FSCEX
Fidelity Advisor Small Cap Fund
Fidelity Advisor Series I

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
150
Top-10 weight
18.30%
Effective holdings ?
97
Crowding ?
415.8

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Fidelity Securities Lending Cash Central Fund 102,821,012 $102.83M 4.63%
2 FIRSTCASH HOLDINGS INC 228,600 $44.07M 1.99%
3 ELEMENT SOLUTIONS INC 1,057,200 $37.10M 1.67%
4 FABRINET 66,300 $36.18M 1.63%
5 TEREX CORP 511,560 $35.19M 1.59%
6 SANMINA CORP 222,600 $34.56M 1.56%
7 STERLING INFRASTRUCTURE INC 80,600 $34.51M 1.55%
8 NEXTRACKER INC CL A 323,500 $34.00M 1.53%
9 ENSIGN GROUP INC 157,900 $33.82M 1.52%
10 IES HOLDINGS INC 65,900 $32.64M 1.47%
11 TECHNIPFMC PLC 483,900 $32.09M 1.45%
12 ADV ENERGY INDS 95,600 $32.08M 1.45%
13 TD SYNNEX CORP 202,841 $31.81M 1.43%
14 CES ENERGY SOLUT 2,508,900 $30.96M 1.39%
15 EAGLE MATERIALS INC 130,900 $29.30M 1.32%
16 BELDEN INC 200,200 $28.69M 1.29%
17 SOUTHWEST GAS HOLDINGS INC 319,300 $28.15M 1.27%
18 SIMPSON MFG 144,600 $27.99M 1.26%
19 SPX TECHNOLOGIES INC 119,900 $27.21M 1.23%
20 PATRICK INDUSTRIES INC 219,096 $27.12M 1.22%
21 CARPENTER TECHNOLOGY CORP 64,100 $25.52M 1.15%
22 PRIMERICA INC 97,700 $24.78M 1.12%
23 ESSENTIAL PROPERTIES REALTY TRUST INC 725,601 $24.63M 1.11%
24 AZZ INC 180,400 $24.53M 1.11%
25 RUSH ENTERPRISES INC CL A 342,791 $24.33M 1.10%
26 ESSENT GROUP LTD 380,423 $23.14M 1.04%
27 BRINK'S CO/THE 196,860 $22.99M 1.04%
28 Fidelity Cash Central Fund 22,863,265 $22.87M 1.03%
29 SKYWEST INC 218,600 $22.75M 1.03%
30 CONSTRUCTION PARTNERS INC CL A 163,600 $21.98M 0.99%
31 SOUTHSTATE BANK CORP 219,400 $21.65M 0.98%
32 MASIMO CORP 121,800 $21.36M 0.96%
33 CARETRUST REIT INC 520,900 $21.16M 0.95%
34 MURPHY USA INC 53,700 $20.98M 0.95%
35 BROOKFIELD INFRA 420,367 $20.97M 0.94%
36 CONNECTONE BANCORP INC 775,455 $20.57M 0.93%
37 AMERICAN HEALTHCARE REIT INC 392,200 $20.49M 0.92%
38 BOOT BARN HOLDINGS INC 108,200 $20.47M 0.92%
39 VEECO INSTRUMENT 643,559 $19.67M 0.89%
40 NOVA LTD 44,289 $19.44M 0.88%
41 WEATHERFORD INTERNATIONAL PLC 184,200 $19.43M 0.88%
42 FED SIGNAL CORP 166,700 $19.41M 0.87%
43 FIRST HAWAIIAN INC 774,900 $19.19M 0.86%
44 KBR INC 445,400 $18.81M 0.85%
45 ACADEMY SPORTS and OUTDOORS INC 307,605 $18.50M 0.83%
46 FIRST BANCORP/NC 321,500 $18.26M 0.82%
47 COMMERCIAL METALS CO 247,700 $18.16M 0.82%
48 PHINIA INC 242,800 $17.63M 0.79%
49 COGENT BIOSCIENCES INC 444,672 $17.28M 0.78%
50 TTM TECHNOLOGIES INC 165,600 $17.26M 0.78%
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