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 purchases of Fidelity Management & Research Co. are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
METLIFE INC  COM                $1,987,455,333    42,331,317    41,857,755 
BANK OF AMERICA CORP  COM       $3,572,085,895   258,846,804    40,269,960 
FACEBOOK INC  CL A              $5,639,553,811   112,274,613    37,463,744 
YAHOO INC  COM                  $2,526,021,712    76,153,805    19,853,922 
MICROSOFT CORP  COM             $5,619,423,281   168,852,863    16,995,022 
NOKIA OYJ  ADR                    $210,504,490    32,340,527    15,147,492 
BOSTON SCIENTIFIC CORP  COM     $1,823,790,909   155,348,459    14,407,706 
CONOCOPHILLIPS  COM             $1,135,271,866    16,332,497    13,248,761 
TWENTY FIRST CENTURY FOX INC    $1,537,003,304    45,867,004    11,494,325 
MORGAN STANLEY  COM             $1,368,972,844    50,796,766     8,913,071 
NEWS CORP  CL A                   $135,158,663     8,415,857     8,415,857 
ACCURAY INC  COM                   $60,628,914     8,215,300     7,553,600 
WHITEWAVE FOODS CO  CL A          $163,678,114     8,196,200     7,080,700 
GROUPON INC  CL A                  $88,420,552     7,886,946     7,020,746 
MURPHY USA INC  COM               $281,747,756     6,975,681     6,975,681 
QUALCOMM INC  COM               $2,826,117,027    41,980,348     6,511,202 
COUSINS PROPERTIES INC  COM       $185,364,317    18,014,025     6,244,016 
LIONS GATE ENTERTAINMENT CORP     $576,089,055    16,436,207     6,165,611 
TOTAL SYSTEMS SERVICES INC  CO    $524,369,135    17,823,560     5,970,255 
AMERICAN INTERNATIONAL GROUP      $995,978,240    20,480,737     5,691,917 
SPIRIT AIRLINES INC  COM          $356,035,725    10,389,137     5,567,499 
SUNCOR ENERGY INC  COM          $1,784,780,250    49,882,064     5,382,382 
CHARLES SCHWAB CORP  COM          $775,271,173    36,673,187     5,272,550 
SERVICENOW INC  COM             $1,024,483,715    19,720,572     5,207,374 
RIVERBED TECHNOLOGY INC  COM      $263,082,984    18,031,733     5,078,328 
H&R BLOCK INC  COM                $682,267,071    25,591,413     4,947,465 
TRANSALTA CORP  COM               $127,986,234     9,875,481     4,824,492 
TELUS CORP  COM                   $419,489,408    12,665,743     4,733,884 
NV ENERGY INC  COM                $458,928,488    19,437,886     4,698,020 
VERISK ANALYTICS INC  CL A        $882,420,343    13,584,057     4,627,601 
AKAMAI TECHNOLOGIES INC  COM      $422,672,575     8,175,485     4,617,093 
FIDELITY NATIONAL FINANCIAL  C    $229,634,714     8,632,884     4,440,898 
XCEL ENERGY INC  COM              $126,361,693     4,576,664     4,390,658 
INVENSENSE INC  COM               $145,563,947     8,261,291     4,344,417 
BIG LOTS INC  COM                 $176,178,650     4,750,031     4,200,031 
DANAHER CORP  COM               $2,646,089,417    38,172,092     4,147,635 
GENWORTH FINANCIAL INC  CL A      $403,177,805    31,498,266     4,138,524 
FREEPORT MCMORAN COPPER  CL B     $227,149,444     6,866,670     4,132,749 
SPRINT CORP  COM                   $25,651,298     4,124,666     4,124,666 
TRIMBLE NAVIGATION LTD  COM       $171,866,557     5,784,805     4,090,791 
FINANCIAL SELECT SECTOR SPDR F    $364,139,980    18,293,895     4,071,086 
CDW CORP  COM                      $92,052,843     4,032,100     4,032,100 
BANK OF MONTREAL  COM             $509,796,508     7,629,400     3,959,096 
TEVA PHARMACEUTICAL INDUSTRIES    $271,337,698     7,182,046     3,896,957 
AMERICAN EAGLE OUTFITTERS INC     $147,201,927    10,521,939     3,867,738 
NCR CORP  COM                     $707,464,585    17,860,757     3,580,881 
LKQ CORP  COM                     $475,350,069    14,915,283     3,562,696 
MYLAN (MYLAN LABS) INC  COM       $307,339,534     8,051,861     3,562,093 
CABOT OIL & GAS CORP  CL A        $966,000,621    25,884,261     3,561,303 
LIBERTY GLOBAL PLC  CL A          $668,325,137     8,422,497     3,423,341 
INTREPID POTASH INC  COM           $51,721,327     3,298,554     3,298,554 
SS&C TECHNOLOGIES HOLDINGS INC    $450,829,147    11,832,786     3,266,368 
XILINX INC  COM                   $222,123,589     4,741,064     3,258,109 
BANCO BILBAO VIZCAYA ARG  ADR     $189,336,285    16,935,267     3,132,800 
PERRIGO CO  COM                   $889,314,033     7,207,927     3,084,546 
SPROUTS FARMERS MARKETS INC  C    $133,325,187     3,003,496     3,003,496 
NEONODE INC  COM                   $30,331,168     4,724,481     2,992,459 
GENERAL MOTORS CO  COM            $571,119,754    15,877,669     2,948,555 
CAVIUM INC  COM                   $149,751,000     3,634,733     2,922,256 
LIFE TECHNOLOGIES CORP  COM       $293,852,322     3,926,932     2,883,894 
LORILLARD INC  COM              $1,010,480,806    22,565,449     2,878,836 
POTASH CORP OF SASKATCHEWAN  C    $289,576,977     9,257,576     2,878,178 
ACTIVISION BLIZZARD INC  COM      $734,483,634    44,033,791     2,850,652 
SINCLAIR BROADCAST GROUP INC      $221,782,532     6,616,424     2,837,134 
DEMAND MEDIA INC  COM              $28,041,347     4,436,922     2,832,116 
DEL FRISCOS RESTAURANT GROUP       $56,804,643     2,819,089     2,819,089 
LOUISIANA PACIFIC CORP  COM        $48,974,078     2,784,200     2,784,200 
MCGRAW HILL FINANCIAL INC  COM    $623,326,235     9,503,373     2,774,402 
VERA BRADLEY INC  COM              $99,545,302     4,847,592     2,770,422 
SPECTRA ENERGY CORP  COM          $130,803,818     3,821,321     2,770,416 
WORLD FUEL SERVICES CORP  COM     $259,715,731     6,961,022     2,743,462 
UNITED CONTINENTAL HOLDINGS IN    $644,517,188    20,987,209     2,726,797 
INGRAM MICRO INC  CL A            $317,677,866    13,782,120     2,725,420 
MONDELEZ INTERNATIONAL INC  CL  $1,003,827,236    31,947,654     2,699,838 
EATON CORP PLC  COM               $984,493,575    14,301,185     2,694,613 
PETROBRAS  ADR                    $102,921,539     6,644,386     2,643,100 
ON SEMICONDUCTOR CORP  COM        $143,369,478    19,615,471     2,623,066 
SYNOVUS FINANCIAL CORP  COM        $84,152,181    25,500,661     2,617,398 
ALTISOURCE RESIDENTIAL CL B       $112,104,000     4,878,329     2,437,889 
GREEN MOUNTAIN COFFEE ROASTERS  $1,672,392,441    22,200,882     2,428,120 
AMETEK INC  COM                   $582,861,616    12,665,398     2,413,617 
UNDER ARMOUR INC  CL A            $991,097,833    12,474,485     2,387,400 
PNC FINANCIAL SERVICES GROUP    $1,371,528,491    18,930,690     2,288,107 
KAR AUCTION SERVICES INC  COM     $228,366,777     8,095,242     2,281,202 
NXP SEMICONDUCTORS NV  COM        $750,615,153    20,172,404     2,274,762 
STARBUCKS CORP  COM             $3,523,004,338    45,771,136     2,244,397 
INFOBLOX INC  COM                 $113,915,547     2,723,949     2,235,393 
ELECTRONIC ARTS INC  COM          $754,638,004    29,535,734     2,221,992 
WORKDAY INC  CL A                 $838,256,026    10,357,791     2,212,706 
NORTHSTAR REALTY FINANCE CORP      $83,604,726     9,009,130     2,204,072 
SHUTTERSTOCK INC  COM             $195,614,182     2,689,964     2,200,155 
FLEETMATICS GROUP PLC  COM        $105,517,528     2,810,054     2,173,254 
AO SMITH CORP  COM                $152,752,225     3,379,474     2,148,674 
MOSAIC CO  COM                     $99,130,728     2,304,294     2,142,227 
SPLUNK INC  COM                   $645,095,937    10,744,436     2,135,683 
INTERPUBLIC GROUP OF COS  COM     $119,027,730     6,928,273     2,107,095 
MANULIFE FINANCIAL CORP  COM      $969,530,487    58,546,527     2,075,458 
PAREXEL INTERNATIONAL CORP  CO    $218,259,108     4,347,791     2,048,226 
AIRGAS INC  COM                   $486,429,504     4,586,794     2,028,045 
TCF FINANCIAL CORP  COM           $313,565,952    21,958,400     2,000,000 
CELLDEX THERAPEUTICS INC  COM     $235,904,526     6,658,327     1,990,106 
MATERIALS SELECT SECTOR SPDR F     $83,052,846     1,976,978     1,976,978 
TRANSGLOBE ENERGY CORP  COM        $55,828,036     7,101,900     1,974,900 
LINKEDIN CORP  CL A             $2,053,472,569     8,345,414     1,944,602 
DRYSHIPS INC  ORD                  $30,473,028     8,608,200     1,930,100 
CGI GROUP INC  CL A SUB-VTG       $958,795,356    27,316,107     1,885,600 
INTREXON CORP  COM                 $44,656,455     1,885,034     1,885,034 
LAS VEGAS SANDS CORP  COM         $713,998,063    10,749,745     1,881,149 
CABELAS INC  CL A VTG             $295,243,172     4,684,169     1,871,555 
NIKE INC  CL B                  $2,394,055,173    32,957,808     1,855,195 
MOVE INC  COM                      $42,689,192     2,516,903     1,841,903 
IXIA  COM                          $28,851,588     1,841,199     1,841,199 
TRIPADVISOR INC  COM            $1,183,966,832    15,611,377     1,827,562 
INVESCO LTD  COM                  $625,854,011    19,619,248     1,812,523 
SOUTHERN COPPER CORP  COM          $64,142,028     2,354,700     1,806,400 
INTEGRATED DEVICE TECHNOLOGY       $26,970,487     2,863,109     1,787,300 
AT&T INC  COM                     $739,351,973    21,861,383     1,785,277 
MOLEX INC  CL A NVTG               $67,407,252     1,760,900     1,760,900 
MRC GLOBAL INC  COM                $47,096,283     1,757,324     1,757,324 
QUIMICA Y MINERA DE CHILE  ADR     $53,605,382     1,754,677     1,754,677 
RITE AID CORP  COM                  $8,230,516     1,729,100     1,729,100 
DOLLAR GENERAL CORP  COM          $622,302,459    11,022,006     1,727,015 
CONCUR TECHNOLOGIES INC  COM      $905,598,883     8,195,465     1,718,958 
FOOT LOCKER INC  COM              $175,722,925     5,177,458     1,679,645 
BAIDU INC  ADR A                  $522,237,806     3,365,368     1,668,383 
FIFTH & PACIFIC COS INC  COM      $170,655,317     6,790,900     1,662,900 
CH ROBINSON WORLDWIDE INC  COM    $394,504,571     6,620,315     1,657,288 
ALIGN TECHNOLOGY INC  COM         $358,236,150     7,447,737     1,656,508 
SOUTHERN CO  COM                  $184,124,840     4,471,220     1,632,770 
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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