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Institutional 13F data

FMR LLC / Fidelity 13F

See 5,213 stock and ETF positions for Q1 2026, including 2,967 new or increased positions and 2,056 reductions or exits, with the original SEC filing. Put and call options are excluded.

13F filing follow-along calculator

If KRW 1,000,000 followed the new and increased positions

Checking current prices and calculating the KRW 1,000,000 result.

FMR LLC / Fidelity 13F top holdings

Q1 2026 · 5,213 stock & ETF positions · Filed 2026-05-15 · Data updated 2026-07-07

View original SEC filings ↗

Ranked by quarter-end stock and ETF value reported on Form 13F. Put and call options are excluded. These are not current market values or execution prices.

Reported stock & ETF value
$1.89T
Top 10 concentration
34.2%
Reported value
$78.03B
Portfolio weight
4.12%

Quarterly change: unchanged

Reported value
$74.71B
Portfolio weight
3.94%

Quarterly change: increased +8.2%

Reported value
$70.41B
Portfolio weight
3.72%

Quarterly change: decreased -5.3%

Reported value
$68.02B
Portfolio weight
3.59%

Quarterly change: increased +2.1%

Reported value
$38.41B
Portfolio weight
2.03%

Quarterly change: increased +0.8%

#8
GOOGALPHABET INC
Reported value
$31.14B
Portfolio weight
1.64%

Quarterly change: unchanged

Reported value
$24.23B
Portfolio weight
1.28%

Quarterly change: increased +2.4%

#10
XOMEXXON MOBIL CORP
Reported value
$23.75B
Portfolio weight
1.25%

Quarterly change: increased +6.3%

Reported value
$19.68B
Portfolio weight
1.04%

Quarterly change: increased +4.5%

Largest new or increased positions

Reported value
$74.71B
Portfolio weight
3.94%

Quarterly change: increased +8.2%

Reported value
$68.02B
Portfolio weight
3.59%

Quarterly change: increased +2.1%

Reported value
$38.41B
Portfolio weight
2.03%

Quarterly change: increased +0.8%

Reported value
$24.23B
Portfolio weight
1.28%

Quarterly change: increased +2.4%

#6
XOMEXXON MOBIL CORP
Reported value
$23.75B
Portfolio weight
1.25%

Quarterly change: increased +6.3%

Reported value
$19.68B
Portfolio weight
1.04%

Quarterly change: increased +4.5%

Latest 13F filing snapshot

Reporting period
2026-03-31
Filed
2026-05-15
Stock & ETF positions
5,213
New or increased
2,967
Reduced or exited
2,056
Unchanged
454

Top reported buys

RXTCDLXPFSAAPPS

Counts cover unique stock and ETF positions and exclude put and call options, so they can differ from the SEC information-table row count. Form 13F reports quarter-end holdings and does not reveal every trade date or execution price.

View original SEC filings ↗

Detailed changes for published stocks

2026-06-30 · AAPL · increased +5.8%

Shares
325,348,754
Share change
17,906,714
Reported value
$94,142,915,411
Filed
2026-08-13
AAPLSEC EDGAR ↗

2026-06-30 · ALAB · decreased -2.7%

Shares
24,845,364
Share change
-684,521
Reported value
$12,000,807,697
Filed
2026-08-13
ALABSEC EDGAR ↗

2026-06-30 · ALKT · unchanged

Shares
1,459,967
Share change
-458
Reported value
$26,454,606
Filed
2026-08-13
ALKTSEC EDGAR ↗

2026-06-30 · ALMS · increased +595.1%

Shares
6,769,170
Share change
5,795,388
Reported value
$190,484,444
Filed
2026-08-13
ALMSSEC EDGAR ↗

2026-06-30 · AMD · increased +67.2%

Shares
25,558,552
Share change
10,269,781
Reported value
$14,847,218,643
Filed
2026-08-13
AMDSEC EDGAR ↗

2026-06-30 · AMZN · increased +1.9%

Shares
365,660,364
Share change
6,961,673
Reported value
$87,151,491,452
Filed
2026-08-13
AMZNSEC EDGAR ↗

2026-06-30 · AN · increased +19.0%

Shares
461,705
Share change
73,845
Reported value
$85,780,087
Filed
2026-08-13
ANSEC EDGAR ↗

2026-06-30 · ANET · decreased -9.5%

Shares
47,349,865
Share change
-4,956,761
Reported value
$8,043,794,998
Filed
2026-08-13
ANETSEC EDGAR ↗

2026-06-30 · APP · increased +10.2%

Shares
17,293,553
Share change
1,602,139
Reported value
$8,910,157,841
Filed
2026-08-13
APPSEC EDGAR ↗

2026-03-31 · ARM · increased +41.5%

Shares
2,449,030
Share change
718,267
Reported value
$370,489,182
Filed
2026-05-15
ARMSEC EDGAR ↗

2026-06-30 · AVGO · increased +16.3%

Shares
144,359,173
Share change
20,246,297
Reported value
$54,531,677,402
Filed
2026-08-13
AVGOSEC EDGAR ↗

2026-06-30 · CIEN · decreased -9.9%

Shares
19,113,538
Share change
-2,096,218
Reported value
$9,376,337,063
Filed
2026-08-13
CIENSEC EDGAR ↗

2026-06-30 · COST · decreased -8.3%

Shares
6,163,541
Share change
-555,048
Reported value
$5,765,808,022
Filed
2026-08-13
COSTSEC EDGAR ↗

2026-06-30 · CRWD · increased +128.1%

Shares
7,847,117
Share change
4,406,915
Reported value
$5,988,448,225
Filed
2026-08-13
CRWDSEC EDGAR ↗

2026-06-30 · CRWV · increased +21.4%

Shares
3,938,289
Share change
693,950
Reported value
$392,017,300
Filed
2026-08-13
CRWVSEC EDGAR ↗

2026-06-30 · CSCO · increased +12.9%

Shares
76,063,526
Share change
8,677,963
Reported value
$8,934,421,778
Filed
2026-08-13
CSCOSEC EDGAR ↗

2026-06-30 · DDOG · increased +48.7%

Shares
19,758,680
Share change
6,470,261
Reported value
$5,144,369,822
Filed
2026-08-13
DDOGSEC EDGAR ↗

2026-06-30 · DELL · increased +33.3%

Shares
5,654,576
Share change
1,412,435
Reported value
$2,439,723,747
Filed
2026-08-13
DELLSEC EDGAR ↗

2026-03-31 · DIS · decreased -20.5%

Shares
21,953,360
Share change
-5,660,929
Reported value
$2,115,864,900
Filed
2026-05-15
DISSEC EDGAR ↗

2026-06-30 · DOCN · increased +1.4%

Shares
1,583,016
Share change
22,325
Reported value
$248,581,073
Filed
2026-08-13
DOCNSEC EDGAR ↗

2026-06-30 · EXTR · increased +5.6%

Shares
3,510,085
Share change
186,125
Reported value
$113,621,456
Filed
2026-08-13
EXTRSEC EDGAR ↗

2026-06-30 · FANG · decreased -5.8%

Shares
4,594,399
Share change
-283,880
Reported value
$807,603,426
Filed
2026-08-13
FANGSEC EDGAR ↗

2026-06-30 · FDX · decreased -19.7%

Shares
5,040,208
Share change
-1,234,728
Reported value
$1,578,240,646
Filed
2026-08-13
FDXSEC EDGAR ↗

2026-06-30 · FNKO · increased +8.5%

Shares
280,847
Share change
21,980
Reported value
$1,651,383
Filed
2026-08-13
FNKOSEC EDGAR ↗

2026-06-30 · FUL · decreased -6.5%

Shares
1,085,750
Share change
-75,083
Reported value
$63,288,341
Filed
2026-08-13
FULSEC EDGAR ↗

2026-06-30 · GOOGL · increased +6.0%

Shares
250,714,005
Share change
14,169,330
Reported value
$89,597,664,038
Filed
2026-08-13
GOOGLSEC EDGAR ↗

2026-06-30 · GXO · increased +21.8%

Shares
4,148,859
Share change
742,413
Reported value
$210,347,174
Filed
2026-08-13
GXOSEC EDGAR ↗

2026-06-30 · HIMS · increased +4535.2%

Shares
4,323,292
Share change
4,230,022
Reported value
$149,888,528
Filed
2026-08-13
HIMSSEC EDGAR ↗

2026-06-30 · HNI · increased +35.7%

Shares
10,634,660
Share change
2,798,366
Reported value
$429,746,592
Filed
2026-08-13
HNISEC EDGAR ↗

2026-03-31 · HOOD · decreased -15.7%

Shares
18,057,391
Share change
-3,363,002
Reported value
$1,251,377,232
Filed
2026-05-15
HOODSEC EDGAR ↗

2026-06-30 · IBM · increased +41.7%

Shares
7,433,148
Share change
2,187,458
Reported value
$2,090,275,581
Filed
2026-08-13
IBMSEC EDGAR ↗

2026-06-30 · INTC · increased +64.2%

Shares
94,431,754
Share change
36,916,621
Reported value
$13,185,505,751
Filed
2026-08-13
INTCSEC EDGAR ↗

2026-06-30 · JPM · decreased -16.3%

Shares
26,296,276
Share change
-5,137,693
Reported value
$8,607,559,904
Filed
2026-08-13
JPMSEC EDGAR ↗

2026-03-31 · KKR · decreased -22.6%

Shares
18,325,939
Share change
-5,350,985
Reported value
$1,695,149,362
Filed
2026-05-15
KKRSEC EDGAR ↗

2026-06-30 · KO · increased +1.5%

Shares
109,159,806
Share change
1,581,872
Reported value
$8,871,417,403
Filed
2026-08-13
KOSEC EDGAR ↗

2026-06-30 · KYMR · increased +5.5%

Shares
12,349,256
Share change
649,306
Reported value
$1,416,089,213
Filed
2026-08-13
KYMRSEC EDGAR ↗

2026-06-30 · LAD · increased +23.9%

Shares
2,192,054
Share change
422,726
Reported value
$636,769,711
Filed
2026-08-13
LADSEC EDGAR ↗

2026-06-30 · LLY · increased +8.1%

Shares
28,462,475
Share change
2,121,444
Reported value
$34,138,746,040
Filed
2026-08-13
LLYSEC EDGAR ↗

2026-06-30 · MA · decreased -1.7%

Shares
23,843,483
Share change
-420,428
Reported value
$12,246,012,814
Filed
2026-08-13
MASEC EDGAR ↗

2026-06-30 · META · decreased -17.8%

Shares
95,895,744
Share change
-20,719,009
Reported value
$54,017,112,988
Filed
2026-08-13
METASEC EDGAR ↗

2026-06-30 · MRVL · decreased -56.6%

Shares
56,933,063
Share change
-74,322,607
Reported value
$16,959,790,273
Filed
2026-08-13
MRVLSEC EDGAR ↗

2026-06-30 · MSFT · decreased -2.2%

Shares
185,960,066
Share change
-4,251,301
Reported value
$69,366,824,194
Filed
2026-08-13
MSFTSEC EDGAR ↗

2026-06-30 · MU · decreased -16.6%

Shares
26,718,869
Share change
-5,335,696
Reported value
$30,841,323,297
Filed
2026-08-13
MUSEC EDGAR ↗

2026-06-30 · NET · decreased -6.7%

Shares
12,655,471
Share change
-904,980
Reported value
$3,104,134,032
Filed
2026-08-13
NETSEC EDGAR ↗

2026-06-30 · NFLX · decreased -33.6%

Shares
135,937,268
Share change
-68,713,615
Reported value
$9,705,920,859
Filed
2026-08-13
NFLXSEC EDGAR ↗

2026-06-30 · NKTR · increased +17.8%

Shares
5,067,920
Share change
764,732
Reported value
$353,791,520
Filed
2026-08-13
NKTRSEC EDGAR ↗

2026-06-30 · NTRA · increased +113.4%

Shares
5,451,396
Share change
2,897,142
Reported value
$1,479,781,281
Filed
2026-08-13
NTRASEC EDGAR ↗

2026-06-30 · NVDA · increased +3.2%

Shares
1,026,051,548
Share change
32,198,580
Reported value
$205,302,654,261
Filed
2026-08-13
NVDASEC EDGAR ↗

2026-03-31 · OLLI · decreased -8.1%

Shares
6,765,175
Share change
-596,278
Reported value
$622,666,710
Filed
2026-05-15
OLLISEC EDGAR ↗

2026-03-31 · ORCL · decreased -21.8%

Shares
22,880,840
Share change
-6,378,546
Reported value
$3,366,000,205
Filed
2026-05-15
ORCLSEC EDGAR ↗

2026-06-30 · PANW · increased +147.4%

Shares
20,054,462
Share change
11,949,672
Reported value
$6,838,972,438
Filed
2026-08-13
PANWSEC EDGAR ↗

2026-06-30 · PAR · decreased -65.0%

Shares
745,236
Share change
-1,386,613
Reported value
$12,982,004
Filed
2026-08-13
PARSEC EDGAR ↗

2026-06-30 · RDDT · decreased -3.0%

Shares
2,830,225
Share change
-86,235
Reported value
$491,270,425
Filed
2026-08-13
RDDTSEC EDGAR ↗

2026-06-30 · RSG · decreased -2.3%

Shares
4,544,104
Share change
-106,840
Reported value
$968,257,676
Filed
2026-08-13
RSGSEC EDGAR ↗

2026-06-30 · SE · increased +9.7%

Shares
15,403,524
Share change
1,361,789
Reported value
$1,476,119,605
Filed
2026-08-13
SESEC EDGAR ↗

2026-06-30 · SITM · unchanged

Shares
3,969,485
Share change
14,550
Reported value
$2,959,489,354
Filed
2026-08-13
SITMSEC EDGAR ↗

2026-06-30 · SNAP · decreased -25.0%

Shares
66,514,779
Share change
-22,227,227
Reported value
$295,325,620
Filed
2026-08-13
SNAPSEC EDGAR ↗

2026-06-30 · SNDK · decreased -41.3%

Shares
7,861,665
Share change
-5,528,320
Reported value
$17,875,301,780
Filed
2026-08-13
SNDKSEC EDGAR ↗

2026-06-30 · SNOW · decreased -28.8%

Shares
7,653,175
Share change
-3,093,812
Reported value
$1,947,733,218
Filed
2026-08-13
SNOWSEC EDGAR ↗

2026-06-30 · SONO · increased +12.7%

Shares
2,144,032
Share change
240,927
Reported value
$29,008,750
Filed
2026-08-13
SONOSEC EDGAR ↗

2026-06-30 · SYM · decreased -21.7%

Shares
1,426,279
Share change
-395,286
Reported value
$64,111,247
Filed
2026-08-13
SYMSEC EDGAR ↗

2026-06-30 · SYRE · increased +10.6%

Shares
13,026,187
Share change
1,245,163
Reported value
$1,156,464,882
Filed
2026-08-13
SYRESEC EDGAR ↗

2026-06-30 · TD · decreased -8.2%

Shares
10,130,249
Share change
-910,489
Reported value
$1,231,701,048
Filed
2026-08-13
TDSEC EDGAR ↗

2026-06-30 · TSLA · increased +10.4%

Shares
39,766,224
Share change
3,738,248
Reported value
$16,725,673,841
Filed
2026-08-13
TSLASEC EDGAR ↗

2026-03-31 · TSM · decreased -1.2%

Shares
60,393,190
Share change
-733,521
Reported value
$20,409,878,325
Filed
2026-05-15
TSMSEC EDGAR ↗

2026-06-30 · UBER · decreased -7.0%

Shares
24,152,976
Share change
-1,814,066
Reported value
$1,742,878,719
Filed
2026-08-13
UBERSEC EDGAR ↗

2026-06-30 · V · decreased -4.4%

Shares
42,929,995
Share change
-1,978,234
Reported value
$14,728,852,012
Filed
2026-08-13
VSEC EDGAR ↗

2026-06-30 · VALE · increased +2.2%

Shares
55,345,652
Share change
1,192,172
Reported value
$832,398,596
Filed
2026-08-13
VALESEC EDGAR ↗

2026-06-30 · WBD · increased +39.4%

Shares
45,257,749
Share change
12,787,176
Reported value
$1,206,571,586
Filed
2026-08-13
WBDSEC EDGAR ↗
FMR LLC / Fidelity 13F Holdings (Q1 2026) | Middle East Catch