FIDELITY MAGELLAN - EQUITY FUNDS

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / EQUITY FUNDS
Shares, excl. options Q1 2024
124 K
Holdings value Q1 2024
$1.77 M
Value change Q1 2024
-$107 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
3
Number of buys Q1 2024
0
Number of sells Q1 2024
-3
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
316184100
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 124 K $1.77 M -$107 K $14.29 3
2023 Q4 132 K $1.63 M +$32 K $12.31 4
2023 Q3 130 K $1.43 M +$47.7 K $11.04 4
2023 Q2 125 K $1.42 M -$44.9 K $11.33 3
2023 Q1 129 K $1.5 M -$62.1 K $11.60 3
2022 Q4 153 K $1.64 M +$203 K $10.68 4
2022 Q3 134 K $1.37 M -$322 K $10.24 4
2022 Q2 179 K $1.94 M +$86 K $10.87 6
2022 Q1 171 K $2.33 M -$166 $13.61 6
2021 Q4 182 K $2.63 M +$38.8 K $15.36 7
2021 Q3 179 K $2.39 M -$27.9 K $14.18 7
2021 Q2 211 K $2.78 M +$1.66 M $13.88 8
2021 Q1 51.1 K $669 K -$2.46 M $13.10 3
2020 Q4 240 K $3.13 M +$1.55 M $13.03 6
2020 Q3 123 K $1.49 M +$331 K $12.13 8
2020 Q2 95.8 K $1.05 M -$29.3 K $10.92 6
2020 Q1 98.5 K $866 K +$116 K $8.80 6
2019 Q4 85.3 K $870 K -$8.43 K $10.20 5
2019 Q3 85 K $922 K $0 $10.85 6
2019 Q2 81.7 K $871 K -$159 K $10.66 5
2019 Q1 97.1 K $992 K -$107 K $10.22 6
2018 Q4 112 K $1.01 M +$233 K $8.97 7
2018 Q3 86.1 K $974 K +$920 K $11.31 5
2018 Q2 4.73 K $498 K +$289 K $105.28 2
2018 Q1 1.99 K $210 K $0 $105.74 1
2017 Q4 1.99 K $208 K +$208 K $104.73 1
2017 Q1 14.3 K $1.39 M $0 $97.21 2
2016 Q4 14.3 K $1.31 M +$17.8 K $91.33 2
2016 Q3 14.1 K $1.29 M -$73.5 M $91.35 2
2016 Q2 14.9 K $74.7 M -$391 K $87.32 3
2016 Q1 18.6 K $1.63 M $0 $87.54 3
2015 Q4 18.6 K $1.66 M -$24.4 K $89.42 3
2015 Q3 18.8 K $1.62 M +$893 K $86.10 3
2015 Q2 8.23 K $768 K +$747 $93.28 3
2015 Q1 8.22 K $782 K -$189 K $95.20 3
2014 Q4 10.3 K $950 K +$13.6 K $92.55 3
2014 Q3 10.1 K $951 K +$173 K $94.00 3
2014 Q2 8.28 K $766 K +$284 K $92.57 2
2014 Q1 5.21 K $491 K -$214 K $94.24 1