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Holding Performance

1%-0% 2%-1% 3%-2% 4%-3% 5%-4% 6%-5%
Top 25 Holdings Portfolio Weight % Shares Owned Shares Change   Sector Mkt Cap (Mil) Total Ret YTD (Daily)  
Google, Inc. Class A 3.52 623,900 0 technology 514.45 27.33
Berkshire Hathaway Inc Class B 2.41 3,313,866 -49,900 financial services 352.33 26.91
General Electric Co 2.40 15,701,178 2,553,600 industrials 349.98 15.15
Wells Fargo & Co 2.38 9,134,455 -21,700 financial services 346.93 20.57
Citigroup Inc 2.09 6,533,716 28,800 financial services 304.86 25.25
Amgen Inc 2.02 2,823,966 64,700 healthcare 294.29 16.15
Procter & Gamble Co 1.96 3,736,500 273,200 consumer defensive 286.85 16.03
Monsanto Company 1.93 2,644,684 235,100 basic materials 282.51 12.67
Apple Inc 1.88 620,659 -55,300 technology 274.80 -19.44
Bank of America Corporation 1.82 21,627,600 3,812,200 financial services 266.24 13.78
CVS Caremark Corp 1.82 4,565,972 -72,300 consumer defensive 265.65 23.14
Home Depot, Inc. 1.76 3,498,700 -193,900 consumer cyclical 256.63 24.03
Comcast Corp Class A 1.70 6,009,800 1,351,500 communication services 248.20 8.15
Oracle Corporation 1.61 7,158,600 541,200 technology 234.66 2.31
Anadarko Petroleum Corp 1.55 2,673,700 86,200 energy 226.62 16.32
Gilead Sciences Inc 1.50 4,315,200 -740,000 healthcare 218.52 37.78
JPMorgan Chase & Co 1.44 4,282,598 150,300 financial services 209.89 23.15
Coca-Cola Co 1.42 4,912,002 2,527,100 consumer defensive 207.93 13.02
Exxon Mobil Corporation 1.38 2,266,224 0 energy 201.67 6.53
Cisco Systems Inc 1.33 9,258,000 9,258,000 technology 193.68 26.47
Merck & Co Inc 1.32 4,103,500 0 healthcare 192.86 18.32
Pfizer Inc 1.29 6,505,300 701,900 healthcare 189.11 17.95
Visa, Inc. 1.13 981,300 -48,700 financial services 165.31 20.92
LyondellBasell Industries NV 1.08 2,595,419 986,200 basic materials 157.54 21.76
TJX Companies 1.02 3,040,600 -82,900 consumer cyclical 148.29 18.02
YTD Return through 06-19-13| Portfolio Holdings as of 04-30-13