1 F FUQIX Fidelity Sai U.s. Quality Index Fund 10.21% 10.2% 960,776,515 $22.56B - - - 2 F FDGRX Fidelity Growth Company Fund 9.88% 20.1% 449,715,431 $21.82B - - - 3 F FSUVX Fidelity Sai U.s. Low Volatility Index Fund 5.16% 25.3% 481,024,272 $11.41B - - - 4 F FMAGX Fidelity Magellan Fund 3.97% 29.2% 596,537,860 $8.76B - - - 5 F FBGRX Fidelity Blue Chip Growth Fund 3.41% 32.6% 28,895,828 $7.53B - - - 6 F FSWCX Fidelity Sai Us Value Index Fund 3.09% 35.7% 485,968,604 $6.83B - - - 7 N NVDA Nvidia Corp. Info Tech · Semiconductors 2.88% 38.6% 35,844,918 $6.35B - Info Tech Semiconductors 8 A AAPL Apple, Inc Info Tech · Tech Hardware 2.08% 40.7% 17,392,122 $4.59B +1.42M Info Tech Tech Hardware 9 F FUMIX Fidelity Sai U.S. Momentum Ind 2.03% 42.7% 231,041,749 $4.48B - - - 10 F FSMAX Fidelity Extended Market Index Fund 1.98% 44.7% 42,069,927 $4.38B - - - 11 M MSFT Microsoft Corp Info Tech · Software 1.86% 46.5% 10,457,099 $4.11B +918.7K Info Tech Software 12 A AMZN Amazon.com Inc 1.56% 48.1% 16,414,841 $3.45B +4.42M - - 13 G GOOG Alphabet Inc. C Comm. Services · Interactive Media 1.46% 49.6% 10,336,850 $3.22B +1.76M Comm. Services Interactive Media 14 F FLCPX Fidelity Sai U.s. Large Cap Index Fund 1.34% 50.9% 107,885,417 $2.96B - - - 15 F FZFLX Fidelity Sai Small-Mid Cap 500 Index Fund 1.21% 52.1% 524,703,098 $2.67B - - - 16 X XOM Exxon Mobil Corp. Energy · Oil & Gas 1.19% 53.3% 17,213,171 $2.63B - Energy Oil & Gas 17 F FTBFX Fidelity Cash Central FundFinancials · Diversified Financial Services 1.08% 54.4% 2,386,898,885 $2.39B - Financials Diversified Financial Services 18 M META Meta Platforms, Inc. Comm. Services · Interactive Media 0.97% 55.4% 3,317,030 $2.15B +368.0K Comm. Services Interactive Media 19 N NMF Fidelity Securities Lending Cash Central FundFinancials · Capital Markets 0.92% 56.3% 2,027,476,097 $2.03B - Financials Capital Markets 20 F FIDGX Fidelity Advisor Small Cap Growth Fund - Class Z 0.86% 57.1% 51,150,983 $1.90B - - - 21 W WFC Wells Fargo & Co. Financials · Banks 0.79% 57.9% 21,316,886 $1.74B - Financials Banks 22 A AVGO Broadcom Inc Info Tech · Semiconductors 0.76% 58.7% 5,265,713 $1.68B +355.5K Info Tech Semiconductors 23 —General Electric Co.Industrials · Industrial Conglomerates 0.71% 59.4% 4,577,984 $1.57B - Industrials Industrial Conglomerates 24 B BAC Bank Of America Corp. 0.71% 60.1% 31,671,027 $1.58B +1.98M - - 25 B BA Boeing Co 0.61% 60.7% 5,920,790 $1.35B +888.8K - - 26 G GEV GE Vernova Inc. CDR (CAD Hedged) 0.56% 61.3% 1,408,821 $1.23B -184.4K - - 27 M MU Micron Technology, Inc. Info Tech · Semiconductors 0.53% 61.8% 2,842,888 $1.17B - Info Tech Semiconductors 28 L LLY Eli Lilly & Co. Health Care · Pharmaceuticals 0.47% 62.3% 997,049 $1.05B - Health Care Pharmaceuticals 29 M MA Mastercard Inc Financials · Capital Markets 0.45% 62.7% 1,912,340 $989.08M - Financials Capital Markets 30 T TSLA Tesla Inc Consumer Disc. · Automobiles 0.44% 63.2% 2,416,032 $972.48M +349.9K Consumer Disc. Automobiles 31 P PM Philip Morris International Inc. Cons. Staples · Tobacco 0.42% 63.6% 4,983,840 $931.13M - Cons. Staples Tobacco 32 P PG Procter & Gamble Company Cons. Staples · Household Products 0.41% 64.0% 5,369,706 $897.81M +941.1K Cons. Staples Household Products 33 S SHEL Shell Plc Energy · Oil & Gas 0.37% 64.4% 9,669,284 $807.48M - Energy Oil & Gas 34 M MRK Merck & Company Inc Health Care · Pharmaceuticals 0.37% 64.7% 6,577,026 $814.37M - Health Care Pharmaceuticals 35 V V Visa Inc Class A Info Tech · IT Services 0.34% 65.1% 2,349,563 $752.19M - Info Tech IT Services 36 K KO Coca Cola Co. Cons. Staples · Beverages 0.33% 65.4% 8,921,242 $727.62M - Cons. Staples Beverages 37 L LOW Lowes Cos., Inc. Consumer Disc. · Specialty Retail 0.31% 65.7% 2,625,091 $694.52M - Consumer Disc. Specialty Retail 38 G GILD Gilead Sciences Health Care · Pharmaceuticals 0.31% 66.0% 4,549,986 $677.72M - Health Care Pharmaceuticals 39 J JNJ Johnson & Johnson - Health Care · Pharmaceuticals 0.30% 66.3% 2,653,192 $659.13M +1.11M Health Care Pharmaceuticals 40 C CSCO Cisco Systems Inc. Info Tech · Communications Equipment 0.30% 66.6% 8,201,339 $651.68M +318.8K Info Tech Communications Equipment 41 J JPM JPMorgan Chase Financials · Banks 0.28% 66.9% 2,045,524 $614.27M - Financials Banks 42 K KDP Keurig Dr Pepper Inc (kdp Us) Cons. Staples · Beverages 0.28% 67.2% 20,441,100 $618.96M - Cons. Staples Beverages 43 B BRK.B Berkshire Hathaway, Inc. 0.27% 67.5% 1,188,923 $600.35M +170.2K - - 44 —Cigna Corp.Financials · Insurance 0.26% 67.7% 1,977,637 $573.16M - Financials Insurance 45 U UPS United Parcel Service, Inc Industrials · Air Freight & Logistics 0.25% 68.0% 4,801,233 $556.75M +1.21M Industrials Air Freight & Logistics 46 C CB Chubb Ltd. 0.24% 68.2% 1,561,309 $532.19M +200.1K - - 47 B BSX Boston Scientific Corp. Health Care · Healthcare Equip. 0.24% 68.5% 6,950,685 $534.16M - Health Care Healthcare Equip. 48 M MTB M&T Bank Corp Financials · Banks 0.24% 68.7% 2,434,087 $528.15M - Financials Banks 49 T TMO Thermo Fisherscientific Inc. Health Care · Life Sciences Tools 0.24% 68.9% 1,022,262 $532.71M +42.1K Health Care Life Sciences Tools 50 C COP Conocophillips Energy · Oil & Gas 0.23% 69.2% 4,450,181 $504.92M - Energy Oil & Gas More holdings · Pro