FDVLX
Fidelity Value Fund
Fidelity Capital Trust

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
276
Top-10 weight
11.94%
Effective holdings ?
178
Crowding ?
550.6

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Fidelity Securities Lending Cash Central Fund 237,823,118 $237.85M 2.67%
2 WESTERN DIGITAL CORP 750,100 $187.70M 2.11%
3 Fidelity Cash Central Fund 123,267,262 $123.29M 1.38%
4 PG&E CORP 6,292,600 $97.03M 1.09%
5 EVERSOURCE ENERGY 1,258,700 $87.01M 0.98%
6 IRON MOUNTAIN INC 860,800 $79.31M 0.89%
7 UGI CORP NEW 1,771,044 $71.04M 0.80%
8 ALLISON TRANSMISSION HLDGS INC 646,929 $70.32M 0.79%
9 SANDISK CORPORATION 120,011 $69.16M 0.78%
10 SEMPRA ENERGY 786,700 $68.45M 0.77%
11 Constellium SE, Class A CSTM 3,022,539 $67.92M 0.76%
12 TARGA RESOURCES CORP 335,713 $67.47M 0.76%
13 REINSURANCE GROUP OF AMERICA 327,549 $66.41M 0.75%
14 AMERIPRISE FINANCIAL INC 125,700 $66.27M 0.74%
15 EQUINIX INC 79,900 $65.59M 0.74%
16 AES CORP 4,475,200 $65.56M 0.74%
17 SS&C TECHNOLOGIE 780,500 $63.92M 0.72%
18 CORTEVA INC 864,851 $62.96M 0.71%
19 PACS GROUP INC 1,830,714 $61.80M 0.69%
20 Bath & Body Works Inc 2,785,200 $60.72M 0.68%
21 SMURFIT WESTROCK PLC 1,449,436 $60.34M 0.68%
22 DELTA AIR LI 913,500 $60.19M 0.68%
23 KBR INC 1,395,813 $59.75M 0.67%
24 ON SEMICONDUCTOR CORP 948,020 $56.78M 0.64%
25 VENTAS INC REIT 719,700 $55.90M 0.63%
26 PRIMO BRANDS CORP A 2,938,600 $55.66M 0.63%
27 FIRST QUANTUM 1,955,031 $55.26M 0.62%
28 TEXTRON INC 620,000 $54.60M 0.61%
29 IQVIA HOLDINGS INC 235,350 $54.17M 0.61%
30 AMENTUM HOLDINGS INC 1,503,800 $53.81M 0.60%
31 DARLING INGREDIENTS INC 1,176,694 $53.73M 0.60%
32 PHILLIPS 66 372,021 $53.41M 0.60%
33 HNI CORP 1,115,961 $53.33M 0.60%
34 COMPASS INC - A 4,258,400 $53.32M 0.60%
35 CORPAY INC 169,300 $53.27M 0.60%
36 VISTRA CORP 322,500 $51.07M 0.57%
37 INGREDION INC 431,100 $50.91M 0.57%
38 HERC HOLDINGS INC 345,000 $49.45M 0.56%
39 DRIVEN BRANDS HOLDINGS INC 3,172,392 $49.33M 0.55%
40 SSE PLC 1,465,589 $48.71M 0.55%
41 SIEMENS ENERGY AG 283,700 $48.61M 0.55%
42 WEATHERFORD INTERNATIONAL PLC 512,011 $48.17M 0.54%
43 TEREX CORP 843,600 $48.09M 0.54%
44 VIATRIS INC 3,656,300 $47.86M 0.54%
45 ONEMAIN HOLDINGS INC 729,380 $47.80M 0.54%
46 OSHKOSH CORP 329,800 $47.43M 0.53%
47 Icon Public Limited Company ICLR 261,300 $47.10M 0.53%
48 PRIMERICA INC 178,643 $46.99M 0.53%
49 SLM CORP 1,715,611 $46.58M 0.52%
50 FRANK'S INTERNATIONAL NV 2,889,500 $46.26M 0.52%
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