfolio Turnover | 84% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 30 Total Advisory Fee $ Portfolio Turnover 84 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Electric Utilities 63.0 Multi-Utilities 23.0 Independent Power and Renewable Electricity Producers 7.0 Gas Utilities 2.2 Oil, Gas & Consumable Fuels 0.2 Common Stocks 95.4 Short-Term Investments and Net Other Assets (Liabilities) 4.6 ASSET ALLOCATION (% of Fund's net assets) United States 99.8 Australia 0.2 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NextEra Energy Inc 12.7 Sempra 7.1 PG&E Corp 5.9 American Electric Power Co Inc 5.6 Edison International 5.4 Public Service Enterprise Group Inc 5.0 Eversource Energy 5.0 Constellation Energy Corp 5.0 Entergy Corp 4.8 FirstEnergy Corp 4.3 60.8 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1644"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1645"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1646"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Utilities Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Utilities Fund |
Class Name | Fidelity Advisor® Utilities Fund Class C |
Trading Symbol | FUGCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Utilities Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.75 % |
Expenses Paid, Amount | $ 189 |
Expense Ratio, Percent | 1.75% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1663"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $10,129 $11,409 $12,438 $13,562 $15,036 $14,693 $16,765 $19,747 $19,434 $22,637 MSCI U.S. IMI Utilities 25-50 Index $10,000 $10,922 $13,519 $14,434 $15,013 $17,419 $17,988 $20,183 $23,242 $21,712 $24,456 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 14.64% 8.20% 8.51% Class C 15.64% 8.20% 8.51% MSCI U.S. IMI Utilities 25-50 Index 12.64% 7.02% 9.36% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 819,716,826 |
Holdings Count | shares | 30 |
Advisory Fees Paid, Amount | $ 4,138,318 |
Investment Company Portfolio Turnover | 84% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 30 Total Advisory Fee $ Portfolio Turnover 84 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Electric Utilities 63.0 Multi-Utilities 23.0 Independent Power and Renewable Electricity Producers 7.0 Gas Utilities 2.2 Oil, Gas & Consumable Fuels 0.2 Common Stocks 95.4 Short-Term Investments and Net Other Assets (Liabilities) 4.6 ASSET ALLOCATION (% of Fund's net assets) United States 99.8 Australia 0.2 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NextEra Energy Inc 12.7 Sempra 7.1 PG&E Corp 5.9 American Electric Power Co Inc 5.6 Edison International 5.4 Public Service Enterprise Group Inc 5.0 Eversource Energy 5.0 Constellation Energy Corp 5.0 Entergy Corp 4.8 FirstEnergy Corp 4.3 60.8 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1677"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1678"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1679"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Industrials Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Industrials Fund |
Class Name | Fidelity Advisor® Industrials Fund Class C |
Trading Symbol | FCLCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Industrials Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.76 % |
Expenses Paid, Amount | $ 198 |
Expense Ratio, Percent | 1.76% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1696"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $10,736 $11,191 $12,507 $14,399 $14,583 $13,523 $18,199 $16,655 $19,766 $25,032 MSCI U.S. IMI Industrials 25-50 Index $10,000 $10,697 $11,622 $13,810 $15,836 $16,344 $15,397 $22,708 $21,070 $25,150 $29,881 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 24.68% 11.08% 9.61% Class C 25.68% 11.08% 9.61% MSCI U.S. IMI Industrials 25-50 Index 18.81% 12.83% 11.57% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 582,010,248 |
Holdings Count | shares | 51 |
Advisory Fees Paid, Amount | $ 3,019,014 |
Investment Company Portfolio Turnover | 29% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 51 Total Advisory Fee $ Portfolio Turnover 29 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Aerospace & Defense 22.7 Machinery 20.2 Ground Transportation 13.1 Electrical Equipment 11.1 Building Products 10.2 Trading Companies & Distributors 5.6 Construction & Engineering 3.8 Air Freight & Logistics 3.6 Professional Services 3.2 Others 5.5 Common Stocks 99.0 Short-Term Investments and Net Other Assets (Liabilities) 1.0 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) General Electric Co 6.3 Union Pacific Corp 4.9 Ingersoll Rand Inc 4.9 Howmet Aerospace Inc 4.7 Boeing Co 4.2 Parker-Hannifin Corp 4.1 Trane Technologies PLC 3.9 TransDigm Group Inc 3.7 FedEx Corp 3.4 Eaton Corp PLC 3.3 43.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1710"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1711"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1712"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Energy Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Energy Fund |
Class Name | Fidelity Advisor® Energy Fund Class C |
Trading Symbol | FNRCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Energy Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.74 % |
Expenses Paid, Amount | $ 183 |
Expense Ratio, Percent | 1.74% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1729"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $7,056 $7,093 $6,962 $8,575 $6,378 $3,830 $5,580 $9,478 $10,989 $12,247 MSCI U.S. IMI Energy 25-50 Index $10,000 $7,208 $7,220 $7,200 $8,707 $7,019 $4,258 $6,393 $10,594 $12,299 $13,570 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 9.61% 13.60% 2.05% Class C 10.61% 13.60% 2.05% MSCI U.S. IMI Energy 25-50 Index 10.33% 14.09% 3.10% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 1,311,457,602 |
Holdings Count | shares | 43 |
Advisory Fees Paid, Amount | $ 7,393,032 |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 43 Total Advisory Fee $ Portfolio Turnover 31 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Oil, Gas & Consumable Fuels 81.1 Energy Equipment & Services 16.3 Independent Power and Renewable Electricity Producers 1.4 Machinery 1.0 Common Stocks 99.8 Short-Term Investments and Net Other Assets (Liabilities) 0.2 ASSET ALLOCATION (% of Fund's net assets) United States 82.6 Canada 13.4 United Kingdom 3.3 Norway 0.3 Cameroon 0.2 France 0.1 United Arab Emirates 0.1 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Exxon Mobil Corp 24.8 Cenovus Energy Inc 6.2 Schlumberger NV 5.4 Chevron Corp 4.8 Marathon Petroleum Corp 4.8 Canadian Natural Resources Ltd 4.5 Valero Energy Corp 3.9 Cheniere Energy Inc 3.9 Occidental Petroleum Corp 3.8 Hess Corp 3.4 65.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1743"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1744"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1745"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Technology Fund - Class C | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Technology Fund |
Class Name | Fidelity Advisor® Technology Fund Class C |
Trading Symbol | FTHCX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Technology Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $ 1.70 % |
Expenses Paid, Amount | $ 192 |
Expense Ratio, Percent | 1.70% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1762"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class C $10,000 $11,007 $11,786 $16,359 $20,363 $21,675 $32,012 $46,010 $37,997 $49,589 $63,022 MSCI U.S. IMI Information Technology 25-50 Index $10,000 $11,306 $12,261 $15,808 $20,247 $23,485 $32,225 $45,360 $41,091 $50,982 $64,137 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class C (incl. contingent deferred sales charge) 25.14% 23.42% 20.21% Class C 26.14% 23.42% 20.21% MSCI U.S. IMI Information Technology 25-50 Index 25.80% 22.25% 20.42% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 6,458,251,428 |
Holdings Count | shares | 89 |
Advisory Fees Paid, Amount | $ 31,726,651 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 89 Total Advisory Fee $ Portfolio Turnover 34 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 41.8 Technology Hardware, Storage & Peripherals 20.7 Software 20.6 IT Services 4.4 Communications Equipment 2.5 Ground Transportation 2.2 Broadline Retail 1.5 Hotels, Restaurants & Leisure 0.6 Entertainment 0.5 Others 0.9 Common Stocks 94.5 Preferred Stocks 1.2 Preferred Securities 0.0 Bonds 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.3 ASSET ALLOCATION (% of Fund's net assets) United States 91.2 China 4.5 Taiwan 2.0 Netherlands 1.2 Canada 1.0 India 0.1 Korea (South) 0.0 Israel 0.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 20.1 Apple Inc 19.2 Microsoft Corp 10.7 NXP Semiconductors NV 4.4 ON Semiconductor Corp 4.4 Marvell Technology Inc 3.9 Servicenow Inc 3.6 Okta Inc Class A 2.9 GlobalFoundries Inc 2.8 Cisco Systems Inc 2.5 74.5 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1776"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1777"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1778"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Semiconductors Fund - Class A | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Semiconductors Fund |
Class Name | Fidelity Advisor® Semiconductors Fund Class A |
Trading Symbol | FELAX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Semiconductors Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $ 0.96 % |
Expenses Paid, Amount | $ 115 |
Expense Ratio, Percent | 0.96% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1795"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000 and the current sales charge was paid. Class A $9,425 $10,448 $12,585 $16,514 $21,031 $23,171 $30,274 $49,179 $47,602 $71,075 $99,162 MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index $10,000 $10,481 $13,028 $17,291 $21,750 $23,948 $32,281 $51,070 $48,484 $72,407 $107,971 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class A (incl. 5.75% sales charge) 31.49% 32.17% 25.79% Class A (without 5.75% sales charge) 39.52% 33.75% 26.53% MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index 49.12% 35.15% 26.86% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 2,698,217,311 |
Holdings Count | shares | 45 |
Advisory Fees Paid, Amount | $ 11,387,050 |
Investment Company Portfolio Turnover | 30% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 45 Total Advisory Fee $ Portfolio Turnover 30 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Semiconductors & Semiconductor Equipment 92.7 Technology Hardware, Storage & Peripherals 2.4 Electronic Equipment, Instruments & Components 0.1 Financial Services 0.0 Metals & Mining 0.0 Common Stocks 95.0 Preferred Stocks 0.2 Preferred Securities 0.0 Short-Term Investments and Net Other Assets (Liabilities) 4.8 ASSET ALLOCATION (% of Fund's net assets) United States 79.9 Taiwan 7.1 China 5.6 Netherlands 5.0 Israel 1.7 Japan 0.7 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) NVIDIA Corp 25.8 ON Semiconductor Corp 7.3 Taiwan Semiconductor Manufacturing Co Ltd ADR 6.1 NXP Semiconductors NV 5.6 Micron Technology Inc 5.4 ASML Holding NV depository receipt 5.0 GlobalFoundries Inc 4.8 Lam Research Corp 4.8 Broadcom Inc 4.3 Advanced Micro Devices Inc 3.8 72.9 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing and bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing and bookkeeping).The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1809"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1810"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1811"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Fidelity Advisor Real Estate Fund - Class I | |
Shareholder Report [Line Items] | |
Fund Name | Fidelity Advisor® Real Estate Fund |
Class Name | Fidelity Advisor® Real Estate Fund Class I |
Trading Symbol | FHEIX |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains information about Fidelity Advisor® Real Estate Fund for the period August 1, 2023 to July 31, 2024. |
Shareholder Report Annual or Semi-Annual | annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at fundresearch.fidelity.com/prospectus/sec. You can also request this information by contacting us at 1-877-208-0098 or by sending an e-mail to fidfunddocuments@fidelity.com. |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | 1-877-208-0098 |
Additional Information Email | fidfunddocuments@fidelity.com |
Additional Information Website | fundresearch.fidelity.com/prospectus/sec |
Expenses [Text Block] | What were your Fund costs for the last year? (based on hypothetical $10,000 investment) FUND COST (PREVIOUS YEAR) Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $ 0.79 % |
Expenses Paid, Amount | $ 83 |
Expense Ratio, Percent | 0.79% |
Factors Affecting Performance [Text Block] | What affected the Fund's performance this period? • • • • • • |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance.</span>" id="sjs-B1828"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">The Fund's past performance is not a good predictor of the Fund's future performance.</span> |
Line Graph [Table Text Block] | How did the Fund perform over the past 10 years? CUMULATIVE PERFORMANCE July 31, 2014 through July 31, 2024. Initial investment of $10,000. Class I $10,000 $10,999 $13,046 $12,347 $12,698 $13,958 $12,982 $16,961 $16,041 $14,208 $15,685 MSCI US IMI Real Estate 25/50 Linked Index $10,000 $11,129 $13,457 $12,695 $13,185 $14,621 $12,238 $16,556 $15,854 $14,323 $15,860 S&P 500® Index $10,000 $11,121 $11,745 $13,629 $15,843 $17,108 $19,153 $26,134 $24,921 $28,165 $34,403 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 |
Average Annual Return [Table Text Block] | AVERAGE ANNUAL TOTAL RETURNS: 1 Year 5 Year 10 Year Class I 10.40% 2.36% 4.60% MSCI US IMI Real Estate 25/50 Linked Index 10.73% 1.64% 4.72% S&P 500® Index 22.15% 15.00% 13.15% Visit institutional.fidelity.com for more recent performance information. The Fund's past performance is not a good predictor of the Fund's future performance. The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Net Assets | $ 237,005,518 |
Holdings Count | shares | 35 |
Advisory Fees Paid, Amount | $ 1,374,363 |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics (as of July 31, 2024) KEY FACTS Fund Size $ Number of Holdings 35 Total Advisory Fee $ Portfolio Turnover 24 % |
Holdings [Text Block] | TOP INDUSTRIES (% of Fund's net assets) Specialized REITs 37.6 Industrial REITs 16.2 Residential REITs 14.2 Retail REITs 10.8 Health Care REITs 9.1 Real Estate Management & Development 7.7 Hotel & Resort REITs 2.5 Office REITs 1.2 Common Stocks 99.3 Short-Term Investments and Net Other Assets (Liabilities) 0.7 ASSET ALLOCATION (% of Fund's net assets) United States 100.0 GEOGRAPHIC DIVERSIFICATION (% of Fund's net assets) |
Largest Holdings [Text Block] | TOP HOLDINGS (% of Fund's net assets) Prologis Inc 9.6 Equinix Inc 7.8 Crown Castle Inc 7.5 CBRE Group Inc Class A 6.3 American Tower Corp 5.9 Ventas Inc 5.8 CubeSmart 5.4 Digital Realty Trust Inc 3.5 Welltower Inc 3.3 Mid-America Apartment Communities Inc 3.3 58.4 |
Material Fund Change [Text Block] | How has the Fund changed? This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Material Fund Change Expenses [Text Block] | The fund's transfer agent and pricing & bookkeeping fees were changed to a fixed rate effective December 1, 2023, through February 29, 2024, in anticipation of the transition to a new management fee structure. Effective March 1, 2024, the fund's management contract was amended to incorporate administrative services previously covered under separate services agreements (transfer agent and pricing & bookkeeping). The amended contract incorporates a management fee rate that may vary by class. The Adviser or an affiliate pays certain expenses of managing and operating the fund out of each class's management fee. |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since August 1, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by September 28, 2024 at fundresearch.fidelity.com/prospectus/sec or upon request at 1-877-208-0098 or by sending an e-mail to fidfunddocuments fidelity.com . |
Updated Prospectus Phone Number | 1-877-208-0098</span>" id="sjs-B1842"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">1-877-208-0098</span> |
Updated Prospectus Email Address | fidfunddocuments@fidelity.com</span>" id="sjs-B1843"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:normal;">fidfunddocuments@fidelity.com</span> |
Updated Prospectus Web Address | fundresearch.fidelity.com/prospectus/sec</span>" id="sjs-B1844"><span style="font-family:'Fidelity Sans';font-size:11px;color:#000000;font-style:normal;font-weight:bold;">fundresearch.fidelity.com/prospectus/sec</span> |
Shareholder Report, Line Graph
Shareholder Report, Line Graph (Details) - USD ($) | 12 Months Ended | 60 Months Ended | 84 Months Ended | 108 Months Ended | 120 Months Ended | 132 Months Ended | ||||||||||
Jul. 31, 2024 | Jul. 31, 2024 | Jul. 31, 2024 | Jul. 31, 2024 | Jul. 31, 2024 | Jul. 31, 2024 | Jul. 31, 2023 | Jul. 31, 2022 | Jul. 31, 2021 | Jul. 31, 2020 | Jul. 31, 2019 | Jul. 31, 2018 | Jul. 31, 2017 | Jul. 31, 2016 | Jul. 31, 2015 | Jul. 31, 2014 | |
C000172333_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 17.42% | |||||||||||||||
C000172333_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.43% | |||||||||||||||
C000172333_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.99% | |||||||||||||||
C000205002_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205002_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205002_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000172331_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 17.42% | |||||||||||||||
C000172331_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.43% | |||||||||||||||
C000172331_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.99% | |||||||||||||||
C000014543_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014543_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014543_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014571_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014571_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014571_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014528_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014528_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014528_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014556_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014556_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014556_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205000_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205000_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205000_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014569_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014569_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014569_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000172332_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 17.42% | |||||||||||||||
C000172332_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.43% | |||||||||||||||
C000172332_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.99% | |||||||||||||||
C000014521_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014521_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014521_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014557_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014557_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014557_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014558_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014558_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014558_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014567_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014567_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014567_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014564_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014564_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014564_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014554_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014554_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014554_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014551_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014551_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014551_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014533_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014533_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014533_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014561_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014561_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014561_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205003_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205003_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205003_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000205009_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 17.42% | |||||||||||||||
C000205009_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.43% | |||||||||||||||
C000205009_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.14% | |||||||||||||||
C000014553_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014553_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014553_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014522_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014522_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014522_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014562_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014562_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014562_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014519_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014519_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014519_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014538_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014538_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014538_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014572_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014572_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014572_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014539_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014539_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014539_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014537_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014537_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014537_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014532_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014532_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014532_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000204999_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000204999_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000204999_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000205001_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205001_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205001_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000172330_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 17.42% | |||||||||||||||
C000172330_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.43% | |||||||||||||||
C000172330_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.99% | |||||||||||||||
C000014563_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014563_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014563_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205005_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205005_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205005_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014552_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014552_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014552_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205006_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205006_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205006_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014559_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014559_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014559_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205008_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205008_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205008_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014523_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014523_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014523_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014524_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014524_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014524_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014536_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014536_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014536_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205007_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205007_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205007_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014568_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014568_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014568_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014534_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014534_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014534_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014542_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014542_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014542_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014527_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014527_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014527_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000205004_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000205004_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000205004_1_BBIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.42% | |||||||||||||||
C000014529_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014529_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014529_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014531_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014531_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014531_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014541_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014541_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014541_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014566_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014566_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014566_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014526_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014526_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014526_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014549_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014549_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014549_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000014573_1_BBIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.15% | |||||||||||||||
C000014573_1_BBIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15% | |||||||||||||||
C000014573_1_BBIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.15% | |||||||||||||||
C000172333_LG_ClassMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-E500"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000172333_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,000 | |||||||||||||||
C000172333_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 9,920 | |||||||||||||||
C000172333_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,563 | |||||||||||||||
C000172333_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 11,466 | |||||||||||||||
C000172333_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,962 | |||||||||||||||
C000172333_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 14,341 | |||||||||||||||
C000172333_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 13,033 | |||||||||||||||
C000172333_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,040 | |||||||||||||||
C000172333_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 13,150 | $ 13,150 | $ 13,150 | $ 13,150 | $ 13,150 | $ 13,150 | ||||||||||
C000172333_LG_1_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | FTSE® EPRA℠/NAREIT® Developed Index</span>" id="sjs-E530"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">FTSE® EPRA℠/NAREIT® Developed Index</span> | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,960 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,524 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,380 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,855 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,420 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,176 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,285 | |||||||||||||||
C000172333_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,184 | 12,184 | 12,184 | $ 12,184 | 12,184 | 12,184 | ||||||||||
C000172333_LG_2_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI ACWI (All Country World Index) Index</span>" id="sjs-E560"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI ACWI (All Country World Index) Index</span> | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,606 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,928 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,363 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,382 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,214 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,256 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,556 | |||||||||||||||
C000172333_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,962 | $ 22,962 | $ 22,962 | $ 22,962 | 22,962 | 22,962 | ||||||||||
C000172333_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.22% | |||||||||||||||
C000172333_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.78% | |||||||||||||||
C000172333_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.49% | |||||||||||||||
C000172333_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.97% | |||||||||||||||
C000172333_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.38% | |||||||||||||||
C000172333_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.51% | |||||||||||||||
C000205002_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D608"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205002_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205002_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,336 | |||||||||||||||
C000205002_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,040 | |||||||||||||||
C000205002_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,643 | |||||||||||||||
C000205002_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,658 | |||||||||||||||
C000205002_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,377 | |||||||||||||||
C000205002_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 17,529 | $ 17,529 | $ 17,529 | 17,529 | 17,529 | 17,529 | ||||||||||
C000205002_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Consumer Discretionary 25-50 Index</span>" id="sjs-D632"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Consumer Discretionary 25-50 Index</span> | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,388 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,652 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,604 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,041 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,671 | |||||||||||||||
C000205002_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,618 | 19,618 | $ 19,618 | 19,618 | 19,618 | 19,618 | ||||||||||
C000205002_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D656"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205002_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | ||||||||||
C000205002_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.99% | |||||||||||||||
C000205002_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.14% | |||||||||||||||
C000205002_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.10% | |||||||||||||||
C000205002_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.02% | |||||||||||||||
C000205002_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.56% | |||||||||||||||
C000205002_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.25% | |||||||||||||||
C000172331_LG_ClassMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-E698"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000172331_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000172331_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,525 | |||||||||||||||
C000172331_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,087 | |||||||||||||||
C000172331_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,900 | |||||||||||||||
C000172331_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,369 | |||||||||||||||
C000172331_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,501 | |||||||||||||||
C000172331_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,216 | |||||||||||||||
C000172331_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,228 | |||||||||||||||
C000172331_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,189 | $ 12,189 | 12,189 | $ 12,189 | 12,189 | 12,189 | ||||||||||
C000172331_LG_1_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | FTSE® EPRA℠/NAREIT® Developed Index</span>" id="sjs-E728"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">FTSE® EPRA℠/NAREIT® Developed Index</span> | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,960 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,524 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,380 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,855 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,420 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,176 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,285 | |||||||||||||||
C000172331_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,184 | 12,184 | 12,184 | $ 12,184 | 12,184 | 12,184 | ||||||||||
C000172331_LG_2_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI ACWI (All Country World Index) Index</span>" id="sjs-E758"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI ACWI (All Country World Index) Index</span> | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,606 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,928 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,363 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,382 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,214 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,256 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,556 | |||||||||||||||
C000172331_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,962 | $ 22,962 | 22,962 | $ 22,962 | 22,962 | $ 22,962 | ||||||||||
C000172331_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.76% | |||||||||||||||
C000172331_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.53% | |||||||||||||||
C000172331_ClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.51% | |||||||||||||||
C000172331_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.56% | |||||||||||||||
C000172331_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.26% | |||||||||||||||
C000172331_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.97% | |||||||||||||||
C000172331_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.97% | |||||||||||||||
C000172331_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.38% | |||||||||||||||
C000172331_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.51% | |||||||||||||||
C000014543_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G815"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014543_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,000 | |||||||||||||||
C000014543_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,845 | |||||||||||||||
C000014543_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,423 | |||||||||||||||
C000014543_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,898 | |||||||||||||||
C000014543_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,001 | |||||||||||||||
C000014543_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,348 | |||||||||||||||
C000014543_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,379 | |||||||||||||||
C000014543_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,552 | |||||||||||||||
C000014543_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,076 | |||||||||||||||
C000014543_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,514 | |||||||||||||||
C000014543_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 27,315 | $ 27,315 | 27,315 | 27,315 | 27,315 | $ 27,315 | ||||||||||
C000014543_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Industrials 25-50 Index</span>" id="sjs-G851"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Industrials 25-50 Index</span> | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,697 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,622 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,810 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,836 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,344 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,397 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,708 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,070 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,150 | |||||||||||||||
C000014543_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,881 | 29,881 | 29,881 | 29,881 | 29,881 | $ 29,881 | ||||||||||
C000014543_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G887"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014543_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014543_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.97% | |||||||||||||||
C000014543_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.22% | |||||||||||||||
C000014543_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.57% | |||||||||||||||
C000014543_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 18.81% | |||||||||||||||
C000014543_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.83% | |||||||||||||||
C000014543_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.57% | |||||||||||||||
C000014571_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G941"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014571_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014571_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,885 | |||||||||||||||
C000014571_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,779 | |||||||||||||||
C000014571_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,970 | |||||||||||||||
C000014571_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,181 | |||||||||||||||
C000014571_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,244 | |||||||||||||||
C000014571_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,191 | |||||||||||||||
C000014571_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,770 | |||||||||||||||
C000014571_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,770 | |||||||||||||||
C000014571_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,041 | |||||||||||||||
C000014571_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 14,358 | $ 14,358 | 14,358 | 14,358 | $ 14,358 | $ 14,358 | ||||||||||
C000014571_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI US IMI Real Estate 25/50 Linked Index</span>" id="sjs-G977"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI US IMI Real Estate 25/50 Linked Index</span> | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,129 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,457 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,695 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,185 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,621 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,238 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,556 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,854 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,323 | |||||||||||||||
C000014571_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,860 | 15,860 | 15,860 | 15,860 | 15,860 | $ 15,860 | ||||||||||
C000014571_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1013"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014571_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014571_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.30% | |||||||||||||||
C000014571_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.33% | |||||||||||||||
C000014571_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.68% | |||||||||||||||
C000014571_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.30% | |||||||||||||||
C000014571_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.33% | |||||||||||||||
C000014571_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.68% | |||||||||||||||
C000014571_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.73% | |||||||||||||||
C000014571_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.64% | |||||||||||||||
C000014571_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.72% | |||||||||||||||
C000014528_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G1076"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014528_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014528_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,130 | |||||||||||||||
C000014528_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,048 | |||||||||||||||
C000014528_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,898 | |||||||||||||||
C000014528_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,249 | |||||||||||||||
C000014528_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,855 | |||||||||||||||
C000014528_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 34,104 | |||||||||||||||
C000014528_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,513 | |||||||||||||||
C000014528_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 41,313 | |||||||||||||||
C000014528_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 54,052 | |||||||||||||||
C000014528_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 68,871 | $ 68,871 | 68,871 | 68,871 | $ 68,871 | $ 68,871 | ||||||||||
C000014528_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Information Technology 25-50 Index</span>" id="sjs-G1112"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Information Technology 25-50 Index</span> | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,306 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,261 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,808 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,247 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,485 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,225 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,360 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 41,091 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 50,982 | |||||||||||||||
C000014528_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 64,137 | 64,137 | 64,137 | 64,137 | 64,137 | $ 64,137 | ||||||||||
C000014528_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1148"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014528_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014528_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.42% | |||||||||||||||
C000014528_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.68% | |||||||||||||||
C000014528_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 21.28% | |||||||||||||||
C000014528_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.80% | |||||||||||||||
C000014528_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.25% | |||||||||||||||
C000014528_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.42% | |||||||||||||||
C000014556_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G1202"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014556_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014556_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,045 | |||||||||||||||
C000014556_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,285 | |||||||||||||||
C000014556_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,966 | |||||||||||||||
C000014556_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,429 | |||||||||||||||
C000014556_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,616 | |||||||||||||||
C000014556_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,308 | |||||||||||||||
C000014556_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,769 | |||||||||||||||
C000014556_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,952 | |||||||||||||||
C000014556_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,743 | |||||||||||||||
C000014556_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,701 | $ 25,701 | 25,701 | 25,701 | $ 25,701 | $ 25,701 | ||||||||||
C000014556_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Financials 5% Capped Linked Index</span>" id="sjs-G1238"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Financials 5% Capped Linked Index</span> | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,434 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,272 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,794 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,593 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,130 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,510 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,803 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,734 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,906 | |||||||||||||||
C000014556_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,316 | 29,316 | 29,316 | 29,316 | 29,316 | $ 29,316 | ||||||||||
C000014556_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1274"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014556_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014556_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 28.23% | |||||||||||||||
C000014556_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.62% | |||||||||||||||
C000014556_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.90% | |||||||||||||||
C000014556_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 29.23% | |||||||||||||||
C000014556_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.62% | |||||||||||||||
C000014556_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.90% | |||||||||||||||
C000014556_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.98% | |||||||||||||||
C000014556_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.35% | |||||||||||||||
C000014556_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.36% | |||||||||||||||
C000205000_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D1337"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205000_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205000_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,288 | |||||||||||||||
C000205000_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,370 | |||||||||||||||
C000205000_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,342 | |||||||||||||||
C000205000_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,664 | |||||||||||||||
C000205000_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,449 | |||||||||||||||
C000205000_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 31,190 | $ 31,190 | $ 31,190 | 31,190 | $ 31,190 | 31,190 | ||||||||||
C000205000_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Information Technology 25-50 Index</span>" id="sjs-D1361"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Information Technology 25-50 Index</span> | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,841 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,876 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,939 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,969 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,535 | |||||||||||||||
C000205000_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,607 | 29,607 | $ 29,607 | 29,607 | 29,607 | 29,607 | ||||||||||
C000205000_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D1385"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205000_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205000_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.57% | |||||||||||||||
C000205000_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.83% | |||||||||||||||
C000205000_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 21.53% | |||||||||||||||
C000205000_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.80% | |||||||||||||||
C000205000_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.25% | |||||||||||||||
C000205000_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.45% | |||||||||||||||
C000014569_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G1427"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014569_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014569_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,340 | |||||||||||||||
C000014569_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,235 | |||||||||||||||
C000014569_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,546 | |||||||||||||||
C000014569_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,841 | |||||||||||||||
C000014569_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,980 | |||||||||||||||
C000014569_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,044 | |||||||||||||||
C000014569_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,703 | |||||||||||||||
C000014569_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,816 | |||||||||||||||
C000014569_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,082 | |||||||||||||||
C000014569_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 14,403 | $ 14,403 | 14,403 | 14,403 | 14,403 | $ 14,403 | ||||||||||
C000014569_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI US IMI Real Estate 25/50 Linked Index</span>" id="sjs-G1463"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI US IMI Real Estate 25/50 Linked Index</span> | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,129 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,457 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,695 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,185 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,621 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,238 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,556 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,854 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,323 | |||||||||||||||
C000014569_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,860 | 15,860 | 15,860 | 15,860 | 15,860 | $ 15,860 | ||||||||||
C000014569_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1499"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014569_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014569_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.76% | |||||||||||||||
C000014569_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 0.90% | |||||||||||||||
C000014569_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.72% | |||||||||||||||
C000014569_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.10% | |||||||||||||||
C000014569_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.10% | |||||||||||||||
C000014569_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.33% | |||||||||||||||
C000014569_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.73% | |||||||||||||||
C000014569_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.64% | |||||||||||||||
C000014569_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.72% | |||||||||||||||
C000172332_LG_ClassMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-E1562"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000172332_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172332_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,823 | |||||||||||||||
C000172332_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,352 | |||||||||||||||
C000172332_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,130 | |||||||||||||||
C000172332_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,539 | |||||||||||||||
C000172332_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,647 | |||||||||||||||
C000172332_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,287 | |||||||||||||||
C000172332_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,239 | |||||||||||||||
C000172332_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,145 | $ 12,145 | 12,145 | $ 12,145 | $ 12,145 | 12,145 | ||||||||||
C000172332_LG_1_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | FTSE® EPRA℠/NAREIT® Developed Index</span>" id="sjs-E1592"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">FTSE® EPRA℠/NAREIT® Developed Index</span> | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,960 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,524 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,380 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,855 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,420 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,176 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,285 | |||||||||||||||
C000172332_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,184 | 12,184 | 12,184 | $ 12,184 | 12,184 | 12,184 | ||||||||||
C000172332_LG_2_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI ACWI (All Country World Index) Index</span>" id="sjs-E1622"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI ACWI (All Country World Index) Index</span> | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,606 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,928 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,363 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,382 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,214 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,256 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,556 | |||||||||||||||
C000172332_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,962 | $ 22,962 | 22,962 | $ 22,962 | 22,962 | $ 22,962 | ||||||||||
C000172332_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.06% | |||||||||||||||
C000172332_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.76% | |||||||||||||||
C000172332_ClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.47% | |||||||||||||||
C000172332_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.06% | |||||||||||||||
C000172332_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.76% | |||||||||||||||
C000172332_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.47% | |||||||||||||||
C000172332_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.97% | |||||||||||||||
C000172332_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.38% | |||||||||||||||
C000172332_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.51% | |||||||||||||||
C000014521_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G1679"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014521_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014521_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014521_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,239 | |||||||||||||||
C000014521_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,752 | |||||||||||||||
C000014521_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,392 | |||||||||||||||
C000014521_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,403 | |||||||||||||||
C000014521_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,299 | |||||||||||||||
C000014521_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,575 | |||||||||||||||
C000014521_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,750 | |||||||||||||||
C000014521_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,141 | |||||||||||||||
C000014521_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 23,441 | $ 23,441 | 23,441 | 23,441 | 23,441 | $ 23,441 | ||||||||||
C000014521_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Biotechnology 25-50 Index</span>" id="sjs-G1715"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Biotechnology 25-50 Index</span> | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,191 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,163 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,140 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,791 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,066 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,593 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,002 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,500 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,317 | |||||||||||||||
C000014521_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 27,056 | 27,056 | 27,056 | 27,056 | 27,056 | $ 27,056 | ||||||||||
C000014521_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1751"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014521_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014521_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.15% | |||||||||||||||
C000014521_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.48% | |||||||||||||||
C000014521_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.89% | |||||||||||||||
C000014521_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 28.15% | |||||||||||||||
C000014521_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.48% | |||||||||||||||
C000014521_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.89% | |||||||||||||||
C000014521_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.92% | |||||||||||||||
C000014521_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.98% | |||||||||||||||
C000014521_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.47% | |||||||||||||||
C000014557_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G1814"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014557_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014557_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,710 | |||||||||||||||
C000014557_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,021 | |||||||||||||||
C000014557_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,689 | |||||||||||||||
C000014557_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,192 | |||||||||||||||
C000014557_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,443 | |||||||||||||||
C000014557_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,222 | |||||||||||||||
C000014557_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,736 | |||||||||||||||
C000014557_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,019 | |||||||||||||||
C000014557_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,757 | |||||||||||||||
C000014557_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,665 | $ 25,665 | 25,665 | 25,665 | $ 25,665 | $ 25,665 | ||||||||||
C000014557_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Financials 5% Capped Linked Index</span>" id="sjs-G1850"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Financials 5% Capped Linked Index</span> | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,434 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,272 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,794 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,593 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,130 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,510 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,803 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,734 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,906 | |||||||||||||||
C000014557_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,316 | 29,316 | 29,316 | 29,316 | 29,316 | $ 29,316 | ||||||||||
C000014557_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G1886"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014557_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014557_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.36% | |||||||||||||||
C000014557_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.39% | |||||||||||||||
C000014557_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.88% | |||||||||||||||
C000014557_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 29.90% | |||||||||||||||
C000014557_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.19% | |||||||||||||||
C000014557_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.28% | |||||||||||||||
C000014557_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.98% | |||||||||||||||
C000014557_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.35% | |||||||||||||||
C000014557_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.36% | |||||||||||||||
C000014558_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G1949"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014558_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014558_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,161 | |||||||||||||||
C000014558_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,504 | |||||||||||||||
C000014558_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,377 | |||||||||||||||
C000014558_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,040 | |||||||||||||||
C000014558_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,395 | |||||||||||||||
C000014558_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,100 | |||||||||||||||
C000014558_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,263 | |||||||||||||||
C000014558_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,597 | |||||||||||||||
C000014558_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,518 | |||||||||||||||
C000014558_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 28,086 | $ 28,086 | 28,086 | 28,086 | $ 28,086 | $ 28,086 | ||||||||||
C000014558_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Financials 5% Capped Linked Index</span>" id="sjs-G1985"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Financials 5% Capped Linked Index</span> | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,434 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,272 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,794 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,593 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,130 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,510 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,803 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,734 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,906 | |||||||||||||||
C000014558_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,316 | 29,316 | 29,316 | 29,316 | 29,316 | $ 29,316 | ||||||||||
C000014558_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2021"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014558_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014558_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 30.52% | |||||||||||||||
C000014558_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.78% | |||||||||||||||
C000014558_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.88% | |||||||||||||||
C000014558_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.98% | |||||||||||||||
C000014558_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.35% | |||||||||||||||
C000014558_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.36% | |||||||||||||||
C000014567_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G2075"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014567_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014567_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,843 | |||||||||||||||
C000014567_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,910 | |||||||||||||||
C000014567_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,813 | |||||||||||||||
C000014567_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,431 | |||||||||||||||
C000014567_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,299 | |||||||||||||||
C000014567_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 3,801 | |||||||||||||||
C000014567_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 5,563 | |||||||||||||||
C000014567_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,494 | |||||||||||||||
C000014567_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,979 | |||||||||||||||
C000014567_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,202 | $ 12,202 | 12,202 | 12,202 | $ 12,202 | $ 12,202 | ||||||||||
C000014567_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Energy 25-50 Index</span>" id="sjs-G2111"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Energy 25-50 Index</span> | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,208 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,220 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,200 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,707 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,019 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,258 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,393 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,594 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,299 | |||||||||||||||
C000014567_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,570 | 13,570 | 13,570 | 13,570 | 13,570 | $ 13,570 | ||||||||||
C000014567_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2147"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014567_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014567_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.25% | |||||||||||||||
C000014567_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.33% | |||||||||||||||
C000014567_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.01% | |||||||||||||||
C000014567_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.14% | |||||||||||||||
C000014567_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.14% | |||||||||||||||
C000014567_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.37% | |||||||||||||||
C000014567_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.33% | |||||||||||||||
C000014567_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.09% | |||||||||||||||
C000014567_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.10% | |||||||||||||||
C000014564_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G2210"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014564_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014564_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,699 | |||||||||||||||
C000014564_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,783 | |||||||||||||||
C000014564_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,705 | |||||||||||||||
C000014564_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,319 | |||||||||||||||
C000014564_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,234 | |||||||||||||||
C000014564_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 3,769 | |||||||||||||||
C000014564_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 5,532 | |||||||||||||||
C000014564_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,467 | |||||||||||||||
C000014564_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,976 | |||||||||||||||
C000014564_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,232 | $ 12,232 | 12,232 | 12,232 | $ 12,232 | $ 12,232 | ||||||||||
C000014564_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Energy 25-50 Index</span>" id="sjs-G2246"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Energy 25-50 Index</span> | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,208 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,220 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,200 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,707 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,019 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,258 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,393 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,594 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,299 | |||||||||||||||
C000014564_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,570 | 13,570 | 13,570 | 13,570 | 13,570 | $ 13,570 | ||||||||||
C000014564_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2282"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014564_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014564_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 5.03% | |||||||||||||||
C000014564_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.08% | |||||||||||||||
C000014564_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.03% | |||||||||||||||
C000014564_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.44% | |||||||||||||||
C000014564_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.43% | |||||||||||||||
C000014564_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.64% | |||||||||||||||
C000014564_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.33% | |||||||||||||||
C000014564_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.09% | |||||||||||||||
C000014564_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.10% | |||||||||||||||
C000014554_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G2345"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014554_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014554_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,489 | |||||||||||||||
C000014554_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,844 | |||||||||||||||
C000014554_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,499 | |||||||||||||||
C000014554_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,014 | |||||||||||||||
C000014554_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,301 | |||||||||||||||
C000014554_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,135 | |||||||||||||||
C000014554_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,639 | |||||||||||||||
C000014554_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,971 | |||||||||||||||
C000014554_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,762 | |||||||||||||||
C000014554_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,727 | $ 25,727 | 25,727 | 25,727 | $ 25,727 | $ 25,727 | ||||||||||
C000014554_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Financials 5% Capped Linked Index</span>" id="sjs-G2381"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Financials 5% Capped Linked Index</span> | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,434 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,272 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,794 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,593 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,130 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,510 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,803 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,734 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,906 | |||||||||||||||
C000014554_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,316 | 29,316 | 29,316 | 29,316 | 29,316 | $ 29,316 | ||||||||||
C000014554_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2417"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014554_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014554_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.69% | |||||||||||||||
C000014554_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.14% | |||||||||||||||
C000014554_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.91% | |||||||||||||||
C000014554_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 30.18% | |||||||||||||||
C000014554_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.46% | |||||||||||||||
C000014554_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.56% | |||||||||||||||
C000014554_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.98% | |||||||||||||||
C000014554_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.35% | |||||||||||||||
C000014554_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.36% | |||||||||||||||
C000014551_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G2480"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014551_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014551_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,003 | |||||||||||||||
C000014551_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,147 | |||||||||||||||
C000014551_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,118 | |||||||||||||||
C000014551_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,634 | |||||||||||||||
C000014551_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,652 | |||||||||||||||
C000014551_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 30,685 | |||||||||||||||
C000014551_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,454 | |||||||||||||||
C000014551_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 47,513 | |||||||||||||||
C000014551_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 70,942 | |||||||||||||||
C000014551_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 98,975 | $ 98,975 | 98,975 | 98,975 | $ 98,975 | $ 98,975 | ||||||||||
C000014551_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span>" id="sjs-G2516"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span> | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,481 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,028 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,291 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,750 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,948 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,281 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 51,070 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 48,484 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 72,407 | |||||||||||||||
C000014551_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 107,971 | 107,971 | 107,971 | 107,971 | 107,971 | $ 107,971 | ||||||||||
C000014551_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2552"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014551_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014551_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 37.46% | |||||||||||||||
C000014551_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 32.74% | |||||||||||||||
C000014551_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.76% | |||||||||||||||
C000014551_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 38.46% | |||||||||||||||
C000014551_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 32.74% | |||||||||||||||
C000014551_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.76% | |||||||||||||||
C000014551_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 49.12% | |||||||||||||||
C000014551_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 35.15% | |||||||||||||||
C000014551_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.86% | |||||||||||||||
C000014533_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G2615"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014533_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014533_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,235 | |||||||||||||||
C000014533_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,648 | |||||||||||||||
C000014533_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,833 | |||||||||||||||
C000014533_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,133 | |||||||||||||||
C000014533_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,835 | |||||||||||||||
C000014533_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,628 | |||||||||||||||
C000014533_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,020 | |||||||||||||||
C000014533_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,444 | |||||||||||||||
C000014533_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,156 | |||||||||||||||
C000014533_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 24,715 | $ 24,715 | 24,715 | 24,715 | $ 24,715 | $ 24,715 | ||||||||||
C000014533_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Utilities 25-50 Index</span>" id="sjs-G2651"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Utilities 25-50 Index</span> | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,922 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,519 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,434 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,013 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,419 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,988 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,183 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,242 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,712 | |||||||||||||||
C000014533_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,456 | 24,456 | 24,456 | 24,456 | 24,456 | $ 24,456 | ||||||||||
C000014533_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2687"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014533_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014533_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 16.82% | |||||||||||||||
C000014533_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.31% | |||||||||||||||
C000014533_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.47% | |||||||||||||||
C000014533_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.64% | |||||||||||||||
C000014533_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.02% | |||||||||||||||
C000014533_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.36% | |||||||||||||||
C000014561_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G2741"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014561_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014561_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,304 | |||||||||||||||
C000014561_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,907 | |||||||||||||||
C000014561_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,940 | |||||||||||||||
C000014561_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,384 | |||||||||||||||
C000014561_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,708 | |||||||||||||||
C000014561_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,413 | |||||||||||||||
C000014561_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,253 | |||||||||||||||
C000014561_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,332 | |||||||||||||||
C000014561_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,087 | |||||||||||||||
C000014561_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,496 | $ 22,496 | 22,496 | 22,496 | $ 22,496 | $ 22,496 | ||||||||||
C000014561_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Health Care 25-50 Index</span>" id="sjs-G2777"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Health Care 25-50 Index</span> | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,063 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,726 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,917 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,068 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,693 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,997 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,628 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,807 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,460 | |||||||||||||||
C000014561_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,709 | 28,709 | 28,709 | 28,709 | 28,709 | $ 28,709 | ||||||||||
C000014561_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G2813"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014561_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014561_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.90% | |||||||||||||||
C000014561_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.13% | |||||||||||||||
C000014561_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.45% | |||||||||||||||
C000014561_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 5.90% | |||||||||||||||
C000014561_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.13% | |||||||||||||||
C000014561_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.45% | |||||||||||||||
C000014561_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.76% | |||||||||||||||
C000014561_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.45% | |||||||||||||||
C000014561_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.12% | |||||||||||||||
C000205003_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D2876"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205003_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205003_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,808 | |||||||||||||||
C000205003_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,199 | |||||||||||||||
C000205003_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,525 | |||||||||||||||
C000205003_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,596 | |||||||||||||||
C000205003_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,816 | |||||||||||||||
C000205003_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 17,564 | $ 17,564 | $ 17,564 | 17,564 | $ 17,564 | 17,564 | ||||||||||
C000205003_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Industrials 25-50 Index</span>" id="sjs-D2900"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Industrials 25-50 Index</span> | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,039 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,457 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,947 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,942 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,447 | |||||||||||||||
C000205003_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,353 | 18,353 | $ 18,353 | 18,353 | 18,353 | 18,353 | ||||||||||
C000205003_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D2924"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205003_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | 20,843 | ||||||||||
C000205003_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.12% | |||||||||||||||
C000205003_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.36% | |||||||||||||||
C000205003_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.14% | |||||||||||||||
C000205003_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 18.81% | |||||||||||||||
C000205003_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.83% | |||||||||||||||
C000205003_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.97% | |||||||||||||||
C000205009_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D2966"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205009_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205009_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,017 | |||||||||||||||
C000205009_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,544 | |||||||||||||||
C000205009_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,820 | |||||||||||||||
C000205009_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,587 | |||||||||||||||
C000205009_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,646 | |||||||||||||||
C000205009_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,734 | $ 12,734 | $ 12,734 | 12,734 | 12,734 | 12,734 | ||||||||||
C000205009_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | FTSE® EPRA℠/NAREIT® Developed Index</span>" id="sjs-D2990"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">FTSE® EPRA℠/NAREIT® Developed Index</span> | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,066 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,583 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,050 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,840 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,973 | |||||||||||||||
C000205009_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,848 | 11,848 | $ 11,848 | 11,848 | 11,848 | 11,848 | ||||||||||
C000205009_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI ACWI (All Country World Index) Index</span>" id="sjs-D3014"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI ACWI (All Country World Index) Index</span> | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,222 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,001 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,698 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,199 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,959 | |||||||||||||||
C000205009_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 17,565 | $ 17,565 | $ 17,565 | 17,565 | 17,565 | $ 17,565 | ||||||||||
C000205009_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.34% | |||||||||||||||
C000205009_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.94% | |||||||||||||||
C000205009_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.23% | |||||||||||||||
C000205009_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.97% | |||||||||||||||
C000205009_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.38% | |||||||||||||||
C000205009_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.95% | |||||||||||||||
C000014553_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G3056"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014553_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014553_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,117 | |||||||||||||||
C000014553_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,435 | |||||||||||||||
C000014553_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,683 | |||||||||||||||
C000014553_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,589 | |||||||||||||||
C000014553_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,951 | |||||||||||||||
C000014553_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,705 | |||||||||||||||
C000014553_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 53,262 | |||||||||||||||
C000014553_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 51,688 | |||||||||||||||
C000014553_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 77,383 | |||||||||||||||
C000014553_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 108,234 | $ 108,234 | 108,234 | 108,234 | 108,234 | $ 108,234 | ||||||||||
C000014553_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span>" id="sjs-G3092"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span> | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,481 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,028 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,291 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,750 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,948 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,281 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 51,070 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 48,484 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 72,407 | |||||||||||||||
C000014553_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 107,971 | 107,971 | 107,971 | 107,971 | 107,971 | $ 107,971 | ||||||||||
C000014553_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3128"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014553_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014553_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 39.87% | |||||||||||||||
C000014553_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 34.11% | |||||||||||||||
C000014553_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.89% | |||||||||||||||
C000014553_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 49.12% | |||||||||||||||
C000014553_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 35.15% | |||||||||||||||
C000014553_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.86% | |||||||||||||||
C000014522_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G3182"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014522_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014522_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,360 | |||||||||||||||
C000014522_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,944 | |||||||||||||||
C000014522_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,463 | |||||||||||||||
C000014522_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,127 | |||||||||||||||
C000014522_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,217 | |||||||||||||||
C000014522_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,135 | |||||||||||||||
C000014522_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,480 | |||||||||||||||
C000014522_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,745 | |||||||||||||||
C000014522_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,087 | |||||||||||||||
C000014522_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 23,308 | $ 23,308 | 23,308 | 23,308 | $ 23,308 | $ 23,308 | ||||||||||
C000014522_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Biotechnology 25-50 Index</span>" id="sjs-G3218"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Biotechnology 25-50 Index</span> | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,191 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,163 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,140 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,791 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,066 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,593 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,002 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,500 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,317 | |||||||||||||||
C000014522_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 27,056 | 27,056 | 27,056 | 27,056 | 27,056 | $ 27,056 | ||||||||||
C000014522_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3254"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014522_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014522_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.36% | |||||||||||||||
C000014522_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.22% | |||||||||||||||
C000014522_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.83% | |||||||||||||||
C000014522_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 28.87% | |||||||||||||||
C000014522_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.01% | |||||||||||||||
C000014522_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.22% | |||||||||||||||
C000014522_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.92% | |||||||||||||||
C000014522_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.98% | |||||||||||||||
C000014522_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.47% | |||||||||||||||
C000014562_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G3317"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014562_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014562_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,901 | |||||||||||||||
C000014562_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000014562_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,669 | |||||||||||||||
C000014562_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,135 | |||||||||||||||
C000014562_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,530 | |||||||||||||||
C000014562_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,287 | |||||||||||||||
C000014562_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,219 | |||||||||||||||
C000014562_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,405 | |||||||||||||||
C000014562_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,109 | |||||||||||||||
C000014562_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,466 | $ 22,466 | 22,466 | 22,466 | $ 22,466 | $ 22,466 | ||||||||||
C000014562_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Health Care 25-50 Index</span>" id="sjs-G3353"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Health Care 25-50 Index</span> | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,063 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,726 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,917 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,068 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,693 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,997 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,628 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,807 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,460 | |||||||||||||||
C000014562_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,709 | 28,709 | 28,709 | 28,709 | 28,709 | $ 28,709 | ||||||||||
C000014562_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3389"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014562_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014562_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.71% | |||||||||||||||
C000014562_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.90% | |||||||||||||||
C000014562_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.43% | |||||||||||||||
C000014562_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.43% | |||||||||||||||
C000014562_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.66% | |||||||||||||||
C000014562_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.82% | |||||||||||||||
C000014562_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.76% | |||||||||||||||
C000014562_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.45% | |||||||||||||||
C000014562_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.12% | |||||||||||||||
C000014519_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G3452"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014519_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014519_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,048 | |||||||||||||||
C000014519_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,752 | |||||||||||||||
C000014519_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,291 | |||||||||||||||
C000014519_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,975 | |||||||||||||||
C000014519_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,113 | |||||||||||||||
C000014519_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,047 | |||||||||||||||
C000014519_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,440 | |||||||||||||||
C000014519_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,756 | |||||||||||||||
C000014519_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,148 | |||||||||||||||
C000014519_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 23,450 | $ 23,450 | 23,450 | 23,450 | $ 23,450 | $ 23,450 | ||||||||||
C000014519_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Biotechnology 25-50 Index</span>" id="sjs-G3488"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Biotechnology 25-50 Index</span> | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,191 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,163 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,140 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,791 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,066 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,593 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,002 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,500 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,317 | |||||||||||||||
C000014519_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 27,056 | 27,056 | 27,056 | 27,056 | 27,056 | $ 27,056 | ||||||||||
C000014519_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3524"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014519_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014519_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 21.78% | |||||||||||||||
C000014519_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.01% | |||||||||||||||
C000014519_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.90% | |||||||||||||||
C000014519_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 29.21% | |||||||||||||||
C000014519_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.33% | |||||||||||||||
C000014519_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.54% | |||||||||||||||
C000014519_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.92% | |||||||||||||||
C000014519_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.98% | |||||||||||||||
C000014519_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.47% | |||||||||||||||
C000014538_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G3587"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014538_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014538_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,260 | |||||||||||||||
C000014538_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,245 | |||||||||||||||
C000014538_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,502 | |||||||||||||||
C000014538_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,669 | |||||||||||||||
C000014538_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,853 | |||||||||||||||
C000014538_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,771 | |||||||||||||||
C000014538_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,675 | |||||||||||||||
C000014538_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,502 | |||||||||||||||
C000014538_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,428 | |||||||||||||||
C000014538_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 30,087 | $ 30,087 | 30,087 | 30,087 | $ 30,087 | $ 30,087 | ||||||||||
C000014538_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Consumer Discretionary 25-50 Index</span>" id="sjs-G3623"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Consumer Discretionary 25-50 Index</span> | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,215 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,366 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,162 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,199 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,581 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,632 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 33,278 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,694 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,608 | |||||||||||||||
C000014538_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 35,092 | 35,092 | 35,092 | 35,092 | 35,092 | $ 35,092 | ||||||||||
C000014538_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3659"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014538_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014538_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.84% | |||||||||||||||
C000014538_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11% | |||||||||||||||
C000014538_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.64% | |||||||||||||||
C000014538_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.02% | |||||||||||||||
C000014538_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.56% | |||||||||||||||
C000014538_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.38% | |||||||||||||||
C000014572_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G3713"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014572_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014572_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,563 | |||||||||||||||
C000014572_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,467 | |||||||||||||||
C000014572_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,740 | |||||||||||||||
C000014572_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,014 | |||||||||||||||
C000014572_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,138 | |||||||||||||||
C000014572_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,163 | |||||||||||||||
C000014572_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,828 | |||||||||||||||
C000014572_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,906 | |||||||||||||||
C000014572_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,137 | |||||||||||||||
C000014572_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 14,431 | $ 14,431 | 14,431 | 14,431 | $ 14,431 | $ 14,431 | ||||||||||
C000014572_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI US IMI Real Estate 25/50 Linked Index</span>" id="sjs-G3749"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI US IMI Real Estate 25/50 Linked Index</span> | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,129 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,457 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,695 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,185 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,621 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,238 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,556 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,854 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,323 | |||||||||||||||
C000014572_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,860 | 15,860 | 15,860 | 15,860 | 15,860 | $ 15,860 | ||||||||||
C000014572_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3785"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014572_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014572_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.01% | |||||||||||||||
C000014572_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.17% | |||||||||||||||
C000014572_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.74% | |||||||||||||||
C000014572_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.85% | |||||||||||||||
C000014572_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.90% | |||||||||||||||
C000014572_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.11% | |||||||||||||||
C000014572_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.73% | |||||||||||||||
C000014572_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.64% | |||||||||||||||
C000014572_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.72% | |||||||||||||||
C000014539_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G3848"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014539_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014539_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,195 | |||||||||||||||
C000014539_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,709 | |||||||||||||||
C000014539_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,060 | |||||||||||||||
C000014539_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,985 | |||||||||||||||
C000014539_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,274 | |||||||||||||||
C000014539_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,335 | |||||||||||||||
C000014539_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,086 | |||||||||||||||
C000014539_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,677 | |||||||||||||||
C000014539_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,792 | |||||||||||||||
C000014539_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,065 | $ 25,065 | 25,065 | 25,065 | $ 25,065 | $ 25,065 | ||||||||||
C000014539_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Industrials 25-50 Index</span>" id="sjs-G3884"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Industrials 25-50 Index</span> | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,697 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,622 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,810 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,836 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,344 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,397 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,708 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,070 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,150 | |||||||||||||||
C000014539_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,881 | 29,881 | 29,881 | 29,881 | 29,881 | $ 29,881 | ||||||||||
C000014539_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G3920"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014539_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014539_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 19.36% | |||||||||||||||
C000014539_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.60% | |||||||||||||||
C000014539_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.62% | |||||||||||||||
C000014539_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.64% | |||||||||||||||
C000014539_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.92% | |||||||||||||||
C000014539_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.28% | |||||||||||||||
C000014539_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 18.81% | |||||||||||||||
C000014539_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.83% | |||||||||||||||
C000014539_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.57% | |||||||||||||||
C000014537_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G3983"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014537_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014537_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,765 | |||||||||||||||
C000014537_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,686 | |||||||||||||||
C000014537_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,810 | |||||||||||||||
C000014537_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,728 | |||||||||||||||
C000014537_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,760 | |||||||||||||||
C000014537_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,391 | |||||||||||||||
C000014537_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,628 | |||||||||||||||
C000014537_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,706 | |||||||||||||||
C000014537_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,282 | |||||||||||||||
C000014537_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 27,493 | $ 27,493 | 27,493 | 27,493 | $ 27,493 | $ 27,493 | ||||||||||
C000014537_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Consumer Discretionary 25-50 Index</span>" id="sjs-G4019"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Consumer Discretionary 25-50 Index</span> | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,215 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,366 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,162 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,199 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,581 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,632 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 33,278 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,694 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,608 | |||||||||||||||
C000014537_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 35,092 | 35,092 | 35,092 | 35,092 | 35,092 | $ 35,092 | ||||||||||
C000014537_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G4055"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014537_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014537_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.26% | |||||||||||||||
C000014537_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.62% | |||||||||||||||
C000014537_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.64% | |||||||||||||||
C000014537_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.23% | |||||||||||||||
C000014537_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.41% | |||||||||||||||
C000014537_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.04% | |||||||||||||||
C000014537_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.02% | |||||||||||||||
C000014537_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.56% | |||||||||||||||
C000014537_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.38% | |||||||||||||||
C000014532_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G4118"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014532_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014532_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,816 | |||||||||||||||
C000014532_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,111 | |||||||||||||||
C000014532_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,167 | |||||||||||||||
C000014532_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,327 | |||||||||||||||
C000014532_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,844 | |||||||||||||||
C000014532_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,575 | |||||||||||||||
C000014532_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,707 | |||||||||||||||
C000014532_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,776 | |||||||||||||||
C000014532_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,411 | |||||||||||||||
C000014532_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,554 | $ 22,554 | 22,554 | 22,554 | $ 22,554 | $ 22,554 | ||||||||||
C000014532_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Utilities 25-50 Index</span>" id="sjs-G4154"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Utilities 25-50 Index</span> | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,922 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,519 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,434 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,013 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,419 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,988 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,183 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,242 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,712 | |||||||||||||||
C000014532_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,456 | 24,456 | 24,456 | 24,456 | 24,456 | $ 24,456 | ||||||||||
C000014532_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G4190"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014532_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014532_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.13% | |||||||||||||||
C000014532_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.95% | |||||||||||||||
C000014532_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.47% | |||||||||||||||
C000014532_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 16.19% | |||||||||||||||
C000014532_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.73% | |||||||||||||||
C000014532_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.86% | |||||||||||||||
C000014532_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.64% | |||||||||||||||
C000014532_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.02% | |||||||||||||||
C000014532_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.36% | |||||||||||||||
C000204999_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D4253"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000204999_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000204999_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,217 | |||||||||||||||
C000204999_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,031 | |||||||||||||||
C000204999_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,774 | |||||||||||||||
C000204999_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,207 | |||||||||||||||
C000204999_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,965 | |||||||||||||||
C000204999_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 16,814 | $ 16,814 | $ 16,814 | 16,814 | $ 16,814 | 16,814 | ||||||||||
C000204999_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Biotechnology 25-50 Index</span>" id="sjs-D4277"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Biotechnology 25-50 Index</span> | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,683 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,477 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,581 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,037 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,159 | |||||||||||||||
C000204999_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,701 | 16,701 | $ 16,701 | 16,701 | 16,701 | 16,701 | ||||||||||
C000204999_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D4301"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000204999_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | 20,843 | ||||||||||
C000204999_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 29.69% | |||||||||||||||
C000204999_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.77% | |||||||||||||||
C000204999_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.32% | |||||||||||||||
C000204999_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.92% | |||||||||||||||
C000204999_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.98% | |||||||||||||||
C000204999_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.19% | |||||||||||||||
C000205001_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D4343"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205001_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205001_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,904 | |||||||||||||||
C000205001_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,778 | |||||||||||||||
C000205001_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,439 | |||||||||||||||
C000205001_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,824 | |||||||||||||||
C000205001_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,644 | |||||||||||||||
C000205001_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 17,129 | $ 17,129 | $ 17,129 | 17,129 | 17,129 | 17,129 | ||||||||||
C000205001_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Utilities 25-50 Index</span>" id="sjs-D4367"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Utilities 25-50 Index</span> | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,420 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,793 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,232 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,237 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,234 | |||||||||||||||
C000205001_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,033 | 16,033 | $ 16,033 | 16,033 | 16,033 | 16,033 | ||||||||||
C000205001_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D4391"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205001_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | ||||||||||
C000205001_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 16.97% | |||||||||||||||
C000205001_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.45% | |||||||||||||||
C000205001_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.67% | |||||||||||||||
C000205001_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.64% | |||||||||||||||
C000205001_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.02% | |||||||||||||||
C000205001_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.43% | |||||||||||||||
C000172330_LG_ClassMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-E4433"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000172330_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000172330_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,331 | |||||||||||||||
C000172330_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,906 | |||||||||||||||
C000172330_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,722 | |||||||||||||||
C000172330_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,228 | |||||||||||||||
C000172330_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,356 | |||||||||||||||
C000172330_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,101 | |||||||||||||||
C000172330_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,156 | |||||||||||||||
C000172330_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,146 | $ 12,146 | 12,146 | $ 12,146 | 12,146 | 12,146 | ||||||||||
C000172330_LG_1_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | FTSE® EPRA℠/NAREIT® Developed Index</span>" id="sjs-E4463"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">FTSE® EPRA℠/NAREIT® Developed Index</span> | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,960 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,524 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,380 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,855 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,420 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,176 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,285 | |||||||||||||||
C000172330_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,184 | 12,184 | 12,184 | $ 12,184 | 12,184 | 12,184 | ||||||||||
C000172330_LG_2_AdditionalIndexMember_9YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI ACWI (All Country World Index) Index</span>" id="sjs-E4493"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI ACWI (All Country World Index) Index</span> | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,606 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,928 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,363 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,382 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,214 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,256 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,556 | |||||||||||||||
C000172330_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,962 | $ 22,962 | 22,962 | $ 22,962 | 22,962 | $ 22,962 | ||||||||||
C000172330_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.62% | |||||||||||||||
C000172330_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.32% | |||||||||||||||
C000172330_ClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.47% | |||||||||||||||
C000172330_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.88% | |||||||||||||||
C000172330_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.52% | |||||||||||||||
C000172330_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.23% | |||||||||||||||
C000172330_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.97% | |||||||||||||||
C000172330_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.38% | |||||||||||||||
C000172330_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.51% | |||||||||||||||
C000014563_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G4550"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014563_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014563_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,440 | |||||||||||||||
C000014563_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,150 | |||||||||||||||
C000014563_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,338 | |||||||||||||||
C000014563_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,018 | |||||||||||||||
C000014563_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,522 | |||||||||||||||
C000014563_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,626 | |||||||||||||||
C000014563_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,959 | |||||||||||||||
C000014563_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,044 | |||||||||||||||
C000014563_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,921 | |||||||||||||||
C000014563_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 24,520 | $ 24,520 | 24,520 | 24,520 | 24,520 | $ 24,520 | ||||||||||
C000014563_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Health Care 25-50 Index</span>" id="sjs-G4586"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Health Care 25-50 Index</span> | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,063 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,726 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,917 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,068 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,693 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,997 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,628 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,807 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,460 | |||||||||||||||
C000014563_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,709 | 28,709 | 28,709 | 28,709 | 28,709 | $ 28,709 | ||||||||||
C000014563_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G4622"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014563_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014563_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.98% | |||||||||||||||
C000014563_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.22% | |||||||||||||||
C000014563_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.38% | |||||||||||||||
C000014563_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.76% | |||||||||||||||
C000014563_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.45% | |||||||||||||||
C000014563_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.12% | |||||||||||||||
C000205005_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D4676"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205005_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205005_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,472 | |||||||||||||||
C000205005_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,924 | |||||||||||||||
C000205005_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,504 | |||||||||||||||
C000205005_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,065 | |||||||||||||||
C000205005_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,710 | |||||||||||||||
C000205005_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 19,231 | $ 19,231 | $ 19,231 | 19,231 | $ 19,231 | 19,231 | ||||||||||
C000205005_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Financials 5% Capped Linked Index</span>" id="sjs-D4700"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Financials 5% Capped Linked Index</span> | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,457 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,858 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,921 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,268 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,983 | |||||||||||||||
C000205005_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,897 | 17,897 | $ 17,897 | 17,897 | 17,897 | 17,897 | ||||||||||
C000205005_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D4724"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205005_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205005_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 30.73% | |||||||||||||||
C000205005_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.92% | |||||||||||||||
C000205005_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.86% | |||||||||||||||
C000205005_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.98% | |||||||||||||||
C000205005_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.35% | |||||||||||||||
C000205005_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.49% | |||||||||||||||
C000014552_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G4766"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014552_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014552_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,668 | |||||||||||||||
C000014552_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,803 | |||||||||||||||
C000014552_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,735 | |||||||||||||||
C000014552_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,245 | |||||||||||||||
C000014552_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,337 | |||||||||||||||
C000014552_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 30,403 | |||||||||||||||
C000014552_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,249 | |||||||||||||||
C000014552_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 47,558 | |||||||||||||||
C000014552_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 70,838 | |||||||||||||||
C000014552_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 98,591 | $ 98,591 | 98,591 | 98,591 | 98,591 | $ 98,591 | ||||||||||
C000014552_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span>" id="sjs-G4802"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span> | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,481 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,028 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,291 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,750 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,948 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,281 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 51,070 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 48,484 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 72,407 | |||||||||||||||
C000014552_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 107,971 | 107,971 | 107,971 | 107,971 | 107,971 | $ 107,971 | ||||||||||
C000014552_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G4838"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014552_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014552_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 34.31% | |||||||||||||||
C000014552_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 32.45% | |||||||||||||||
C000014552_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.71% | |||||||||||||||
C000014552_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 39.18% | |||||||||||||||
C000014552_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 33.40% | |||||||||||||||
C000014552_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.16% | |||||||||||||||
C000014552_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 49.12% | |||||||||||||||
C000014552_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 35.15% | |||||||||||||||
C000014552_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.86% | |||||||||||||||
C000205006_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D4901"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205006_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205006_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,714 | |||||||||||||||
C000205006_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,141 | |||||||||||||||
C000205006_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,709 | |||||||||||||||
C000205006_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,008 | |||||||||||||||
C000205006_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,543 | |||||||||||||||
C000205006_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 14,506 | $ 14,506 | $ 14,506 | 14,506 | $ 14,506 | 14,506 | ||||||||||
C000205006_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Health Care 25-50 Index</span>" id="sjs-D4925"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Health Care 25-50 Index</span> | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,682 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,598 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,864 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,388 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,767 | |||||||||||||||
C000205006_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,651 | 16,651 | $ 16,651 | 16,651 | 16,651 | 16,651 | ||||||||||
C000205006_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D4949"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205006_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205006_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.11% | |||||||||||||||
C000205006_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.35% | |||||||||||||||
C000205006_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.58% | |||||||||||||||
C000205006_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.76% | |||||||||||||||
C000205006_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.45% | |||||||||||||||
C000205006_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.14% | |||||||||||||||
C000014559_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G4991"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014559_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014559_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,636 | |||||||||||||||
C000014559_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,395 | |||||||||||||||
C000014559_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,474 | |||||||||||||||
C000014559_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,945 | |||||||||||||||
C000014559_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,374 | |||||||||||||||
C000014559_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,141 | |||||||||||||||
C000014559_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,102 | |||||||||||||||
C000014559_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,352 | |||||||||||||||
C000014559_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,109 | |||||||||||||||
C000014559_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,519 | $ 22,519 | 22,519 | 22,519 | 22,519 | $ 22,519 | ||||||||||
C000014559_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Health Care 25-50 Index</span>" id="sjs-G5027"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Health Care 25-50 Index</span> | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,063 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,726 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,917 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,068 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,693 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,997 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,628 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,807 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,460 | |||||||||||||||
C000014559_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,709 | 28,709 | 28,709 | 28,709 | 28,709 | $ 28,709 | ||||||||||
C000014559_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5063"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014559_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014559_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 0.55% | |||||||||||||||
C000014559_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.66% | |||||||||||||||
C000014559_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.46% | |||||||||||||||
C000014559_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 6.68% | |||||||||||||||
C000014559_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.93% | |||||||||||||||
C000014559_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.10% | |||||||||||||||
C000014559_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.76% | |||||||||||||||
C000014559_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.45% | |||||||||||||||
C000014559_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.12% | |||||||||||||||
C000205008_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D5126"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205008_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205008_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,122 | |||||||||||||||
C000205008_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,366 | |||||||||||||||
C000205008_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,574 | |||||||||||||||
C000205008_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,867 | |||||||||||||||
C000205008_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,413 | |||||||||||||||
C000205008_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,622 | $ 12,622 | $ 12,622 | 12,622 | $ 12,622 | 12,622 | ||||||||||
C000205008_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI US IMI Real Estate 25/50 Linked Index</span>" id="sjs-D5150"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI US IMI Real Estate 25/50 Linked Index</span> | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,209 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,382 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,693 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,155 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,981 | |||||||||||||||
C000205008_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,159 | 12,159 | $ 12,159 | 12,159 | 12,159 | 12,159 | ||||||||||
C000205008_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D5174"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205008_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205008_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.60% | |||||||||||||||
C000205008_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.56% | |||||||||||||||
C000205008_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.07% | |||||||||||||||
C000205008_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.73% | |||||||||||||||
C000205008_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.64% | |||||||||||||||
C000205008_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.41% | |||||||||||||||
C000014523_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G5216"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014523_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014523_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,000 | |||||||||||||||
C000014523_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,469 | |||||||||||||||
C000014523_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,139 | |||||||||||||||
C000014523_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,982 | |||||||||||||||
C000014523_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,100 | |||||||||||||||
C000014523_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,376 | |||||||||||||||
C000014523_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,010 | |||||||||||||||
C000014523_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,073 | |||||||||||||||
C000014523_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,721 | |||||||||||||||
C000014523_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,543 | $ 25,543 | 25,543 | 25,543 | 25,543 | $ 25,543 | ||||||||||
C000014523_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Biotechnology 25-50 Index</span>" id="sjs-G5252"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Biotechnology 25-50 Index</span> | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,191 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,163 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,140 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,791 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,066 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,593 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,002 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,500 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,317 | |||||||||||||||
C000014523_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 27,056 | 27,056 | 27,056 | 27,056 | 27,056 | $ 27,056 | ||||||||||
C000014523_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5288"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014523_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014523_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 29.53% | |||||||||||||||
C000014523_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.62% | |||||||||||||||
C000014523_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.83% | |||||||||||||||
C000014523_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.92% | |||||||||||||||
C000014523_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.98% | |||||||||||||||
C000014523_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.47% | |||||||||||||||
C000014524_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G5342"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014524_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014524_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,456 | |||||||||||||||
C000014524_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,278 | |||||||||||||||
C000014524_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,772 | |||||||||||||||
C000014524_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,783 | |||||||||||||||
C000014524_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,219 | |||||||||||||||
C000014524_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,580 | |||||||||||||||
C000014524_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,729 | |||||||||||||||
C000014524_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 38,057 | |||||||||||||||
C000014524_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,667 | |||||||||||||||
C000014524_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 63,121 | $ 63,121 | 63,121 | 63,121 | $ 63,121 | $ 63,121 | ||||||||||
C000014524_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Information Technology 25-50 Index</span>" id="sjs-G5378"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Information Technology 25-50 Index</span> | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,306 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,261 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,808 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,247 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,485 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,225 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,360 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 41,091 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 50,982 | |||||||||||||||
C000014524_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 64,137 | 64,137 | 64,137 | 64,137 | 64,137 | $ 64,137 | ||||||||||
C000014524_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5414"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014524_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014524_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 19.78% | |||||||||||||||
C000014524_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.90% | |||||||||||||||
C000014524_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.23% | |||||||||||||||
C000014524_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 27.09% | |||||||||||||||
C000014524_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.36% | |||||||||||||||
C000014524_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.95% | |||||||||||||||
C000014524_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.80% | |||||||||||||||
C000014524_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.25% | |||||||||||||||
C000014524_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.42% | |||||||||||||||
C000014536_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G5477"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014536_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014536_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,137 | |||||||||||||||
C000014536_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,002 | |||||||||||||||
C000014536_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,092 | |||||||||||||||
C000014536_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,998 | |||||||||||||||
C000014536_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,962 | |||||||||||||||
C000014536_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,529 | |||||||||||||||
C000014536_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,688 | |||||||||||||||
C000014536_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,648 | |||||||||||||||
C000014536_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,276 | |||||||||||||||
C000014536_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 27,562 | $ 27,562 | 27,562 | 27,562 | $ 27,562 | $ 27,562 | ||||||||||
C000014536_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Consumer Discretionary 25-50 Index</span>" id="sjs-G5513"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Consumer Discretionary 25-50 Index</span> | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,215 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,366 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,162 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,199 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,581 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,632 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 33,278 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,694 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,608 | |||||||||||||||
C000014536_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 35,092 | 35,092 | 35,092 | 35,092 | 35,092 | $ 35,092 | ||||||||||
C000014536_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5549"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014536_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014536_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.70% | |||||||||||||||
C000014536_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.87% | |||||||||||||||
C000014536_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.67% | |||||||||||||||
C000014536_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.70% | |||||||||||||||
C000014536_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.87% | |||||||||||||||
C000014536_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.67% | |||||||||||||||
C000014536_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.02% | |||||||||||||||
C000014536_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.56% | |||||||||||||||
C000014536_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.38% | |||||||||||||||
C000205007_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D5612"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205007_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205007_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,566 | |||||||||||||||
C000205007_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,598 | |||||||||||||||
C000205007_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,781 | |||||||||||||||
C000205007_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,652 | |||||||||||||||
C000205007_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,563 | |||||||||||||||
C000205007_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 15,178 | $ 15,178 | $ 15,178 | 15,178 | $ 15,178 | 15,178 | ||||||||||
C000205007_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Energy 25-50 Index</span>" id="sjs-D5636"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Energy 25-50 Index</span> | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,981 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,842 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,269 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,046 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,985 | |||||||||||||||
C000205007_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,431 | 15,431 | $ 15,431 | 15,431 | 15,431 | 15,431 | ||||||||||
C000205007_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D5660"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205007_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205007_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.90% | |||||||||||||||
C000205007_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.94% | |||||||||||||||
C000205007_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.42% | |||||||||||||||
C000205007_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.33% | |||||||||||||||
C000205007_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.09% | |||||||||||||||
C000205007_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.72% | |||||||||||||||
C000014568_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G5702"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014568_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014568_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,127 | |||||||||||||||
C000014568_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,234 | |||||||||||||||
C000014568_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,172 | |||||||||||||||
C000014568_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,924 | |||||||||||||||
C000014568_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,707 | |||||||||||||||
C000014568_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,069 | |||||||||||||||
C000014568_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 5,992 | |||||||||||||||
C000014568_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,284 | |||||||||||||||
C000014568_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,955 | |||||||||||||||
C000014568_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 13,358 | $ 13,358 | 13,358 | 13,358 | 13,358 | $ 13,358 | ||||||||||
C000014568_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Energy 25-50 Index</span>" id="sjs-G5738"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Energy 25-50 Index</span> | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,208 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,220 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,200 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,707 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,019 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,258 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,393 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,594 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,299 | |||||||||||||||
C000014568_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,570 | 13,570 | 13,570 | 13,570 | 13,570 | $ 13,570 | ||||||||||
C000014568_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5774"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014568_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014568_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.73% | |||||||||||||||
C000014568_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.77% | |||||||||||||||
C000014568_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.94% | |||||||||||||||
C000014568_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.33% | |||||||||||||||
C000014568_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.09% | |||||||||||||||
C000014568_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.10% | |||||||||||||||
C000014534_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G5828"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014534_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014534_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,523 | |||||||||||||||
C000014534_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,479 | |||||||||||||||
C000014534_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,618 | |||||||||||||||
C000014534_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,536 | |||||||||||||||
C000014534_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,593 | |||||||||||||||
C000014534_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,253 | |||||||||||||||
C000014534_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,507 | |||||||||||||||
C000014534_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,668 | |||||||||||||||
C000014534_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,298 | |||||||||||||||
C000014534_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 27,587 | $ 27,587 | 27,587 | 27,587 | $ 27,587 | $ 27,587 | ||||||||||
C000014534_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Consumer Discretionary 25-50 Index</span>" id="sjs-G5864"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Consumer Discretionary 25-50 Index</span> | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,215 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,366 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,162 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,199 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,581 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,632 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 33,278 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,694 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,608 | |||||||||||||||
C000014534_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 35,092 | 35,092 | 35,092 | 35,092 | 35,092 | $ 35,092 | ||||||||||
C000014534_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G5900"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014534_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014534_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.01% | |||||||||||||||
C000014534_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.40% | |||||||||||||||
C000014534_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.68% | |||||||||||||||
C000014534_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.54% | |||||||||||||||
C000014534_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.70% | |||||||||||||||
C000014534_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.34% | |||||||||||||||
C000014534_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.02% | |||||||||||||||
C000014534_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.56% | |||||||||||||||
C000014534_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.38% | |||||||||||||||
C000014542_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G5963"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014542_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014542_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,410 | |||||||||||||||
C000014542_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,903 | |||||||||||||||
C000014542_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,248 | |||||||||||||||
C000014542_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,171 | |||||||||||||||
C000014542_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,423 | |||||||||||||||
C000014542_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,440 | |||||||||||||||
C000014542_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,178 | |||||||||||||||
C000014542_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,719 | |||||||||||||||
C000014542_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,793 | |||||||||||||||
C000014542_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 24,999 | $ 24,999 | 24,999 | 24,999 | $ 24,999 | $ 24,999 | ||||||||||
C000014542_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Industrials 25-50 Index</span>" id="sjs-G5999"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Industrials 25-50 Index</span> | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,697 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,622 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,810 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,836 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,344 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,397 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,708 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,070 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,150 | |||||||||||||||
C000014542_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,881 | 29,881 | 29,881 | 29,881 | 29,881 | $ 29,881 | ||||||||||
C000014542_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6035"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014542_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014542_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 21.88% | |||||||||||||||
C000014542_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.84% | |||||||||||||||
C000014542_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.60% | |||||||||||||||
C000014542_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.30% | |||||||||||||||
C000014542_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.63% | |||||||||||||||
C000014542_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.99% | |||||||||||||||
C000014542_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 18.81% | |||||||||||||||
C000014542_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.83% | |||||||||||||||
C000014542_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.57% | |||||||||||||||
C000014527_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class M</span>" id="sjs-G6098"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class M</span> | |||||||||||||||
C000014527_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,650 | |||||||||||||||
C000014527_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,676 | |||||||||||||||
C000014527_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,486 | |||||||||||||||
C000014527_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,023 | |||||||||||||||
C000014527_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,044 | |||||||||||||||
C000014527_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,446 | |||||||||||||||
C000014527_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 31,834 | |||||||||||||||
C000014527_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,991 | |||||||||||||||
C000014527_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 38,175 | |||||||||||||||
C000014527_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,703 | |||||||||||||||
C000014527_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 63,010 | $ 63,010 | 63,010 | 63,010 | $ 63,010 | $ 63,010 | ||||||||||
C000014527_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Information Technology 25-50 Index</span>" id="sjs-G6134"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Information Technology 25-50 Index</span> | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,306 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,261 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,808 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,247 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,485 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,225 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,360 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 41,091 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 50,982 | |||||||||||||||
C000014527_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 64,137 | 64,137 | 64,137 | 64,137 | 64,137 | $ 64,137 | ||||||||||
C000014527_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6170"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014527_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014527_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.34% | |||||||||||||||
C000014527_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 23.17% | |||||||||||||||
C000014527_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.21% | |||||||||||||||
C000014527_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.77% | |||||||||||||||
C000014527_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.05% | |||||||||||||||
C000014527_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.64% | |||||||||||||||
C000014527_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.80% | |||||||||||||||
C000014527_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.25% | |||||||||||||||
C000014527_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.42% | |||||||||||||||
C000205004_LG_ClassMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class Z</span>" id="sjs-D6233"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class Z</span> | |||||||||||||||
C000205004_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205004_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,203 | |||||||||||||||
C000205004_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,700 | |||||||||||||||
C000205004_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,970 | |||||||||||||||
C000205004_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,292 | |||||||||||||||
C000205004_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 34,912 | |||||||||||||||
C000205004_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 48,893 | $ 48,893 | $ 48,893 | 48,893 | $ 48,893 | 48,893 | ||||||||||
C000205004_LG_1_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span>" id="sjs-D6257"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span> | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,992 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,816 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,440 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,253 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 33,233 | |||||||||||||||
C000205004_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,556 | 49,556 | $ 49,556 | 49,556 | 49,556 | 49,556 | ||||||||||
C000205004_LG_2_AdditionalIndexMember_7YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-D6281"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,365 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,604 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,833 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,098 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,064 | |||||||||||||||
C000205004_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 20,843 | $ 20,843 | $ 20,843 | 20,843 | 20,843 | $ 20,843 | ||||||||||
C000205004_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 40.05% | |||||||||||||||
C000205004_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 34.27% | |||||||||||||||
C000205004_NoLoadClassMember_2023-08-01_2024-07-31Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 31.27% | |||||||||||||||
C000205004_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 49.12% | |||||||||||||||
C000205004_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 35.15% | |||||||||||||||
C000205004_0_AdditionalIndexMember_LOCMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 31.57% | |||||||||||||||
C000014529_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G6323"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014529_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014529_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,615 | |||||||||||||||
C000014529_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,912 | |||||||||||||||
C000014529_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,989 | |||||||||||||||
C000014529_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,169 | |||||||||||||||
C000014529_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,713 | |||||||||||||||
C000014529_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,485 | |||||||||||||||
C000014529_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,651 | |||||||||||||||
C000014529_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,764 | |||||||||||||||
C000014529_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,451 | |||||||||||||||
C000014529_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,657 | $ 22,657 | 22,657 | 22,657 | 22,657 | $ 22,657 | ||||||||||
C000014529_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Utilities 25-50 Index</span>" id="sjs-G6359"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Utilities 25-50 Index</span> | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,922 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,519 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,434 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,013 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,419 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,988 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,183 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,242 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,712 | |||||||||||||||
C000014529_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,456 | 24,456 | 24,456 | 24,456 | 24,456 | $ 24,456 | ||||||||||
C000014529_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6395"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014529_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014529_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.78% | |||||||||||||||
C000014529_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.73% | |||||||||||||||
C000014529_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.52% | |||||||||||||||
C000014529_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 16.48% | |||||||||||||||
C000014529_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.02% | |||||||||||||||
C000014529_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.17% | |||||||||||||||
C000014529_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.64% | |||||||||||||||
C000014529_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.02% | |||||||||||||||
C000014529_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.36% | |||||||||||||||
C000014531_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G6458"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014531_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014531_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,129 | |||||||||||||||
C000014531_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,409 | |||||||||||||||
C000014531_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,438 | |||||||||||||||
C000014531_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,562 | |||||||||||||||
C000014531_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,036 | |||||||||||||||
C000014531_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,693 | |||||||||||||||
C000014531_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,765 | |||||||||||||||
C000014531_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,747 | |||||||||||||||
C000014531_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,434 | |||||||||||||||
C000014531_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 22,637 | $ 22,637 | 22,637 | 22,637 | $ 22,637 | $ 22,637 | ||||||||||
C000014531_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Utilities 25-50 Index</span>" id="sjs-G6494"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Utilities 25-50 Index</span> | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,922 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,519 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,434 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,013 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,419 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,988 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,183 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,242 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,712 | |||||||||||||||
C000014531_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,456 | 24,456 | 24,456 | 24,456 | 24,456 | $ 24,456 | ||||||||||
C000014531_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6530"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014531_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014531_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.64% | |||||||||||||||
C000014531_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.20% | |||||||||||||||
C000014531_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.51% | |||||||||||||||
C000014531_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 15.64% | |||||||||||||||
C000014531_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.20% | |||||||||||||||
C000014531_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 8.51% | |||||||||||||||
C000014531_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.64% | |||||||||||||||
C000014531_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 7.02% | |||||||||||||||
C000014531_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.36% | |||||||||||||||
C000014541_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G6593"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014541_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014541_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,736 | |||||||||||||||
C000014541_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,191 | |||||||||||||||
C000014541_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,507 | |||||||||||||||
C000014541_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,399 | |||||||||||||||
C000014541_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,583 | |||||||||||||||
C000014541_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,523 | |||||||||||||||
C000014541_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 18,199 | |||||||||||||||
C000014541_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,655 | |||||||||||||||
C000014541_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,766 | |||||||||||||||
C000014541_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 25,032 | $ 25,032 | 25,032 | 25,032 | $ 25,032 | $ 25,032 | ||||||||||
C000014541_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Industrials 25-50 Index</span>" id="sjs-G6629"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Industrials 25-50 Index</span> | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,697 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,622 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,810 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,836 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,344 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,397 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 22,708 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,070 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 25,150 | |||||||||||||||
C000014541_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 29,881 | 29,881 | 29,881 | 29,881 | 29,881 | $ 29,881 | ||||||||||
C000014541_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6665"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014541_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014541_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 24.68% | |||||||||||||||
C000014541_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.08% | |||||||||||||||
C000014541_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.61% | |||||||||||||||
C000014541_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.68% | |||||||||||||||
C000014541_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.08% | |||||||||||||||
C000014541_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.61% | |||||||||||||||
C000014541_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 18.81% | |||||||||||||||
C000014541_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 12.83% | |||||||||||||||
C000014541_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 11.57% | |||||||||||||||
C000014566_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G6728"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014566_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014566_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,056 | |||||||||||||||
C000014566_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,093 | |||||||||||||||
C000014566_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,962 | |||||||||||||||
C000014566_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,575 | |||||||||||||||
C000014566_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,378 | |||||||||||||||
C000014566_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 3,830 | |||||||||||||||
C000014566_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 5,580 | |||||||||||||||
C000014566_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,478 | |||||||||||||||
C000014566_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,989 | |||||||||||||||
C000014566_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 12,247 | $ 12,247 | 12,247 | 12,247 | $ 12,247 | $ 12,247 | ||||||||||
C000014566_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Energy 25-50 Index</span>" id="sjs-G6764"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Energy 25-50 Index</span> | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,208 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,220 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,200 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 8,707 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 7,019 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 4,258 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 6,393 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,594 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,299 | |||||||||||||||
C000014566_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,570 | 13,570 | 13,570 | 13,570 | 13,570 | $ 13,570 | ||||||||||
C000014566_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6800"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014566_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014566_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 9.61% | |||||||||||||||
C000014566_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.60% | |||||||||||||||
C000014566_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.05% | |||||||||||||||
C000014566_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.61% | |||||||||||||||
C000014566_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 13.60% | |||||||||||||||
C000014566_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.05% | |||||||||||||||
C000014566_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.33% | |||||||||||||||
C000014566_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 14.09% | |||||||||||||||
C000014566_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 3.10% | |||||||||||||||
C000014526_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class C</span>" id="sjs-G6863"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class C</span> | |||||||||||||||
C000014526_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014526_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,007 | |||||||||||||||
C000014526_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,786 | |||||||||||||||
C000014526_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,359 | |||||||||||||||
C000014526_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,363 | |||||||||||||||
C000014526_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,675 | |||||||||||||||
C000014526_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,012 | |||||||||||||||
C000014526_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 46,010 | |||||||||||||||
C000014526_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 37,997 | |||||||||||||||
C000014526_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,589 | |||||||||||||||
C000014526_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 63,022 | $ 63,022 | 63,022 | 63,022 | $ 63,022 | $ 63,022 | ||||||||||
C000014526_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Information Technology 25-50 Index</span>" id="sjs-G6899"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Information Technology 25-50 Index</span> | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,306 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,261 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,808 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 20,247 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,485 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,225 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 45,360 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 41,091 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 50,982 | |||||||||||||||
C000014526_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 64,137 | 64,137 | 64,137 | 64,137 | 64,137 | $ 64,137 | ||||||||||
C000014526_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G6935"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014526_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014526_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.14% | |||||||||||||||
C000014526_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 23.42% | |||||||||||||||
C000014526_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.21% | |||||||||||||||
C000014526_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.14% | |||||||||||||||
C000014526_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 23.42% | |||||||||||||||
C000014526_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.21% | |||||||||||||||
C000014526_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.80% | |||||||||||||||
C000014526_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 22.25% | |||||||||||||||
C000014526_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 20.42% | |||||||||||||||
C000014549_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class A</span>" id="sjs-G6998"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class A</span> | |||||||||||||||
C000014549_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 9,425 | |||||||||||||||
C000014549_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,448 | |||||||||||||||
C000014549_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,585 | |||||||||||||||
C000014549_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,514 | |||||||||||||||
C000014549_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,031 | |||||||||||||||
C000014549_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,171 | |||||||||||||||
C000014549_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 30,274 | |||||||||||||||
C000014549_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 49,179 | |||||||||||||||
C000014549_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 47,602 | |||||||||||||||
C000014549_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 71,075 | |||||||||||||||
C000014549_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 99,162 | $ 99,162 | 99,162 | 99,162 | $ 99,162 | $ 99,162 | ||||||||||
C000014549_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span>" id="sjs-G7034"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI U.S. IMI Semiconductors & Semiconductor Equipment 25-50 Index</span> | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,481 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,028 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,291 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 21,750 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 23,948 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 32,281 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 51,070 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 48,484 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 72,407 | |||||||||||||||
C000014549_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 107,971 | 107,971 | 107,971 | 107,971 | 107,971 | $ 107,971 | ||||||||||
C000014549_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G7070"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,121 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,745 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,629 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,843 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 17,108 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 19,153 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 26,134 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 24,921 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 28,165 | |||||||||||||||
C000014549_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | 34,403 | 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014549_ClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 31.49% | |||||||||||||||
C000014549_ClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 32.17% | |||||||||||||||
C000014549_ClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 25.79% | |||||||||||||||
C000014549_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 39.52% | |||||||||||||||
C000014549_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 33.75% | |||||||||||||||
C000014549_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.53% | |||||||||||||||
C000014549_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 49.12% | |||||||||||||||
C000014549_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 35.15% | |||||||||||||||
C000014549_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 26.86% | |||||||||||||||
C000014573_LG_ClassMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | Class I</span>" id="sjs-G7133"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">Class I</span> | |||||||||||||||
C000014573_ClassMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014573_ClassMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,999 | |||||||||||||||
C000014573_ClassMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,046 | |||||||||||||||
C000014573_ClassMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,347 | |||||||||||||||
C000014573_ClassMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,698 | |||||||||||||||
C000014573_ClassMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,958 | |||||||||||||||
C000014573_ClassMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,982 | |||||||||||||||
C000014573_ClassMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,961 | |||||||||||||||
C000014573_ClassMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,041 | |||||||||||||||
C000014573_ClassMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,208 | |||||||||||||||
C000014573_ClassMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 15,685 | $ 15,685 | 15,685 | 15,685 | $ 15,685 | $ 15,685 | ||||||||||
C000014573_LG_1_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | MSCI US IMI Real Estate 25/50 Linked Index</span>" id="sjs-G7169"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">MSCI US IMI Real Estate 25/50 Linked Index</span> | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 10,000 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 11,129 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,457 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,695 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 13,185 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,621 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 12,238 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 16,556 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,854 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 14,323 | |||||||||||||||
C000014573_1_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | 15,860 | 15,860 | 15,860 | 15,860 | 15,860 | $ 15,860 | ||||||||||
C000014573_LG_2_AdditionalIndexMember_11YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Line Graph and Table Measure Name | S&P 500® Index</span>" id="sjs-G7205"><span style="font-family:'Fidelity Sans';font-size:9px;color:#000000;font-style:normal;font-weight:normal;">S&P 500® Index</span> | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2014Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 10,000 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2015Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 11,121 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2016Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 11,745 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2017Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 13,629 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2018Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 15,843 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2019Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 17,108 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2020Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 19,153 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2021Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 26,134 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2022Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 24,921 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2023Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 28,165 | |||||||||||||||
C000014573_2_AdditionalIndexMember_AsOf_2024Member | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Account Value | $ 34,403 | $ 34,403 | $ 34,403 | $ 34,403 | $ 34,403 | $ 34,403 | ||||||||||
C000014573_NoLoadClassMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.40% | |||||||||||||||
C000014573_NoLoadClassMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 2.36% | |||||||||||||||
C000014573_NoLoadClassMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.60% | |||||||||||||||
C000014573_0_AdditionalIndexMember_1YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 10.73% | |||||||||||||||
C000014573_0_AdditionalIndexMember_5YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 1.64% | |||||||||||||||
C000014573_0_AdditionalIndexMember_10YRMember | ||||||||||||||||
Account Value [Line Items] | ||||||||||||||||
Average Annual Return, Percent | 4.72% |
Shareholder Report, Holdings (D
Shareholder Report, Holdings (Details) | Jul. 31, 2024 |
Fidelity Advisor Global Real Estate Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Global Real Estate Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
Fidelity Advisor Global Real Estate Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Global Real Estate Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Global Real Estate Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Global Real Estate Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Global Real Estate Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.80% |
Fidelity Advisor Global Real Estate Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.10% |
Fidelity Advisor Global Real Estate Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Global Real Estate Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18% |
Fidelity Advisor Global Real Estate Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.90% |
Fidelity Advisor Global Real Estate Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Global Real Estate Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class I | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Global Real Estate Fund - Class I | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Global Real Estate Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 61.90% |
Fidelity Advisor Global Real Estate Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
Fidelity Advisor Global Real Estate Fund - Class I | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Global Real Estate Fund - Class I | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Global Real Estate Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Global Real Estate Fund - Class I | Singapore | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class I | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Global Real Estate Fund - Class I | Sweden | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
Fidelity Advisor Global Real Estate Fund - Class I | Germany | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Global Real Estate Fund - Class I | OtherMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
Fidelity Advisor Global Real Estate Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.90% |
Fidelity Advisor Global Real Estate Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.90% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.60% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.70% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.10% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | Switzerland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100.10% |
Fidelity Advisor Global Real Estate Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Global Real Estate Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
Fidelity Advisor Global Real Estate Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Global Real Estate Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Global Real Estate Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Global Real Estate Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Global Real Estate Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.80% |
Fidelity Advisor Global Real Estate Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.10% |
Fidelity Advisor Global Real Estate Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Global Real Estate Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18% |
Fidelity Advisor Global Real Estate Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.90% |
Fidelity Advisor Global Real Estate Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Global Real Estate Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class M | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Global Real Estate Fund - Class M | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Global Real Estate Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 61.90% |
Fidelity Advisor Global Real Estate Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
Fidelity Advisor Global Real Estate Fund - Class M | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Global Real Estate Fund - Class M | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Global Real Estate Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Global Real Estate Fund - Class M | Singapore | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class M | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Global Real Estate Fund - Class M | Sweden | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
Fidelity Advisor Global Real Estate Fund - Class M | Germany | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Global Real Estate Fund - Class M | OtherMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
Fidelity Advisor Global Real Estate Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.90% |
Fidelity Advisor Global Real Estate Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Industrials Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Industrials Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Industrials Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
Fidelity Advisor Industrials Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
Fidelity Advisor Industrials Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Industrials Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Industrials Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Industrials Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Industrials Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.70% |
Fidelity Advisor Industrials Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.20% |
Fidelity Advisor Industrials Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.10% |
Fidelity Advisor Industrials Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
Fidelity Advisor Industrials Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
Fidelity Advisor Industrials Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Industrials Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Industrials Fund - Class I | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Industrials Fund - Class I | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Industrials Fund - Class I | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
Fidelity Advisor Industrials Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Industrials Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99% |
Fidelity Advisor Industrials Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Real Estate Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Real Estate Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Real Estate Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.50% |
Fidelity Advisor Real Estate Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Real Estate Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Real Estate Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
Fidelity Advisor Real Estate Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Real Estate Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Real Estate Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 37.60% |
Fidelity Advisor Real Estate Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.20% |
Fidelity Advisor Real Estate Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
Fidelity Advisor Real Estate Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Real Estate Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Real Estate Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
Fidelity Advisor Real Estate Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Real Estate Fund - Class C | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Real Estate Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Real Estate Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.30% |
Fidelity Advisor Real Estate Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Technology Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.10% |
Fidelity Advisor Technology Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.20% |
Fidelity Advisor Technology Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.70% |
Fidelity Advisor Technology Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Technology Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Technology Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
Fidelity Advisor Technology Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Technology Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 41.80% |
Fidelity Advisor Technology Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Technology Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.60% |
Fidelity Advisor Technology Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Technology Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Technology Fund - Class I | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Technology Fund - Class I | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Technology Fund - Class I | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Technology Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.20% |
Fidelity Advisor Technology Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class I | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Technology Fund - Class I | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Technology Fund - Class I | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class I | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Technology Fund - Class I | Korea, Republic of | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class I | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.50% |
Fidelity Advisor Technology Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Technology Fund - Class I | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class I | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class I | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Financials Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
Fidelity Advisor Financials Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Financials Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Financials Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Financials Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Financials Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Financials Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Financials Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35% |
Fidelity Advisor Financials Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.10% |
Fidelity Advisor Financials Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Financials Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.50% |
Fidelity Advisor Financials Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Financials Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 93% |
Fidelity Advisor Financials Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class C | Puerto Rico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class C | GrandCaymanUKOverseasTerMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Financials Fund - Class C | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Financials Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Financials Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.10% |
Fidelity Advisor Technology Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.20% |
Fidelity Advisor Technology Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.70% |
Fidelity Advisor Technology Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Technology Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Technology Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
Fidelity Advisor Technology Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Technology Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 41.80% |
Fidelity Advisor Technology Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Technology Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.60% |
Fidelity Advisor Technology Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Technology Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Technology Fund - Class Z | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Technology Fund - Class Z | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Technology Fund - Class Z | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Technology Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.20% |
Fidelity Advisor Technology Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class Z | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Technology Fund - Class Z | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Technology Fund - Class Z | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class Z | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Technology Fund - Class Z | Korea, Republic of | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class Z | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.50% |
Fidelity Advisor Technology Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Technology Fund - Class Z | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class Z | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class Z | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Real Estate Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Real Estate Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Real Estate Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.50% |
Fidelity Advisor Real Estate Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Real Estate Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Real Estate Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
Fidelity Advisor Real Estate Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Real Estate Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Real Estate Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 37.60% |
Fidelity Advisor Real Estate Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.20% |
Fidelity Advisor Real Estate Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
Fidelity Advisor Real Estate Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Real Estate Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Real Estate Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
Fidelity Advisor Real Estate Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Real Estate Fund - Class A | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Real Estate Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Real Estate Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.30% |
Fidelity Advisor Real Estate Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Global Real Estate Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Global Real Estate Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
Fidelity Advisor Global Real Estate Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Global Real Estate Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Global Real Estate Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Global Real Estate Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Global Real Estate Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.80% |
Fidelity Advisor Global Real Estate Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.10% |
Fidelity Advisor Global Real Estate Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Global Real Estate Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18% |
Fidelity Advisor Global Real Estate Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.90% |
Fidelity Advisor Global Real Estate Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Global Real Estate Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class C | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Global Real Estate Fund - Class C | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Global Real Estate Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 61.90% |
Fidelity Advisor Global Real Estate Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
Fidelity Advisor Global Real Estate Fund - Class C | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Global Real Estate Fund - Class C | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Global Real Estate Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Global Real Estate Fund - Class C | Singapore | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class C | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Global Real Estate Fund - Class C | Sweden | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
Fidelity Advisor Global Real Estate Fund - Class C | Germany | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Global Real Estate Fund - Class C | OtherMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
Fidelity Advisor Global Real Estate Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.90% |
Fidelity Advisor Global Real Estate Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Biotechnology Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.40% |
Fidelity Advisor Biotechnology Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Biotechnology Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Biotechnology Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Biotechnology Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Biotechnology Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Biotechnology Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.60% |
Fidelity Advisor Biotechnology Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Biotechnology Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Biotechnology Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 88% |
Fidelity Advisor Biotechnology Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Biotechnology Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Biotechnology Fund - Class C | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Biotechnology Fund - Class C | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class C | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.80% |
Fidelity Advisor Biotechnology Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Biotechnology Fund - Class C | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Biotechnology Fund - Class C | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Financials Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
Fidelity Advisor Financials Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Financials Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Financials Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Financials Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Financials Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Financials Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Financials Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35% |
Fidelity Advisor Financials Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.10% |
Fidelity Advisor Financials Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Financials Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.50% |
Fidelity Advisor Financials Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Financials Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 93% |
Fidelity Advisor Financials Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class M | Puerto Rico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class M | GrandCaymanUKOverseasTerMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Financials Fund - Class M | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Financials Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Financials Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Financials Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
Fidelity Advisor Financials Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Financials Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Financials Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Financials Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Financials Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Financials Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Financials Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35% |
Fidelity Advisor Financials Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.10% |
Fidelity Advisor Financials Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Financials Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.50% |
Fidelity Advisor Financials Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Financials Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 93% |
Fidelity Advisor Financials Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class I | Puerto Rico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class I | GrandCaymanUKOverseasTerMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Financials Fund - Class I | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Financials Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Financials Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Energy Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.80% |
Fidelity Advisor Energy Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.20% |
Fidelity Advisor Energy Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Energy Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Energy Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Energy Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Energy Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 81.10% |
Fidelity Advisor Energy Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.30% |
Fidelity Advisor Energy Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Energy Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.60% |
Fidelity Advisor Energy Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Energy Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.40% |
Fidelity Advisor Energy Fund - Class M | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class M | Norway | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Energy Fund - Class M | Cameroon | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class M | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Energy Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.80% |
Fidelity Advisor Energy Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.20% |
Fidelity Advisor Energy Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Energy Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Energy Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Energy Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Energy Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 81.10% |
Fidelity Advisor Energy Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.30% |
Fidelity Advisor Energy Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Energy Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.60% |
Fidelity Advisor Energy Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Energy Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.40% |
Fidelity Advisor Energy Fund - Class A | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class A | Norway | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Energy Fund - Class A | Cameroon | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class A | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Energy Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Financials Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
Fidelity Advisor Financials Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Financials Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Financials Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Financials Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Financials Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Financials Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Financials Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35% |
Fidelity Advisor Financials Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.10% |
Fidelity Advisor Financials Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Financials Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.50% |
Fidelity Advisor Financials Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Financials Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 93% |
Fidelity Advisor Financials Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class A | Puerto Rico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class A | GrandCaymanUKOverseasTerMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Financials Fund - Class A | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Financials Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Financials Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.80% |
Fidelity Advisor Semiconductors Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
Fidelity Advisor Semiconductors Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
Fidelity Advisor Semiconductors Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Semiconductors Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Semiconductors Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Semiconductors Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.70% |
Fidelity Advisor Semiconductors Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Semiconductors Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Semiconductors Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 79.90% |
Fidelity Advisor Semiconductors Fund - Class C | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Semiconductors Fund - Class C | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class C | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Semiconductors Fund - Class C | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class C | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Semiconductors Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95% |
Fidelity Advisor Semiconductors Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class C | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Semiconductors Fund - Class C | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Utilities Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
Fidelity Advisor Utilities Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Utilities Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Utilities Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Utilities Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Utilities Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Utilities Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Utilities Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 63% |
Fidelity Advisor Utilities Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23% |
Fidelity Advisor Utilities Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Utilities Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Utilities Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Utilities Fund - Class I | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95.40% |
Fidelity Advisor Utilities Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
Fidelity Advisor Health Care Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Health Care Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Health Care Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Health Care Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Health Care Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Health Care Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Health Care Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Health Care Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Health Care Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Health Care Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Health Care Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.40% |
Fidelity Advisor Health Care Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.50% |
Fidelity Advisor Health Care Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.80% |
Fidelity Advisor Health Care Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.60% |
Fidelity Advisor Health Care Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.90% |
Fidelity Advisor Health Care Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Health Care Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.50% |
Fidelity Advisor Health Care Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Health Care Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Health Care Fund - Class C | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class C | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Health Care Fund - Class C | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class C | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class C | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Health Care Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.90% |
Fidelity Advisor Health Care Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Health Care Fund - Class C | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class C | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class C | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Industrials Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Industrials Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Industrials Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
Fidelity Advisor Industrials Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
Fidelity Advisor Industrials Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Industrials Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Industrials Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Industrials Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Industrials Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.70% |
Fidelity Advisor Industrials Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.20% |
Fidelity Advisor Industrials Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.10% |
Fidelity Advisor Industrials Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
Fidelity Advisor Industrials Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
Fidelity Advisor Industrials Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Industrials Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Industrials Fund - Class Z | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Industrials Fund - Class Z | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Industrials Fund - Class Z | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
Fidelity Advisor Industrials Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Industrials Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99% |
Fidelity Advisor Industrials Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.80% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.10% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Global Real Estate Fund - Class Z | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Global Real Estate Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 61.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
Fidelity Advisor Global Real Estate Fund - Class Z | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Global Real Estate Fund - Class Z | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Global Real Estate Fund - Class Z | Singapore | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class Z | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Global Real Estate Fund - Class Z | Sweden | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | Germany | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Global Real Estate Fund - Class Z | OtherMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
Fidelity Advisor Global Real Estate Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.90% |
Fidelity Advisor Global Real Estate Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Semiconductors Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.80% |
Fidelity Advisor Semiconductors Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
Fidelity Advisor Semiconductors Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
Fidelity Advisor Semiconductors Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Semiconductors Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Semiconductors Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Semiconductors Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.70% |
Fidelity Advisor Semiconductors Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Semiconductors Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Semiconductors Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 79.90% |
Fidelity Advisor Semiconductors Fund - Class I | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Semiconductors Fund - Class I | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class I | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Semiconductors Fund - Class I | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class I | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Semiconductors Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95% |
Fidelity Advisor Semiconductors Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class I | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Semiconductors Fund - Class I | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Biotechnology Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Biotechnology Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.40% |
Fidelity Advisor Biotechnology Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Biotechnology Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Biotechnology Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Biotechnology Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Biotechnology Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Biotechnology Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.60% |
Fidelity Advisor Biotechnology Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Biotechnology Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Biotechnology Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 88% |
Fidelity Advisor Biotechnology Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Biotechnology Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Biotechnology Fund - Class M | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Biotechnology Fund - Class M | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class M | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.80% |
Fidelity Advisor Biotechnology Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Biotechnology Fund - Class M | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Biotechnology Fund - Class M | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Health Care Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Health Care Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Health Care Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Health Care Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Health Care Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Health Care Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Health Care Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Health Care Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Health Care Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Health Care Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.40% |
Fidelity Advisor Health Care Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.50% |
Fidelity Advisor Health Care Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.80% |
Fidelity Advisor Health Care Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.60% |
Fidelity Advisor Health Care Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.90% |
Fidelity Advisor Health Care Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Health Care Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.50% |
Fidelity Advisor Health Care Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Health Care Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Health Care Fund - Class M | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class M | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Health Care Fund - Class M | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class M | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class M | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Health Care Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.90% |
Fidelity Advisor Health Care Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Health Care Fund - Class M | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class M | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class M | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Biotechnology Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.40% |
Fidelity Advisor Biotechnology Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Biotechnology Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Biotechnology Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Biotechnology Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Biotechnology Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Biotechnology Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.60% |
Fidelity Advisor Biotechnology Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Biotechnology Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Biotechnology Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 88% |
Fidelity Advisor Biotechnology Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Biotechnology Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Biotechnology Fund - Class A | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Biotechnology Fund - Class A | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class A | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.80% |
Fidelity Advisor Biotechnology Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Biotechnology Fund - Class A | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Biotechnology Fund - Class A | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.90% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.60% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.70% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
Fidelity Advisor Consumer Discretionary Fund - Class I | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.10% |
Fidelity Advisor Consumer Discretionary Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Consumer Discretionary Fund - Class I | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class I | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class I | Switzerland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100.10% |
Fidelity Advisor Real Estate Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Real Estate Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Real Estate Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.50% |
Fidelity Advisor Real Estate Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Real Estate Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Real Estate Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
Fidelity Advisor Real Estate Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Real Estate Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Real Estate Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 37.60% |
Fidelity Advisor Real Estate Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.20% |
Fidelity Advisor Real Estate Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
Fidelity Advisor Real Estate Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Real Estate Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Real Estate Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
Fidelity Advisor Real Estate Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Real Estate Fund - Class M | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Real Estate Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Real Estate Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.30% |
Fidelity Advisor Real Estate Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Industrials Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Industrials Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Industrials Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
Fidelity Advisor Industrials Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
Fidelity Advisor Industrials Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Industrials Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Industrials Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Industrials Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Industrials Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.70% |
Fidelity Advisor Industrials Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.20% |
Fidelity Advisor Industrials Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.10% |
Fidelity Advisor Industrials Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
Fidelity Advisor Industrials Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
Fidelity Advisor Industrials Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Industrials Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Industrials Fund - Class A | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Industrials Fund - Class A | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Industrials Fund - Class A | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
Fidelity Advisor Industrials Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Industrials Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99% |
Fidelity Advisor Industrials Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.90% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.60% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.70% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
Fidelity Advisor Consumer Discretionary Fund - Class M | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.10% |
Fidelity Advisor Consumer Discretionary Fund - Class M | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Consumer Discretionary Fund - Class M | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class M | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class M | Switzerland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100.10% |
Fidelity Advisor Utilities Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
Fidelity Advisor Utilities Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Utilities Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Utilities Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Utilities Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Utilities Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Utilities Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Utilities Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 63% |
Fidelity Advisor Utilities Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23% |
Fidelity Advisor Utilities Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Utilities Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Utilities Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Utilities Fund - Class M | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95.40% |
Fidelity Advisor Utilities Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
Fidelity Advisor Biotechnology Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Biotechnology Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.40% |
Fidelity Advisor Biotechnology Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Biotechnology Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Biotechnology Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Biotechnology Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Biotechnology Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Biotechnology Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.60% |
Fidelity Advisor Biotechnology Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Biotechnology Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Biotechnology Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 88% |
Fidelity Advisor Biotechnology Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Biotechnology Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Biotechnology Fund - Class Z | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Biotechnology Fund - Class Z | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class Z | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.80% |
Fidelity Advisor Biotechnology Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Biotechnology Fund - Class Z | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Biotechnology Fund - Class Z | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Utilities Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
Fidelity Advisor Utilities Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Utilities Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Utilities Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Utilities Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Utilities Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Utilities Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Utilities Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 63% |
Fidelity Advisor Utilities Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23% |
Fidelity Advisor Utilities Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Utilities Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Utilities Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Utilities Fund - Class Z | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95.40% |
Fidelity Advisor Utilities Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
Fidelity Advisor Global Real Estate Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Global Real Estate Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
Fidelity Advisor Global Real Estate Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Global Real Estate Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Global Real Estate Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Global Real Estate Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Global Real Estate Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Global Real Estate Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.80% |
Fidelity Advisor Global Real Estate Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.10% |
Fidelity Advisor Global Real Estate Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Global Real Estate Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18% |
Fidelity Advisor Global Real Estate Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.90% |
Fidelity Advisor Global Real Estate Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Global Real Estate Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Global Real Estate Fund - Class A | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Global Real Estate Fund - Class A | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Global Real Estate Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 61.90% |
Fidelity Advisor Global Real Estate Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
Fidelity Advisor Global Real Estate Fund - Class A | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Global Real Estate Fund - Class A | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Global Real Estate Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Global Real Estate Fund - Class A | Singapore | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Global Real Estate Fund - Class A | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Global Real Estate Fund - Class A | Sweden | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
Fidelity Advisor Global Real Estate Fund - Class A | Germany | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Global Real Estate Fund - Class A | OtherMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
Fidelity Advisor Global Real Estate Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.90% |
Fidelity Advisor Global Real Estate Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Health Care Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Health Care Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Health Care Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Health Care Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Health Care Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Health Care Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Health Care Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Health Care Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Health Care Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Health Care Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Health Care Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.40% |
Fidelity Advisor Health Care Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.50% |
Fidelity Advisor Health Care Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.80% |
Fidelity Advisor Health Care Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.60% |
Fidelity Advisor Health Care Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.90% |
Fidelity Advisor Health Care Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Health Care Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.50% |
Fidelity Advisor Health Care Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Health Care Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Health Care Fund - Class I | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class I | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Health Care Fund - Class I | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class I | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class I | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Health Care Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.90% |
Fidelity Advisor Health Care Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Health Care Fund - Class I | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class I | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class I | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Financials Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
Fidelity Advisor Financials Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Financials Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Financials Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Financials Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Financials Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Financials Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Financials Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Financials Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35% |
Fidelity Advisor Financials Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.10% |
Fidelity Advisor Financials Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Financials Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.50% |
Fidelity Advisor Financials Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Financials Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 93% |
Fidelity Advisor Financials Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Financials Fund - Class Z | Puerto Rico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Financials Fund - Class Z | GrandCaymanUKOverseasTerMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Financials Fund - Class Z | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Financials Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Financials Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.80% |
Fidelity Advisor Semiconductors Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
Fidelity Advisor Semiconductors Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
Fidelity Advisor Semiconductors Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Semiconductors Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Semiconductors Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Semiconductors Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.70% |
Fidelity Advisor Semiconductors Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Semiconductors Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Semiconductors Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 79.90% |
Fidelity Advisor Semiconductors Fund - Class M | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Semiconductors Fund - Class M | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class M | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Semiconductors Fund - Class M | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class M | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Semiconductors Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95% |
Fidelity Advisor Semiconductors Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class M | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Semiconductors Fund - Class M | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Health Care Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Health Care Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Health Care Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Health Care Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Health Care Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Health Care Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Health Care Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Health Care Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Health Care Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Health Care Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.40% |
Fidelity Advisor Health Care Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.50% |
Fidelity Advisor Health Care Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.80% |
Fidelity Advisor Health Care Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.60% |
Fidelity Advisor Health Care Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.90% |
Fidelity Advisor Health Care Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Health Care Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.50% |
Fidelity Advisor Health Care Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Health Care Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Health Care Fund - Class Z | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class Z | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Health Care Fund - Class Z | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class Z | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class Z | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Health Care Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.90% |
Fidelity Advisor Health Care Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Health Care Fund - Class Z | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class Z | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class Z | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Health Care Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
Fidelity Advisor Health Care Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Health Care Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
Fidelity Advisor Health Care Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Health Care Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Health Care Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Health Care Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Health Care Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Health Care Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Health Care Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.40% |
Fidelity Advisor Health Care Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.50% |
Fidelity Advisor Health Care Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.80% |
Fidelity Advisor Health Care Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.60% |
Fidelity Advisor Health Care Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.90% |
Fidelity Advisor Health Care Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Health Care Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.50% |
Fidelity Advisor Health Care Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Health Care Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Health Care Fund - Class A | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Health Care Fund - Class A | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
Fidelity Advisor Health Care Fund - Class A | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Health Care Fund - Class A | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class A | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Health Care Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.90% |
Fidelity Advisor Health Care Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Health Care Fund - Class A | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Health Care Fund - Class A | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Health Care Fund - Class A | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Real Estate Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Real Estate Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Real Estate Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.50% |
Fidelity Advisor Real Estate Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Real Estate Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Real Estate Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
Fidelity Advisor Real Estate Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Real Estate Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Real Estate Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 37.60% |
Fidelity Advisor Real Estate Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.20% |
Fidelity Advisor Real Estate Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
Fidelity Advisor Real Estate Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Real Estate Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Real Estate Fund - Class Z | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
Fidelity Advisor Real Estate Fund - Class Z | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Real Estate Fund - Class Z | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Real Estate Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Real Estate Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.30% |
Fidelity Advisor Real Estate Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Biotechnology Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.30% |
Fidelity Advisor Biotechnology Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.40% |
Fidelity Advisor Biotechnology Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Biotechnology Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Biotechnology Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Biotechnology Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Biotechnology Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
Fidelity Advisor Biotechnology Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Biotechnology Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.60% |
Fidelity Advisor Biotechnology Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Biotechnology Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Biotechnology Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Biotechnology Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 88% |
Fidelity Advisor Biotechnology Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Biotechnology Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
Fidelity Advisor Biotechnology Fund - Class I | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
Fidelity Advisor Biotechnology Fund - Class I | Denmark | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Biotechnology Fund - Class I | Belgium | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Biotechnology Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.80% |
Fidelity Advisor Biotechnology Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Biotechnology Fund - Class I | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
Fidelity Advisor Biotechnology Fund - Class I | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.10% |
Fidelity Advisor Technology Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.20% |
Fidelity Advisor Technology Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.70% |
Fidelity Advisor Technology Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Technology Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Technology Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
Fidelity Advisor Technology Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Technology Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 41.80% |
Fidelity Advisor Technology Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Technology Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.60% |
Fidelity Advisor Technology Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Technology Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Technology Fund - Class A | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Technology Fund - Class A | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Technology Fund - Class A | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Technology Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.20% |
Fidelity Advisor Technology Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class A | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Technology Fund - Class A | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Technology Fund - Class A | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class A | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Technology Fund - Class A | Korea, Republic of | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class A | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.50% |
Fidelity Advisor Technology Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Technology Fund - Class A | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class A | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class A | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.90% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.60% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.70% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
Fidelity Advisor Consumer Discretionary Fund - Class C | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.10% |
Fidelity Advisor Consumer Discretionary Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Consumer Discretionary Fund - Class C | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class C | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class C | Switzerland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100.10% |
Fidelity Advisor Energy Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.80% |
Fidelity Advisor Energy Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.20% |
Fidelity Advisor Energy Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Energy Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Energy Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Energy Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Energy Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 81.10% |
Fidelity Advisor Energy Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.30% |
Fidelity Advisor Energy Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Energy Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.60% |
Fidelity Advisor Energy Fund - Class Z | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Energy Fund - Class Z | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.40% |
Fidelity Advisor Energy Fund - Class Z | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class Z | Norway | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Energy Fund - Class Z | Cameroon | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class Z | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Energy Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.80% |
Fidelity Advisor Energy Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.20% |
Fidelity Advisor Energy Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Energy Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Energy Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Energy Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Energy Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 81.10% |
Fidelity Advisor Energy Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.30% |
Fidelity Advisor Energy Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Energy Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.60% |
Fidelity Advisor Energy Fund - Class I | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Energy Fund - Class I | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.40% |
Fidelity Advisor Energy Fund - Class I | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class I | Norway | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Energy Fund - Class I | Cameroon | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class I | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Energy Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.90% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.60% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.70% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
Fidelity Advisor Consumer Discretionary Fund - Class A | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.10% |
Fidelity Advisor Consumer Discretionary Fund - Class A | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class A | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
Fidelity Advisor Consumer Discretionary Fund - Class A | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class A | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Consumer Discretionary Fund - Class A | Switzerland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Consumer Discretionary Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100.10% |
Fidelity Advisor Industrials Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Industrials Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Industrials Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
Fidelity Advisor Industrials Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
Fidelity Advisor Industrials Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Industrials Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Industrials Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Industrials Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Industrials Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.70% |
Fidelity Advisor Industrials Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.20% |
Fidelity Advisor Industrials Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.10% |
Fidelity Advisor Industrials Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
Fidelity Advisor Industrials Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
Fidelity Advisor Industrials Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Industrials Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Industrials Fund - Class M | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Industrials Fund - Class M | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Industrials Fund - Class M | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
Fidelity Advisor Industrials Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Industrials Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99% |
Fidelity Advisor Industrials Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class M | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.10% |
Fidelity Advisor Technology Fund - Class M | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.20% |
Fidelity Advisor Technology Fund - Class M | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.70% |
Fidelity Advisor Technology Fund - Class M | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class M | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class M | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Technology Fund - Class M | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Technology Fund - Class M | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
Fidelity Advisor Technology Fund - Class M | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Technology Fund - Class M | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class M | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 41.80% |
Fidelity Advisor Technology Fund - Class M | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Technology Fund - Class M | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.60% |
Fidelity Advisor Technology Fund - Class M | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class M | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class M | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Technology Fund - Class M | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Technology Fund - Class M | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Technology Fund - Class M | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Technology Fund - Class M | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Technology Fund - Class M | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.20% |
Fidelity Advisor Technology Fund - Class M | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class M | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Technology Fund - Class M | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Technology Fund - Class M | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class M | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Technology Fund - Class M | Korea, Republic of | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class M | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class M | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.50% |
Fidelity Advisor Technology Fund - Class M | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Technology Fund - Class M | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class M | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class M | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class Z | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.80% |
Fidelity Advisor Semiconductors Fund - Class Z | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
Fidelity Advisor Semiconductors Fund - Class Z | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
Fidelity Advisor Semiconductors Fund - Class Z | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class Z | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Semiconductors Fund - Class Z | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class Z | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class Z | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class Z | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Semiconductors Fund - Class Z | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Semiconductors Fund - Class Z | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.70% |
Fidelity Advisor Semiconductors Fund - Class Z | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Semiconductors Fund - Class Z | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Semiconductors Fund - Class Z | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class Z | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class Z | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 79.90% |
Fidelity Advisor Semiconductors Fund - Class Z | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Semiconductors Fund - Class Z | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class Z | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Semiconductors Fund - Class Z | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class Z | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Semiconductors Fund - Class Z | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95% |
Fidelity Advisor Semiconductors Fund - Class Z | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class Z | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Semiconductors Fund - Class Z | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Utilities Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
Fidelity Advisor Utilities Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Utilities Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Utilities Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Utilities Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Utilities Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Utilities Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Utilities Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 63% |
Fidelity Advisor Utilities Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23% |
Fidelity Advisor Utilities Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Utilities Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Utilities Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Utilities Fund - Class A | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95.40% |
Fidelity Advisor Utilities Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
Fidelity Advisor Utilities Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
Fidelity Advisor Utilities Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Utilities Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Utilities Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Utilities Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Utilities Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Utilities Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Utilities Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Utilities Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 63% |
Fidelity Advisor Utilities Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23% |
Fidelity Advisor Utilities Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7% |
Fidelity Advisor Utilities Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Utilities Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Utilities Fund - Class C | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Utilities Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95.40% |
Fidelity Advisor Utilities Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
Fidelity Advisor Industrials Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Industrials Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
Fidelity Advisor Industrials Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
Fidelity Advisor Industrials Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
Fidelity Advisor Industrials Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
Fidelity Advisor Industrials Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Industrials Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
Fidelity Advisor Industrials Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Industrials Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Industrials Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.70% |
Fidelity Advisor Industrials Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.20% |
Fidelity Advisor Industrials Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.10% |
Fidelity Advisor Industrials Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
Fidelity Advisor Industrials Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
Fidelity Advisor Industrials Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Industrials Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Industrials Fund - Class C | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Industrials Fund - Class C | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
Fidelity Advisor Industrials Fund - Class C | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
Fidelity Advisor Industrials Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Industrials Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99% |
Fidelity Advisor Industrials Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.80% |
Fidelity Advisor Energy Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.20% |
Fidelity Advisor Energy Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Energy Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Energy Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Energy Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Energy Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Energy Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
Fidelity Advisor Energy Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 81.10% |
Fidelity Advisor Energy Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.30% |
Fidelity Advisor Energy Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
Fidelity Advisor Energy Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Energy Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.60% |
Fidelity Advisor Energy Fund - Class C | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Energy Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.40% |
Fidelity Advisor Energy Fund - Class C | France | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class C | Norway | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
Fidelity Advisor Energy Fund - Class C | Cameroon | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Energy Fund - Class C | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Energy Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.80% |
Fidelity Advisor Energy Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Technology Fund - Class C | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.10% |
Fidelity Advisor Technology Fund - Class C | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.20% |
Fidelity Advisor Technology Fund - Class C | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.70% |
Fidelity Advisor Technology Fund - Class C | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class C | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class C | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
Fidelity Advisor Technology Fund - Class C | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
Fidelity Advisor Technology Fund - Class C | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
Fidelity Advisor Technology Fund - Class C | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
Fidelity Advisor Technology Fund - Class C | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class C | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 41.80% |
Fidelity Advisor Technology Fund - Class C | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.70% |
Fidelity Advisor Technology Fund - Class C | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.60% |
Fidelity Advisor Technology Fund - Class C | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
Fidelity Advisor Technology Fund - Class C | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Technology Fund - Class C | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
Fidelity Advisor Technology Fund - Class C | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
Fidelity Advisor Technology Fund - Class C | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
Fidelity Advisor Technology Fund - Class C | TI8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
Fidelity Advisor Technology Fund - Class C | TI9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
Fidelity Advisor Technology Fund - Class C | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.20% |
Fidelity Advisor Technology Fund - Class C | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
Fidelity Advisor Technology Fund - Class C | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
Fidelity Advisor Technology Fund - Class C | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
Fidelity Advisor Technology Fund - Class C | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class C | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Technology Fund - Class C | Korea, Republic of | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class C | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class C | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.50% |
Fidelity Advisor Technology Fund - Class C | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Technology Fund - Class C | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Technology Fund - Class C | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Technology Fund - Class C | AABondsMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class A | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.80% |
Fidelity Advisor Semiconductors Fund - Class A | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
Fidelity Advisor Semiconductors Fund - Class A | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
Fidelity Advisor Semiconductors Fund - Class A | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class A | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Semiconductors Fund - Class A | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class A | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class A | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class A | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
Fidelity Advisor Semiconductors Fund - Class A | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
Fidelity Advisor Semiconductors Fund - Class A | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 92.70% |
Fidelity Advisor Semiconductors Fund - Class A | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
Fidelity Advisor Semiconductors Fund - Class A | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
Fidelity Advisor Semiconductors Fund - Class A | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class A | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Semiconductors Fund - Class A | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 79.90% |
Fidelity Advisor Semiconductors Fund - Class A | Japan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
Fidelity Advisor Semiconductors Fund - Class A | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
Fidelity Advisor Semiconductors Fund - Class A | Taiwan | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
Fidelity Advisor Semiconductors Fund - Class A | Netherlands | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
Fidelity Advisor Semiconductors Fund - Class A | Israel | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
Fidelity Advisor Semiconductors Fund - Class A | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 95% |
Fidelity Advisor Semiconductors Fund - Class A | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
Fidelity Advisor Semiconductors Fund - Class A | AAPreferredStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
Fidelity Advisor Semiconductors Fund - Class A | AAPreferredSecuritiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
Fidelity Advisor Real Estate Fund - Class I | TH0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
Fidelity Advisor Real Estate Fund - Class I | TH1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
Fidelity Advisor Real Estate Fund - Class I | TH2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.50% |
Fidelity Advisor Real Estate Fund - Class I | TH3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
Fidelity Advisor Real Estate Fund - Class I | TH4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
Fidelity Advisor Real Estate Fund - Class I | TH5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
Fidelity Advisor Real Estate Fund - Class I | TH6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
Fidelity Advisor Real Estate Fund - Class I | TH7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
Fidelity Advisor Real Estate Fund - Class I | TH8Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class I | TH9Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
Fidelity Advisor Real Estate Fund - Class I | TI0Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 37.60% |
Fidelity Advisor Real Estate Fund - Class I | TI1Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.20% |
Fidelity Advisor Real Estate Fund - Class I | TI2Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
Fidelity Advisor Real Estate Fund - Class I | TI3Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.80% |
Fidelity Advisor Real Estate Fund - Class I | TI4Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
Fidelity Advisor Real Estate Fund - Class I | TI5Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
Fidelity Advisor Real Estate Fund - Class I | TI6Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
Fidelity Advisor Real Estate Fund - Class I | TI7Member | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
Fidelity Advisor Real Estate Fund - Class I | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 100% |
Fidelity Advisor Real Estate Fund - Class I | AACommonStocksMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 99.30% |
Fidelity Advisor Real Estate Fund - Class I | AAShortTermInvestmentsandNetOtherAssetsLiabilitiesMember | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |