FMR LLC Q4 2019 Filing

Filed February 7, 2020

Portfolio Value

$906.4B

Holdings

4,206

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (4,206 positions)

#StockSharesValue% PortfolioType
901
HSTHOST HOTELS & RESORTS INC
13,732,663$286.7M0.03%
902
SOLARWINDS CORP
3,481,083$286.4M0.03%
903
KBESPDR SERIES TRUST
6,050$286.0M0.03%
904
BMOBANK MONTREAL QUE
1,269,422$285.2M0.03%
905
FEZSPDR INDEX SHS FDS
6,984$285.0M0.03%
906
VIGIVANGUARD WHITEHALL FDS INC
3,936$284.0M0.03%
907
ALCALCON INC
4,659,846$282.7M0.03%
908
DGROISHARES TR
6,705,757$282.1M0.03%
909
TEAM INC
17,667$282.0M0.03%
910
LVLNSPDR SERIES TRUST
4,842$282.0M0.03%
911
FDVVFIDELITY COVINGTON TR
8,680$282.0M0.03%
912
WEIBO CORP
300,000$281.0M0.03%
913
ZLABZAI LAB LTD
6,737,550$280.2M0.03%
914
WBKWESTPAC BKG CORP
16,466$280.0M0.03%
915
YY INC
310,000$280.0M0.03%
916
DELPHI TECHNOLOGIES PLC
21,768$279.0M0.03%
917
DYHTARGET CORP
2,163,057$278.3M0.03%
918
NOWSERVICENOW INC
985,506$278.2M0.03%
919
IRTCIRHYTHM TECHNOLOGIES INC
4,077$278.0M0.03%
920
GLNGGOLAR LNG LTD BERMUDA
8,468,173$277.3M0.03%
921
IYKISHARES TR
2,081$277.0M0.03%
922
HCQAMN HEALTHCARE SERVICES INC
4,437$277.0M0.03%
923
UNFIUNITED NAT FOODS INC
1,133,619$276.7M0.03%
924
TSNTYSON FOODS INC
3,033,947$276.2M0.03%
925
ITRIITRON INC
469,688$276.2M0.03%
926
SYU1SYNOVUS FINL CORP
1,381,351$275.9M0.03%
927
BBBYEURBED BATH & BEYOND INC
15,021,721$275.9M0.03%
928
OIIOCEANEERING INTL INC
7,512,918$274.9M0.03%
929
AKRACADIA RLTY TR
10,496,029$274.2M0.03%
930
AGNCAGNC INVT CORP
15,460,718$273.3M0.03%
931
HOGHARLEY DAVIDSON INC
7,330$273.0M0.03%
932
IWXISHARES TR
4,676$273.0M0.03%
933
ARNAEURARENA PHARMACEUTICALS INC
1,205,790$272.5M0.03%
934
RPGINVESCO EXCHANGE TRADED FD T
2,150$272.0M0.03%
935
OREALTY INCOME CORP
826,199$271.6M0.03%
936
ARMKARAMARK
4,255,576$271.6M0.03%
937
STRTSTRATTEC SEC CORP
517,815$271.2M0.03%
938
OUTOUTFRONT MEDIA INC
10,093,150$270.7M0.03%
939
CASTLIGHT HEALTH INC
16,652,219$269.9M0.03%
940
JBLUJETBLUE AWYS CORP
14,414,993$269.8M0.03%
941
POLARITYTE INC
809,248$269.8M0.03%
942
IDUISHARES TR
1,658$269.0M0.03%
943
GDGENERAL DYNAMICS CORP
7,287,891$268.2M0.03%
944
VCSHVANGUARD SCOTTSDALE FDS
3,315$268.0M0.03%
945
HEZUISHARES TR
8,443$268.0M0.03%
946
VOYAVOYA FINL INC
1,694,101$267.1M0.03%
947
FOXFOX CORP
7,330$267.0M0.03%
948
VISNCOMMSCOPE HLDG CO INC
18,806,043$266.9M0.03%
949
BDNBRANDYWINE RLTY TR
14,947,221$266.4M0.03%
950
TRVTRAVELERS COMPANIES INC
10,525,313$266.2M0.03%
951
UNUSDUNILEVER N V
4,334,944$266.1M0.03%
952
TERTERADYNE INC
3,894$266.0M0.03%
953
FITBIT INC
40,274$265.0M0.03%
954
ITMVANECK VECTORS ETF TR
5,254$264.0M0.03%
955
SUBISHARES TR
2,471$264.0M0.03%
956
EVBGEUREVERBRIDGE INC
3,376,441$263.6M0.03%
957
REALTHE REALREAL INC
12,662,197$262.7M0.03%
958
RTN1USDRAYTHEON CO
1,187,228$260.9M0.03%
959
0VVBVIACOMCBS INC
6,186,881$259.7M0.03%
960
MRSHMARSH & MCLENNAN COS INC
15,342,313$259.6M0.03%
961
TGNATEGNA INC
4,697,786$259.2M0.03%
962
GILGILDAN ACTIVEWEAR INC
7,954,107$259.1M0.03%
963
FNDXSCHWAB STRATEGIC TR
6,070$259.0M0.03%
964
AEOAMERICAN EAGLE OUTFITTERS IN
2,327,338$259.0M0.03%
965
SNPSSYNOPSYS INC
1,856,899$258.5M0.03%
966
MSGSMADISON SQUARE GARDEN CO NEW
872$257.0M0.03%
967
CLGXCORELOGIC INC
5,888$257.0M0.03%
968
LLYLILLY ELI & CO
14,235,227$256.9M0.03%
969
CLLSCELLECTIS S A
3,183,946$255.3M0.03%
970
EPPISHARES INC
5,504$255.0M0.03%
971
AQLTISHARES TR
1,267$254.0M0.03%
972
CFAVICTORY PORTFOLIOS II
4,476$253.0M0.03%
973
NEUNEWMARKET CORP
76,179$252.8M0.03%
974
URIUNITED RENTALS INC
1,514,704$252.6M0.03%
975
FDPFRESH DEL MONTE PRODUCE INC
7,212,305$252.3M0.03%
976
WPMWHEATON PRECIOUS METALS CORP
8,475,425$252.2M0.03%
977
JXC1J2 GLOBAL INC
2,057,134$251.7M0.03%
978
BCEBCE INC
778,973$250.9M0.03%
979
EBEVENTBRITE INC
926,763$250.5M0.03%
980
AWCAMERICAN WTR WKS CO INC NEW
1,912,949$250.0M0.03%
981
AMTAMERICAN TOWER CORP NEW
18,482,946$249.3M0.03%
982
RGLDROYAL GOLD INC
1,357,475$248.9M0.03%
983
FBINFORTUNE BRANDS HOME & SEC IN
3,806,594$248.7M0.03%
984
BABOEING CO
5,461,984$248.4M0.03%
985
OPTUALTICE USA INC
8,804,872$246.7M0.03%
986
PYPLPAYPAL HLDGS INC
59,520,379$245.9M0.03%
987
STZCONSTELLATION BRANDS INC
1,276,342$245.2M0.03%
988
PDBCINVESCO ACTIVELY MANAGD ETF
14,801,774$245.1M0.03%
989
TPLUSDTEXAS PAC LD TR
14,383$245.0M0.03%
990
NWLNEWELL BRANDS INC
12,755$245.0M0.03%
991
UISUNISYS CORP
9,259,287$244.7M0.03%
992
T77LENDINGTREE INC NEW
657,006$244.3M0.03%
993
FLSFLOWSERVE CORP
4,895,369$243.6M0.03%
994
ITGARTNER INC
1,577,184$243.0M0.03%
995
NFLXNETFLIX INC
20,577,109$242.8M0.03%
996
AKCEA THERAPEUTICS INC
10,796,140$242.8M0.03%
997
LSTRLANDSTAR SYS INC
911,133$242.6M0.03%
998
CDLXCARDLYTICS INC
3,856,756$242.4M0.03%
999
HRBBLOCK H & R INC
539,185$242.4M0.03%
1000
SEBSEABOARD CORP
56,972$242.2M0.03%
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