Titelia

Holdings of Fidelity Extended Market Index Fund

Fidelity Concord Street Trust · Original filing · Compare with another fund · Report an error

Net assets
41B $ including 40.8B $ in equities, 99.8 %
Positions
3,336 in 14 countries
Top ten
7.2 % of net assets
Filed on
Feb 28, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1,101American Superconductor Corp 243,5437.9M $0.02 %
1,102Diversified Healthcare Trust 1,173,1667.9M $0.02 %
1,103Healthcare Services Group Inc 363,8777.9M $0.02 %
1,104DoubleVerify Holdings Inc 749,5517.9M $0.02 %
1,105Alexander & Baldwin Inc 378,9117.9M $0.02 %
1,106Encore Capital Group Inc 115,1157.9M $0.02 %
1,107Proto Labs Inc 126,1567.8M $0.02 %
1,108Alkami Technology Inc 468,3477.7M $0.02 %
1,109Relay Therapeutics Inc 753,8887.7M $0.02 %
1,110Marqeta Inc 2,012,0237.7M $0.02 %
1,111RLJ Lodging Trust 960,7607.7M $0.02 %
1,112Lindsay Corp 56,9437.7M $0.02 %
1,113Hope Bancorp Inc 680,7907.7M $0.02 %
1,114NextNav Inc 475,2817.6M $0.02 %
1,115Axogen Inc 240,9507.6M $0.02 %
1,116La-Z-Boy Inc 213,8927.6M $0.02 %
1,117Lakeland Financial Corp 131,1427.6M $0.02 %
1,118QCR Holdings Inc 87,6897.6M $0.02 %
1,119V2X Inc 107,9647.5M $0.02 %
1,120Wolverine World Wide Inc 425,7907.5M $0.02 %
1,121Xenia Hotels & Resorts Inc 492,1437.5M $0.02 %
1,122Astec Industries Inc 120,7187.5M $0.02 %
1,123MaxLinear Inc 428,7787.5M $0.02 %
1,124Fresh Del Monte Produce Inc 173,8837.5M $0.02 %
1,125Schneider National Inc 263,0197.5M $0.02 %
1,126Allegiant Travel Co 73,0687.5M $0.02 %
1,127A10 Networks Inc 386,5747.4M $0.02 %
1,128Perrigo Co PLC 562,9267.4M $0.02 %
1,129Progyny Inc 420,1487.4M $0.02 %
1,130Intellia Therapeutics Inc 538,2897.4M $0.02 %
1,131Nuvation Bio Inc 1,253,9397.4M $0.02 %
1,132J & J Snack Foods Corp 84,9897.4M $0.02 %
1,133Acadian Asset Management Inc 136,8647.4M $0.02 %
1,134Innodata Inc 166,8707.4M $0.02 %
1,135nCino Inc 455,3747.3M $0.02 %
1,136Cohu Inc 243,3387.3M $0.02 %
1,137PROG Holdings Inc 208,5997.3M $0.02 %
1,138World Kinect Corp 294,0267.3M $0.02 %
1,139Amprius Technologies Inc 682,2907.3M $0.02 %
1,140EyePoint Inc 416,5957.3M $0.02 %
1,141Apollo Commercial Real Estate Finance, Inc. 688,8497.3M $0.02 %
1,142PROCEPT BIOROBOTICS CORP 321,2497.3M $0.02 %
1,143Five9 Inc 417,0347.3M $0.02 %
1,144MillerKnoll Inc 359,3477.2M $0.02 %
1,145Dorian LPG Ltd 194,1107.2M $0.02 %
1,146Peloton Interactive Inc 1,784,5417.2M $0.02 %
1,147Yelp Inc 320,3937.1M $0.02 %
1,148Reynolds Consumer Products Inc 286,9827.1M $0.02 %
1,149Willdan Group Inc 79,7347.1M $0.02 %
1,150John Wiley & Sons Inc 229,1257.1M $0.02 %
1,151Worthington Steel Inc 170,2807.1M $0.02 %
1,152Universal Corp/VA 131,7007.1M $0.02 %
1,153Freshworks Inc 903,5807.1M $0.02 %
1,154Goosehead Insurance Inc 130,3667.1M $0.02 %
1,155Energizer Holdings Inc 326,3617M $0.02 %
1,156Gibraltar Industries Inc 154,7257M $0.02 %
1,157Clearway Energy Inc 195,0907M $0.02 %
1,158Oruka Therapeutics Inc 204,2147M $0.02 %
1,159Orchid Island Capital Inc 943,8427M $0.02 %
1,160Flywire Corp 570,1157M $0.02 %
1,161Winmark Corp 15,3747M $0.02 %
1,162ConnectOne Bancorp Inc 264,3807M $0.02 %
1,163SHARPLINK INC 1,027,4677M $0.02 %
1,164Ellington Financial Inc 563,0347M $0.02 %
1,165GCI Liberty Inc 177,6007M $0.02 %
1,166Seaboard Corp 1,3607M $0.02 %
1,167Enliven Therapeutics Inc 235,0027M $0.02 %
1,168Corvus Pharmaceuticals Inc 379,4756.9M $0.02 %
1,169Uniti Group Inc 945,5846.9M $0.02 %
1,170ANI Pharmaceuticals Inc 93,5786.9M $0.02 %
1,171Mobileye Global Inc 816,7646.9M $0.02 %
1,172Biohaven Ltd 598,6416.9M $0.02 %
1,173Donnelley Financial Solutions Inc 138,5336.9M $0.02 %
1,174Collegium Pharmaceutical Inc 165,3116.9M $0.02 %
1,175Kennedy-Wilson Holdings Inc 632,4776.9M $0.02 %
1,176CONMED Corp 149,4886.9M $0.02 %
1,177Two Harbors Investment Corp 664,4876.9M $0.02 %
1,178Intapp Inc 305,8276.9M $0.02 %
1,179Gorman-Rupp Co/The 106,7546.9M $0.02 %
1,180Dime Community Bancshares Inc 211,5896.8M $0.02 %
1,181Amylyx Pharmaceuticals Inc 449,3396.8M $0.02 %
1,182McEwen Inc 240,1906.8M $0.02 %
1,183NeoGenomics Inc 691,4966.8M $0.02 %
1,184Iovance Biotherapeutics Inc 1,757,7556.8M $0.02 %
1,185Arbor Realty Trust Inc 852,2536.8M $0.02 %
1,186Capricor Therapeutics Inc 240,7446.7M $0.02 %
1,187Masterbrand Inc 663,3496.7M $0.02 %
1,188CBIZ Inc 234,1956.7M $0.02 %
1,189Cadre Holdings Inc 150,6356.7M $0.02 %
1,190Westamerica BanCorp 131,7626.7M $0.02 %
1,191US Physical Therapy Inc 80,0826.6M $0.02 %
1,192LifeStance Health Group Inc 915,5956.6M $0.02 %
1,193Live Oak Bancshares Inc 182,6446.6M $0.02 %
1,194Helix Energy Solutions Group Inc 719,1886.6M $0.02 %
1,195Appian Corp 247,4176.6M $0.02 %
1,196Triumph Financial Inc 118,0816.6M $0.02 %
1,197Ecovyst Inc 581,5396.6M $0.02 %
1,198TriMas Corp 167,6966.6M $0.02 %
1,199Merchants Bancorp/IN 154,5936.5M $0.02 %
1,200Payoneer Global Inc 1,509,5926.5M $0.02 %

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Sector breakdown

  • Technology 6.4 %
  • Industrials 5.9 %
  • Health care 2.5 %
  • Materials 1.5 %
  • Energy 1.3 %
  • Consumer staples 0.9 %
  • Communication 0.8 %
  • Financials 0.7 %
  • Consumer discretionary 0.6 %
  • Real estate 0.2 %
  • Unattributed 79.1 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 96.1 %
  • Bermuda 0.8 %
  • United Kingdom 0.5 %
  • Ireland 0.5 %
  • Switzerland 0.5 %
  • Canada 0.3 %
  • Cayman Islands 0.3 %
  • Singapore 0.3 %
  • Netherlands 0.2 %
  • Jersey 0.1 %
  • Puerto Rico 0.1 %
  • Marshall Islands 0.1 %
  • Other countries 0.1 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States3,27039.3B $96.11 %
2Bermuda16343.8M $0.84 %
3United Kingdom6224.4M $0.55 %
4Ireland7206.2M $0.50 %
5Switzerland2205.8M $0.50 %
6Canada8140.9M $0.34 %
7Cayman Islands12137.7M $0.34 %
8Singapore2132.5M $0.32 %
9Netherlands262.2M $0.15 %
10Jersey345.5M $0.11 %
11Puerto Rico336M $0.09 %
12Marshall Islands223.2M $0.06 %
Cite this page

Titelia. "Holdings of Fidelity Extended Market Index Fund". https://titelia.com/en/funds/S000006021