Fidelity Group of Funds > Fidelity Concord Street Trust

Fidelity 500 Index Fund

Index Fund
Series ID: S000006027
LEI: VNHOOHES3TKXOTQ3FS51
SEC CIK: 819118
$425.78B Avg Monthly Net Assets
$541.13B Total Assets
$993.41M Total Liabilities
$540.14B Net Assets
Fidelity 500 Index Fund is an Index Fund in Fidelity Concord Street Trust from Fidelity Group of Funds, based in Massachusetts, United States of America. The fund has one share class and monthly net assets of $425.78B. On July 26th, 2024 it reported 507 holdings, the largest being MICROSOFT CORP (7.0%), APPLE INC (6.3%) and NVIDIA CORP (6.1%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Ticker Monthly Returns (2 years)
Fidelity 500 Index Fund C000100045 FXAIX May 22Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 249.22% (Max)-9.21% (Min)

Holdings

From latest NPORT-P, filed July 26th, 2024 for period ending May 31st, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
3M CO Long Equity-common US $674M 7M 0.12
ABBOTT LABORATORIES Long Equity-common US $2B 21M 0.40
ABBVIE INC Long Equity-common US $3B 21M 0.64
ACCENTURE PLC CL A Long Equity-common IE $2B 8M 0.40
ADOBE INC Long Equity-common US $2B 6M 0.45
ADVANCED MICRO DEVICES INC Long Equity-common US $3B 20M 0.61
AES CORP Long Equity-common US $176M 8M 0.03
AFLAC INC Long Equity-common US $576M 6M 0.11
AGILENT TECHNOLOGIES INC Long Equity-common US $465M 4M 0.09
AIR PRODUCTS and CHEMICALS INC Long Equity-common US $722M 3M 0.13
AIRBNB INC CLASS A Long Equity-common US $768M 5M 0.14
AKAMAI TECHNOLOGIES INC Long Equity-common US $169M 2M 0.03
ALBEMARLE CORP (ALBEMARL CORP) Long Equity-common US $175M 1M 0.03
ALEXANDRIA REAL ES EQ INC REIT (ALEXANDRIA REAL ESTATE EQUITIES INC) Long Equity-common US $228M 2M 0.04
ALIGN TECHNOLOGY INC Long Equity-common US $223M 867K 0.04
ALLEGION PLC Long Equity-common IE $130M 1M 0.02
ALLIANT ENERGY CORPORATION Long Equity-common US $160M 3M 0.03
ALLSTATE CORPORATION Long Equity-common US $535M 3M 0.10
ALPHABET INC CL A Long Equity-common US $12B 72M 2.29
ALPHABET INC CL C Long Equity-common US $10B 60M 1.93
ALTRIA GROUP INC Long Equity-common US $993M 21M 0.18
AMAZON.COM INC Long Equity-common US $20B 111M 3.63
AMCOR PLC Long Equity-common JE $179M 18M 0.03
AMEREN CORP Long Equity-common US $235M 3M 0.04
AMERICAN AIRLINES GROUP INC (AMERICAN AIRLS GROUP INC) Long Equity-common US $92M 8M 0.02
AMERICAN ELECTRIC POWER CO INC Long Equity-common US $578M 6M 0.11
AMERICAN EXPRESS CO Long Equity-common US $2B 7M 0.31
AMERICAN INTERNATIONAL GROUP (AMERICAN INTERNATIONAL GROUP INC) Long Equity-common US $674M 9M 0.12
AMERICAN TOWER CORP Long Equity-common US $1B 6M 0.21
AMERICAN WATER WRKS COMPANY (AMERICAN WATER WORKS CO INC) Long Equity-common US $310M 2M 0.06
AMERIPRISE FINANCIAL INC (AMERIPRISE FINL INC) Long Equity-common US $533M 1M 0.10
AMETEK INC NEW Long Equity-common US $476M 3M 0.09
AMGEN INC Long Equity-common US $2B 7M 0.37
AMPHENOL CORPORATION CL A (AMPHENOL CORPORATION NEW) Long Equity-common US $967M 7M 0.18
ANALOG DEVICES INC Long Equity-common US $1B 6M 0.26
ANSYS INC Long Equity-common US $336M 1M 0.06
AON PLC Long Equity-common IE $686M 2M 0.13
APA CORP Long Equity-common US $134M 4M 0.02
APPLE INC Long Equity-common US $34B 177M 6.29
APPLIED MATERIALS INC Long Equity-common US $2B 10M 0.40
APTIV PLC Long Equity-common JE $283M 3M 0.05
ARCH CAPITAL GROUP LTD Long Equity-common BM $464M 5M 0.09
ARCHER DANIELS MIDLAND CO Long Equity-common US $405M 6M 0.08
ARISTA NETWORKS INC Long Equity-common US $913M 3M 0.17
ARTHUR J GALLAGHAR AND CO (GALLAGHER (ARTHUR J.) and CO) Long Equity-common US $669M 3M 0.12
ASSURANT INC Long Equity-common US $110M 632K 0.02
AT and T INC Long Equity-common US $2B 87M 0.29
ATMOS ENERGY CORP Long Equity-common US $213M 2M 0.04
AUTODESK INC Long Equity-common US $525M 3M 0.10
AUTOMATIC DATA PROCESSING INC Long Equity-common US $1B 5M 0.23
AUTOZONE INC Long Equity-common US $583M 211K 0.11
AVALONBAY COMMUNITIES INC REIT Long Equity-common US $333M 2M 0.06
AVERY DENNISON CORP Long Equity-common US $223M 980K 0.04
AXON ENTERPRISE INC Long Equity-common US $242M 857K 0.04
BAKER HUGHES CO Long Equity-common US $408M 12M 0.08
BALL CORP Long Equity-common US $266M 4M 0.05
BANK OF AMERICA CORPORATION Long Equity-common US $3B 84M 0.62
BANK OF NEW YORK MELLON CORP (BANK NEW YORK MELLON CORP) Long Equity-common US $551M 9M 0.10
BATH and BODY WORKS INC Long Equity-common US $143M 3M 0.03
BAXTER INTL INC (BAXTER INTERNATIONAL INC.) Long Equity-common US $211M 6M 0.04
BECTON DICKINSON and CO Long Equity-common US $816M 4M 0.15
BERKLEY (WR) CORP (BERKLEY WR CORP) Long Equity-common US $200M 2M 0.04
BERKSHIRE HATHAWAY INC CL B (BERKSHIRE HATHAWAY INC DEL) Long Equity-common US $9B 22M 1.70
BEST BUY CO INC Long Equity-common US $198M 2M 0.04
BIO RAD LABS CL A (BIO-RAD LABORATORIES INC) Long Equity-common US $73M 255K 0.01
BIO TECHNE CORP Long Equity-common US $148M 2M 0.03
BIOGEN INC Long Equity-common US $397M 2M 0.07
BLACKROCK INC Long Equity-common US $1B 2M 0.24
BLACKSTONE INC Long Equity-common US $1B 9M 0.20
BOEING CO Long Equity-common US $1B 7M 0.23
BORGWARNER INC Long Equity-common US $100M 3M 0.02
BOSTON PROPERTIES INC Long Equity-common US $107M 2M 0.02
BOSTON SCIENTIFIC CORP Long Equity-common US $1B 18M 0.25
BRISTOL-MYERS SQUIBB CO Long Equity-common US $1B 25M 0.19
BROADCOM INC Long Equity-common US $7B 5M 1.32
BROADRIDGE FINANCIAL SOL (BROADRIDGE FINL SOLUTIONS INC) Long Equity-common US $288M 1M 0.05
BROWN and BROWN INC Long Equity-common US $257M 3M 0.05
BROWN FORMAN CORP NON VTG CL B Long Equity-common US $101M 2M 0.02
BUILDERS FIRSTSOURCE (BUILDERS FIRSTSOURCE INC) Long Equity-common US $241M 2M 0.04
BUNGE GLOBAL SA Long Equity-common CH $190M 2M 0.04
CADENCE DESIGN SYSTEMS INC Long Equity-common US $948M 3M 0.18
CAESARS ENTERTAINMENT INC Long Equity-common US $93M 3M 0.02
CAMDEN PROPERTY TRUST - REIT Long Equity-common US $133M 1M 0.02
CAMPBELL SOUP CO Long Equity-common US $106M 2M 0.02
CAPITAL ONE FINANCIAL CORP Long Equity-common US $637M 5M 0.12
CARDINAL HEALTH INC Long Equity-common US $294M 3M 0.05
CARMAX INC Long Equity-common US $135M 2M 0.03
CARNIVAL CORP Long Equity-common PA $185M 12M 0.03
CARRIER GLOBAL CORP Long Equity-common US $643M 10M 0.12
CATALENT INC Long Equity-common US $118M 2M 0.02
CATERPILLAR INC Long Equity-common US $2B 6M 0.39
CBOE GLOBAL MARKETS INC Long Equity-common US $222M 1M 0.04
CBRE GROUP INC - CL A Long Equity-common US $319M 4M 0.06
CDW CORPORATION Long Equity-common US $365M 2M 0.07
CELANESE CORP (CELANESE CORP DEL) Long Equity-common US $185M 1M 0.03
CENCORA INC Long Equity-common US $457M 2M 0.08
CENTENE CORP (CENTENE CORP DEL) Long Equity-common US $466M 7M 0.09
CENTERPOINT ENERGY INC Long Equity-common US $234M 8M 0.04
CF INDUSTRIES HOLDINGS INC Long Equity-common US $185M 2M 0.03
CH ROBINSON WORLDWIDE INC Long Equity-common US $123M 1M 0.02
CHARLES RIVER LABS INTL INC (CHARLES RIVER LABORATORIES INTERNATIONAL INC) Long Equity-common US $130M 624K 0.02
CHARTER COMMUNICATIONS INC A Long Equity-common US $345M 1M 0.06
CHEVRON CORP (CHEVRON CORP NEW) Long Equity-common US $3B 21M 0.63
CHIPOTLE MEXICAN GRILL INC Long Equity-common US $1B 334K 0.19
CHUBB LTD Long Equity-common CH $1B 5M 0.25
CHURCH and DWIGHT CO INC (CHURCH and DWIGHT INC) Long Equity-common US $321M 3M 0.06
CIGNA GROUP (THE) Long Equity-common US $1B 4M 0.23
CINCINNATI FINANCIAL CORP Long Equity-common US $225M 2M 0.04
CINTAS CORP Long Equity-common US $711M 1M 0.13
CISCO SYSTEMS INC Long Equity-common US $2B 49M 0.43
CITIGROUP INC Long Equity-common US $1B 23M 0.27
CITIZENS FINANCIAL GROUP INC (CITIZENS FINANCIAL GRP INC) Long Equity-common US $200M 6M 0.04
CLOROX CO Long Equity-common US $199M 2M 0.04
CME GROUP INC CL A Long Equity-common US $890M 4M 0.16
CMS ENERGY CORP Long Equity-common US $226M 4M 0.04
COCA COLA CO Long Equity-common US $3B 47M 0.55
COGNIZANT TECH SOLUTIONS CL A (COGNIZANT TECHNOLOGY SOLUTIONS CORP) Long Equity-common US $401M 6M 0.07
COLGATE-PALMOLIVE CO Long Equity-common US $932M 10M 0.17
COMCAST CORP CL A Long Equity-common US $2B 48M 0.36
COMERICA INC Long Equity-common US $82M 2M 0.02
CONAGRA BRANDS INC Long Equity-common US $174M 6M 0.03
CONOCOPHILLIPS (CONOCOPHILLIPS INC) Long Equity-common US $2B 14M 0.31
CONSOLIDATED EDISON INC Long Equity-common US $397M 4M 0.07
CONSTELLATION BRANDS INC CL A Long Equity-common US $490M 2M 0.09
CONSTELLATION ENERGY CORP Long Equity-common US $845M 4M 0.16
COOPER COMPANIES INC Long Equity-common US $228M 2M 0.04
COPART INC Long Equity-common US $564M 11M 0.10
CORNING INC Long Equity-common US $348M 9M 0.06
CORPAY INC Long Equity-common US $235M 879K 0.04
CORTEVA INC Long Equity-common US $478M 9M 0.09
COSTAR GROUP INC Long Equity-common US $389M 5M 0.07
COSTCO WHOLESALE CORP Long Equity-common US $4B 5M 0.81
COTERRA ENERGY INC Long Equity-common US $261M 9M 0.05
CROWN CASTLE INC Long Equity-common US $541M 5M 0.10
CSX CORP Long Equity-common US $812M 24M 0.15
CUMMINS INC Long Equity-common US $467M 2M 0.09
CVS HEALTH CORP Long Equity-common US $913M 15M 0.17
DANAHER CORP Long Equity-common US $2B 8M 0.38
DARDEN RESTAURANTS INC Long Equity-common US $219M 1M 0.04
DAVITA INC Long Equity-common US $96M 656K 0.02
DAYFORCE INC Long Equity-common US $94M 2M 0.02
DECKERS OUTDOOR CORP Long Equity-common US $342M 312K 0.06
DEERE and CO Long Equity-common US $1B 3M 0.22
DELTA AIR INC (DELTA AIRLINES INC) Long Equity-common US $398M 8M 0.07
DEVON ENERGY CORP (DEVON ENERGY CORP NEW) Long Equity-common US $383M 8M 0.07
DEXCOM INC Long Equity-common US $557M 5M 0.10
DIAMONDBACK ENERGY INC Long Equity-common US $434M 2M 0.08
DIGITAL REALTY TRUST INC Long Equity-common US $571M 4M 0.11
DISCOVER FIN SVCS (DISCOVER FINANCIAL SVS) Long Equity-common US $373M 3M 0.07
DISNEY (WALT) CO (WALT DISNEY CO) Long Equity-common US $2B 22M 0.43
DOLLAR GENERAL CORP (DOLLAR GEN CORP NEW) Long Equity-common US $366M 3M 0.07
DOLLAR TREE INC Long Equity-common US $297M 3M 0.06
DOMINION ENERGY INC Long Equity-common US $549M 10M 0.10
DOMINOS PIZZA INC Long Equity-common US $216M 425K 0.04
DOVER CORP Long Equity-common US $313M 2M 0.06
DOW INC Long Equity-common US $493M 9M 0.09
DR HORTON INC Long Equity-common US $537M 4M 0.10
DTE ENERGY CO Long Equity-common US $293M 3M 0.05
DUKE ENERGY CORP NEW Long Equity-common US $972M 9M 0.18
DUPONT DE NEMOURS INC Long Equity-common US $430M 5M 0.08
EASTMAN CHEMICAL CO Long Equity-common US $145M 1M 0.03
EATON CORP PLC Long Equity-common IE $2B 5M 0.30
EBAY INC Long Equity-common US $343M 6M 0.06
ECOLAB INC Long Equity-common US $717M 3M 0.13
EDISON INTL (EDISON INTERNATIONAL) Long Equity-common US $359M 5M 0.07
EDWARDS LIFESCIENCES CORP Long Equity-common US $642M 7M 0.12
ELECTRONIC ARTS INC Long Equity-common US $394M 3M 0.07
ELEVANCE HEALTH INC Long Equity-common US $2B 3M 0.29
ELI LILLY and CO Long Equity-common US $8B 10M 1.47
EMERSON ELECTRIC CO Long Equity-common US $781M 7M 0.14
ENPHASE ENERGY INC Long Equity-common US $211M 2M 0.04
ENTERGY CORP (ENTERGY CORP NEW) Long Equity-common US $290M 3M 0.05
EOG RESOURCES INC Long Equity-common US $884M 7M 0.16
EPAM SYSTEMS INC Long Equity-common US $125M 702K 0.02
EQT CORPORATION Long Equity-common US $206M 5M 0.04
EQUIFAX INC Long Equity-common US $347M 2M 0.06
EQUINIX INC Long Equity-common US $872M 1M 0.16
EQUITY RESIDENTIAL REIT Long Equity-common US $273M 4M 0.05
ESSEX PROPERTY TRUST INC Long Equity-common US $203M 782K 0.04
ESTEE LAUDER COS INC CL A (LAUDER ESTEE COS INC) Long Equity-common US $350M 3M 0.06
ETSY INC Long Equity-common US $93M 1M 0.02
EVEREST GROUP LTD Long Equity-common BM $207M 528K 0.04
EVERGY INC Long Equity-common US $153M 3M 0.03
EVERSOURCE ENERGY Long Equity-common US $252M 4M 0.05
EXELON CORP Long Equity-common US $455M 12M 0.08
EXPEDIA INC (EXPEDIA GROUP INC) Long Equity-common US $180M 2M 0.03
EXPEDITORS INTL OF WASH INC (EXPEDITORS INTERNATIONAL OF WASHINGTON INC) Long Equity-common US $214M 2M 0.04
EXTRA SPACE STORAGE INC Long Equity-common US $372M 3M 0.07
EXXON MOBIL CORP Long Equity-common US $6B 55M 1.19
F5 INC Long Equity-common US $121M 716K 0.02
FACTSET RESEARCH SYSTEMS INC Long Equity-common US $187M 464K 0.03
FAIR ISAAC CORP (FAIR ISAAC CORPORATION) Long Equity-common US $390M 303K 0.07
FASTENAL CO Long Equity-common US $460M 7M 0.09
FEDERAL REALTY INVESTMENT TR Long Equity-common US $90M 894K 0.02
FEDEX CORP Long Equity-common US $711M 3M 0.13
Fidelity Cash Central Fund (Fidelity Revere Street Trust) Long Short-term investment vehicle US $197M 197M 0.04
FIDELITY NATL INFORM SVCS INC (FIDELITY NATIONAL INFORMATION SERVICES INC) Long Equity-common US $547M 7M 0.10
Fidelity Securities Lending Cash Central Fund (Fidelity Revere Street Trust) Long Short-term investment vehicle US $981M 981M 0.18
FIFTH THIRD BANCORP Long Equity-common US $310M 8M 0.06
FIRST SOLAR INC Long Equity-common US $353M 1M 0.07
FIRSTENERGY CORP Long Equity-common US $253M 6M 0.05
FISERV INC Long Equity-common US $1B 7M 0.20
FMC CORP NEW Long Equity-common US $93M 2M 0.02
FORD MOTOR CO Long Equity-common US $576M 48M 0.11
FORTINET INC Long Equity-common US $460M 8M 0.09
FORTIVE CORP Long Equity-common US $318M 4M 0.06
FOX CORP CL A (FOX CORPORATION) Long Equity-common US $100M 3M 0.02
FOX CORPORATION B Long Equity-common US $52M 2M 0.01
FRANKLIN RESOURCES INC Long Equity-common US $86M 4M 0.02
FREEPORT MCMORAN INC (FREEPORT-MCMORAN INC) Long Equity-common US $920M 17M 0.17
GARMIN LTD Long Equity-common CH $305M 2M 0.06
GARTNER INC Long Equity-common US $398M 949K 0.07
GE HEALTHCARE TECHNOLOGIES INC WI Long Equity-common US $402M 5M 0.07
GE VERNOVA INC Long Equity-common US $583M 3M 0.11
GEN DIGITAL INC Long Equity-common US $169M 7M 0.03
GENERAC HOLDINGS INC Long Equity-common US $110M 748K 0.02
GENERAL DYNAMICS CORPORATION Long Equity-common US $829M 3M 0.15
GENERAL ELECTRIC CO Long Equity-common US $2B 13M 0.41
GENERAL MILLS INC Long Equity-common US $475M 7M 0.09
GENERAL MOTORS CO Long Equity-common US $632M 14M 0.12
GENUINE PARTS CO Long Equity-common US $246M 2M 0.05
GILEAD SCIENCES INC Long Equity-common US $975M 15M 0.18
GLOBAL PAYMENTS INC Long Equity-common US $323M 3M 0.06
GLOBE LIFE INC Long Equity-common US $86M 1M 0.02
GOLDMAN SACHS GROUP INC (GOLDMAN SACHS GROUP INC (THE)) Long Equity-common US $2B 4M 0.34
HALLIBURTON CO Long Equity-common US $398M 11M 0.07
HARTFORD FINL SVCS GROUP INC Long Equity-common US $376M 4M 0.07
HASBRO INC Long Equity-common US $95M 2M 0.02
HCA HEALTHCARE INC Long Equity-common US $819M 2M 0.15
HEALTHPEAK PROPERTIES INC Long Equity-common US $171M 9M 0.03
HENRY (JACK) and ASSOCIATES INC Long Equity-common US $146M 887K 0.03
HENRY SCHEIN INC Long Equity-common US $110M 2M 0.02
HERSHEY CO (THE) Long Equity-common US $361M 2M 0.07
HESS CORP Long Equity-common US $516M 3M 0.10
HEWLETT PACKARD ENTERPRISE CO Long Equity-common US $279M 16M 0.05
HILTON WORLDWIDE HOLDINGS INC Long Equity-common US $616M 3M 0.11
HOLOGIC INC Long Equity-common US $211M 3M 0.04
HOME DEPOT INC Long Equity-common US $4B 12M 0.75
HONEYWELL INTL INC (HONEYWELL INTERNATIONAL INC) Long Equity-common US $2B 8M 0.30
HORMEL FOODS CORP Long Equity-common US $109M 4M 0.02
HOST HOTELS and RESORTS INC Long Equity-common US $154M 9M 0.03
HOWMET AEROSPACE INC Long Equity-common US $403M 5M 0.07
HP INC Long Equity-common US $387M 11M 0.07
HUBBELL INC Long Equity-common US $254M 653K 0.05
HUMANA INC Long Equity-common US $533M 1M 0.10
HUNT J B TRANSPORT SERVICES IN (HUNT (JB) TRANSPORT SERVICES) Long Equity-common US $160M 993K 0.03
HUNTINGTON BANCSHARES INC (HUNTINGTON BANCSHARES INC/OH) Long Equity-common US $245M 18M 0.05
HUNTINGTON INGALLS INDUSTRIES INC Long Equity-common US $122M 482K 0.02
IDEX CORPORATION Long Equity-common US $192M 921K 0.04
IDEXX LABS INC (IDEXX LABORATORIES INC) Long Equity-common US $502M 1M 0.09
ILLINOIS TOOL WORKS INC Long Equity-common US $804M 3M 0.15
ILLUMINA INC Long Equity-common US $202M 2M 0.04
INCYTE CORP Long Equity-common US $131M 2M 0.02
INGERSOLL RAND INC Long Equity-common US $459M 5M 0.08
INSULET CORP Long Equity-common US $151M 850K 0.03
INTEL CORP Long Equity-common US $2B 51M 0.29
INTERCONTINENTAL EXCHANGE INC Long Equity-common US $933M 7M 0.17
INTERNATIONAL FLAVORS and FRAGRA (INTERNATIONAL FLAVORS and FRAGRANCES INC) Long Equity-common US $299M 3M 0.06
INTERNATIONAL PAPER CO Long Equity-common US $190M 4M 0.04
INTERPUBLIC GROUP OF COS INC Long Equity-common US $146M 5M 0.03
INTL BUS MACH CORP (IBM CORPORATION) Long Equity-common US $2B 11M 0.34
INTUIT INC Long Equity-common US $2B 3M 0.36
INTUITIVE SURGICAL INC Long Equity-common US $2B 4M 0.32
INVESCO LTD Long Equity-common BM $86M 5M 0.02
INVITATION HOMES INC Long Equity-common US $244M 7M 0.05
IQVIA HOLDINGS INC Long Equity-common US $487M 2M 0.09
IRON MOUNTAIN INC Long Equity-common US $287M 4M 0.05
JABIL INC Long Equity-common US $185M 2M 0.03
JACOBS SOLUTIONS INC Long Equity-common US $213M 2M 0.04
JM SMUCKER CO/THE Long Equity-common US $144M 1M 0.03
JOHNSON and JOHNSON Long Equity-common US $4B 29M 0.80
JOHNSON CONTROLS INTERNATIONAL PLC Long Equity-common IE $597M 8M 0.11
JPMORGAN CHASE and CO Long Equity-common US $7B 35M 1.32
JUNIPER NETWORKS INC Long Equity-common US $140M 4M 0.03
KELLANOVA Long Equity-common US $194M 3M 0.04
KENVUE INC Long Equity-common US $450M 23M 0.08
KEURIG DR PEPPER INC Long Equity-common US $434M 13M 0.08
KEYCORP Long Equity-common US $164M 11M 0.03
KEYSIGHT TECHNOLOGIES INC Long Equity-common US $294M 2M 0.05
KIMBERLY CLARK CORP (KIMBERLY-CLARK CORP) Long Equity-common US $547M 4M 0.10
KIMCO REALTY CORPORATION Long Equity-common US $157M 8M 0.03
KINDER MORGAN INC (KINDER MORGAN INC DEL) Long Equity-common US $459M 24M 0.08
KLA CORP Long Equity-common US $1B 2M 0.23
KRAFT HEINZ CO Long Equity-common US $343M 10M 0.06
KROGER CO Long Equity-common US $422M 8M 0.08
L3HARRIS TECHNOLOGIES INC Long Equity-common US $519M 2M 0.10
LABCORP HOLDINGS INC Long Equity-common US $201M 1M 0.04
LAM RESEARCH CORP Long Equity-common US $1B 2M 0.28
LAMB WESTON HOLDINGS INC Long Equity-common US $155M 2M 0.03
LAS VEGAS SANDS CORP Long Equity-common US $202M 4M 0.04
LEIDOS HOLDINGS INC (LEIDOS HLDGS INC) Long Equity-common US $246M 2M 0.05
LENNAR CORP CL A Long Equity-common US $482M 3M 0.09
LINDE PLC Long Equity-common IE $3B 6M 0.48
LIVE NATION ENTERTAINMENT INC Long Equity-common US $162M 2M 0.03
LKQ CORP Long Equity-common US $140M 3M 0.03
LOCKHEED MARTIN CORP Long Equity-common US $1B 3M 0.23
LOEWS CORP Long Equity-common US $170M 2M 0.03
LOWES COS INC Long Equity-common US $2B 7M 0.29
LULULEMON ATHLETICA INC Long Equity-common US $436M 1M 0.08
LYONDELLBASELL INDS CLASS A (LYONDELLBASELL INDS NV) Long Equity-common NL $310M 3M 0.06
M and T BANK CORP Long Equity-common US $307M 2M 0.06
MARATHON OIL CORP Long Equity-common US $206M 7M 0.04
MARATHON PETROLEUM CORP Long Equity-common US $791M 4M 0.15
MARKETAXESS HLDGS INC (MARKETAXESS HOLDINGS INC) Long Equity-common US $92M 461K 0.02
MARRIOTT INTERNATIONAL INC A (MARRIOTT INTERNATIONAL INC/MD) Long Equity-common US $694M 3M 0.13
MARSH and MCLENNAN COS INC Long Equity-common US $1B 6M 0.23
MARTIN MARIETTA MATERIALS INC Long Equity-common US $430M 752K 0.08
MASCO CORPORATION Long Equity-common US $187M 3M 0.03
MASTERCARD INC CL A Long Equity-common US $4B 10M 0.83
MATCH GROUP INC Long Equity-common US $101M 3M 0.02
MCCORMICK and CO INC NON-VTG Long Equity-common US $221M 3M 0.04
MCDONALDS CORP Long Equity-common US $2B 9M 0.42
MCKESSON CORP Long Equity-common US $911M 2M 0.17
MEDTRONIC PLC Long Equity-common IE $1B 16M 0.24
MERCK and CO INC NEW Long Equity-common US $4B 31M 0.72
META PLATFORMS INC CL A Long Equity-common US $13B 27M 2.31
METLIFE INC Long Equity-common US $541M 7M 0.10
METTLER-TOLEDO INTL INC Long Equity-common US $367M 261K 0.07
MGM RESORTS INTERNATIONAL Long Equity-common US $134M 3M 0.02
MICROCHIP TECHNOLOGY (MICROCHIP TECHNOLOGY INC) Long Equity-common US $640M 7M 0.12
MICRON TECHNOLOGY INC Long Equity-common US $2B 13M 0.31
MICROSOFT CORP Long Equity-common US $38B 90M 6.95
MID AMERICA APT CMNTY INC (MID-AMERICA APT CMNTYS INC) Long Equity-common US $190M 1M 0.04
MODERNA INC Long Equity-common US $576M 4M 0.11
MOHAWK INDUSTRIES INC Long Equity-common US $78M 643K 0.01
MOLINA HEALTHCARE INC Long Equity-common US $222M 706K 0.04
MOLSON COORS BEVERAGE CO B Long Equity-common US $124M 2M 0.02
MONDELEZ INTL INC (MONDELEZ INTERNATIONAL INC) Long Equity-common US $1B 16M 0.21
MONOLITHIC POWER SYS INC (MONOLITHIC POWER SYSTEMS INC) Long Equity-common US $430M 585K 0.08
MONSTER BEVERAGE CORP (MONSTER BEVERAGE CORP NEW) Long Equity-common US $467M 9M 0.09
MOODYS CORP Long Equity-common US $761M 2M 0.14
MORGAN STANLEY Long Equity-common US $1B 15M 0.28
MOSAIC CO NEW Long Equity-common US $123M 4M 0.02
MOTOROLA SOLUTIONS INC Long Equity-common US $737M 2M 0.14
MSCI INC Long Equity-common US $477M 963K 0.09
NASDAQ INC Long Equity-common US $273M 5M 0.05
NETAPP INC Long Equity-common US $302M 3M 0.06
NETFLIX INC Long Equity-common US $3B 5M 0.63
NEWMONT CORP Long Equity-common US $588M 14M 0.11
NEWS CORP NEW CL A Long Equity-common US $125M 5M 0.02
NEWS CORP NEW CL B Long Equity-common US $40M 1M 0.01
NEXTERA ENERGY INC Long Equity-common US $2B 25M 0.37
NIKE INC CL B Long Equity-common US $1B 15M 0.26
NISOURCE INC Long Equity-common US $146M 5M 0.03
NORDSON CORP Long Equity-common US $155M 661K 0.03
NORFOLK SOUTHERN CORP Long Equity-common US $618M 3M 0.11
NORTHERN TRUST CORP Long Equity-common US $210M 2M 0.04
NORTHROP GRUMMAN CORP Long Equity-common US $774M 2M 0.14
NORWEGIAN CRUISE LINE HLDGS LTD Long Equity-common BM $86M 5M 0.02
NRG ENERGY INC Long Equity-common US $223M 3M 0.04
NUCOR CORP Long Equity-common US $505M 3M 0.09
NVIDIA CORP Long Equity-common US $33B 30M 6.10
NVR INC Long Equity-common US $299M 39K 0.06
NXP SEMICONDUCTORS NV Long Equity-common NL $854M 3M 0.16
O'REILLY AUTOMOTIVE INC (OREILLY AUTOMOTIVE INC) Long Equity-common US $693M 719K 0.13
OCCIDENTAL PETROLEUM CORP Long Equity-common US $501M 8M 0.09
OLD DOMINION FREIGHT LINES INC Long Equity-common US $382M 2M 0.07
OMNICOM GROUP INC Long Equity-common US $224M 2M 0.04
ON SEMICONDUCTOR CORP Long Equity-common US $380M 5M 0.07
ONEOK INC Long Equity-common US $574M 7M 0.11
ORACLE CORP Long Equity-common US $2B 19M 0.42
OTIS WORLDWIDE CORP Long Equity-common US $490M 5M 0.09
PACCAR INC Long Equity-common US $685M 6M 0.13
PACKAGING CORP OF AMERICA Long Equity-common US $199M 1M 0.04
PALO ALTO NETWORKS INC Long Equity-common US $1B 4M 0.21
PARAMOUNT GLOBAL CL B Long Equity-common US $70M 6M 0.01
PARKER HANNIFIN CORP (PARKER-HANNIFIN CORP) Long Equity-common US $831M 2M 0.15
PAYCHEX INC Long Equity-common US $468M 4M 0.09
PAYCOM SOFTWARE INC Long Equity-common US $85M 585K 0.02
PAYPAL HLDGS INC Long Equity-common US $822M 13M 0.15
PENTAIR PLC Long Equity-common IE $164M 2M 0.03
PEPSICO INC Long Equity-common US $3B 17M 0.54
PFIZER INC Long Equity-common US $2B 69M 0.36
PG and E CORP Long Equity-common US $482M 26M 0.09
PHILIP MORRIS INTL INC (PHILIP MORRIS INTERNATIONAL INC) Long Equity-common US $2B 19M 0.35
PHILLIPS 66 Long Equity-common US $744M 5M 0.14
PINNACLE WEST CAPITAL CORP Long Equity-common US $109M 1M 0.02
PNC FINANCIAL SERVICES GRP INC Long Equity-common US $763M 5M 0.14
POOL CORP Long Equity-common US $171M 471K 0.03
PPG INDUSTRIES INC Long Equity-common US $377M 3M 0.07
PPL CORPORATION Long Equity-common US $263M 9M 0.05
PRICE (T ROWE)GROUP INC (PRICE (T ROWE) GROUP INC) Long Equity-common US $321M 3M 0.06
PRINCIPAL FINL GROUP INC (PRINCIPAL FINANCIAL GROUP INC) Long Equity-common US $219M 3M 0.04
PROCTER and GAMBLE CO Long Equity-common US $5B 29M 0.87
PROGRESSIVE CORP OHIO Long Equity-common US $2B 7M 0.28
PROLOGIS INC REIT Long Equity-common US $1B 11M 0.23
PRUDENTIAL FINANCIAL INC (PRUDENTIAL FINL INC) Long Equity-common US $529M 4M 0.10
PTC INC Long Equity-common US $256M 1M 0.05
PUBLIC STORAGE Long Equity-common US $528M 2M 0.10
PUBLIC SVC ENTERPRISE GRP INC (PUBLIC SERVICE ENTERPRISE GROUP INC) Long Equity-common US $460M 6M 0.09
PULTEGROUP INC (PULTE GROUP INC) Long Equity-common US $303M 3M 0.06
QORVO INC Long Equity-common US $116M 1M 0.02
QUALCOMM INC Long Equity-common US $3B 14M 0.51
QUANTA SVCS INC Long Equity-common US $488M 2M 0.09
QUEST DIAGNOSTICS INC Long Equity-common US $192M 1M 0.04
RALPH LAUREN CORP Long Equity-common US $89M 475K 0.02
RAYMOND JAMES FINANCIAL INC. Long Equity-common US $281M 2M 0.05
RAYTHEON TECHNOLOGIES CORP Long Equity-common US $2B 16M 0.32
REALTY INCOME CORP REIT Long Equity-common US $537M 10M 0.10
REGENCY CENTERS CORP REIT (REGENCY CENTERS CORP(REIT)) Long Equity-common US $123M 2M 0.02
REGENERON PHARMACEUTICALS INC Long Equity-common US $1B 1M 0.23
REGIONS FINANCIAL CORP (REGIONS FINL CORP NEW) Long Equity-common US $218M 11M 0.04
REPUBLIC SERVICES INC Long Equity-common US $461M 2M 0.09
RESMED INC Long Equity-common US $369M 2M 0.07
REVVITY INC Long Equity-common US $164M 2M 0.03
ROBERT HALF INC Long Equity-common US $81M 1M 0.02
ROCKWELL AUTOMATION INC Long Equity-common US $359M 1M 0.07
ROLLINS INC Long Equity-common US $156M 3M 0.03
ROPER TECHNOLOGIES INC Long Equity-common US $693M 1M 0.13
ROSS STORES INC Long Equity-common US $573M 4M 0.11
ROYAL CARIBBEAN CRUISES LTD Long Equity-common LR $424M 3M 0.08
S and P GLOBAL INC Long Equity-common US $2B 4M 0.31
S and P500 EMINI FUT JUN24 ESM4 (CHICAGO MERCANTILE EXCH INC) Derivative-equity US $32M 0.01
SALESFORCE INC Long Equity-common US $3B 12M 0.51
SBA COMMUNICATIONS CORP Long Equity-common US $258M 1M 0.05
SCHLUMBERGER LTD Long Equity-common CW $797M 17M 0.15
SCHWAB CHARLES CORP Long Equity-common US $1B 18M 0.25
SEAGATE TECHNOLOGY HOLDINGS PLC Long Equity-common IE $221M 2M 0.04
SEMPRA Long Equity-common US $590M 8M 0.11
SERVICENOW INC Long Equity-common US $2B 2M 0.30
SHERWIN WILLIAMS CO Long Equity-common US $871M 3M 0.16
SIMON PPTY GROUP INC - REIT (SIMON PROPERTY GROUP INC) Long Equity-common US $600M 4M 0.11
SKYWORKS SOLUTIONS INC Long Equity-common US $181M 2M 0.03
SMITH (AO) CORP Long Equity-common US $125M 1M 0.02
SNAP-ON INCORPORATED (SNAP-ON TOOLS CORP) Long Equity-common US $175M 643K 0.03
SOLVENTUM CORP Long Equity-common US $100M 2M 0.02
SOUTHERN CO (SOUTHERN COMPANY) Long Equity-common US $1B 13M 0.20
SOUTHWEST AIRLINES CO Long Equity-common US $195M 7M 0.04
STANLEY BLACK and DECKER INC Long Equity-common US $163M 2M 0.03
STARBUCKS CORP Long Equity-common US $1B 14M 0.20
STATE STREET CORP Long Equity-common US $278M 4M 0.05
STEEL DYNAMICS INC Long Equity-common US $248M 2M 0.05
STERIS PLC Long Equity-common IE $268M 1M 0.05
STRYKER CORP Long Equity-common US $1B 4M 0.26
SUPER MICRO COMPUTER INC Long Equity-common US $481M 613K 0.09
SYNCHRONY FINANCIAL Long Equity-common US $217M 5M 0.04
SYNOPSYS INC Long Equity-common US $1B 2M 0.19
SYSCO CORP Long Equity-common US $441M 6M 0.08
T-MOBILE US INC Long Equity-common US $1B 6M 0.21
TAKE-TWO INTERACTV SOFTWR INC Long Equity-common US $310M 2M 0.06
TAPESTRY INC Long Equity-common US $121M 3M 0.02
TARGA RESOURCES CORP (TARGA RES CORP) Long Equity-common US $321M 3M 0.06
TARGET CORP Long Equity-common US $878M 6M 0.16
TE CONNECTIVITY LTD Long Equity-common CH $563M 4M 0.10
TELEDYNE TECHNOLOGIES INC Long Equity-common US $228M 574K 0.04
TELEFLEX INC Long Equity-common US $120M 572K 0.02
TERADYNE INC Long Equity-common US $262M 2M 0.05
TESLA INC Long Equity-common US $6B 34M 1.11
TEXAS INSTRUMENTS INC (TEXAS INSTRUMENTS INC.) Long Equity-common US $2B 11M 0.40
TEXTRON INC Long Equity-common US $209M 2M 0.04
THE BOOKING HOLDINGS INC (BOOKING HOLDINGS INC) Long Equity-common US $2B 425K 0.30
THERMO FISHER SCIENTIFIC INC Long Equity-common US $3B 5M 0.49
TJX COMPANIES INC NEW Long Equity-common US $1B 14M 0.26
TRACTOR SUPPLY CO. Long Equity-common US $375M 1M 0.07
TRANE TECHNOLOGIES PLC Long Equity-common IE $907M 3M 0.17
TRANSDIGM GROUP INC Long Equity-common US $909M 677K 0.17
TRAVELERS COMPANIES INC (TRAVELERS COS INC) Long Equity-common US $599M 3M 0.11
TRIMBLE INC Long Equity-common US $169M 3M 0.03
TRUIST FINL CORP (TRUIST FINANCIAL CORP) Long Equity-common US $613M 16M 0.11
TYLER TECHNOLOGIES INC Long Equity-common US $246M 513K 0.05
TYSON FOODS INC CL A Long Equity-common US $200M 3M 0.04
UBER TECHNOLOGIES INC Long Equity-common US $2B 25M 0.30
UDR INC Long Equity-common US $142M 4M 0.03
ULTA BEAUTY INC Long Equity-common US $234M 591K 0.04
UNION PACIFIC CORP Long Equity-common US $2B 7M 0.32
UNITED AIRLINES HOLDINGS INC Long Equity-common US $212M 4M 0.04
UNITED PARCEL SERVICE INC CL B Long Equity-common US $1B 9M 0.23
UNITED RENTALS INC Long Equity-common US $548M 818K 0.10
UNITEDHEALTH GROUP INC Long Equity-common US $6B 11M 1.03
UNIVERSAL HEALTH SVCS INC CL B (UNIVERSAL HEALTH SERVICES INC) Long Equity-common US $141M 743K 0.03
US BANCORP DEL Long Equity-common US $769M 19M 0.14
UST BILLS 0% 08/22/2024 Long Debt US $59M 0.01
VALERO ENERGY CORP Long Equity-common US $651M 4M 0.12
VENTAS INC REIT Long Equity-common US $246M 5M 0.05
VERALTO CORP Long Equity-common US $263M 3M 0.05
VERISIGN INC Long Equity-common US $187M 1M 0.03
VERISK ANALYTICS INC Long Equity-common US $446M 2M 0.08
VERIZON COMMUNICATIONS INC Long Equity-common US $2B 51M 0.39
VERTEX PHARMACEUTICALS INC Long Equity-common US $1B 3M 0.26
VIATRIS INC Long Equity-common US $155M 15M 0.03
VICI PPTYS INC Long Equity-common US $362M 13M 0.07
VISA INC CL A Long Equity-common US $5B 19M 0.97
VISTRA CORP Long Equity-common US $405M 4M 0.08
VULCAN MATERIALS CO Long Equity-common US $414M 2M 0.08
WALGREENS BOOTS ALLIANCE INC Long Equity-common US $141M 9M 0.03
WALMART INC Long Equity-common US $3B 52M 0.63
WARNER BROS DISCOVERY INC Long Equity-common US $223M 27M 0.04
WASTE MANAGEMENT INC (WASTE MANAGEMENT INC DEL) Long Equity-common US $940M 4M 0.17
WATERS CORP Long Equity-common US $222M 720K 0.04
WEC ENERGY GROUP INC Long Equity-common US $311M 4M 0.06
WELLS FARGO and CO Long Equity-common US $3B 44M 0.49
WELLTOWER INC Long Equity-common US $698M 7M 0.13
WEST PHARMACEUTICAL SVCS INC Long Equity-common US $299M 901K 0.06
WESTERN DIGITAL CORP Long Equity-common US $297M 4M 0.06
WESTINGHOUSE AIR BRAKE TECH CORP Long Equity-common US $369M 2M 0.07
WESTROCK CO Long Equity-common US $168M 3M 0.03
WEYERHAEUSER CO Long Equity-common US $267M 9M 0.05
WILLIAMS COMPANIES INC (WILLIAMS COS INC) Long Equity-common US $615M 15M 0.11
WILLIS TOWERS WATSON PLC Long Equity-common IE $319M 1M 0.06
WW GRAINGER INC (GRAINGER (W.W.) INC) Long Equity-common US $496M 538K 0.09
WYNN RESORTS LTD Long Equity-common US $110M 1M 0.02
XCEL ENERGY INC Long Equity-common US $372M 7M 0.07
XYLEM INC Long Equity-common US $414M 3M 0.08
YUM BRANDS INC Long Equity-common US $470M 3M 0.09
ZEBRA TECHNOLOGIES CORP CL A Long Equity-common US $195M 625K 0.04
ZIMMER BIOMET HLDGS INC Long Equity-common US $293M 3M 0.05
ZOETIS INC CL A Long Equity-common US $948M 6M 0.18

Address

Fidelity Concord Street Trust
245 Summer Street
Boston
Massachusetts
02210
United States of America

Directors

OSCAR MUNOZ
ROBERT A LAWRENCE
THOMAS A KENNEDY
BETTINA DOULTON
VICKI L FULLER
THOMAS P BOSTICK
JONATHAN CHIEL
PATRICIA L KAMPLING
DONALD F DONAHUE
MICHAEL E WILEY
SUSAN TOMASKY
DAVID M THOMAS

Transfer Agents

Fidelity Investments Institutional Operations Company LLC

Pricing Services

BLOOMBERG LP
REFINITIV US HOLDINGS INC
INTERCONTINENTAL EXCHANGE INC

Custodians

The Bank of New York Mellon SANV Asset Servicing Niederlassung Frankfurt am Main
The Bank of New York Mellon SA/NV
Standard Chartered Bank (Singapore) Limited
The Bank of New York Mellon
BANK OF NEW YORK MELLON
The Bank of New York Mellon SA/NV
Skandinaviska Enskilda Banken Publ
MUFG Bank Ltd
Credit Suisse Switzerland Ltd
CitibankEurope Plc Sucurcal em Portugal
Bank Hapoalim BM
Skandinaviska Enskilda Banken AB Publ
The Bank of New York Mellon SA/NV
The Bank of New York Mellon
Skandinaviska Enskilda Banken AB Publ
CACEIS Bank Spain
The Hongkong and Shanghai Banking Corporation Limited
Skandinaviska Enskilda Banken AB Publ
UniCredit Bank Austria AG
The Hongkong and Shanghai Banking Corporation Limited
The Hongkong and Shanghai Banking Corporation Limited

Shareholder Servicing Agents

Fidelity Investments Institutional Operations Company LLC

Admins

Fidelity Service Company

Brokers

NOMURA HOLDINGS INC
CITIGROUP INC
BANK OF AMERICA CORPORATION
BARCLAYS PLC
GOLDMAN SACHS GROUP INC (THE)
JPMORGAN CHASE and CO
UBS GROUP AG
MORGAN STANLEY
MACQUARIE GROUP LTD