FLSTX
Fidelity Advisor Leveraged Company Stock Fund
Fidelity Advisor Series I

Portfolio concentration

As of July 31, 2024 · N-PORT
Holdings
104
Top-10 weight
29.29%
Effective holdings ?
62
Crowding ?
1125.5

Holdings

As of July 31, 2024 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 438,600 $51.32M 4.64%
2 META PLATFORMS INC CL A 87,300 $41.45M 3.74%
3 ARTHUR J GALLAGHAR AND CO 135,600 $38.44M 3.47%
4 VISTRA CORP 443,000 $35.09M 3.17%
5 MICROSOFT CORP 81,600 $34.14M 3.08%
6 APOLLO GLOBAL MANAGEMENT INC 230,100 $28.83M 2.60%
7 ON SEMICONDUCTOR CORP 326,737 $25.57M 2.31%
8 CHENIERE ENERGY INC 136,700 $24.97M 2.26%
9 AMAZON.COM INC 124,900 $23.35M 2.11%
10 CONSTELLATION ENERGY CORP 112,300 $21.31M 1.93%
11 PARKER HANNIFIN CORP 33,800 $18.97M 1.71%
12 BYD COMPANY LTD H 617,000 $18.27M 1.65%
13 DICKS SPORTING GOODS INC 82,000 $17.74M 1.60%
14 TOPBUILD CORP 36,600 $17.51M 1.58%
15 VERTIV HOLDINGS CO 220,700 $17.37M 1.57%
16 PG&E CORP 938,456 $17.13M 1.55%
17 ONEMAIN HOLDINGS INC 326,600 $17.07M 1.54%
18 EAGLE MATERIALS INC 57,000 $15.52M 1.40%
19 CROCS INC 111,800 $15.02M 1.36%
20 RED ROCK RESORTS INC 259,900 $14.81M 1.34%
21 EATON CORP PLC 48,300 $14.72M 1.33%
22 NETFLIX INC 23,400 $14.70M 1.33%
23 COMFORT SYSTEMS USA INC 43,200 $14.36M 1.30%
24 WILLSCOT MOBILE MINI HOLDINGS CORP 347,400 $14.24M 1.29%
25 LAM RESEARCH CORP 14,900 $13.73M 1.24%
26 VISA INC-CLASS A 50,500 $13.42M 1.21%
27 BROADCOM INC 82,000 $13.18M 1.19%
28 ORACLE CORP 91,600 $12.77M 1.15%
29 US FOODS HOLDING CORP 234,800 $12.77M 1.15%
30 NXP SEMICONDUCTORS NV 46,900 $12.34M 1.11%
31 BOSTON SCIENTIFIC CORP 166,200 $12.28M 1.11%
32 ARISTA NETWORKS INC 35,100 $12.16M 1.10%
33 CARLISLE COS INC 28,900 $12.10M 1.09%
34 FORTUNE BRANDS INNOVATIONS INC 146,500 $11.84M 1.07%
35 BOYD GAMING CORP 188,344 $11.46M 1.04%
36 FISERV INC 68,400 $11.19M 1.01%
37 ADOBE INC 19,600 $10.81M 0.98%
38 TAIWAN SEMIC MFG CO LTD SP ADR 64,900 $10.76M 0.97%
39 TRANE TECHNOLOGIES PLC 31,400 $10.50M 0.95%
40 NVENT ELECTRIC PLC 140,400 $10.20M 0.92%
41 FTAI AVIATION LTD 86,700 $9.66M 0.87%
42 MOODYS CORP 20,900 $9.54M 0.86%
43 BLOCK INC CL A 152,200 $9.42M 0.85%
44 ASML HOLDING-NY 10,000 $9.37M 0.85%
45 ATI INC 138,200 $9.36M 0.85%
46 WILLIAMS-SONOMA INC 59,108 $9.14M 0.83%
47 MARVELL TECHNOLOGY INC 136,100 $9.12M 0.82%
48 PINTEREST INC CL A 270,900 $8.66M 0.78%
49 LOWES COS INC 35,200 $8.64M 0.78%
50 MKS INSTRUMENTS INC 67,900 $8.55M 0.77%
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