Titelia

Holdings of Fidelity Series Total Market Index Fund

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

Net assets
98.7B $ including 98.6B $ in equities, 99.9 %
Positions
3,827 in 14 countries
Top ten
32.1 % of net assets
Filed on
Feb 28, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
3,101PetMed Express Inc 28,93179.3K $0.00 %
3,102Sono-Tek Corp 18,44879.1K $0.00 %
3,103Mammoth Energy Services Inc 34,07078.7K $0.00 %
3,104Equillium Inc 43,05678.4K $0.00 %
3,105GRABAGUN DIGITAL HOLDINGS INC 28,44378.2K $0.00 %
3,106FLUENT INC 23,87978.1K $0.00 %
3,107ETHZILLA CORP 22,07977.9K $0.00 %
3,108Lipocine Inc 7,77277.4K $0.00 %
3,109Playstudios Inc 151,56177.4K $0.00 %
3,110TScan Therapeutics Inc 72,91477.3K $0.00 %
3,111Vera Bradley Inc 29,26177.2K $0.00 %
3,112FIRST GUARANTY BANCSHARES INC 8,72276.8K $0.00 %
3,113LIVEONE INC 13,97776.7K $0.00 %
3,114Drilling Tools International Corp 21,89276.2K $0.00 %
3,115VIVANI MEDICAL INC 61,92976.2K $0.00 %
3,116NL Industries Inc 12,14475K $0.00 %
3,117NEURAXIS INC 12,50575K $0.00 %
3,118Auburn National BanCorp Inc 3,10374.8K $0.00 %
3,119Exagen Inc 20,65074.8K $0.00 %
3,120ATLANTIC INTERNATIONAL CORP 23,64374.5K $0.00 %
3,121Rafael Holdings Inc 58,48374.3K $0.00 %
3,122Biote Corp 34,89974K $0.00 %
3,123Neuronetics Inc 54,88873.5K $0.00 %
3,124Broadwind Inc 29,54373.3K $0.00 %
3,125SACHEM CAPITAL CORP 71,72473.2K $0.00 %
3,126Lifevantage Corp 15,63072.7K $0.00 %
3,127Gray Media Inc 6,73572.3K $0.00 %
3,128SOLUNA HOLDINGS INC 82,52371.7K $0.00 %
3,129NSTS Bancorp Inc 5,80971.2K $0.00 %
3,130Solitario Resources Corp 91,21270.9K $0.00 %
3,131Commercial Vehicle Group Inc 41,34870.7K $0.00 %
3,132SHARPS TECHNOLOGY INC 40,70470.4K $0.00 %
3,133TTEC Holdings Inc 28,09970.2K $0.00 %
3,134SWK Holdings Corp. 4,26870.1K $0.00 %
3,135VirTra Inc 16,03369.9K $0.00 %
3,136Hennessy Advisors Inc 6,90769.4K $0.00 %
3,137Marchex Inc 47,19869.4K $0.00 %
3,138AmpliTech Group Inc 25,64568.7K $0.00 %
3,139ONE Group Hospitality Inc/The 33,80368.3K $0.00 %
3,140REalloys Inc 3,68968.1K $0.00 %
3,141Zevia PBC 50,74168K $0.00 %
3,142REPUBLIC AIRWAYS HOLDINGS INC 3,12067.8K $0.00 %
3,143Travelzoo 10,39067K $0.00 %
3,144CARDLYTICS INC 77,26666.8K $0.00 %
3,145Cineverse Corp 22,30566K $0.00 %
3,146TuHURA Biosciences Inc 39,52366K $0.00 %
3,147OPAL Fuels Inc 31,49365.8K $0.00 %
3,148Ispire Technology Inc 27,93265.6K $0.00 %
3,149Cato Corp/The 21,80065.6K $0.00 %
3,150IZEA Worldwide Inc 18,02165.2K $0.00 %
3,151TEXAS COMMUNITY BANCSHARES INC 3,94765.2K $0.00 %
3,152Century Casinos Inc 38,73065.1K $0.00 %
3,153First Seacoast Bancorp Inc 5,00165.1K $0.00 %
3,154COEPTIS THERAPEUTICS HOLDINGS INC 5,31764K $0.00 %
3,155Lifetime Brands Inc 19,21363.6K $0.00 %
3,156Knightscope Inc 15,91363.2K $0.00 %
3,157CPI Aerostructures Inc 15,28263.1K $0.00 %
3,158Manhattan Bridge Capital Inc 14,34163.1K $0.00 %
3,159Sportsman's Warehouse Holdings Inc 53,26362.9K $0.00 %
3,160Transcontinental Realty Investors Inc 1,71162.7K $0.00 %
3,161Q32 Bio Inc 13,68262.4K $0.00 %
3,162Airgain Inc 14,85362.4K $0.00 %
3,163SBC Medical Group Holdings Inc 16,15062.3K $0.00 %
3,164XBIOTECH INC 27,50762.2K $0.00 %
3,165ImmuCell Corp 9,42961.9K $0.00 %
3,166ELECTROCORE INC 8,16661.9K $0.00 %
3,167CANTERBURY PARK HOLDING CORP 3,93161.8K $0.00 %
3,168Vivid Seats Inc 10,35161.7K $0.00 %
3,169SYNTEC OPTICS HOLDINGS INC 9,53761.2K $0.00 %
3,170CARPARTS COM INC 86,21561.2K $0.00 %
3,171John Wiley & Sons Inc 2,01961.2K $0.00 %
3,172Clipper Realty Inc 19,81961K $0.00 %
3,173Cumberland Pharmaceuticals Inc 12,39561K $0.00 %
3,174Sui Group Holdings Ltd 47,87560.3K $0.00 %
3,175GCT Semiconductor Holding Inc 54,46259.9K $0.00 %
3,176BRANCHOUT FOOD INC 12,99059.5K $0.00 %
3,177Great Elm Group Inc 28,89959.2K $0.00 %
3,178Comstock Holding Cos Inc 5,05859K $0.00 %
3,179Battalion Oil Corp 10,56958.3K $0.00 %
3,180PLUS THERAPEUTICS INC 192,56358.3K $0.00 %
3,181HEARTBEAM INC 38,50758.1K $0.00 %
3,182VISIONWAVE HOLDINGS INC 7,42857.7K $0.00 %
3,183Sypris Solutions Inc 19,40557.4K $0.00 %
3,184Heritage Global Inc 42,86956.6K $0.00 %
3,185Orion Energy Systems Inc 5,07056.4K $0.00 %
3,186CytoSorbents Corp 74,87356.3K $0.00 %
3,187BEYONDSPRING INC 41,65356.2K $0.00 %
3,188Siebert Financial Corp 29,58156.2K $0.00 %
3,189Livewire Group Inc 33,27355.9K $0.00 %
3,190eHealth Inc 42,91355.8K $0.00 %
3,191Universal Electronics Inc 14,74955.6K $0.00 %
3,192WidePoint Corp 11,46455.3K $0.00 %
3,193CompX International Inc 2,34055K $0.00 %
3,194NOVABAY PHARMACEUTICALS INC 38,15954.9K $0.00 %
3,195METAGENOMI THERAPEUTICS INC 36,08854.9K $0.00 %
3,196Kezar Life Sciences Inc 8,11554.4K $0.00 %
3,197Getty Images Holdings Inc 69,85054.3K $0.00 %
3,198LEE Enterprises Inc 6,14253.4K $0.00 %
3,199Valhi Inc 3,81053.2K $0.00 %
3,200PURPLE INNOVATION INC 76,38453.1K $0.00 %

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Sector breakdown

  • Technology 29.0 %
  • Financials 10.8 %
  • Communication 9.3 %
  • Consumer discretionary 8.7 %
  • Health care 8.7 %
  • Industrials 8.3 %
  • Consumer staples 4.6 %
  • Energy 2.6 %
  • Utilities 2.2 %
  • Materials 2.0 %
  • Real estate 1.4 %
  • Unattributed 12.4 %

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 99.2 %
  • Ireland 0.2 %
  • Bermuda 0.2 %
  • Netherlands 0.1 %
  • United Kingdom 0.1 %
  • Switzerland 0.1 %
  • Canada 0.0 %
  • Cayman Islands 0.0 %
  • Singapore 0.0 %
  • Jersey 0.0 %
  • Puerto Rico 0.0 %
  • Marshall Islands 0.0 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States3,75697.8B $99.21 %
2Ireland9232.5M $0.24 %
3Bermuda17151.6M $0.15 %
4Netherlands4123.9M $0.13 %
5United Kingdom663.2M $0.06 %
6Switzerland258M $0.06 %
7Canada839.8M $0.04 %
8Cayman Islands1238.7M $0.04 %
9Singapore237.4M $0.04 %
10Jersey313.1M $0.01 %
11Puerto Rico310.2M $0.01 %
12Marshall Islands26.5M $0.01 %
Cite this page

Titelia. "Holdings of Fidelity Series Total Market Index Fund". https://titelia.com/en/funds/S000065248