Fidelity Series Blue Chip Growth Fund

Fidelity Securities Fund · 1 share class

Actively managed U.S. equity fund
One fund, 1 share class:FSBDX
$17.66B NAV
372 positions · as of 2026-04-30 · filed 2026-06-26

Fund classification

Classified from what the fund holds · as of 2026 Q2

Fidelity Series Blue Chip Growth Fund is an actively managed U.S. equity fund. 38% of FSBDX’s stock holdings are in companies whose revenue grew in the top quartile of U.S. companies over the last five fiscal years (covering 91% of the fund’s equity).

Asset class
Equity
Region
United States
Management
Actively managed
Fund type
Open-end fund
Features
Non-diversified

Fund profile

As filed in the prospectus · 2025 Q3

Fidelity Series Blue Chip Growth Fund seeks growth of capital over the long term.

Strategy · summarised

The fund invests primarily in common stocks of large and medium-capitalization blue chip companies that the adviser believes have above-average growth potential, as determined by factors such as projected earnings or sales growth exceeding the equity market median, elevated research and development spending, or capital-raising activity. The fund may invest in both domestic and foreign issuers and uses fundamental analysis of financial condition, industry position, and market conditions to select holdings. The fund normally maintains at least 80% of assets in blue chip growth companies.

Expenses
0.00%one share class
Share classExpense ratio
FSBDX0.00%

Portfolio turnover 50.00% · as of 2025 Q3

Allocation

Asset groups · long / short shown separately, never netted · 2026 Q2

100.25%
of net assets
Stocks96.87%
Cash & short-term3.13%
Bonds0.22%
Derivatives0.04%

Derivatives are shown at market value, not notional exposure.

Sector allocation

The same holdings as Allocation above, grouped by market sector instead of asset type · as of 2026 Q2

100%
of net assets
Information Technology46.3%
Communication Services14.5%
Consumer Discretionary13.8%
International5.0%
11 smaller20.3%

Government, Securitized and Cash are non-corporate buckets; International is foreign holdings we don’t sector-classify, and Other is the residual (held funds, unresolved names).

Portfolio growth profile

How much of the fund’s stock holdings are in fast-growing companies · as of 2026 Q2

Revenue growth
38%of stock holdings in top-quartile growers
covering 91% of the fund’s equity

Share of the fund’s equity (by value) in companies whose trailing five-year revenue — or net-income — growth ranks in the top 25% of U.S. public companies. Foreign and newly-listed holdings are excluded, so the figure covers only part of the book. From SEC filings — not investment advice. How we measure this.

Latest quarter

What changed since the fund's previous filing

2026Q2 vs 2026Q1: 101 new73 exited

Largest new: WYNN, ASCENDIS PHARMA A/S, MTSI, UST BILLS ×2, PVH, SNX, OURA INC

Largest exited: X.AI HOLDINGS CORP, ASCENDIS PHARMA A/S, DKNG, NOW, REDDIT INC, APO, ON HOLDING AG, TTWO

Return profile

Total return as filed — price change plus distributions reinvested · trailing figures to Apr 2026

1-year
+48.43%
3-year
+138.03%
5-year
+100.85%
Volatility
20.37%
Worst 3-yr fall
-15.14%
Cumulative return· May 2023 – Apr 2026

Debt profile

What this fund holds — value-weighted across its bond and securitized long positions · as of 2026-04-30

Avg coupon
0.00%
Avg maturity
0.30 yr
Coupon type

Share of the fund's debt by how its coupon behaves — the fact that decides whether a rate move reaches this portfolio at all.

0%
floating
Fixed rate100.0%
Maturity ladder

Share of the fund's debt value in each maturity band, shortest first.

<1y1-3y
<1y93.1%
1-3y6.9%
Flagged holdings
Defaulted: none reported
In arrears: none reported
Paid in kind: none reported

Based on what filers reported; a filer that never reported a flag also reads as none.

Holdings

By % of NAV · equity positions carry filed share counts · every resolvable issuer links to its company page

Issuer%NAVValue
NVIDIA CORPNVDA14.57%$2.57B
APPLE INCAAPL9.40%$1.66B
ALPHABET INCGOOGL8.55%$1.51B
AMAZON.COM INCAMZN7.95%$1.40B
MICROSOFT CORPMSFT5.34%$943.85M
BROADCOM INCAVGO3.71%$655.82M
META PLATFORMS INCMETA3.64%$643.49M
SPACE EXPLORATION TECHNOLOGIES CORP3.05%$537.96M
Fidelity Revere Street Trust2.89%$509.93M
MARVELL TECHNOLOGY INCMRVL2.11%$372.75M
Showing 10 of 372Sign in to see more

Reported price is the fund's own reported value divided by its own reported shares at 2026-04-30 — not a live quote, and not what the fund paid.

Top 10 positions are 61.22% of net assets, top 25 77.16%, across 312 issuers.

See more of this fund's book

More positions with filed share counts, and the quarter-over-quarter change list rather than the largest few — free with an account, no card required.

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