Titelia

Portefeuille de Fidelity Flex Large Cap Focused Index Fund

Fidelity Concord Street Trust · 190 positions déclarées · au 28 févr. 2026

Document d'origine · Actif net 190,2 M $ · Dix premières lignes : 36.1 % de la poche actions

Répartition par secteur

  • Technologie 32,4 %
  • Finance 12,2 %
  • Communication 10,5 %
  • Consommation cyclique 10,0 %
  • Santé 9,9 %
  • Industrie 8,9 %
  • Consommation de base 5,2 %
  • Énergie 2,7 %
  • Services publics 2,4 %
  • Matériaux 2,3 %
  • Immobilier 1,6 %
  • Non attribué 2,0 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 99,8 %
  • BM 0,2 %

Parts calculées sur la poche actions.

PaysLignesValeurPart
US189189,6 M $99,81 %
BM1370,5 k $0,19 %

Positions

SociétéTitresValeurPoids
NVIDIA Corp 73 95013,1 M $6,89 %
Apple Inc 45 24212 M $6,28 %
Microsoft Corp 25 0939,9 M $5,18 %
Alphabet Inc 21 5846,7 M $3,54 %
Amazon.com Inc 27 6155,8 M $3,05 %
Broadcom Inc 17 7765,7 M $2,99 %
Tesla Inc 10 6634,3 M $2,26 %
Meta Platforms Inc 6 3104,1 M $2,15 %
Alphabet Inc 12 4993,9 M $2,05 %
JPMorgan Chase & Co 10 4533,1 M $1,65 %
Berkshire Hathaway Inc 4 8872,5 M $1,30 %
Lam Research Corp 9 9722,3 M $1,23 %
Eli Lilly & Co 2 0752,2 M $1,15 %
AbbVie Inc 7 7431,8 M $0,94 %
Netflix Inc 18 3981,8 M $0,93 %
Mastercard Inc 3 3661,7 M $0,92 %
Procter & Gamble Co/The 10 0491,7 M $0,88 %
Palantir Technologies Inc 12 0201,6 M $0,87 %
Chevron Corp 8 7041,6 M $0,85 %
KLA Corp 1 0521,6 M $0,84 %
Merck & Co Inc 12 7641,6 M $0,83 %
Cisco Systems, Inc. 19 6711,6 M $0,82 %
Coca-Cola Co/The 18 3641,5 M $0,79 %
RTX Corp 7 3621,5 M $0,78 %
Goldman Sachs Group Inc/The 1 7071,5 M $0,77 %
Newmont Corp 11 1511,4 M $0,76 %
Analog Devices Inc 3 7711,3 M $0,71 %
Johnson & Johnson 5 3751,3 M $0,70 %
Citigroup Inc 11 7631,3 M $0,68 %
Wells Fargo & Co 15 9111,3 M $0,68 %
McDonald's Corp. 3 6721,3 M $0,66 %
Visa Inc 3 8791,2 M $0,65 %
PepsiCo Inc 7 2521,2 M $0,65 %
Walmart Inc 9 4791,2 M $0,64 %
Exxon Mobil Corp 7 9421,2 M $0,64 %
Oracle Corp 8 3141,2 M $0,64 %
Verizon Communications Inc 23 5351,2 M $0,62 %
Arista Networks Inc 8 8021,2 M $0,62 %
Texas Instruments Inc 5 3931,1 M $0,60 %
TJX Cos Inc/The 7 0241,1 M $0,60 %
Parker-Hannifin Corp 1 1111,1 M $0,59 %
UnitedHealth Group Inc 3 7401,1 M $0,58 %
Deere & Co 1 7041,1 M $0,56 %
Howmet Aerospace Inc 4 0791,1 M $0,56 %
Eaton Corp PLC 2 7651 M $0,55 %
AppLovin Corp 2 3451 M $0,54 %
Costco Wholesale Corp 1 0021 M $0,53 %
American Express Co 3 2621 M $0,53 %
Intuitive Surgical Inc 1 973993,4 k $0,52 %
Pfizer Inc 35 234974,2 k $0,51 %
Honeywell International Inc 3 989971,7 k $0,51 %
Constellation Energy Corp. 2 941970,2 k $0,51 %
McKesson Corp 971958,7 k $0,50 %
Blackrock Inc 893949,5 k $0,50 %
Uber Technologies Inc 12 366932,6 k $0,49 %
Prologis Inc 6 402912,7 k $0,48 %
QUALCOMM Inc 6 327900,7 k $0,47 %
Trane Technologies PLC 1 910883 k $0,46 %
Northrop Grumman Corp 1 207874,3 k $0,46 %
Stryker Corp 2 224861,7 k $0,45 %
Bristol-Myers Squibb Co 13 808861,2 k $0,45 %
Capital One Financial Corp 4 358852,6 k $0,45 %
Starbucks Corp 8 570840 k $0,44 %
General Motors Co 10 584833,1 k $0,44 %
Bank of New York Mellon Corp/The 6 984831,8 k $0,44 %
CSX Corp 19 368826,8 k $0,43 %
Cummins Inc 1 406820,9 k $0,43 %
US Bancorp 14 779807,8 k $0,42 %
Williams Cos Inc/The 10 782805,6 k $0,42 %
Hilton Worldwide Holdings Inc 2 536790,7 k $0,42 %
Comcast Corp 24 503758,6 k $0,40 %
Cadence Design Systems Inc 2 479747,2 k $0,39 %
Ross Stores Inc 3 627745,9 k $0,39 %
Illinois Tool Works Inc 2 518731,8 k $0,38 %
Southern Co/The 7 498730,2 k $0,38 %
Norfolk Southern Corp 2 297723 k $0,38 %
Equinix Inc 742722,9 k $0,38 %
Marvell Technology Inc 8 818720,3 k $0,38 %
TE Connectivity PLC 3 037699 k $0,37 %
Waste Management Inc 2 898698 k $0,37 %
Cencora Inc 1 874697,4 k $0,37 %
Palo Alto Networks Inc 4 643691,4 k $0,36 %
Boston Scientific Corp 8 945687,4 k $0,36 %
Sherwin-Williams Co/The 1 887684,2 k $0,36 %
PACCAR Inc 5 382678,6 k $0,36 %
Intercontinental Exchange Inc 4 113675,1 k $0,35 %
Kinder Morgan, Inc. 20 037666,6 k $0,35 %
Phillips 66 4 223651,7 k $0,34 %
Moody's Corp 1 353646,2 k $0,34 %
Adobe Inc 2 462646,1 k $0,34 %
Synopsys Inc 1 559645,4 k $0,34 %
Mondelez International Inc 10 480645,4 k $0,34 %
Marathon Petroleum Corp 3 205635,3 k $0,33 %
Airbnb Inc 4 658629,3 k $0,33 %
AutoZone Inc 166623,4 k $0,33 %
TransDigm Group Inc 476620,1 k $0,33 %
Ford Motor Co 43 183608,4 k $0,32 %
Blackstone Inc 5 229592,8 k $0,31 %
Sempra 6 139591 k $0,31 %
Cardinal Health, Inc. 2 569588,9 k $0,31 %
Simon Property Group Inc 2 875586,1 k $0,31 %
Air Products and Chemicals Inc 2 095577,5 k $0,30 %
AMETEK Inc 2 395572,9 k $0,30 %
Aon PLC 1 661557,2 k $0,29 %
Corteva Inc 6 887551,8 k $0,29 %
Cloudflare Inc 3 186548,6 k $0,29 %
Fastenal Co 11 805543,5 k $0,29 %
Targa Resources Corp 2 292540,5 k $0,28 %
Autodesk Inc 2 196539,9 k $0,28 %
ONEOK Inc 6 472535,7 k $0,28 %
Elevance Health Inc 1 656529,9 k $0,28 %
Zoetis Inc 4 019526,9 k $0,28 %
Becton Dickinson & Co 2 812496,3 k $0,26 %
Sysco Corp 5 392491,5 k $0,26 %
Chipotle Mexican Grill Inc 12 997483,7 k $0,25 %
eBay Inc 5 306482,1 k $0,25 %
Exelon Corp 9 632476,5 k $0,25 %
Apollo Global Management Inc 4 466467,1 k $0,25 %
Philip Morris International Inc. 2 464460,3 k $0,24 %
American International Group Inc 5 702459 k $0,24 %
Alnylam Pharmaceuticals Inc 1 367455,1 k $0,24 %
General Electric Co 1 309448 k $0,24 %
Entergy Corp 4 153444,8 k $0,23 %
Public Storage 1 424437,3 k $0,23 %
MSCI Inc 763436,3 k $0,23 %
Bank of America Corp 8 536425,3 k $0,22 %
Keurig Dr Pepper Inc 13 908421,1 k $0,22 %
Martin Marietta Materials Inc 622420,8 k $0,22 %
Axon Enterprise Inc 769417,1 k $0,22 %
GE HealthCare Technologies Inc 4 948417 k $0,22 %
Public Service Enterprise Group Inc 4 762409,9 k $0,22 %
Take-Two Interactive Software Inc 1 937409,6 k $0,22 %
Kenvue Inc 21 392409 k $0,22 %
MetLife Inc 5 653407,4 k $0,21 %
Kimberly-Clark Corp 3 647406,4 k $0,21 %
Hartford Insurance Group Inc/The 2 834399,1 k $0,21 %
PG&E Corp 20 912397,3 k $0,21 %
Home Depot Inc/The 1 039395,6 k $0,21 %
CBRE Group Inc 2 674394,8 k $0,21 %
Datadog Inc 3 336373,5 k $0,20 %
Agilent Technologies Inc 3 073373 k $0,20 %
Nasdaq Inc 4 241371,4 k $0,20 %
Arch Capital Group Ltd 3 699370,5 k $0,19 %
Fair Isaac Corp 256360,8 k $0,19 %
Ventas Inc 3 930338,6 k $0,18 %
Live Nation Entertainment Inc 2 015326,7 k $0,17 %
Dexcom Inc 4 308316,3 k $0,17 %
Paychex Inc 3 356314,3 k $0,17 %
Abbott Laboratories 2 678311,6 k $0,16 %
Verisk Analytics Inc 1 482307,6 k $0,16 %
Ferguson Enterprises Inc 1 122292,6 k $0,15 %
Constellation Brands Inc 1 811285,9 k $0,15 %
Charter Communications, Inc. 1 213284,6 k $0,15 %
Fidelity National Information Services Inc 5 243267,2 k $0,14 %
Centene Corp 5 906265,1 k $0,14 %
Kraft Heinz Co/The 10 434256,8 k $0,14 %
AT&T Inc 9 114255,3 k $0,13 %
American Water Works Co Inc 1 846251,1 k $0,13 %
Lululemon Athletica Inc 1 355250,9 k $0,13 %
International Paper Co 5 520240,4 k $0,13 %
PPG Industries Inc 1 806222,6 k $0,12 %
Fiserv Inc 3 521219,3 k $0,12 %
International Business Machines Corp. 890213,8 k $0,11 %
Thermo Fisher Scientific Inc 391203,8 k $0,11 %
Ameren Corp 1 731196,1 k $0,10 %
Salesforce Inc 990192,8 k $0,10 %
Amgen Inc 484187,9 k $0,10 %
Archer-Daniels-Midland Co 2 568177,3 k $0,09 %
CoStar Group Inc 3 713165,7 k $0,09 %
Caterpillar Inc 217161,2 k $0,08 %
Zimmer Biomet Holdings Inc 1 597157,2 k $0,08 %
Walt Disney Co/The 1 389147,3 k $0,08 %
SBA Communications Corp 709142,6 k $0,08 %
Trade Desk Inc/The 5 903140,6 k $0,07 %
Pinterest Inc 8 072138,3 k $0,07 %
Atlassian Corp 1 818136,6 k $0,07 %
Brown & Brown Inc 1 713123 k $0,06 %
Waters Corp 381121,7 k $0,06 %
Gilead Sciences Inc 56283,7 k $0,04 %
Solstice Advanced Materials Inc 98177 k $0,04 %
Advanced Micro Devices Inc 25150,3 k $0,03 %
Accenture PLC 18037,6 k $0,02 %
Union Pacific Corp 10527,8 k $0,01 %
Linde PLC 5427,4 k $0,01 %
Intuit Inc 5422,1 k $0,01 %
T-Mobile US Inc 7416,1 k $0,01 %
Danaher Corp 7515,8 k $0,01 %
ServiceNow Inc 10811,7 k $0,01 %
NextEra Energy Inc 767,1 k $0,00 %
Vertex Pharmaceuticals Inc 115,5 k $0,00 %