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FCNTX

Fidelity Contrafund
1W: -0.3% 1M: -5.9% 3M: -5.0% YTD: -4.5% 1Y: +15.9% 3Y: +103.4% 5Y: +94.6%
$22.65
-0.62 (-2.66%)
 
ETF NASDAQ · AUM $166.3B
ETF-Level Metrics
AUM$166.3B
Holdings350
Top 10 Wt54.4%
Beta1.04
% Profitable69%
Coverage95%
Portfolio Valuation
P/E109.6
P/B28.2
P/S26.7
EV/EBITDA15.0
P/FCF179.7
PEG2.74
Profitability & Returns
Gross Margin47.0%
Net Margin24.4%
ROE28.9%
ROA12.7%
ROIC21.0%
Div Yield0.62%
Leverage & Liquidity
Debt/Equity0.54
Debt/Assets0.24
Net Debt/EBITDA0.3x
Interest Cov22.9x
Current Ratio1.86
Quick Ratio1.71
Growth (YoY)
Revenue+23.8%
Net Income+28.1%
EPS+32.6%
FCF+33.5%
EBITDA+29.3%
Rev CAGR 3Y+20.8%
Quality Scores
Piotroski F6.9
Altman Z13.37
IS Quality79.0
IS Overall65.1
IS Value45.3
Median P/E27.8

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 73 29.0% -14.7
Communication Services 21 21.5% 61.6
Financial Services 48 16.7% 7.1
Consumer Cyclical 45 10.1% 128.9
Healthcare 45 5.8% 18.1
Industrials 58 5.4% 42.4
Other 84 4.4%
Consumer Defensive 14 2.3% 15.6
Utilities 10 2.1% 27.3
Basic Materials 22 1.7% 24.1
Energy 13 1.1% 29.0
Real Estate 2 0.2% 89.3

Smart Money Overlap

29 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
NFLX Netflix, Inc. 2.35% 4 Bullish 71 13 -3.9%
JPM JPMorgan Chase & Co. 1.68% 4 Bullish 14 9 -4.8%
AVGO Broadcom Inc. 1.47% 4 Bullish 1 10 -3.8%
GEV GE Vernova Inc. 1.08% 4 Bullish 8 7 -0.1%
BSX Boston Scientific Corporation 0.55% 4 Bullish 8 6 -5.3%
DE Deere & Company 0.37% 4 Bullish 10 3 +24.1%
BK The Bank of New York Mellon Corporation 0.36% 4 Bullish 11 2 -1.8%
C Citigroup Inc. 0.36% 4 Bullish 36 9 -4.2%
REGN Regeneron Pharmaceuticals, Inc. 0.30% 4 Bullish 16 1 -3.3%
DIS The Walt Disney Company 0.26% 4 Bullish 28 3 -4.7%
TMUS T-Mobile US, Inc. 0.18% 4 Bullish 3 1 -1.3%
HD The Home Depot, Inc. 0.18% 4 Bullish 11 11 -1.2%
TRV The Travelers Companies, Inc. 0.17% 4 Bullish 23 1 -4.5%
HLT Hilton Worldwide Holdings Inc. 0.15% 4 Bullish 7 2 -3.7%
SCHW The Charles Schwab Corporation 0.14% 4 Bullish 13 3 -1.1%
WMT Walmart Inc. 0.10% 4 Bullish 21 3 +1.5%
KKR KKR & Co. Inc. 0.08% 4 Bullish 13 1 -4.0%
FERG Ferguson plc 0.07% 4 Bullish 28 1 +0.7%
CRS Carpenter Technology Corporation 0.07% 4 Bullish 10 5 +17.1%
AEP American Electric Power Company, Inc. 0.06% 4 Bullish 26 2 -2.6%
Showing 50 of 435 holdings · Page 1 of 9
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 META PLATFORMS INC META 15.24% $26.7B 36,423,191 22.8 $1.4T Communication Services
2 NVIDIA CORP NVDA 9.49% $16.7B 89,240,050 34.7 $4.2T Technology
3 BERKSHIRE HATHAWAY INC DEL BRK-A 6.74% $11.8B 15,678 15.3 $1.0T Financial Services
4 AMAZON.COM INC AMZN 5.81% $10.2B 46,414,620 28.6 $2.2T Consumer Cyclical
5 MICROSOFT CORP MSFT 5.06% $8.9B 17,152,426 22.8 $2.7T Technology
6 ALPHABET INC GOOGL.SW 3.04% $5.3B 21,968,254 25.7 $2.9T Technology
7 AMPHENOL CORPORATION NEW APH 2.43% $4.3B 34,500,963 35.3 $151.4B Technology
8 APPLE INC AAPL.NE 2.37% $4.2B 16,316,145 31.7 $5.0T Technology
9 NETFLIX INC NFLX 2.35% $4.1B 3,439,862 35.9 $395.4B Communication Services
10 ALPHABET INC GOOG 1.91% $3.4B 13,766,670 25.7 $3.4T Communication Services
11 JPMORGAN CHASE and CO JPM 1.68% $3.0B 9,361,328 14.3 $786.6B Financial Services
12 BROADCOM INC AVGO 1.47% $2.6B 7,798,487 58.7 $1.5T Technology
13 ELI LILLY and CO LLY 1.40% $2.5B 3,215,550 39.0 $847.1B Healthcare
14 VISA INC V.BA 1.27% $2.2B 6,537,976 28.1 $807.2T Financial Services
15 GE AEROSPACE GEC.L 1.27% $2.2B 7,398,786 35.0 $259.9B Industrials
16 GE VERNOVA INC GEV 1.08% $1.9B 3,089,645 48.6 $236.9B Utilities
17 Fidelity Revere Street Trust Private 0.80% $1.4B 1,401,378,216
18 TAIWAN SEMICONDUCTOR MFG CO LTD TSM 0.77% $1.4B 4,850,636 27.8 $1.7T Technology
19 COSTCO WHOLESALE CORP COST 0.68% $1.2B 1,290,185 50.9 $434.6B Consumer Defensive
20 SPACE EXPLORATION TECHNOLOGIES CORP Private 0.67% $1.2B 558,215
21 EXXON MOBIL CORP XOM 0.59% $1.0B 9,134,880 24.8 $689.1B Energy
22 MASTERCARD INC MA.NE 0.57% $1.0B 1,766,904 30.0 $591.3B Financial Services
23 COCA COLA CO KO 0.56% $976.5M 14,723,810 24.5 $321.2B Consumer Defensive
24 BOSTON SCIENTIFIC CORP BSX 0.55% $973.0M 9,966,475 36.0 $104.1B Healthcare
25 AMERICAN EXPRESS CO AXP 0.55% $958.3M 2,885,162 19.0 $206.2B Financial Services
26 MORGAN STANLEY MS 0.54% $956.5M 6,017,312 15.2 $259.2B Financial Services
27 SHOPIFY INC SHOP 0.53% $1.3B 6,303,418 121.8 $150.6B Technology
28 SPACE EXPLORATION TECHNOLOGIES CORP Private 0.52% $908.3M 428,458
29 CONSTELLATION ENERGY CORP CEG 0.51% $898.6M 2,730,809 39.8 $92.2B Utilities
30 WELLS FARGO and CO WFC 0.51% $888.0M 10,593,672 11.8 $243.8B Financial Services
31 GILEAD SCIENCES INC GILD.SW 0.48% $835.7M 7,529,027 $142.5B Healthcare
32 PROGRESSIVE CORP OHIO PGR 0.45% $795.6M 3,221,511 10.6 $118.9B Financial Services
33 PHILIP MORRIS INTERNATIONAL INC PMI.SW 0.45% $790.8M 4,875,341 22.3 $210.2B Consumer Defensive
34 SPACE EXPLORATION TECHNOLOGIES CORP Private 0.43% $760.8M 3,588,892
35 CAPITAL ONE FINANCIAL CORP COF 0.42% $739.7M 3,479,620 40.1 $113.3B Financial Services
36 TJX COMPANIES INC TJX 0.41% $713.5M 4,936,524 32.3 $175.4B Consumer Cyclical
37 ARISTA NETWORKS INC ANET 0.39% $685.6M 4,705,073 43.9 $154.3B Technology
38 GOLDMAN SACHS GROUP INC (THE) GS 0.38% $673.1M 845,260 15.0 $246.7B Financial Services
39 DEERE and CO DE 0.37% $641.5M 1,402,821 32.6 $157.0B Industrials
40 BANK NEW YORK MELLON CORP BK 0.36% $639.2M 5,866,270 14.8 $81.3B Financial Services
41 CITIGROUP INC C 0.36% $634.5M 6,250,910 14.3 $196.6B Financial Services
42 TENCENT HLDGS LTD 80700.HK 0.36% $4.9B 7,401,271 17.8 $4.0T Communication Services
43 LOWES COS INC LOW 0.34% $604.7M 2,406,334 19.8 $132.4B Consumer Cyclical
44 FRANCO NEVADA CORP FNV 0.34% $836.5M 2,700,324 39.3 $43.9B Basic Materials
45 ALNYLAM PHARMACEUTICALS INC ALNY 0.33% $578.2M 1,267,884 138.3 $43.5B Healthcare
46 MERCADOLIBRE INC MELI 0.32% $560.1M 239,691 41.4 $82.7B Consumer Cyclical
47 BOOKING HOLDINGS INC BKNG 0.32% $553.3M 102,472 25.3 $135.8B Consumer Cyclical
48 VERTEX PHARMACEUTICALS INC VRTX 0.31% $541.0M 1,381,442 29.1 $115.2B Healthcare
49 REGENERON PHARMACEUTICALS INC REGN 0.30% $533.1M 948,130 17.3 $78.6B Healthcare
50 TRANE TECHNOLOGIES PLC TT 0.28% $490.6M 1,162,579 31.2 $90.3B Industrials
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms