FEQTX
Fidelity Equity Dividend Income Fund
Fidelity Financial Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
T-MOBILE US INC 0 388,200 388,200 0.99% $84.27M
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT 0 831,010 831,010 0.72% $61.29M
AMCOR PLC 0 1,185,285 1,185,285 0.67% $57.40M
MONDELEZ INTL INC 0 811,800 811,800 0.59% $49.99M
CHENIERE ENERGY INC 0 210,300 210,300 0.58% $49.57M
CLOROX CO 0 353,300 353,300 0.53% $44.93M
EQUINIX INC 0 39,400 39,400 0.45% $38.39M
Bunzl Public Limited Company 0 1,074,800 1,074,800 0.37% $31.71M
INTUIT INC 0 72,700 72,700 0.35% $29.74M
NRG ENERGY INC 0 164,900 164,900 0.35% $29.51M
PINNACLE FINANCIAL PARTNERS INC 0 286,400 286,400 0.31% $25.99M
DOMINOS PIZZA INC 0 60,300 60,300 0.28% $24.27M
SUNOCO LP PARTNERSHIP SHARES 0 347,300 347,300 0.26% $22.15M
DOLBY LABORATORIES INC CL A 0 304,800 304,800 0.24% $20.29M
ROBERT HALF INTL 0 439,500 439,500 0.13% $10.73M
MAGNUM ICE CREAM 0 297,160 297,160 0.06% $4.72M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT 1,485,800 0 -1,485,800 0.00% -$90.02M
UNITEDHEALTH GRP 178,200 0 -178,200 0.00% -$58.77M
AMCOR PLC 5,926,425 0 -5,926,425 0.00% -$50.49M
BANK OF NEW YORK MELLON CORP 341,200 0 -341,200 0.00% -$38.25M
CORPORATE OFFICE PROPERTIES TR 1,146,800 0 -1,146,800 0.00% -$35.24M
MCCORMICK-N/V 403,900 0 -403,900 0.00% -$27.26M
GAMING AND LEISURE PROPRTI INC 557,800 0 -557,800 0.00% -$24.28M
SCIENCE APPLICATIONS INTERNATIONAL CORP 177,300 0 -177,300 0.00% -$15.29M
AECOM 143,500 0 -143,500 0.00% -$14.80M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
Fidelity Securities Lending Cash Central Fund 241,655,116 282,535,648 40,880,531 3.32% $40.88M
ALPHABET INC CL A 598,000 705,400 107,400 2.58% $28.45M
PROCTER & GAMBLE 1,146,000 1,236,000 90,000 2.43% $36.87M
EXELON CORP 3,446,100 3,829,300 383,200 2.22% $27.06M
KEURIG DR PEPPER INC 5,001,500 5,328,800 327,300 1.89% $21.81M
GILEAD SCIENCES INC 986,500 1,068,000 81,500 1.87% $34.94M
Fidelity Cash Central Fund 107,573,855 134,609,812 27,035,956 1.58% $27.04M
CISCO SYSTEMS INC 1,530,453 1,598,253 67,800 1.49% $9.24M
SS&C TECHNOLOGIE 1,392,100 1,661,800 269,700 1.47% $5.48M
AMDOCS LTD 1,297,350 1,479,250 181,900 1.21% $4.03M
REGAL REXNORD CORP 413,100 466,300 53,200 1.21% $42.73M
KINDER MORGAN INC 2,160,000 2,918,400 758,400 1.14% $38.08M
ALLISON TRANSMISSION HLDGS INC 579,200 712,900 133,700 1.05% $37.97M
PNC FINANCIAL SERVICES GRP INC 371,900 395,300 23,400 0.99% $13.01M
SALESFORCE INC 369,800 428,600 58,800 0.98% -$1.77M
HUNTINGTON BANCSHARES INC 4,203,500 4,812,200 608,700 0.95% $12.33M
3M CO 362,300 475,000 112,700 0.92% $16.19M
QUALCOMM INC 331,600 495,800 164,200 0.83% $14.84M
MICROSOFT CORP 95,700 179,600 83,900 0.83% $23.45M
ARTHUR J GALLAGHAR AND CO 120,300 305,600 185,300 0.82% $39.95M
ACCENTURE PLC CL A 310,500 332,000 21,500 0.81% -$8.33M
PUBLIC STORAGE 205,900 214,500 8,600 0.77% $9.34M
ASSURANT INC 190,000 283,300 93,300 0.76% $21.69M
ALBERTSONS COS INC CL A 3,066,700 3,383,600 316,900 0.71% $4.35M
SCHWAB CHARLES CORP 470,800 611,400 140,600 0.68% $14.55M
CORTEVA INC 602,300 708,800 106,500 0.67% $16.15M
FIDELITY NATL INFORM SVCS INC 717,100 1,087,800 370,700 0.65% $8.27M
SYSCO CORP 376,800 598,400 221,600 0.64% $25.84M
PG&E CORP 2,499,200 2,859,800 360,600 0.64% $14.05M
PAYCOM SOFTWARE INC 235,900 423,900 188,000 0.63% $15.32M
CONSTELLATION BRANDS INC CL A 199,000 301,300 102,300 0.56% $20.42M
WEYERHAEUSER CO 1,441,300 1,936,200 494,900 0.56% $15.48M
SONOCO PRODUCTS CO 760,700 840,200 79,500 0.56% $15.37M
DIAGEO PLC 1,887,600 2,053,200 165,600 0.54% $2.66M
RESTAURANT BRANDS INTERNATIONAL INC 597,400 632,000 34,600 0.53% $2.07M
H&R BLOCK INC 905,300 1,436,800 531,500 0.52% $5.86M
KENVUE INC 1,593,240 2,243,140 649,900 0.50% $15.25M
NXP SEMICONDUCTORS NV 157,700 188,700 31,000 0.50% $12.09M
WHIRLPOOL CORP 348,100 460,900 112,800 0.37% $4.61M
OMNICOM GROUP INC 256,400 292,100 35,700 0.29% $6.55M
Bath & Body Works Inc 482,800 893,800 411,000 0.24% $11.94M
WELLS FARGO and CO CALL 95 02/20/2026 -19,800 -6,200 13,600 -0.09% -$5.67M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
SHELL PLC SPONS ADR 2,882,900 2,750,400 -132,500 2.70% $17.01M
MERCK & CO 2,021,800 1,388,800 -633,000 2.02% -$39.98M
TRAVELERS COS IN 637,000 556,900 -80,100 2.02% -$14.67M
JOHNSON&JOHNSON 701,178 670,178 -31,000 1.95% $21.40M
GSK plc SPONSORED ADR 2,766,300 2,734,200 -32,100 1.90% $29.28M
US BANCORP DEL 3,800,000 2,895,550 -904,450 1.86% -$28.12M
M&T BANK CORP 857,900 707,700 -150,200 1.80% -$9.63M
THE CIGNA GROUP 603,100 507,100 -96,000 1.73% -$20.26M
VERIZON COMMUNICATIONS INC 3,032,890 2,292,390 -740,500 1.35% -$9.74M
TAIWAN SEMIC MFG CO LTD SP ADR 343,000 299,300 -43,700 1.32% $12.12M
EXXON MOBIL CORP 896,200 711,400 -184,800 1.27% $4.60M
SEMPRA ENERGY 1,190,100 945,600 -244,500 1.07% -$21.69M
BALL CORP 1,975,800 1,240,900 -734,900 0.98% -$14.56M
NORTHERN TRUST CORP 829,800 577,200 -252,600 0.97% -$26.39M
CROWN HOLDINGS INC 726,400 678,600 -47,800 0.91% $7.43M
WELLS FARGO & CO 1,062,958 920,058 -142,900 0.88% -$16.32M
SAMSUNG ELECTRONICS CO LTD 561,550 495,070 -66,480 0.87% $35.78M
FIRSTENERGY CORP 1,978,700 1,387,700 -591,000 0.83% -$23.43M
FEDEX CORP 167,400 158,900 -8,500 0.72% $15.35M
WESTERN DIGITAL CORP 259,600 213,900 -45,700 0.70% $17.43M
WALT DISNEY CO/T 778,100 554,300 -223,800 0.69% -$22.51M
EVERGY INC 686,700 656,900 -29,800 0.65% $1.63M
REYNOLDS CONSUMER PRODUCTS INC 2,432,600 2,195,500 -237,100 0.64% -$6.30M
COMCAST CORP CL A 1,987,400 1,683,100 -304,300 0.61% -$934.93K
CAPGEMINI SE 459,300 402,500 -56,800 0.60% -$21.10M
WATSCO INC 124,600 119,900 -4,700 0.59% $6.88M
COCA-COLA CO/THE 1,412,100 613,100 -799,000 0.59% -$53.25M
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 1,140,900 784,600 -356,300 0.58% -$2.89M
BRISTOL-MYERS SQUIBB CO 926,300 748,700 -177,600 0.55% $1.12M
CVS HEALTH CORP 697,100 513,100 -184,000 0.48% -$15.02M
PORTLAND GENERAL ELECTRIC CO 890,700 752,400 -138,300 0.48% -$4.67M
SLB LTD 1,051,300 746,300 -305,000 0.45% $215.93K
ELEVANCE HEALTH INC 150,100 115,600 -34,500 0.43% -$13.78M
OSHKOSH CORP 291,800 216,500 -75,300 0.43% -$593.59K
PACCAR INC 413,200 290,700 -122,500 0.43% -$6.91M
LAZARD INC CL A 693,900 693,800 -100 0.41% $64.33K
SEAGATE TECHNOLOGY HOLDINGS PLC 105,400 85,500 -19,900 0.41% $5.71M
GENPACT LTD 1,040,900 858,500 -182,400 0.40% -$11.76M
GENERAL DYNAMICS CORPORATION 111,500 89,200 -22,300 0.37% -$6.24M
SMURFIT WESTROCK PLC 786,600 622,200 -164,400 0.34% $1.18M
TAPESTRY INC 300,800 147,000 -153,800 0.27% -$10.02M
STATE STREET CORP 460,900 159,700 -301,200 0.24% -$34.32M
FLOWSERVE CORP 421,000 220,300 -200,700 0.23% -$10.54M
OWENS CORNING INC 207,300 155,100 -52,200 0.22% -$4.54M
EAST WEST BNCRP 196,600 167,300 -29,300 0.22% -$2.67M
CH ROBINSON WORLDWIDE INC 280,800 91,800 -189,000 0.20% -$27.60M
VAIL RESORTS INC 139,300 121,000 -18,300 0.19% -$3.10M
BROWN FORMAN CORP NON VTG CL B 1,380,300 503,100 -877,200 0.17% -$25.48M
BLUE OWL CAPITAL INC A 1,209,100 974,400 -234,700 0.12% -$7.86M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CHUBB LTD 533,663 533,663 0 2.14% $23.84M
BANK OF AMERICA CORPORATION 2,782,500 2,782,500 0 1.63% -$10.63M
UNITED PARCEL SERVICE INC CL B 1,175,900 1,175,900 0 1.60% $23.72M
ROYALTY PHARMA PLC 1,527,900 1,527,900 0 0.83% $9.46M
AMERICAN TOWER CORP 330,600 330,600 0 0.74% $3.50M
FIRST AMERICAN FINANCIAL CORP 852,100 852,100 0 0.70% $3.71M
JM SMUCKER CO/THE 457,400 457,400 0 0.62% $5.38M
GEN DIGITAL INC 2,289,100 2,289,100 0 0.61% -$8.70M
SILGAN HOLDINGS INC 958,700 958,700 0 0.54% $8.06M
Enterprise Products Partners LP 1,090,100 1,090,100 0 0.46% $3.71M
FIDELITY NATIONAL FINL INC 544,100 544,100 0 0.34% -$3.56M
EDISON INTL 363,558 363,558 0 0.32% $5.76M
THE CAMPBELL'S COMPANY 969,400 969,400 0 0.31% -$3.42M
LEAR CORP NEW 187,500 187,500 0 0.29% $4.48M
DCC PLC 231,972 231,972 0 0.19% $874.55K
AMERICAN FINL GROUP INC OHIO 89,200 89,200 0 0.14% -$422.81K

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