FSSNX Mutual Fund

FSSNX Mutual Fund

NAV$37.85
See how much of FSSNX you already own
Just $25 once·$69/mo·Download sample
X-ray my portfolio free
Showing top 50 of 1,922 holdings · as of Apr 30, 2026
FSSNX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
NMF
Fidelity Securities Lending Cash Central FundFinancials · Capital Markets
8.53%
8.5%2,777,575,905$2.78BFinancialsCapital Markets
2
BE
Bloom Energy Corporation Com Cl AIndustrials · Electrical Equipment
1.88%
10.4%2,163,018$612.91MIndustrialsElectrical Equipment
Share changes, sector and industry · Pro
3
CRDO
Credo Technology Group Holding Ltd Ordinary Shares
0.85%
11.3%1,597,316$277.95M
4
FN
Fabrinet
0.75%
12.0%357,461$244.31M
5
CDE
Coeur Mining Inc
0.56%
12.6%10,108,272$181.65M
6Nextpower Inc Class A
0.53%
13.1%1,443,675$171.99M
7
SATS
Echostar Communications Corp. Class A
0.51%
13.6%1,341,522$165.20M
8Ttm Techologies
0.49%
14.1%1,012,838$160.25M
9Ionq, Inc. Pipe
0.47%
14.6%3,414,112$154.04M
10Sterling Construction Company Inc
0.47%
15.0%295,241$152.23M
11
AEIS
Advanced Energy Industries Inc.
0.44%
15.5%372,951$143.18M
12
MOD
Modine Manufacturing Company
0.41%
15.9%518,538$132.04M
13
SITM
Sitime Corp
0.38%
16.3%222,727$125.21M
14
RMBS
Rambus Inc
0.38%
16.6%1,067,611$122.89M
15
VIAV
Viavi Solutions Inc
0.37%
17.0%2,281,346$119.54M
16
DY
Dycom Industries Inc
0.37%
17.4%288,724$119.56M
17
SANM
Sanmina Corp
0.35%
17.7%528,104$115.03M
18
KTOS
Kratos Defense & Security Solutions, Inc.
0.35%
18.1%1,789,823$112.85M
19
HL
Hecla Mining Co
0.35%
18.4%6,289,920$113.34M
20
BBIO
Bridgebio Pharma Inc
0.34%
18.8%1,568,559$111.54M
21
GH
Guardant Health Inc
0.33%
19.1%1,228,172$106.95M
22
AAOI
Applied Optoelectronics Inc
0.33%
19.4%653,735$107.45M
23
FORM
Formfactor, Inc.
0.32%
19.8%770,604$104.75M
24Spx Corp
0.32%
20.1%477,078$104.44M
25
ENSG
The Ensign Group Inc
0.32%
20.4%555,308$103.67M
26
PL
Planet Labs Pbc
0.30%
20.7%2,680,372$99.09M
27
SMTC
Semtech Corp
0.30%
21.0%921,345$96.79M
28
PRIM
Primoris Services Corp.
0.30%
21.3%535,390$96.99M
29
ARWR
Arrowhead Pharmaceuticals Inc
0.30%
21.6%1,337,855$98.31M
30
GTLS
Chart Industries Inc
0.29%
21.9%446,568$92.84M
31
AHR
American Healthcare REIT Inc
0.28%
22.2%1,769,978$89.88M
32
FTBFX
Fidelity Cash Central Fund
0.28%
22.5%90,864,541$90.88M
33
UMBF
Umb Financial Corp
0.28%
22.7%718,248$90.62M
34
ALCC
Altc Acquisition Corp Cl A
0.27%
23.0%1,207,545$87.55M
35
MDGL
Madrigal Pharmaceuticals Inc
0.27%
23.3%169,133$87.51M
36
CTRE
Caretrust Reit Inc Reit Usd.01
0.27%
23.5%2,229,366$87.95M
37
AGX
Argan Inc
0.27%
23.8%132,843$89.00M
38
MOG.A
Moog Inccommon Stock
0.26%
24.1%278,220$83.83M
39
ESE
Esco Technologies Inc
0.26%
24.3%257,187$83.32M
40
FLR
Fluor Corp
0.26%
24.6%1,593,371$85.01M
41
AXSM
Axsome Therapeutics, Inc.
0.26%
24.9%409,701$85.12M
42
LUMN
Lumen Technologies Inc
0.26%
25.1%9,437,532$83.43M
43
ONB
Old National Bancorp/In
0.26%
25.4%3,465,155$83.06M
44Firstcash Inc
0.26%
25.6%391,832$85.51M
45
VSAT
Viasat Inc
0.25%
25.9%1,222,835$80.60M
46
WTS
Watts Water Technologies Inc
0.25%
26.1%271,610$81.53M
47Applied Digital Corp
0.25%
26.4%2,351,944$80.55M
48
PRAX
Praxis Precision Medicines, Inc.
0.25%
26.6%255,383$81.42M
49
ENS
Enersys
0.24%
26.9%363,721$77.57M
50
GKOS
Glaukos Corp.
0.24%
27.1%552,956$79.44M
More holdings · Pro
FundXLS Pro
See the other 1,872 holdings of FSSNX
X-ray every fund you own at once, ETFs and mutual funds that hold stocks directly, and see how much of your money lands on the same stocks twice.
Unlock FundXLS Pro$45/quarter Pro · Cancel anytime

FSSNX Mutual Fund All Holdings

FSSNX holdings total 1929 positions. The top 10 holdings account for 15.0% of the fund, led by Fidelity Securities Lending Cash Central Fund at 8.5%, Bloom Energy Corporation Com Cl A at 1.9%, Credo Technology Group Holding Ltd Ordinary Shares at 0.8%.

FSSNX portfolio concentration is well-diversified, with the top 10 representing 15.0% of total assets. The largest sector exposure is Financials at 23.8%.

FSSNX sectors provide a detailed breakdown. FSSNX overlap shows how holdings compare to other funds in your portfolio.