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total market cap:
ยฃ103.333 T
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Watchlist
Account
Fidelity High Dividend ETF
FDVV
#290
ETF rank
ยฃ6.35 B
Marketcap
๐บ๐ธ US
Market
ยฃ43.35
Share price
-1.45%
Change (1 day)
7.09%
Change (1 year)
% Dividend and Income ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Premium/Discount
Fees (Expense ratio)
Holdings
More
Cost to borrow
Premium/Discount
Fees (Expense ratio)
Distributions
Fidelity High Dividend ETF - Holdings
Etf holdings as of
January 30, 2026
Number of holdings:
109
Full holdings list
Weight %
Name
Ticker
6.57%
NVIDIA Corp
NVDA
5.39%
Apple Inc
AAPL
4.48%
Microsoft Corp
MSFT
2.78%
Broadcom Inc
AVGO
2.62%
JPMorgan Chase & Co
JPM
2.58%
ABN AMRO Bank NV
ABN
2.35%
Exxon Mobil Corp
XOM
2.17%
Philip Morris International Inc
PM
2.01%
Citigroup Inc
C
1.95%
Coca-Cola Co
KO
1.91%
Visa Inc Class A
V
1.84%
Bank of America Corp
BAC
1.76%
Wells Fargo & Co
WFC
1.74%
The Hershey Co
HSY
1.71%
Chevron Corp
CVX
1.69%
Procter & Gamble Co
PG
1.66%
Altria Group Inc
MO
1.66%
PepsiCo Inc
PEP
1.62%
NextEra Energy Inc
NEE
1.61%
Svenska Handelsbanken AB Class A
SHB A
1.58%
Alphabet Inc Class A
GOOGL
1.54%
CME Group Inc Class A
CME
1.50%
U.S. Bancorp
USB
1.49%
The AES Corp
AES
1.37%
American Electric Power Co Inc
AEP
1.33%
Devon Energy Corp
DVN
1.31%
Annaly Capital Management Inc
NLY
1.31%
AGNC Investment Corp
AGNC
1.29%
Edison International
EIX
1.27%
Duke Energy Corp
DUK
1.27%
Southern Co
SO
1.25%
Dominion Energy Inc
D
1.20%
Cisco Systems Inc
CSCO
1.13%
Diamondback Energy Inc
FANG
1.11%
International Business Machines Corp
IBM
1.10%
Blackstone Inc
BX
1.09%
The Kraft Heinz Co
KHC
1.07%
TPG Inc Ordinary Shares - Class A
TPG
1.06%
EOG Resources Inc
EOG
1.02%
Texas Instruments Inc
TXN
1.01%
Prologis Inc
PLD
1.00%
Chord Energy Corp Ordinary Shares - New
CHRD
0.99%
Microchip Technology Inc
MCHP
0.93%
Viper Energy Inc Ordinary Shares - Class A
VNOM
0.92%
Realty Income Corp
O
0.89%
Simon Property Group Inc
SPG
0.87%
Omega Healthcare Investors Inc
OHI
0.87%
Host Hotels & Resorts Inc
HST
0.84%
American Tower Corp
AMT
0.78%
Crown Castle Inc
CCI
0.77%
Dell Technologies Inc Ordinary Shares - Class C
DELL
0.75%
Public Storage
PSA
0.75%
VICI Properties Inc Ordinary Shares
VICI
0.70%
Johnson & Johnson
JNJ
0.70%
Gaming and Leisure Properties Inc
GLPI
0.69%
Meta Platforms Inc Class A
META
0.57%
General Motors Co
GM
0.53%
AbbVie Inc
ABBV
0.50%
The Home Depot Inc
HD
0.49%
Merck & Co Inc
MRK
0.49%
Gilead Sciences Inc
GILD
0.46%
McDonald's Corp
MCD
0.45%
TJX Companies Inc
TJX
0.44%
Ford Motor Co
F
0.42%
CVS Health Corp
CVS
0.42%
HP Inc
HPQ
0.40%
Amgen Inc
AMGN
0.40%
Lowe's Companies Inc
LOW
0.36%
Caterpillar Inc
CAT
0.36%
Pfizer Inc
PFE
0.33%
GE Aerospace
GE
0.31%
RTX Corp
RTX
0.30%
Starbucks Corp
SBUX
0.29%
Nike Inc Class B
NKE
0.29%
UnitedHealth Group Inc
UNH
0.28%
Yamaha Motor Co Ltd
7272
0.24%
Jardine Matheson Holdings Ltd
J36
0.23%
Whirlpool Corp
WHR
0.23%
Lockheed Martin Corp
LMT
0.22%
Stellantis NV
STLAM
0.22%
Fidelity Securities Lending Cash Central Fund
0.21%
CK Hutchison Holdings Ltd
00001
0.19%
Honeywell International Inc
HON
0.18%
Union Pacific Corp
UNP
0.17%
PACCAR Inc
PCAR
0.15%
United Parcel Service Inc Class B
UPS
0.14%
Automatic Data Processing Inc
ADP
0.13%
Singapore Airlines Ltd
C6L
0.13%
Fidelity Cash Central Fund
0.13%
Net Other Assets
0.11%
The Walt Disney Co
DIS
0.10%
Verizon Communications Inc
VZ
0.10%
AT&T Inc
T
0.10%
Randstad NV
RAND
0.07%
Comcast Corp Class A
CMCSA
0.06%
T-Mobile US Inc
TMUS
0.05%
Electronic Arts Inc
EA
0.04%
Fox Corp Class A
FOXA
0.03%
Cashโ
0.03%
Nexstar Media Group Inc
NXST
0.03%
New York Times Co Class A
NYT
0.02%
Us Dollar
0.02%
Sirius XM Holdings Inc
SIRI
0.02%
Warner Music Group Corp Ordinary Shares - Class A
WMG
0.02%
Paramount Skydance Corp Ordinary Shares - Class B
PSKY
0.02%
Omnicom Group Inc
OMC
0.02%
News Corp Class A
NWSA
0.01%
Solstice Advanced Materials Inc
SOLS
0.01%
United States Treasury Bills 0%