Holdings of Fidelity Extended Market Index Fund
Fidelity Concord Street Trust ·3336 declared positions · as of Feb 28, 2026
Original filing · Net assets
41B
$ · Ten largest lines: 7.2 % of the equity sleeve
Sector breakdown
- Technology 6.5 %
- Industrials 5.8 %
- Health care 2.5 %
- Materials 1.6 %
- Energy 1.3 %
- Financials 0.9 %
- Consumer discretionary 0.8 %
- Consumer staples 0.7 %
- Communication 0.6 %
- Real estate 0.2 %
- Unattributed 79.1 %
Titelia classification, company by company. The unattributed share stays visible.
Currency breakdown
The quoted currency of each line, as declared.
Country breakdown
- US 96.1 %
- BM 0.8 %
- GB 0.5 %
- IE 0.5 %
- CH 0.5 %
- CA 0.3 %
- KY 0.3 %
- SG 0.3 %
- NL 0.2 %
- JE 0.1 %
- PR 0.1 %
- MH 0.1 %
- Other countries 0.1 %
Shares computed on the equity sleeve.
| Rank | Country | Lines | Value | Share |
|---|
| 1 | US | 3,270 | 39.3B $ | 96.11 % |
| 2 | BM | 16 | 343.8M $ | 0.84 % |
| 3 | GB | 6 | 224.4M $ | 0.55 % |
| 4 | IE | 7 | 206.2M $ | 0.50 % |
| 5 | CH | 2 | 205.8M $ | 0.50 % |
| 6 | CA | 8 | 140.9M $ | 0.34 % |
| 7 | KY | 12 | 137.7M $ | 0.34 % |
| 8 | SG | 2 | 132.5M $ | 0.32 % |
| 9 | NL | 2 | 62.2M $ | 0.15 % |
| 10 | JE | 3 | 45.5M $ | 0.11 % |
| 11 | PR | 3 | 36M $ | 0.09 % |
| 12 | MH | 2 | 23.2M $ | 0.06 % |
Positions
| Rank | Company | Shares | Value | Weight |
|---|
| 3,301 | ACTELIS NETWORKS INC | 23,057 | 4.3K $ | |
| 3,302 | BRAG HOUSE HOLDINGS INC | 10,253 | 2.9K $ | |
| 3,303 | NEUBASE THERAPEUTICS INC | 11,216 | 2.7K $ | |
| 3,304 | Seneca Foods Corp | 16 | 2.3K $ | |
| 3,305 | HEALTHCARE TRIANGLE INC | 528 | 2.2K $ | |
| 3,306 | LIGAND PHARMACEUTICALS INC | 26,087 | 2K $ | |
| 3,307 | BIO GREEN MED SOLUTION INC | 1,760 | 1.8K $ | |
| 3,308 | ADITXT INC | 3,627 | 1.7K $ | |
| 3,309 | PROFUSA INC | 1,490 | 1.5K $ | |
| 3,310 | AMERICAN REBEL HOLDINGS INC | 9,374 | 1.5K $ | |
| 3,311 | JET.AI INC | 13,730 | 1.5K $ | |
| 3,312 | SAFE AND GREEN DEVELOPMENT CORP | 10,636 | 1.5K $ | |
| 3,313 | ADAPTI INC | 934 | 1.5K $ | |
| 3,314 | LIGAND PHARMACEUTICALS INC | 26,087 | 1.4K $ | |
| 3,315 | TURNONGREEN INC | 252,986 | 1.1K $ | |
| 3,316 | CBDMD INC | 1,123 | 1K $ | |
| 3,317 | PMGC HOLDINGS INC | 688 | 818.7 $ | |
| 3,318 | XEROX HOLDINGS CORP | 3,683 | 442 $ | |
| 3,319 | LA ROSA HOLDINGS CORP | 366 | 388 $ | |
| 3,320 | CGROWTH CAPITAL INC | 180,642 | 271 $ | |
| 3,321 | LIGAND PHARMACEUTICALS INC | 26,087 | 52.2 $ | |
| 3,322 | LIGAND PHARMACEUTICALS INC | 26,087 | 36.5 $ | |
| 3,323 | LIBERTY GLOBAL LTD | 2 | 25.4 $ | |
| 3,324 | PDL BIOPHARMA INC | 559,249 | 5.6 $ | |
| 3,325 | NII HOLDINGS INC | 487,940 | 4.9 $ | |
| 3,326 | Third Harmonic Bio Inc | 114,815 | 1.2 $ | |
| 3,327 | Sterling Bancorp Inc/MI | 102,043 | 1 $ | |
| 3,328 | REELEMENT TECHNOLOGIES CORP | 97,452 | 1 $ | |
| 3,329 | MERRIMACK PHARMACEUTICALS INC | 82,829 | 0.8 $ | |
| 3,330 | HYZON MOTORS INC | 36,361 | 0.4 $ | |
| 3,331 | Novusterra Inc | 24,632 | 0.3 $ | |
| 3,332 | FTE NETWORKS INC | 20,159 | 0.2 $ | |
| 3,333 | ONCTERNAL THERAPEUTICS INC | 14,632 | 0.2 $ | |
| 3,334 | HYPERSCALE DATA INC | 13,999 | 0.1 $ | |
| 3,335 | AVINGER INC | 6,939 | 0.1 $ | |
| 3,336 | STAFFING 360 SOLUTIONS INC | 2,614 | 0 $ | |