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FFLC Holdings

Fidelity Fundamental Large Cap Core ETF
1W: -0.8% 1M: -0.8% 3M: +0.2% YTD: +10.3% 1Y: +14.3% 3Y: +87.4% 5Y: +114.4%
$59.27
+0.21 (+0.36%)
 
Weekly Expected Move ±1.5%
$58 $58 $59 $60 $61
ETF CBOE · AUM $1.2B
ETF-Level Metrics
AUM$1.2B
Holdings112
Top 10 Wt42.2%
Beta0.99
% Profitable84%
Coverage99%
Portfolio Valuation
P/E9.9
P/B4.0
P/S5.0
EV/EBITDA8.7
P/FCF14.1
PEG0.21
Profitability & Returns
Gross Margin73.5%
Net Margin50.0%
ROE52.2%
ROA37.9%
ROIC42.1%
Div Yield1.18%
Leverage & Liquidity
Debt/Equity0.07
Debt/Assets0.05
Net Debt/EBITDA-0.6x
Interest Cov171.3x
Current Ratio2.62
Quick Ratio2.21
Growth (YoY)
Revenue+25.1%
Net Income+48.0%
EPS+47.9%
FCF+39.9%
EBITDA+44.5%
Rev CAGR 3Y+28.9%
Quality Scores
Piotroski F6.5
Altman Z11.78
IS Quality77.0
IS Overall66.2
IS Value50.2
Median P/E22.2

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 24 34.9% 408.8
Financial Services 15 11.0% 25.8
Consumer Cyclical 13 10.2% 45.5
Communication Services 2 10.1% 22.0
Industrials 17 9.9% 19.4
Healthcare 17 9.8% 14.5
Energy 5 4.6% 15.6
Consumer Defensive 7 4.3% 21.2
Basic Materials 6 2.2% 19.3
Utilities 3 1.1% 17.2
Real Estate 3 1.1% 63.6
Other 8 0.6% —

Smart Money Overlap

5 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
AVGO Broadcom Inc. 1.94% 4 Bullish 1 14 -0.1%
HOOD Robinhood Markets, Inc. 0.75% 4 Bullish 4 3 +36.7%
SCHW The Charles Schwab Corporation 0.65% 4 Bullish 1 4 +10.4%
VTR Ventas, Inc. 0.57% 4 Bullish 1 1 +6.3%
MELI MercadoLibre, Inc. 0.21% 4 Bullish 3 8 +3.0%
Showing 50 of 120 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 NVIDIA CORP NVDA 9.24% $111.7M 491,504 29.4 $5.7T Technology
2 ALPHABET INC CL A GOOGL 6.32% $76.4M 224,006 16.9 $4.2T Communication Services
3 AMAZON.COM INC AMZN 5.33% $64.4M 261,264 20.0 $2.7T Consumer Cyclical
4 MICROSOFT CORP MSFT 5.05% $61.0M 119,816 28.8 $3.8T Technology
5 APPLE INC AAPL 4.43% $53.6M 162,655 38.1 $4.9T Technology
6 META PLATFORMS INC CL A META 3.80% $45.9M 62,194 27.1 $1.9T Communication Services
7 TAIWAN SEMIC MFG CO LTD SP ADR TSM 2.23% $27.0M 58,989 29.0 $2.5T Technology
8 EXXONMOBIL HOLDINGS CORP XOM 2.02% $24.4M 151,204 21.1 $679.7B Energy
9 BROADCOM INC AVGO 1.94% $23.5M 66,123 44.1 $1.7T Technology
10 VISA INC CL A V 1.89% $22.9M 62,524 30.6 $673.4B Financial Services
11 ELI LILLY & CO LLY 1.76% $21.3M 17,943 38.2 $1.1T Healthcare
12 SEAGATE TECHN HOLDINGS PLC STX 1.70% $20.5M 22,436 58.4 $190.4B Technology
13 BOEING CO BA 1.67% $20.2M 107,810 72.5 $153.0B Industrials
14 WESTERN DIGITAL CORP WDC 1.57% $18.9M 41,750 15.3 $143.1B Technology
15 WELLS FARGO & CO WFC 1.36% $16.5M 204,457 11.5 $243.3B Financial Services
16 SHELL PLC SPONS ADR SHEL 1.24% $15.0M 157,624 10.4 $268.3B Energy
17 GE AEROSPACE GE 1.24% $14.9M 46,981 36.3 $321.2B Industrials
18 BANK OF AMERICA CORPORATION BAC 1.19% $14.3M 261,033 12.2 $381.4B Financial Services
19 WESTINGHOUSE AIR BRAKE TEC CRP WAB 1.16% $14.0M 48,143 38.6 $48.6B Industrials
20 KEURIG DR PEPPER INC KDP 1.02% $12.3M 397,973 30.6 $41.3B Consumer Defensive
21 MERCK & CO INC NEW MRK 0.99% $11.9M 79,954 114.5 $356.4B Healthcare
22 THERMO FISHER SCIENTIFIC INC TMO 0.96% $11.5M 16,994 35.2 $242.1B Healthcare
23 UNITEDHEALTH GROUP INC UNH 0.96% $11.6M 30,948 23.9 $337.7B Healthcare
24 ADVANCED MICRO DEVICES INC AMD 0.95% $11.5M 18,868 160.9 $1.0T Technology
25 CHUBB LTD 0VQD.L 0.93% $11.2M 33,872 11.6 $129.6B Financial Services
26 GE VERNOVA INC GEV 0.85% $10.3M 10,708 28.0 $263.3B Industrials
27 BANK OF NEW YORK MELLON CORP BNY 0.80% $9.7M 66,061 16.8 $99.8B Financial Services
28 KLA CORP KLAC 0.77% $9.3M 47,332 56.2 $270.3B Technology
29 SK HYNIX INC 000660.KS 0.76% $9.1M 7,005 8.0 $1306.8T Technology
30 BRITISH AMERICAN TOBACCO PLC BATS.L 0.75% $9.1M 166,090 13.6 $85.4B Consumer Defensive
31 ROBINHOOD MARKETS INC HOOD 0.75% $9.1M 78,031 48.8 $101.4B Financial Services
32 IMPERIAL OIL LTD IMO.TO 0.75% $9.0M 74,118 20.0 $86.7B Energy
33 COCA COLA CO KO 0.72% $8.8M 100,869 25.7 $368.5B Consumer Defensive
34 AMPHENOL CORPORATION CL A APH 0.72% $8.8M 103,832 41.4 $214.4B Technology
35 HOME DEPOT INC HD 0.71% $8.6M 29,730 19.8 $282.0B Consumer Cyclical
36 PHILIP MORRIS INTL INC PM 0.71% $8.6M 44,450 26.9 $292.2B Consumer Defensive
37 LOWES COS INC LOW 0.71% $8.6M 46,062 15.3 $101.4B Consumer Cyclical
38 APOLLO GLOBAL MANAGEMENT INC APO 0.69% $8.3M 70,101 24.7 $65.7B Financial Services
39 SALESFORCE INC CRM 0.69% $8.4M 37,219 21.3 $192.2B Technology
40 PACCAR INC PCAR 0.68% $8.3M 73,869 23.0 $57.7B Industrials
41 DANAHER CORP DHR 0.68% $8.3M 36,489 37.9 $150.5B Healthcare
42 DELL TECHNOLOGIES INC CL C DELL 0.66% $7.9M 14,686 32.2 $373.6B Technology
43 ALLISON TRANSMISSION HLDGS INC ALSN 0.66% $8.0M 70,496 18.6 $9.8B Consumer Cyclical
44 SCHWAB CHARLES CORP SCHW 0.65% $7.9M 79,441 17.5 $168.2B Financial Services
45 GILEAD SCIENCES INC GILD 0.61% $7.4M 48,670 -55.7 $179.5B Healthcare
46 ARISTA NETWORKS INC ANET 0.61% $7.4M 36,568 64.6 $261.1B Technology
47 ASML HLDG NV (NY REG SHS) NEW ASML 0.59% $7.1M 3,878 60.0 $719.7B Technology
48 VENTAS INC REIT VTR 0.57% $6.9M 79,402 152.7 $40.8B Real Estate
49 UNITED PARCEL SERVICE INC CL B UPS 0.56% $6.8M 72,232 17.3 $79.0B Industrials
50 CUMMINS INC CMI 0.55% $6.7M 12,842 26.9 $72.9B Industrials

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms