DJ CFA SOURCE: SEC 13F-HR
FILER: Fidelity Management & Research Co.
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
Up to 200 of the largest sales of Fidelity Management &
Research Co. are listed below, ordered by the number of shares sold
during the three months ended Sep. 30.
Company Name Value Holdings Change
ORACLE CORP COM $2,128,558,671 64,171,199 (40,549,626)
COCA COLA CO COM $4,268,086,196 112,673,870 (38,117,897)
ELAN CORP PLC ADR $10,184,646 653,700 (34,311,720)
SIRIUS XM RADIO INC COM $41,119,884 10,611,583 (34,065,957)
CERNER CORP COM $1,643,542,607 31,275,787 (30,761,963)
GENERAL ELECTRIC CO COM $2,893,941,620 121,136,108 (30,278,446)
COMCAST CORP CL A $3,665,625,195 81,250,697 (30,207,873)
PULTEGROUP INC COM $250,458,500 15,179,303 (20,953,381)
PFIZER INC COM $2,035,809,087 70,872,379 (19,938,182)
GILEAD SCIENCES INC COM $5,428,390,446 86,343,096 (18,800,676)
KINROSS GOLD CORP COM $14,696,747 2,910,247 (16,814,448)
ELDORADO GOLD CORP COM $78,520,058 11,701,946 (16,326,203)
VANTAGE DRILLING CO COM $47,152,017 27,255,501 (16,287,738)
MERCK & CO INC COM $2,323,074,252 48,794,855 (15,764,833)
WELLS FARGO & CO COM $6,742,433,146 163,176,020 (15,588,610)
HOST HOTELS & RESORTS (MARRIOT $508,641,676 28,785,607 (15,380,182)
AMGEN INC COM $4,337,746,161 38,755,829 (14,730,733)
HALLIBURTON CO COM $973,392,118 20,215,828 (14,509,482)
TURQUOISE HILL RESOURCES LTD $83,820,955 18,964,017 (13,977,816)
JUNIPER NETWORKS INC COM $703,190,666 35,407,385 (13,463,769)
EDUCATION REALTY TRUST INC CO $6,780,128 745,069 (13,346,807)
GOLDCORP INC COM $247,480,338 9,514,815 (13,287,122)
GENERAL GROWTH PROPERTIES INC $203,774,738 10,563,750 (13,131,056)
ACCENTURE PLC CL A $948,638,065 12,882,103 (13,018,233)
NEW GOLD INC COM $27,048,856 4,523,220 (12,673,713)
VODAFONE GROUP PLC ADR $1,034,906,982 29,417,481 (12,655,831)
LEXICON PHARMACEUTICALS INC C $153,066,894 64,313,821 (12,639,969)
BROADCOM CORP CL A $698,218,338 26,833,910 (12,524,569)
MICRON TECHNOLOGY INC COM $533,765,015 30,554,984 (12,196,916)
CISCO SYSTEMS INC COM $2,948,478,523 125,836,649 (12,154,663)
ABBOTT LABS COM $95,692,114 2,883,161 (11,887,859)
VERIZON COMMUNICATIONS INC CO $1,312,048,253 28,110,300 (11,287,048)
LOWES COS INC COM $967,067,794 20,312,283 (11,256,778)
TEXTRON INC COM $449,608,557 16,284,265 (10,856,244)
HOME DEPOT INC COM $2,321,992,561 30,612,954 (10,844,399)
TALISMAN ENERGY INC COM $128,326,120 11,158,793 (10,516,588)
PROCTER & GAMBLE CO COM $3,385,953,969 44,793,676 (10,410,974)
FIRST HORIZON NATIONAL CORP C $9,005,613 819,437 (10,283,009)
WAL MART STORES INC COM $1,399,758,529 18,925,886 (10,278,262)
EXPRESS SCRIPTS HOLDING CO CO $615,255,400 9,955,589 (10,100,648)
WALT DISNEY CO COM $3,079,558,596 47,752,498 (10,088,781)
SWISHER HYGIENE INC COM $994,334 1,638,112 (10,027,572)
PMC SIERRA INC COM $52,686,879 7,958,743 (9,687,925)
YAMANA GOLD INC COM $11,549,418 1,110,521 (9,397,500)
EXXON MOBIL CORP COM $2,244,331,374 26,084,744 (9,232,224)
ALCATEL LUCENT SA ADR A $29,941,072 8,481,890 (9,217,748)
APPLIED MATERIALS INC COM $453,039,626 25,842,201 (9,128,777)
SONUS NETWORKS INC COM $11,072,701 3,285,668 (9,017,799)
COMPUWARE CORP COM $74,542,778 6,661,553 (8,726,099)
HERTZ GLOBAL HOLDINGS INC COM $321,467,032 14,506,635 (8,724,772)
NOVAVAX INC COM $35,004,681 11,112,597 (8,607,260)
CYPRESS SEMICONDUCTOR CORP CO $121,380,448 12,988,812 (8,508,764)
MONSANTO CO COM $2,584,073,034 24,758,772 (8,349,059)
PG&E CORP COM $219,861,851 5,372,968 (8,265,698)
JOHNSON & JOHNSON COM $2,313,232,492 26,683,960 (8,114,764)
NEW RESIDENTIAL INVESTMENT CO $728,200 110,000 (8,107,200)
BARRICK GOLD CORP COM $146,963,750 7,892,790 (8,036,734)
EBAY INC COM $2,096,314,285 37,571,723 (7,999,464)
SYMANTEC CORP COM $306,402,550 12,379,901 (7,946,971)
CVS CAREMARK CORP COM $2,925,324,030 51,547,560 (7,783,117)
OCCIDENTAL PETROLEUM CORP COM $1,560,376,472 16,681,382 (7,368,572)
AES CORP COM $348,198,306 26,200,023 (7,367,047)
ACTIVE NETWORK INC COM $1,928,716 134,781 (7,224,000)
VELTI PLC ORD $1,640,809 4,520,135 (7,190,791)
DISCOVER FINANCIAL SERVICES C $603,875,522 11,948,467 (7,144,377)
BROCADE COMMUNICATIONS SYSTEMS $87,413,565 10,858,828 (7,064,301)
MANNKIND CORP COM $3,296,310 578,300 (6,934,968)
ACHILLION PHARMACEUTICALS INC $12,994,230 4,302,725 (6,898,657)
SOUTHWEST AIRLINES CO COM $206,978,961 14,215,588 (6,865,097)
GOLD FIELDS LTD ADR $662,650 145,000 (6,695,726)
VENTAS INC COM $795,406,560 12,933,440 (6,686,470)
JETBLUE AIRWAYS CORP COM $79,588,705 11,941,291 (6,494,000)
FOREST CITY ENTERPRISES INC C $43,788,030 2,311,934 (6,397,747)
AVANIR PHARMACEUTICALS INC CL $26,801,517 6,336,056 (6,342,654)
HCP INC COM $372,890,946 9,106,006 (6,332,498)
DDR CORP COM $243,526,099 15,501,343 (6,319,557)
LIONBRIDGE TECHNOLOGIES INC C $5,080,894 1,376,936 (6,286,475)
MARATHON PETROLEUM CORP COM $223,776,870 3,479,118 (6,034,741)
KIMCO REALTY CORP COM $228,768,835 11,336,414 (6,014,508)
SANDISK CORP COM $176,076,284 2,958,768 (6,004,254)
IAMGOLD CORP COM $8,738,998 1,839,789 (5,906,963)
SKYWORKS SOLUTIONS INC COM $351,963,723 14,169,232 (5,897,440)
SPECTRUM PHARMACEUTICALS INC $3,414,389 407,445 (5,831,235)
MCDONALDS CORP COM $1,088,329,156 11,312,017 (5,755,977)
ZIOPHARM ONCOLOGY INC COM $2,839,164 720,600 (5,684,271)
COVIDIEN PLC COM $465,564,232 7,639,715 (5,579,187)
SUPERIOR ENERGY SERVICES INC $135,216,000 5,400,000 (5,478,400)
DUKE REALTY CORP COM $146,246,877 9,471,948 (5,376,671)
DIRECTV COM $448,591,750 7,504,044 (5,312,261)
HEWLETT PACKARD CO COM $535,096,202 25,492,911 (5,266,312)
MAXIMUS INC COM $29,106,650 646,240 (5,174,464)
LENNAR CORP CL A $419,386,526 11,847,077 (5,128,962)
INTUIT INC COM $204,682,857 3,086,757 (5,093,418)
FIDELITY NATIONAL INFO SERVICE $1,150,223,366 24,767,945 (5,066,957)
DISCOVERY COMMUNICATIONS INC $1,586,732,825 18,795,698 (5,060,730)
QUANTUM CORP DSSG COM $29,739,259 21,550,188 (4,991,340)
EQUITY RESIDENTIAL SBI $437,846,574 8,173,354 (4,986,965)
ENSCO PLC CL A $628,362,440 11,690,464 (4,976,821)
IRONWOOD PHARMACEUTICALS INC $115,330,977 9,740,792 (4,949,761)
AMERICAN TOWER CORP CL A $1,263,784,771 17,048,223 (4,910,759)
DEUTSCHE BANK AG ORD $86,270,274 1,880,346 (4,902,760)
AGNICO EAGLE MINES LTD COM $4,044,616 152,800 (4,882,030)
INTERMUNE INC COM $76,180,477 4,953,217 (4,879,431)
SUNSTONE HOTEL INVESTORS INC $109,176,449 8,569,580 (4,842,387)
CAMERON INTERNATIONAL CORP CO $527,359,175 9,034,764 (4,795,858)
WILLIAMS COMPANIES INC COM $913,208,961 25,115,758 (4,727,309)
FORD MOTOR CO COM $759,452,209 45,017,914 (4,686,198)
PHILLIPS 66 COM $319,389,701 5,523,862 (4,646,530)
SAFEWAY INC COM $445,545,843 13,927,660 (4,584,952)
GLIMCHER REALTY TRUST SBI $140,025,298 14,361,569 (4,577,636)
ACADIA PHARMACEUTICALS INC CO $240,159,662 8,742,616 (4,512,119)
PROLOGIS INC COM $715,821,359 19,027,681 (4,466,208)
URBAN OUTFITTERS INC COM $177,212,647 4,819,490 (4,427,419)
NVIDIA CORP COM $1,188,694,328 76,394,237 (4,408,389)
DCT INDUSTRIAL TRUST INC COM $185,478,165 25,796,685 (4,388,000)
STATE STREET CORP COM $421,142,755 6,405,213 (4,387,533)
SIMON PROPERTY GROUP INC COM $1,382,726,794 9,328,252 (4,336,152)
NEUROCRINE BIOSCIENCES INC CO $48,424,458 4,277,779 (4,316,243)
DELTA AIR LINES INC COM $628,917,232 26,660,332 (4,298,391)
TESLA MOTORS INC COM $2,218,312,988 11,471,857 (4,267,819)
TARGACEPT INC COM $2,217,629 417,554 (4,239,910)
ENBRIDGE INC COM $625,043,978 14,974,700 (4,228,712)
JABIL CIRCUIT INC COM $428,237,344 19,752,645 (4,215,105)
DOUGLAS EMMETT INC COM $133,775,526 5,699,852 (4,204,577)
SUN LIFE FINANCIAL INC COM $338,357,980 10,583,609 (4,194,322)
AMERICAN WOODMARK CORP COM AMWD (140,999)
SMTC CORP COM SMTX (139,852)
LANDAUER INC COM LDR (139,101)
AMERICAN AXLE & MFG HOLDINGS AXL (136,900)
JPMORGAN ALERIAN MLP INDEX ETN AMJ (135,300)
REACHLOCAL INC COM RLOC (129,675)
MDU RESOURCES GROUP INC COM MDU (126,400)
ROCKY BRANDS INC COM RCKY (125,000)
ANAREN INC COM ANEN (124,900)
NIPPON TELEGRAPH & TELEPHONE NTT (122,400)
AIXTRON SE ADR AIXG (121,200)
MADISON SQUARE GARDEN CO CL A MSG (119,450)
PHARMATHENE INC COM PIP (116,702)
MARTHA STEWART LIVING OMNIMEDI MSO (115,933)
ISHARES US MEDICAL DEVICES ETF IHI (114,031)
DINEEQUITY INC COM DIN (111,900)
FLUSHING FINANCIAL CORP COM FFIC (111,500)
DFC GLOBAL CORP COM DLLR (104,476)
PHH CORP COM PHH (100,100)
GOLD RESOURCE CORP COM GORO (100,000)
ISHARES US PHARMACEUTICALS ETF IHE (98,689)
LANCASTER COLONY CORP COM LANC (93,400)
MODINE MANUFACTURING CO COM MOD (93,200)
SILVER STANDARD RESOURCES INC SSRI (92,900)
BSB BANCORP INC COM BLMT (84,457)
SIFCO INDUSTRIES INC COM SIF (83,375)
SPARTAN MOTORS INC COM SPAR (80,000)
MEREDITH CORP COM MDP (78,600)
ENTERCOM COMMUNICATIONS CORP ETM (76,053)
CAPSTEAD MORTGAGE CORP COM CMO (74,200)
EXTERRAN PARTNERS LP COM EXLP (72,199)
TUMI HOLDINGS INC COM TUMI (67,400)
13F data provided by: FactSet Research Systems Inc.; Please send
questions to lionsharesinfo@factset.com. Copyright, FactSet
Research Systems, 2013. All Rights Reserved.
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