FIDELITY ADVISOR GROWTH OPPS I - EQUITY FUNDS

Historical Holders from Q2 2016 to Q3 2025

Type / Class
Equity / EQUITY FUNDS
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
14,827
Holdings value
$3,537,954
% of all portfolios
0%
Number of holders
2
Number of buys
1
Number of sells
-2
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIDELITY ADVISOR GROWTH OPPS I - EQUITY FUNDS

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 14,827 $3,537,954 -$579,083 $238.61 2
2025 Q2 17,891 $3,846,806 -$52,033 $215.01 2
2025 Q1 18,133 $3,199,790 -$58,939 $176.46 2
2024 Q4 18,467 $3,689,648 +$434,774 $199.01 2
2024 Q3 16,265 $2,999,957 +$2,198,509 $184.44 1
2024 Q2 4,523 $801,448 $177.19 1
2024 Q1 4,523 $740,835 $163.79 1
2023 Q4 4,523 $643,854 -$13,749 $142.35 1
2023 Q3 4,634 $572,655 +$13,749 $123.72 2
2023 Q2 4,523 $575,235 $127.18 1
2023 Q1 4,523 $506,571 -$230,868 $112 1
2022 Q4 6,883 $673,343 $97.83 2
2022 Q3 4,523 $445,000 $98.39 1
2022 Q2 4,523 $456,000 $100.82 1
2022 Q1 4,523 $622,000 -$34,000 $137.52 1
2021 Q4 4,738 $751,000 +$34,000 $158.33 2
2021 Q3 4,523 $783,000 $173.12 1
2021 Q2 4,523 $794,000 $175.55 1
2021 Q1 4,523 $717,000 $158.52 1
2020 Q4 4,523 $702,000 $155.21 1
2020 Q3 4,523 $622,000 $137.52 1
2020 Q2 4,523 $531,000 $117.4 1
2020 Q1 4,523 $373,000 $82.47 1
2019 Q4 4,523 $437,000 -$133,428 $96.62 1
2019 Q3 5,904 $515,000 -$228,000 $87.23 1
2019 Q2 8,455 $757,000 +$228,000 $89.49 2
2019 Q1 5,904 $509,000 $86.21 1
2018 Q4 5,904 $420,000 $71.14 1
2018 Q3 5,904 $526,000 $89.09 1
2018 Q2 5,904 $481,000 $81.47 1
2018 Q1 5,904 $422,000 $71.48 1
2017 Q4 5,904 $409,000 $69.28 1
2017 Q3 5,904 $412,000 $69.78 1
2017 Q2 5,904 $391,000 $66.23 1
2017 Q1 5,904 $364,000 $61.65 1
2016 Q4 5,904 $325,000 $55.05 1
2016 Q3 5,904 $372,000 $63.01 1
2016 Q2 5,904 $347,000 +$347,000 $58.77 1