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Fidelity Global Equity+ Fund - F8

Portfolio

Holdings
SymbolName CountrySectorIndustryMost recent quarter% of Total Shares% of Total AssetsSharesBook ValueMarket Price ValueFundamental Score 
AY.NASDAQAtlantica Sustainable Infrastructure PLCUSAUtilitiesUtilities - Renewable2024-09-300.2040.198236.9k$2.8m$5.2m
  
  
BIRD.NASDAQAllbirds IncUSAConsumer CyclicalApparel Retail2024-09-300.2080.00716.4k$265.4k$118.3k
  
  
CMBT.NYSEEuronav NVUSAEnergyOil & Gas Midstream2024-09-300.0190.05737.6k$222.2k$384.5k
  
  
ITI.NASDAQIteris IncUSATechnologyCommunication Equipment2024-06-300.5740.067246.8k$394.4k$70.7m
  
  
LSPD.NYSELightspeed Commerce IncUSATechnologySoftware - Application2024-09-300.5040.48766k$11.6m$12m
  
  
MCW.NYSEMister Car Wash IncUSAConsumer CyclicalAuto & Truck Dealerships2024-09-300.2850.227919.6k$2.7m$6.6m
  
  
NVEI.NASDAQNuvei CorpUSATechnologySoftware - Infrastructure2024-09-300.3920.689556.6k$7.8m$18.9m
  
  
PETQ.NASDAQPETQ.NASDAQ----0.40.139118.5k--
  
  
PGRU.NYSEPropertyGuru Group LtdUSACommunication ServicesInternet Content & Information2024-06-300.7830.3231.2m$3.3m$8.6m
  
  
RCM.NASDAQR1 RCM IncUSAHealthcareHealth Information Services2024-09-300.2450.5571m$6.8m$41.3m
  
  
SQSP.NYSESQSP.NYSE----0.2310.566320.7k--
  
  

Trades

Buys
Report date: 2024-09-30
TradeCurrent
SymbolShares%TotalPrice RangePrice%
SQSP.NYSE320.7k-14.3m44-46--
Report date: 2024-02-29
TradeCurrent
SymbolShares%Total$ RangePrice%
CMBT.NYSE37.6k-666.9k17-18$10.21-41.5%
Adds
Report date: 2024-10-31
TradeCurrent
SymbolShares%Total$ RangePrice%
BIRD.NASDAQ238.001.51.7k1-15$7.191,338.0%
NVEI.NASDAQ33.1k6.31.1m33-34$33.994.1%
Report date: 2024-09-30
TradeCurrent
SymbolShares%Total$ RangePrice%
AY.NASDAQ7k3.1155k22-22$21.990.9%
BIRD.NASDAQ571.003.62.1k0-15$7.191,487.2%
ITI.NASDAQ9.2k3.955.5k4-7$286.557,063.8%
LSPD.NYSE27.5k3.7368k11-17$15.6742.3%
MCW.NYSE33k3.7223.6k6-8$7.2624.3%
NVEI.NASDAQ107.8k25.93.5m32-33$33.995.2%
PETQ.NASDAQ2.9k2.578.4k20-31--
PGRU.NYSE34.5k2.8214.6k5-7$6.7041.9%
RCM.NASDAQ39.9k4.0542.1k11-14$40.00278.3%

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