Portfolio Holdings Listing Fidelity Contrafund As of July 30, 2021
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Portfolio Holdings Listing Fidelity Contrafund DUMMY as of July 30, 2021 The portfolio holdings listing (listing) provides information on a fund’s investments as of the date indicated. Top 10 holdings information (top 10 holdings) is also provided for certain equity and high income funds. The listing and top 10 holdings are not part of a fund’s annual/semiannual report or Form N-Q and have not been audited. The information provided in this listing and top 10 holdings may differ from a fund’s holdings disclosed in its annual/semiannual report and Form N-Q as follows, where applicable: With certain exceptions, the listing and top 10 holdings provide information on the direct holdings of a fund as well as a fund’s pro rata share of any securities and other investments held indirectly through investment in underlying non- money market Fidelity Central Funds. A fund’s pro rata share of the underlying holdings of any investment in high income and floating rate central funds is provided at a fund’s fiscal quarter end. For certain funds, direct holdings in high income or convertible securities are presented at a fund’s fiscal quarter end and are presented collectively for other periods. For the annual/semiannual report, a fund’s investments include trades executed through the end of the last business day of the period. This listing and the top 10 holdings include trades executed through the end of the prior business day. The listing includes any investment in derivative instruments, and excludes the value of any cash collateral held for securities on loan and a fund’s net other assets. Therefore, the holdings as a percent of fund net assets may not total to 100%. The presentation of investment holdings by category is similar to that used in other marketing materials. The fund’s holdings are consistent across all share classes. The top 10 holdings is presented to illustrate examples of the securities that the fund has bought and the diversity of the areas in which the fund may invest, may not be representative of the fund’s current or future investments, and may change at any time. The top 10 holdings do not include cash, cash equivalents, money market instruments, options, interest rate swaps, fixed income total return swaps and/or futures contracts. Depositary receipts, credit default swaps and equity total return swaps are normally combined with the underlying security. The most recent annual/semiannual report can be viewed at www.fidelity.com or www.institutional.fidelity.com. Forms N-Q are available on the SEC’s web site at www.sec.gov. Before investing, consider the fund’s investment objectives, risks, charges and expenses. Contact Fidelity for a prospectus containing this information. Read it carefully. 466719.7.0 TOP TEN HOLDINGS % of Net Security Name Market Value Assets Facebook, Inc. Class A $14,919,972,000 10.3% Amazon.com, Inc. $11,751,943,120 8.1% Microsoft Corp. $8,110,795,657 5.6% Berkshire Hathaway, Inc. Class A $7,984,652,900 5.5% Apple, Inc. $4,795,042,335 3.3% Alphabet, Inc. Class A $4,542,150,359 3.1% UnitedHealth Group, Inc. $4,466,411,120 3.1% Alphabet, Inc. Class C $4,215,103,603 2.9% Salesforce.com, Inc. $3,753,289,440 2.6% Adobe, Inc. $3,519,321,569 2.4% Top Ten Holdings Total: $68,058,682,103 47.1% 466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street Not Part of Annual or Semiannual Report Smithfield, RI 02917 2 FULL HOLDINGS LISTING % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Domestic Equities Facebook, Inc. Class A $14,919,972,000 10.317% FB 30303M102 US30303M1027 B7TL820 Amazon.com, Inc. $11,751,943,120 8.126% AMZN 023135106 US0231351067 2000019 Microsoft Corp. $8,110,795,657 5.608% MSFT 594918104 US5949181045 2588173 Berkshire Hathaway, Inc. Class A $7,984,652,900 5.521% BRK.A 084670108 US0846701086 2093666 Apple, Inc. $4,795,042,335 3.316% AAPL 037833100 US0378331005 2046251 Alphabet, Inc. Class A $4,542,150,359 3.141% GOOGL 02079K305 US02079K3059 BYVY8G0 UnitedHealth Group, Inc. $4,466,411,120 3.088% UNH 91324P102 US91324P1021 2917766 Alphabet, Inc. Class C $4,215,103,603 2.915% GOOG 02079K107 US02079K1079 BYY88Y7 Salesforce.com, Inc. $3,753,289,440 2.595% CRM 79466L302 US79466L3024 2310525 Adobe, Inc. $3,519,321,569 2.434% ADBE 00724F101 US00724F1012 2008154 NVIDIA Corp. $3,236,002,563 2.238% NVDA 67066G104 US67066G1040 2379504 Visa, Inc. Class A $3,119,970,537 2.157% V 92826C839 US92826C8394 B2PZN04 Netflix, Inc. $2,848,065,046 1.969% NFLX 64110L106 US64110L1061 2857817 PayPal Holdings, Inc. $2,008,551,706 1.389% PYPL 70450Y103 US70450Y1038 BYW36M8 Qualcomm, Inc. $1,935,805,031 1.339% QCOM 747525103 US7475251036 2714923 Amphenol Corp. Class A $1,594,963,690 1.103% APH 032095101 US0320951017 2145084 Estee Lauder Companies, Inc. Class A $1,576,571,263 1.090% EL 518439104 US5184391044 2320524 Eli Lilly & Co. $1,543,775,390 1.067% LLY 532457108 US5324571083 2516152 JPMorgan Chase & Co. $1,426,642,753 0.987% JPM 46625H100 US46625H1005 2190385 The Home Depot, Inc. $1,395,526,892 0.965% HD 437076102 US4370761029 2434209 MasterCard, Inc. Class A $1,315,679,494 0.910% MA 57636Q104 US57636Q1040 B121557 Bank of America Corp. $1,312,215,466 0.907% BAC 060505104 US0605051046 2295677 Costco Wholesale Corp. $1,307,314,811 0.904% COST 22160K105 US22160K1051 2701271 Danaher Corp. $1,210,584,684 0.837% DHR 235851102 US2358511028 2250870 Regeneron Pharmaceuticals, Inc. $1,157,755,257 0.801% REGN 75886F107 US75886F1075 2730190 Accenture PLC Class A $1,066,394,578 0.737% ACN IE00B4BNMY34 B4BNMY3 Morgan Stanley $975,725,482 0.675% MS 617446448 US6174464486 2262314 Cloudflare, Inc. $952,387,264 0.659% NET 18915M107 US18915M1071 BJXC5M2 NIKE, Inc. Class B $947,126,499 0.655% NKE 654106103 US6541061031 2640147 The Walt Disney Co. $912,796,067 0.631% DIS 254687106 US2546871060 2270726 United Parcel Service, Inc. Class B $906,183,940 0.627% UPS 911312106 US9113121068 2517382 T-Mobile U.S., Inc. $898,964,055 0.622% TMUS 872590104 US8725901040 B94Q9V0 Sherwin-Williams Co. $875,680,749 0.606% SHW 824348106 US8243481061 2804211 Advanced Micro Devices, Inc. $850,236,464 0.588% AMD 007903107 US0079031078 2007849 Lam Research Corp. $760,602,231 0.526% LRCX 512807108 US5128071082 2502247 466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street Not Part of Annual or Semiannual Report Smithfield, RI 02917 3 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Atlassian Corp. PLC $700,445,030 0.484% TEAM GB00BZ09BD16 BZ09BD1 Mettler-Toledo International, Inc. $677,328,906 0.468% MTD 592688105 US5926881054 2126249 Intuitive Surgical, Inc. $664,424,936 0.459% ISRG 46120E602 US46120E6023 2871301 eBay, Inc. $663,428,331 0.459% EBAY 278642103 US2786421030 2293819 Snap, Inc. Class A $629,128,670 0.435% SNAP 83304A106 US83304A1060 BD8DJ71 AbbVie, Inc. $622,032,062 0.430% ABBV 00287Y109 US00287Y1091 B92SR70 BlackRock, Inc. Class A $610,470,337 0.422% BLK 09247X101 US09247X1019 2494504 Activision Blizzard, Inc. $582,036,843 0.402% ATVI 00507V109 US00507V1098 2575818 General Electric Co. $546,854,633 0.378% GE 369604301 US3696043013 BL59CR9 Intuit, Inc. $541,852,987 0.375% INTU 461202103 US4612021034 2459020 Thermo Fisher Scientific, Inc. $521,217,652 0.360% TMO 883556102 US8835561023 2886907 Okta, Inc. $445,637,430 0.308% OKTA 679295105 US6792951054 BDFZSP1 Capital One Financial Corp. $440,772,209 0.305% COF 14040H105 US14040H1059 2654461 Horizon Therapeutics PLC $432,942,571 0.299% HZNP IE00BQPVQZ61 BQPVQZ6 Goldman Sachs Group, Inc. $422,933,993 0.292% GS 38141G104 US38141G1040 2407966 Analog Devices, Inc. $367,671,397 0.254% ADI 032654105 US0326541051 2032067 Comcast Corp. Class A $358,243,991 0.248% CMCSA 20030N101 US20030N1019 2044545 Deere & Co. $356,213,518 0.246% DE 244199105 US2441991054 2261203 Chubb Ltd. $350,155,918 0.242% CB CH0044328745 B3BQMF6 Fortune Brands Home & Security, Inc. $348,690,055 0.241% FBHS 34964C106 US34964C1062 B3MC7D6 General Motors Co. $344,204,624 0.238% GM 37045V100 US37045V1008 B665KZ5 Synaptics, Inc. $339,525,552 0.235% SYNA 87157D109 US87157D1090 2839268 Qorvo, Inc. $325,449,436 0.225% QRVO 74736K101 US74736K1016 BR9YYP4 Charter Communications, Inc. Class A $324,681,099 0.225% CHTR 16119P108 US16119P1084 BZ6VT82 Applied Materials, Inc. $301,419,575 0.208% AMAT 038222105 US0382221051 2046552 Progressive Corp. $294,852,213 0.204% PGR 743315103 US7433151039 2705024 Airbnb, Inc. Class A $288,400,618 0.199% ABNB 009066101 US0090661010 BMGYYH4 Edwards Lifesciences Corp. $287,779,782 0.199% EW 28176E108 US28176E1082 2567116 MSCI, Inc. $281,539,847 0.195% MSCI 55354G100 US55354G1004 B2972D2 Freeport-McMoRan, Inc. $277,703,890 0.192% FCX 35671D857 US35671D8570 2352118 TJX Companies, Inc. $265,385,995 0.184% TJX 872540109 US8725401090 2989301 HCA Holdings, Inc. $265,100,434 0.183% HCA 40412C101 US40412C1018 B4MGBG6 Zoetis, Inc. Class A $263,036,087 0.182% ZTS 98978V103 US98978V1035 B95WG16 Skyworks Solutions, Inc. $251,901,724 0.174% SWKS 83088M102 US83088M1027 2961053 Cintas Corp. $250,718,189 0.173% CTAS 172908105 US1729081059 2197137 Trane Technologies PLC $247,288,214 0.171% TT IE00BK9ZQ967 BK9ZQ96 American Express Co. $244,817,984 0.169% AXP 025816109 US0258161092 2026082 Deckers Outdoor Corp. $242,855,078 0.168% DECK 243537107 US2435371073 2267278 Vertex Pharmaceuticals, Inc. $237,975,471 0.165% VRTX 92532F100 US92532F1003 2931034 466719.7.0 Fidelity Distributors Company, LLC 500 Salem Street Not Part of Annual or Semiannual Report Smithfield, RI 02917 4 % of Net Security Name Market Value Assets Ticker CUSIP ISIN SEDOL Space Exploration Technologies Corp.