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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