13F Notebook
← Dashboard
Fund detail

FMR

large-active, fidelity, lo

Quarters 52
2013-06-30 $610.91B
Positions 2,584
Showing 30 of 2,584 rows

Price is the latest implied close from the selected quarter's 13F (value ÷ shares). Est. Cost is a running average that assumes each quarter's trades cleared near the midpoint of consecutive 13F closes (or yfinance VWAP when available). Most accurate for slow accumulators, least accurate for activists who build positions in a few days.

# Issuer Value ↓ Weight Shares Share Δ Share Δ % Prev Weight First Held Price Est. Cost Unrealized % Status
1 GOOGLE INC $16.27B 2.66% 18,479,838 +18,479,838 2013-06-30 $880 ~$880 +0.00%
2 APPLE INC AAPL $12.29B 2.01% 31,023,222 +31,023,222 2013-06-30 $396 ~$396 +0.00%
3 WELLS FARGO & CO NEW WFC $7.70B 1.26% 186,499,132 +186,499,132 2013-06-30 $41 ~$41 +0.00%
4 COCA COLA CO KO $6.15B 1.01% 153,298,131 +153,298,131 2013-06-30 $40 ~$40 +0.00%
5 GILEAD SCIENCES INC GILD $5.80B 0.95% 113,163,265 +113,163,265 2013-06-30 $51 ~$51 +0.00%
6 MICROSOFT CORP MSFT $5.70B 0.93% 165,177,985 +165,177,985 2013-06-30 $35 ~$35 +0.00%
7 JPMORGAN CHASE & CO JPM $5.41B 0.88% 102,403,056 +102,403,056 2013-06-30 $53 ~$53 +0.00%
8 VISA INC V $5.39B 0.88% 29,506,866 +29,506,866 2013-06-30 $183 ~$183 +0.00%
9 AMGEN INC AMGN $5.28B 0.86% 53,549,185 +53,549,185 2013-06-30 $99 ~$99 +0.00%
10 CITIGROUP INC C $5.25B 0.86% 109,449,237 +109,449,237 2013-06-30 $48 ~$48 +0.00%
11 BIOGEN IDEC INC BIIB $5.06B 0.83% 23,528,529 +23,528,529 2013-06-30 $215 ~$215 +0.00%
12 BERKSHIRE HATHAWAY INC DEL BRK/A $5.03B 0.82% 29,842 +29,842 2013-06-30 $168,600 ~$168,600 +0.00%
13 COMCAST CORP NEW CMCSA $4.88B 0.80% 116,642,514 +116,642,514 2013-06-30 $42 ~$42 +0.00%
14 PROCTER & GAMBLE CO PG $4.53B 0.74% 58,887,653 +58,887,653 2013-06-30 $77 ~$77 +0.00%
15 AMAZON COM INC AMZN $4.16B 0.68% 14,986,761 +14,986,761 2013-06-30 $278 ~$278 +0.00%
16 CVS CAREMARK CORPORATION CVS $3.89B 0.64% 68,002,343 +68,002,343 2013-06-30 $57 ~$57 +0.00%
17 MASTERCARD INC MA $3.79B 0.62% 6,601,761 +6,601,761 2013-06-30 $575 ~$575 +0.00%
18 TJX COS INC NEW TJX $3.79B 0.62% 75,655,697 +75,655,697 2013-06-30 $50 ~$50 +0.00%
19 DISNEY WALT CO DIS $3.75B 0.61% 59,453,225 +59,453,225 2013-06-30 $63 ~$63 +0.00%
20 GENERAL ELECTRIC CO $3.75B 0.61% 161,813,316 +161,813,316 2013-06-30 $23 ~$23 +0.00%
21 HOME DEPOT INC HD $3.71B 0.61% 47,913,757 +47,913,757 2013-06-30 $77 ~$77 +0.00%
22 ORACLE CORP ORCL $3.69B 0.60% 120,094,671 +120,094,671 2013-06-30 $31 ~$31 +0.00%
23 EXXON MOBIL CORP XOM $3.58B 0.59% 39,640,486 +39,640,486 2013-06-30 $90 ~$90 +0.00%
24 CISCO SYS INC CSCO $3.55B 0.58% 145,904,607 +145,904,607 2013-06-30 $24 ~$24 +0.00%
25 CHEVRON CORP NEW CVX $3.54B 0.58% 29,922,195 +29,922,195 2013-06-30 $118 ~$118 +0.00%
26 MERCK & CO INC NEW MRK $3.44B 0.56% 74,111,313 +74,111,313 2013-06-30 $46 ~$46 +0.00%
27 SALESFORCE COM INC CRM $3.39B 0.56% 88,848,823 +88,848,823 2013-06-30 $38 ~$38 +0.00%
28 UNITEDHEALTH GROUP INC UNH $3.35B 0.55% 51,084,750 +51,084,750 2013-06-30 $65 ~$65 +0.00%
29 MONSANTO CO NEW $3.31B 0.54% 33,481,299 +33,481,299 2013-06-30 $99 ~$99 +0.00%
30 UNION PAC CORP UNP $3.26B 0.53% 21,106,420 +21,106,420 2013-06-30 $154 ~$154 +0.00%