Portfolio Holdings Listing Fidelity Nasdaq Composite Index Fund DUMMY ...

DUMMY

Portfolio Holdings Listing Fidelity Nasdaq Composite Index Fund

as of May 31, 2024

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 nonmoney 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 60 days after month-end. For certain funds, direct holdings in high income or convertible securities will be presented collectively monthly and included in a list of full holdings 60 days after month-end.

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 or institutional.. Forms N-Q are available on the SEC's web site at .

Before investing, consider the fund's investment objectives, risks, charges and expenses. Contact Fidelity for a prospectus containing this information. Read it carefully.

1037294.1.0

TOP TEN HOLDINGS

% of Net

Security Name

Market Value Assets

Microsoft Corp.

$1,835,643,421 11.3%

Apple, Inc.

$1,766,603,898 10.9%

NVIDIA Corp.

$1,631,143,893 10.1%

, Inc.

$1,090,734,612 6.7%

Meta Platforms, Inc. Class A $612,312,434 3.8%

Alphabet, Inc. Class A

$605,012,183 3.7%

Alphabet, Inc. Class C

$587,084,731 3.6%

Broadcom, Inc.

$367,106,265 2.3%

Tesla, Inc.

$338,329,028 2.1%

Costco Wholesale Corp.

$213,941,352 1.3%

Top Ten Holdings Total: $9,047,911,817 55.8%

1037294.1.0

Fidelity Distributors Company, LLC

500 Salem Street

Not Part of Annual or Semiannual Report

Smithfield, RI 02917

2

Security Name

Domestic Equities

Microsoft Corp. Apple, Inc. NVIDIA Corp. , Inc. Meta Platforms, Inc. Class A Alphabet, Inc. Class A Alphabet, Inc. Class C Broadcom, Inc. Tesla, Inc. Costco Wholesale Corp. Netflix, Inc. Advanced Micro Devices, Inc. PepsiCo, Inc. Qualcomm, Inc. T-Mobile U.S., Inc. Adobe, Inc. Cisco Systems, Inc. Applied Materials, Inc. Texas Instruments, Inc. Amgen, Inc. Intuit, Inc. Comcast Corp. Class A Intuitive Surgical, Inc. Micron Technology, Inc. Honeywell International, Inc. Intel Corp. Booking Holdings, Inc. Lam Research Corp. Vertex Pharmaceuticals, Inc. Analog Devices, Inc. Regeneron Pharmaceuticals, Inc. KLA Corp. Automatic Data Processing, Inc. Palo Alto Networks, Inc. Mondelez International, Inc.

1037294.1.0

FULL HOLDINGS LISTING

% of Net

Market Value

Assets Ticker

CUSIP

ISIN

SEDOL

$1,835,643,421 $1,766,603,898 $1,631,143,893 $1,090,734,612 $612,312,434 $605,012,183 $587,084,731 $367,106,265 $338,329,028 $213,941,352 $165,500,104 $160,923,144 $141,598,357 $135,528,990 $121,489,250 $120,372,515 $111,042,372 $106,950,681 $104,918,695 $97,763,117 $96,286,808 $95,522,348 $84,507,126 $82,268,000 $79,133,324 $77,816,904 $76,852,499 $73,020,309 $70,168,349 $69,347,604 $63,122,304 $61,365,467 $60,028,422 $56,835,940 $55,525,199

11.327% 10.901% 10.065% 6.730% 3.778% 3.733% 3.623% 2.265% 2.088% 1.320% 1.021% 0.993% 0.874% 0.836% 0.750% 0.743% 0.685% 0.660% 0.647% 0.603% 0.594% 0.589% 0.521% 0.508% 0.488% 0.480% 0.474% 0.451% 0.433% 0.428% 0.389% 0.379% 0.370% 0.351% 0.343%

MSFT AAPL NVDA AMZN META GOOGL GOOG AVGO TSLA COST NFLX AMD PEP QCOM TMUS ADBE CSCO AMAT TXN AMGN INTU CMCSA ISRG MU HON INTC BKNG LRCX VRTX ADI REGN KLAC ADP PANW MDLZ

Not Part of Annual or Semiannual Report

3

594918104 037833100 67066G104 023135106 30303M102 02079K305 02079K107 11135F101 88160R101 22160K105 64110L106 007903107 713448108 747525103 872590104 00724F101 17275R102 038222105 882508104 031162100 461202103 20030N101 46120E602 595112103 438516106 458140100 741503403 512807108 92532F100 032654105 75886F107 482480100 053015103 697435105 609207105

US5949181045 US0378331005 US67066G1040 US0231351067 US30303M1027 US02079K3059 US02079K1079 US11135F1012 US88160R1014 US22160K1051 US64110L1061 US0079031078 US7134481081 US7475251036 US8725901040 US00724F1012 US17275R1023 US0382221051 US8825081040 US0311621009 US4612021034 US20030N1019 US46120E6023 US5951121038 US4385161066 US4581401001 US09857L1089 US5128071082 US92532F1003 US0326541051 US75886F1075 US4824801009 US0530151036 US6974351057 US6092071058

2588173 2046251 2379504 2000019 B7TL820 BYVY8G0 BYY88Y7 BDZ78H9 B616C79 2701271 2857817 2007849 2681511 2714923 B94Q9V0 2008154 2198163 2046552 2885409 2023607 2459020 2044545 2871301 2588184 2020459 2463247 BDRXDB4 2502247 2931034 2032067 2730190 2480138 2065308 B87ZMX0 B8CKK03

Fidelity Distributors Company, LLC 500 Salem Street

Smithfield, RI 02917

Security Name Starbucks Corp. Synopsys, Inc. Gilead Sciences, Inc. Cadence Design Systems, Inc. CME Group, Inc. Equinix, Inc. Crowdstrike Holdings, Inc. NXP Semiconductors NV Constellation Energy Corp. Cintas Corp. CME E-mini NASDAQ 100 Index Contracts Marriott International, Inc. Class A PayPal Holdings, Inc. CSX Corp. Airbnb, Inc. Class A Marvell Technology, Inc. Roper Technologies, Inc. O'Reilly Automotive, Inc. PACCAR, Inc. Moderna, Inc. Monster Beverage Corp. Microchip Technology, Inc. Copart, Inc. Keurig Dr. Pepper, Inc. American Electric Power Co., Inc. Ross Stores, Inc. DexCom, Inc. Fortinet, Inc. Workday, Inc. Class A Coinbase Global, Inc. Super Micro Computer, Inc. Paychex, Inc. The Kraft Heinz Co. Autodesk, Inc. Charter Communications, Inc. Class A Doordash, Inc. IDEXX Laboratories, Inc. The Trade Desk, Inc. Arch Capital Group Ltd.

1037294.1.0

Market Value $54,252,465 $51,009,246 $47,762,251 $46,483,574 $43,458,424 $43,041,991 $42,565,960 $41,717,012 $41,218,625 $41,021,253 $40,528,380 $40,352,573 $40,316,875 $39,705,998 $37,801,802 $35,464,605 $33,976,769 $33,823,912 $33,396,165 $32,503,538 $32,195,384 $31,298,337 $30,341,353 $28,403,765 $28,249,062 $28,036,974 $27,311,755 $27,194,068 $26,350,053 $26,337,528 $26,176,745 $25,832,477 $25,744,444 $25,705,814 $25,205,691 $24,677,193 $24,614,430 $24,547,083 $22,810,954

% of Net Assets 0.335% 0.315% 0.295% 0.287% 0.268% 0.266% 0.263% 0.257% 0.254% 0.253% 0.250% 0.249% 0.249% 0.245% 0.233% 0.219% 0.210% 0.209% 0.206% 0.201% 0.199% 0.193% 0.187% 0.175% 0.174% 0.173% 0.169% 0.168% 0.163% 0.163% 0.162% 0.159% 0.159% 0.159% 0.156% 0.152% 0.152% 0.151% 0.141%

Ticker SBUX SNPS GILD CDNS CME EQIX CRWD NXPI CEG CTAS NQM4 MAR PYPL CSX ABNB MRVL ROP ORLY PCAR MRNA MNST MCHP CPRT KDP AEP ROST DXCM FTNT WDAY COIN SMCI PAYX KHC ADSK CHTR DASH IDXX TTD ACGL

Not Part of Annual or Semiannual Report

4

CUSIP 855244109 871607107 375558103 127387108 12572Q105 29444U700 22788C105

21037T109 172908105

ISIN US8552441094 US8716071076 US3755581036 US1273871087 US12572Q1058 US29444U7000 US22788C1053 NL0009538784 US21037T1097 US1729081059

SEDOL 2842255 2867719 2369174 2302232 2965839 BVLZX12 BJJP138 B505PN7 BMH4FS1 2197137

571903202 70450Y103 126408103 009066101 573874104 776696106 67103H107 693718108 60770K107 61174X109 595017104 217204106 49271V100 025537101 778296103 252131107 34959E109 98138H101 19260Q107 86800U104 704326107 500754106 052769106 16119P108 25809K105 45168D104 89255P109

US5719032022 US70450Y1038 US1264081035 US0090661010 US5738741041 US7766961061 US67103H1077 US6937181088 US60770K1079 US61174X1090 US5950171042 US2172041061 US49271V1008 US0255371017 US7782961038 US2521311074 US34959E1091 US98138H1014 US19260Q1076 US86800U1043 US7043261079 US5007541064 US0527691069 US16119P1084 US25809K1051 US45168D1046 US88339J1051 BMG0450A1053

2210614 BYW36M8

2160753 BMGYYH4 BNKJSM5

2749602 B65LWX6 2665861 BGSXTS3 BZ07BW4 2592174 2208073 BD3W133 2026242 2746711 B0796X4 B5B2106 B8K6ZD1 BMC9P69 B1VQR35 2674458 BYRY499 2065159 BZ6VT82 BN13P03 2459202 BD8FDD1 2740542

Fidelity Distributors Company, LLC 500 Salem Street

Smithfield, RI 02917

Security Name Old Dominion Freight Lines, Inc. lululemon athletica, Inc. Fastenal Co. Exelon Corp. Verisk Analytics, Inc. Monolithic Power Systems, Inc. Electronic Arts, Inc. GE Healthcare Technologies, Inc. Diamondback Energy, Inc. NASDAQ, Inc. Datadog, Inc. Class A Baker Hughes Co. Class A Cognizant Technology Solutions Corp. Class A Biogen, Inc. CoStar Group, Inc. ON Semiconductor Corp. Xcel Energy, Inc. Tractor Supply Co. CDW Corp. First Solar, Inc. eBay, Inc. ANSYS, Inc. Take-Two Interactive Software, Inc. GlobalFoundries, Inc. Willis Towers Watson PLC T. Rowe Price Group, Inc. Dollar Tree, Inc. Fifth Third Bancorp Zscaler, Inc. Atlassian Corp. PLC NetApp, Inc. Western Digital Corp. MicroStrategy, Inc. Class A First Citizens Bancshares, Inc. AppLovin Corp. Steel Dynamics, Inc. Teradyne, Inc. LPL Financial SBA Communications Corp. Class A

1037294.1.0

Market Value $22,709,947 $22,480,439 $22,422,115 $22,312,510 $21,761,830 $21,331,063 $21,290,698 $21,174,738 $21,132,121 $20,190,326 $20,088,018 $20,030,682 $19,729,238 $19,481,154 $19,032,128 $18,676,912 $18,293,676 $18,236,022 $17,748,272 $17,308,123 $16,724,105 $16,463,592 $16,178,400 $16,023,049 $15,649,788 $15,555,327 $15,291,274 $15,075,994 $15,017,836 $14,724,448 $14,609,002 $14,517,568 $13,638,088 $13,631,599 $13,135,228 $12,899,847 $12,819,761 $12,799,884 $12,655,965

% of Net Assets 0.140% 0.139% 0.138% 0.138% 0.134% 0.132% 0.131% 0.131% 0.130% 0.125% 0.124% 0.124% 0.122% 0.120% 0.117% 0.115% 0.113% 0.113% 0.110% 0.107% 0.103% 0.102% 0.100% 0.099% 0.097% 0.096% 0.094% 0.093% 0.093% 0.091% 0.090% 0.090% 0.084% 0.084% 0.081% 0.080% 0.079% 0.079% 0.078%

Ticker ODFL LULU FAST EXC VRSK MPWR

EA GEHC FANG NDAQ DDOG BKR CTSH BIIB CSGP

ON XEL TSCO CDW FSLR EBAY ANSS TTWO GFS WTW TROW DLTR FITB ZS TEAM NTAP WDC MSTR FCNCA APP STLD TER LPLA SBAC

Not Part of Annual or Semiannual Report

5

CUSIP 679580100 550021109 311900104 30161N101 92345Y106 609839105 285512109 36266G107 25278X109 631103108 23804L103 05722G100 192446102 09062X103 22160N109 682189105 98389B100 892356106 12514G108 336433107 278642103 03662Q105 874054109

74144T108 256746108 316773100 98980G102 049468101 64110D104 958102105 594972408 31946M103 03831W108 858119100 880770102 50213H100 78410G104

ISIN US6795801009 US5500211090 US3119001044 US30161N1019 US92345Y1064 US6098391054 US2855121099 US36266G1076 US25278X1090 US6311031081 US23804L1035 US05722G1004 US1924461023 US09062X1037 US22160N1090 US6821891057 US98389B1008 US8923561067 US12514G1085 US3364331070 US2786421030 US03662Q1058 US8740541094 KYG393871085 IE00BDB6Q211 US74144T1088 US2567461080 US3167731005 US98980G1022 US0494681010 US64110D1046 US9581021055 US5949724083 US31946M1036 US03831W1080 US8581191009 US8807701029 US50212V1008 US78410G1040

SEDOL 2656423 B23FN39 2332262 2670519 B4P9W92 B01Z7J1 2310194 BL6JPG8 B7Y8YR3 2965107 BKT9Y49 BDHLTQ5 2257019 2455965 2262864 2583576 2614807 2900335 BBM5MD6 B1HMF22 2293819 2045623 2122117 BMW7F63 BDB6Q21 2702337 2272476 2336747 BZ00V34 BQ1PC76 2630643 2954699 2974329 2355582 BMV3LG4 2849472 2884183 B75JX34 BZ6TS23

Fidelity Distributors Company, LLC 500 Salem Street

Smithfield, RI 02917

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