FIDELITY GROWTH COMPANY - EQUITY FUNDS

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / EQUITY FUNDS
Shares, excl. options Q1 2024
70.5 K
Holdings value Q1 2024
$2.6 M
Value change Q1 2024
-$66.4 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
5
Number of buys Q1 2024
0
Number of sells Q1 2024
-4
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
316200104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 70.5 K $2.6 M -$66.4 K $36.84 5
2023 Q4 72.6 K $2.32 M -$496 K $31.92 8
2023 Q3 71.9 K $2.09 M +$4 K $29.02 5
2023 Q2 72 K $2.18 M -$13.3 K $30.25 5
2023 Q1 72.6 K $1.91 M -$11.3 K $26.26 6
2022 Q4 72.8 K $1.64 M +$20.4 K $22.51 5
2022 Q3 71.9 K $1.72 M -$28 K $23.73 5
2022 Q2 73 K $1.78 M +$28.6 K $24.32 4
2022 Q1 80.5 K $2.61 M $0 $32.48 5
2021 Q4 80.5 K $2.93 M +$352 K $36.46 5
2021 Q3 70.8 K $2.68 M +$212 K $37.84 4
2021 Q2 65.2 K $2.48 M -$29 $38.00 3
2021 Q1 66.1 K $2.2 M -$1.76 K $33.63 4
2020 Q4 65.3 K $2.15 M -$1.1 M $32.86 3
2020 Q3 100 K $3.12 M -$66.9 K $31.16 4
2020 Q2 102 K $2.71 M $0 $26.47 4
2020 Q1 102 K $1.93 M -$11.7 K $18.84 4
2019 Q4 103 K $2.2 M -$170 K $21.36 4
2019 Q3 112 K $2.17 M +$228 K $19.34 5
2019 Q2 100 K $1.97 M -$249 K $19.61 4
2019 Q1 119 K $2.28 M -$561 K $19.16 6
2018 Q4 148 K $2.38 M +$941 K $16.02 6
2018 Q3 89.6 K $1.93 M +$1.75 M $21.54 5
2018 Q2 8.26 K $1.64 M +$224 K $198.88 4
2018 Q1 7.14 K $1.34 M -$279 K $188.05 3
2017 Q4 8.69 K $1.55 M +$414 K $178.68 4
2017 Q3 6.37 K $1.12 M +$554 K $174.82 2
2017 Q2 3.45 K $561 K -$520 K $162.56 1
2017 Q1 7.18 K $1.08 M +$453 K $150.91 3
2016 Q4 4.41 K $603 K +$125 K $136.64 3
2016 Q3 3.49 K $496 K -$6.06 M $141.81 3
2016 Q2 1.78 K $6.53 M +$1.51 K $130.01 3
2016 Q1 1.72 K $222 K $0 $128.85 1
2015 Q4 1.72 K $236 K -$3 K $136.97 1
2015 Q3 1.75 K $227 K +$3 K $130.22 2
2015 Q2 1.72 K $241 K +$241 K $139.87 1
2014 Q4 1.96 K $258 K +$258 K $131.91 1