FMR LLC Q1 2020 Filing

Filed May 14, 2020

Portfolio Value

$722.1B

Holdings

4,146

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (4,146 positions)

#StockSharesValue% PortfolioType
801
RHRH
2,849,551$293.3M0.04%
802
YY INC
330,000$293.0M0.04%
803
RJFRAYMOND JAMES FINANCIAL INC
4,595,907$290.5M0.04%
804
WPMWHEATON PRECIOUS METALS CORP
10,538,480$290.0M0.04%
805
ASBASSOCIATED BANC CORP
1,094,345$288.7M0.04%
806360,000$287.0M0.04%
807
XLESELECT SECTOR SPDR TR
4,678,437$286.8M0.04%
808
ALCALCON INC
5,132,036$286.7M0.04%
809
WINGWINGSTOP INC
219,361$286.2M0.04%
810
WHRWHIRLPOOL CORP
3,329,823$285.7M0.04%
811
PSTGPURE STORAGE INC
20,288,681$285.5M0.04%
812
VISNCOMMSCOPE HLDG CO INC
21,441,193$285.2M0.04%
813
WIRELESS TELECOM GROUP INC
300,413$285.0M0.04%
814
CAGCONAGRA BRANDS INC
9,704,699$284.7M0.04%
815
COHRII VI INC
9,968,181$284.1M0.04%
816
CCCHEMOURS CO
24,612,160$283.2M0.04%
817
FIRSTCASH INC
2,845,352$283.0M0.04%
818
EX9EXELIXIS INC
5,793,890$282.6M0.04%
819
SEESEALED AIR CORP NEW
11,425$282.0M0.04%
820
IGIBISHARES TR
5,124$282.0M0.04%
821
KRTXKARUNA THERAPEUTICS INC
3,912,406$281.7M0.04%
822
YY INC
310,000$281.0M0.04%
823
AWMSKYWORKS SOLUTIONS INC
3,130,565$280.8M0.04%
824
SMPSTANDARD MTR PRODS INC
1,385,593$280.4M0.04%
825
PFBCPREFERRED BK LOS ANGELES CA
392,675$280.0M0.04%
826
CBSHCOMMERCE BANCSHARES INC
5,551$280.0M0.04%
827
HIGHARTFORD FINL SVCS GROUP INC
7,944,608$280.0M0.04%
828
VENVENTAS INC
10,441,654$279.8M0.04%
829
CSXCSX CORP
4,874,230$279.3M0.04%
830
AWRAMER STATES WTR CO
3,410$279.0M0.04%
831
INTUINTUIT
7,455,362$278.1M0.04%
832
IMAGE SENSING SYS INC
76,661$278.0M0.04%
833
FAFFIRST AMERN FINL CORP
6,554,234$278.0M0.04%
834
TTDTHE TRADE DESK INC
1,154,623$277.8M0.04%
835
CGNXCOGNEX CORP
1,793,015$276.5M0.04%
836
AERAERCAP HOLDINGS NV
6,300,817$276.5M0.04%
837
RRXREGAL BELOIT CORP
4,390,539$276.4M0.04%
838
WMBWILLIAMS COS INC
19,296,362$276.0M0.04%
839
IRTCIRHYTHM TECHNOLOGIES INC
171,653$275.7M0.04%
840
IQVIQVIA HLDGS INC
2,469,055$274.3M0.04%
841
AXNX*AXONICS MODULATION TECHNOLOG
1,076,549$274.1M0.04%
842
VDEVANGUARD WORLD FDS
7,178$274.0M0.04%
843
XLNXEURXILINX INC
3,494,446$273.4M0.04%
844
SCHRSCHWAB STRATEGIC TR
4,653$273.0M0.04%
845
LINLINDE PLC
10,782,550$272.4M0.04%
846
IBCPINDEPENDENT BANK CORP MICH
188,157$272.2M0.04%
847
JLLJONES LANG LASALLE INC
1,530,307$271.4M0.04%
848
GSLCGOLDMAN SACHS ETF TR
5,177$270.0M0.04%
849
MTCHEURMATCH GROUP INC
4,081,946$269.6M0.04%
850
TRGPTARGA RES CORP
256,137$269.5M0.04%
851
CDPCORPORATE OFFICE PPTYS TR
12,084,832$269.4M0.04%
852
SSS1EURLIFE STORAGE INC
2,851$269.0M0.04%
853
IHEISHARES TR
1,989$268.0M0.04%
854
MLCOMELCO RESORTS AND ENTMNT LTD
21,497$267.0M0.04%
855
REZIRESIDEO TECHNOLOGIES INC
55,090$267.0M0.04%
856
LOWLOWES COS INC
22,141,339$266.8M0.04%
857
NNNNATIONAL RETAIL PROPERTIES I
7,435,475$266.3M0.04%
858
CRCCANADIAN NAT RES LTD
11,932,408$266.1M0.04%
859
LEGLEGGETT & PLATT INC
9,923$265.0M0.04%
860
ESGRENSTAR GROUP LIMITED
886,487$264.9M0.04%
861
FCNCAFIRST CTZNS BANCSHARES INC N
716,217$264.4M0.04%
862
PEOEXELON CORP
34,874,283$264.2M0.04%
863
EAGLE BULK SHIPPING INC
350,000$263.0M0.04%
864
JEFJEFFERIES FINL GROUP INC
19,259$263.0M0.04%
865
ATRCATRICURE INC
3,542,339$262.8M0.04%
866
DARDARLING INGREDIENTS INC
11,445,422$262.4M0.04%
867
IYKISHARES TR
2,421$262.0M0.04%
868
AONAON PLC
1,576,821$261.2M0.04%
869
MRVLMARVELL TECHNOLOGY GROUP LTD
99,240,178$261.2M0.04%
870
VMWEURVMWARE INC
389,827$261.0M0.04%
871
GNRSPDR INDEX SHS FDS
65,231$260.8M0.04%
872
XLFSELECT SECTOR SPDR TR
12,428,246$260.8M0.04%
873
GEOSGEOSPACE TECHNOLOGIES CORP
1,350,347$260.4M0.04%
874
BAOZUN INC
316,000$259.0M0.04%
875
VVVANGUARD INDEX FDS
2,178,506$259.0M0.04%
876
AWCAMERICAN WTR WKS CO INC NEW
2,159,655$258.2M0.04%
877
WDFCWD-40 CO
1,286$258.0M0.04%
878
HIWHIGHWOODS PPTYS INC
7,159,757$257.6M0.04%
879
35VVEON LTD
6,252,999$256.2M0.04%
880
NXPINXP SEMICONDUCTORS N V
27,968,304$255.6M0.04%
881
XNCRXENCOR INC
8,541,578$255.2M0.04%
882
EWHISHARES INC
12,778$255.0M0.04%
883
WEIBO CORP
300,000$254.0M0.04%
884
NVTNVENT ELECTRIC PLC
15,024$253.0M0.04%
885
DALDELTA AIR LINES INC DEL
8,790,581$251.8M0.03%
886
TTCTORO CO
505,523$250.7M0.03%
887
IOSPINNOSPEC INC
3,459,165$250.4M0.03%
888
POOLPOOL CORPORATION
129,000$250.2M0.03%
889
ABBVABBVIE INC
35,006,309$250.1M0.03%
890
MICROCHIP TECHNOLOGY INC
10,837,000$249.9M0.03%
891
GNTXGENTEX CORP
3,735,611$249.6M0.03%
892
NEARISHARES U S ETF TR
5,126,414$248.6M0.03%
893
SPYMSPDR SER TR
8,186$248.0M0.03%
894
NWSANEWS CORP NEW
27,634$248.0M0.03%
895
EHCENCOMPASS HEALTH CORP
853,257$247.4M0.03%
896
EPCEDGEWELL PERS CARE CO
3,873,934$247.1M0.03%
897
MHKMOHAWK INDS INC
3,239,224$247.0M0.03%
898
SUSUNCOR ENERGY INC NEW
15,453,823$246.6M0.03%
899
CTVACORTEVA INC
1,500,333$246.0M0.03%
900
FSTAFIDELITY COVINGTON TR
7,626$246.0M0.03%
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