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Fidelity® Mid-Cap Stock Fund

  • Symbol: FMCSX
  • No Transaction Fee No Transaction Fee 1
  • Fidelity Fund Pick Fidelity Fund Pick  2
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Major Market Sectors

 3 More Information
AS OF 6/30/2015
Portfolio Weight S&P MidCap 400
Financials 19.27% 24.20%
Information Technology 16.06% 16.65%
Industrials 14.75% 15.56%
Consumer Discretionary 12.26% 14.06%
Health Care 10.96% 9.08%
Energy 9.11% 4.39%
Consumer Staples 4.79% 4.20%
Materials 2.98% 7.26%
Utilities 2.53% 4.42%
Telecommunication Services 0.00% 0.18%
Other 0.00% 0.00%

Asset Allocation

 4, 5, 6, 3 More Information
AS OF 6/30/2015
Fund
Domestic Equities 85.45%
International Equities 7.27%
Developed Markets 6.15%
Emerging Markets 0.97%
Tax-Advantaged Domiciles 0.15%
Bonds 0.00%
Cash & Net Other Assets 7.28%

Top 10 Holdings

 3 More Information
AS OF 6/30/2015
UNITED RENTALS INC
EUROFINS SCIENTIFIC SE
FIRST REPUBLIC BANK
CYTEC INDUSTRIES INC
HENRY SCHEIN INC
UNIVERSAL HEALTH SVCS INC CL B
RADIAN GROUP INC
KKR & CO LP
CONSTELLATION BRANDS INC CL A
ARAMARK
% of Total Portfolio 12.70%
Total # of holdings: 160 as of 6/30/2015
Total # of issuers: 160 as of 6/30/2015

Historical Fund Information

More Information
Fund Closed to New Accounts: This fund is closed to new investors. 4/28/2006  - 10/13/2008

Equity StyleMap®*

 7 More Information
AS OF 5/31/2015
Capitalization
LG
MD current
SM
Value Blend Growth
Style
Current
Historical

Mid-Cap Growth

Invest in companies with market values between $2 billion and $10 billion that fund managers believe are poised for growth. Growth can be based on a variety of factors, such as revenue or earnings growth. Growth funds are typically focused on generating capital gains rather than income.

*92.68%  Fund Assets Covered

Regional Diversification

 3 More Information
AS OF 6/30/2015
United States
92.74%
Europe
5.61%
Emerging Markets
0.97%
Canada
0.53%
Other
0.15%
Japan
0.00%
Asia-Pacific ex Japan
0.00%

Country Diversification

 3 More Information
AS OF 6/30/2015
USA
92.74%
France
1.44%
United Kingdom
1.34%

Currency Diversification

 3 More Information
AS OF 6/30/2015
U.S. Dollar
95.47%
European Monetary Unit (Euro)
2.95%
UK Pound
1.05%
Canadian Dollar
0.53%

Fund Facts

More Information
Fiscal Year End
April
Fund Inception
3/29/1994
Fund Number
337
Fund Symbol
FMCSX
Order Cutoff Time
04:00 PM EST

Characteristics & Attribution

Fund characteristics and performance attribution information provides a framework for examining performance of a fund vs. its benchmark based on relative asset weightings. Click here to see Fund Characteristics and Attribution.

The "Mutual Funds" area at the top of each page allows access to mutual fund holdings with individual and joint Fidelity non-retirement accounts. Individual stock positions, ETFs and 529 funds are not available through this view. For the full list of your holdings visit Portfolio Summary.

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2015 Morningstar, Inc. All rights reserved. The Morningstar information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or redistributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Fidelity does not review the Morningstar data and, for fund performance, you should check the fund's current prospectus or other product materials for the most up-to-date information concerning applicable loads, fees and expenses.

1. No Transaction Fee Fidelity funds are available without paying a trading fee to Fidelity or a sales load to the fund. However, the fund may charge a short-term trading or redemption fee to protect the interests of long-term shareholders of the fund. Shares are subject to the fund's management and operating expenses. See Expenses & Fees for more information.

2. The funds on the Fund Picks From Fidelity list are selected based on certain selection criteria. Fund Picks From Fidelity is not a personalized recommendation or endorsement of any fund for an investor's individual circumstances.

3. Any holdings, asset allocation, diversification breakdowns or other composition data shown are as of the date indicated and are subject to change at any time. They may not be representative of the fund's current or future investments. The Top Ten holdings do not include money market instruments or futures contracts, if any. Depository receipts are normally combined with the underlying security. Some breakdowns may be intentionally limited to a particular asset class or other subset of the fund's entire portfolio, particularly in multi-asset class funds where the attributes of the equity and fixed income portions are different.

Under the asset allocation section, international (or foreign) assets may be reported differently depending on how an investment option reports its holdings. Some do not report international (or foreign) holdings here, but instead report them in a "Regional Diversification" section. Some report them in this section in addition to the equity, bond and other allocation shown. Others report international (or foreign) holding as a subset of the equity and bond allocations shown. If the allocation without the foreign component equals (or rounds to) 100%, then international (or foreign) is a subset of the equity and bond percentage shown.

4. The percent of net assets invested in both domestic and foreign Equities (common stocks, preferred stocks, rights and warrants, convertible preferred stocks and stock index futures and options), Bond (all debt instruments, including investment grade, non-investment grade, non-rated securities and convertible bonds), and Cash & Net Other Assets (cash, repurchase agreements, receivables and payables).

5. Net Other Assets can include fund receivables, fund payables, and offsets to other derivative positions, as well as certain assets that do not fall into any of the Portfolio Composition categories. Depending on the extent to which the fund invests in derivatives and the number of positions that are held for future settlement, Net Other Assets can be a negative number.

6. "Tax-Advantaged Domiciles" represent countries whose tax policies may be favorable for company incorporation.

7. StyleMap depictions of mutual fund characteristics are produced using data and calculations provided by Morningstar, Inc. StyleMapsSM estimate characteristics of a fund's equity holdings over two dimensions: market capitalization and valuation. The percentage of fund assets represented by these holdings is indicated beside each StyleMap. Current StyleMap characteristics are calculated each time Morningstar receives updated portfolio holdings from a fund and are denoted with a dot. Historical StyleMap characteristics are calculated for the shorter of either the past 3 years or the life of the fund, and are represented by the shading of the box(es) previously occupied by the dot. StyleMap characteristics represent an approximate profile of the fund's equity holdings (e.g., domestic stocks, foreign stocks, and American Depositary Receipts), are based on historical data, and are not predictive of the fund's future investments. Although the data are gathered from reliable sources, accuracy and completeness cannot be guaranteed.

Generally, data on Fidelity mutual funds is provided by FMR, LLC, Morningstar ratings and data on non-Fidelity mutual funds is provided by Morningstar, Inc. and data on non-mutual fund products is provided by the product's investment manager, trustee or issuer or the plan sponsor whose plan is offering the product to participants. Although Fidelity believes the data gathered from these third-party sources is reliable, it does not review such information and cannot warrant it to be accurate, complete or timely. Fidelity is not responsible for any damages or losses arising from any use of this third-party information.

Before investing, consider the investment objectives, risks, charges and expenses of the fund or annuity and its investment options. Contact Fidelity for a free prospectus and, if available, summary prospectus containing this information. Read it carefully.

Morningstar Category: Mid-Cap Growth
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