FDTEX
Fidelity Advisor Diversified Stock Fund
Fidelity Destiny Portfolios

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
228
Top-10 weight
35.09%
Effective holdings ?
51
Crowding ?
1444.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 1,741,500 $303.72M 8.29%
2 APPLE INC 743,855 $188.78M 5.15%
3 ALPHABET INC CL C 600,560 $172.28M 4.70%
4 AMAZON.COM INC 604,900 $125.98M 3.44%
5 Fidelity Cash Central Fund 124,241,238 $124.27M 3.39%
6 MICROSOFT CORP 315,913 $116.94M 3.19%
7 META PLATFORMS INC CL A 140,531 $80.40M 2.19%
8 EXXON MOBIL CORP 429,500 $72.87M 1.99%
9 TAIWAN SEMIC MFG CO LTD SP ADR 187,800 $63.47M 1.73%
10 Fidelity Securities Lending Cash Central Fund 57,453,012 $57.46M 1.57%
11 NEXTERA ENERGY INC 550,800 $51.16M 1.40%
12 LILLY ELI and CO 55,338 $50.90M 1.39%
13 BROADCOM INC 139,100 $43.05M 1.17%
14 MASTERCARD INC CL A 83,159 $41.55M 1.13%
15 CHEVRON CORP 176,300 $36.48M 1.00%
16 BOEING CO/THE 183,120 $36.45M 0.99%
17 KLA CORP 24,400 $35.93M 0.98%
18 GILEAD SCIENCES INC 251,400 $35.04M 0.96%
19 BRITISH AMERICAN TOBACCO PLC 598,300 $34.74M 0.95%
20 UCB SA 114,800 $34.59M 0.94%
21 BANK OF NEW YORK MELLON CORP 284,900 $33.80M 0.92%
22 DEERE & CO 59,300 $33.40M 0.91%
23 MORGAN STANLEY 199,700 $32.86M 0.90%
24 ALPHABET INC CL A 114,000 $32.78M 0.89%
25 CUMMINS INC 59,700 $32.12M 0.88%
26 MICRON TECHNOLOGY INC 92,100 $31.12M 0.85%
27 ALCOA CORP 448,200 $29.73M 0.81%
28 ARGENX SE SPONSORED ADR 40,200 $29.36M 0.80%
29 CBOE GLOBAL MARKETS INC 103,300 $29.03M 0.79%
30 INTEL CORP 652,700 $28.80M 0.79%
31 DOLLAR TREE INC 259,500 $28.42M 0.78%
32 MERCK & CO 226,500 $27.25M 0.74%
33 MEDLINE INC-A 611,900 $27.23M 0.74%
34 INSMED INC 160,500 $26.24M 0.72%
35 FRANCO-NEVADA CORP 104,200 $25.80M 0.70%
36 BIOGEN INC 139,000 $25.48M 0.70%
37 APA CORP 593,200 $25.18M 0.69%
38 PARKER HANNIFIN CORP 27,700 $24.80M 0.68%
39 CHUBB LTD 75,000 $24.44M 0.67%
40 AGNICO EAGLE MINES LTD 115,700 $23.48M 0.64%
41 TESLA INC 61,100 $22.71M 0.62%
42 ANALOG DEVICES INC 69,300 $22.05M 0.60%
43 ROCHE HOLDING AG 55,190 $22.03M 0.60%
44 APPLIED MATERIALS INC 64,400 $22.01M 0.60%
45 HOWMET AEROSPACE INC 95,000 $21.89M 0.60%
46 JPMORGAN CHASE and CO 73,700 $21.68M 0.59%
47 BAKER HUGHES CO 353,600 $21.59M 0.59%
48 MCKESSON CORP 24,700 $21.37M 0.58%
49 STATE STREET CORP 166,200 $21.03M 0.57%
50 AMPHENOL CORPORATION CL A 160,000 $20.22M 0.55%
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