0001752724-23-239242.txt : 20231027 0001752724-23-239242.hdr.sgml : 20231027 20231027092429 ACCESSION NUMBER: 0001752724-23-239242 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230831 FILED AS OF DATE: 20231027 DATE AS OF CHANGE: 20231027 PERIOD START: 20231130 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY ADVISOR SERIES I CENTRAL INDEX KEY: 0000722574 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03785 FILM NUMBER: 231352628 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY ADVISOR SERIES 1 DATE OF NAME CHANGE: 19930706 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY BROAD STREET TRUST DATE OF NAME CHANGE: 19920820 FORMER COMPANY: FORMER CONFORMED NAME: 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Smith Stacie M. Smith Stacie M. Smith President and Treasurer XXXX NPORT-EX 2 QTLY_80_20230831.htm 010 - Quarterly Front Cover
Quarterly Holdings Report
for
Fidelity Advisor® Equity Income Fund
August 31, 2023
EPI-NPRT3-1023
1.805771.119
Common Stocks - 97.1%
 
 
Shares
Value ($)
(000s)
 
COMMUNICATION SERVICES - 6.3%
 
 
 
Diversified Telecommunication Services - 2.4%
 
 
 
Deutsche Telekom AG
 
528,100
11,303
Verizon Communications, Inc.
 
942,990
32,986
 
 
 
44,289
Entertainment - 0.2%
 
 
 
Activision Blizzard, Inc.
 
40,900
3,762
Media - 3.7%
 
 
 
Comcast Corp. Class A
 
1,126,200
52,661
Omnicom Group, Inc.
 
127,800
10,353
WPP PLC
 
588,900
5,708
 
 
 
68,722
TOTAL COMMUNICATION SERVICES
 
 
116,773
CONSUMER DISCRETIONARY - 3.1%
 
 
 
Broadline Retail - 0.6%
 
 
 
eBay, Inc.
 
261,200
11,697
Household Durables - 0.5%
 
 
 
Whirlpool Corp. (a)
 
65,100
9,111
Specialty Retail - 1.4%
 
 
 
Lowe's Companies, Inc.
 
65,500
15,096
Williams-Sonoma, Inc. (a)
 
73,500
10,378
 
 
 
25,474
Textiles, Apparel & Luxury Goods - 0.6%
 
 
 
Tapestry, Inc.
 
304,500
10,146
TOTAL CONSUMER DISCRETIONARY
 
 
56,428
CONSUMER STAPLES - 10.8%
 
 
 
Beverages - 3.5%
 
 
 
Anheuser-Busch InBev SA NV ADR (a)
 
188,800
10,741
Coca-Cola European Partners PLC
 
320,600
20,554
Keurig Dr. Pepper, Inc.
 
513,300
17,273
The Coca-Cola Co.
 
256,800
15,364
 
 
 
63,932
Consumer Staples Distribution & Retail - 0.9%
 
 
 
Albertsons Companies, Inc.
 
702,200
15,729
Food Products - 0.5%
 
 
 
Tyson Foods, Inc. Class A
 
178,000
9,482
Household Products - 2.1%
 
 
 
Energizer Holdings, Inc.
 
211,400
7,262
Reckitt Benckiser Group PLC
 
254,900
18,395
Reynolds Consumer Products, Inc.
 
485,900
13,260
 
 
 
38,917
Personal Care Products - 3.0%
 
 
 
Kenvue, Inc.
 
673,505
15,524
Unilever PLC sponsored ADR
 
795,700
40,597
 
 
 
56,121
Tobacco - 0.8%
 
 
 
Philip Morris International, Inc.
 
153,200
14,716
TOTAL CONSUMER STAPLES
 
 
198,897
ENERGY - 7.6%
 
 
 
Oil, Gas & Consumable Fuels - 7.6%
 
 
 
Enterprise Products Partners LP
 
1,054,600
28,063
Exxon Mobil Corp.
 
488,500
54,316
Shell PLC ADR
 
564,400
35,044
TotalEnergies SE
 
350,500
21,986
 
 
 
139,409
FINANCIALS - 20.7%
 
 
 
Banks - 9.9%
 
 
 
Cullen/Frost Bankers, Inc.
 
95,500
9,028
East West Bancorp, Inc.
 
166,300
9,203
Huntington Bancshares, Inc.
 
1,362,900
15,115
M&T Bank Corp.
 
275,900
34,501
PNC Financial Services Group, Inc.
 
253,900
30,653
U.S. Bancorp
 
1,036,100
37,849
Wells Fargo & Co.
 
1,095,750
45,244
 
 
 
181,593
Capital Markets - 2.5%
 
 
 
Bank of New York Mellon Corp.
 
349,700
15,691
CME Group, Inc.
 
62,600
12,688
LPL Financial
 
54,200
12,498
UBS Group AG
 
212,800
5,684
 
 
 
46,561
Financial Services - 3.8%
 
 
 
Fidelity National Information Services, Inc.
 
399,000
22,288
Global Payments, Inc.
 
237,400
30,076
Visa, Inc. Class A (b)
 
69,200
17,001
 
 
 
69,365
Insurance - 4.5%
 
 
 
Assurant, Inc.
 
44,700
6,228
AXA SA
 
686,400
20,623
Chubb Ltd.
 
132,384
26,592
First American Financial Corp.
 
122,200
7,537
The Travelers Companies, Inc.
 
141,400
22,798
 
 
 
83,778
TOTAL FINANCIALS
 
 
381,297
HEALTH CARE - 15.9%
 
 
 
Health Care Providers & Services - 4.1%
 
 
 
Cencora, Inc.
 
41,900
7,374
Cigna Group
 
81,100
22,405
Elevance Health, Inc.
 
59,700
26,388
UnitedHealth Group, Inc. (b)
 
41,000
19,540
 
 
 
75,707
Pharmaceuticals - 11.8%
 
 
 
Bristol-Myers Squibb Co.
 
643,000
39,641
GSK PLC sponsored ADR
 
264,100
9,278
Johnson & Johnson
 
363,271
58,732
Merck & Co., Inc.
 
319,200
34,786
Organon & Co.
 
392,430
8,618
Roche Holding AG (participation certificate)
 
63,170
18,540
Royalty Pharma PLC
 
500,400
14,922
Sanofi SA sponsored ADR
 
619,700
32,956
 
 
 
217,473
TOTAL HEALTH CARE
 
 
293,180
INDUSTRIALS - 8.1%
 
 
 
Aerospace & Defense - 1.1%
 
 
 
General Dynamics Corp.
 
90,000
20,398
Building Products - 0.4%
 
 
 
Owens Corning
 
56,700
8,160
Electrical Equipment - 1.6%
 
 
 
Regal Rexnord Corp.
 
179,300
29,081
Industrial Conglomerates - 0.8%
 
 
 
Hitachi Ltd.
 
220,400
14,685
Machinery - 1.8%
 
 
 
Allison Transmission Holdings, Inc.
 
272,700
16,485
Parker Hannifin Corp.
 
38,000
15,842
 
 
 
32,327
Professional Services - 2.4%
 
 
 
Genpact Ltd.
 
375,600
14,021
Manpower, Inc.
 
73,500
5,797
Science Applications International Corp.
 
55,100
6,483
SS&C Technologies Holdings, Inc.
 
305,400
17,536
 
 
 
43,837
TOTAL INDUSTRIALS
 
 
148,488
INFORMATION TECHNOLOGY - 9.4%
 
 
 
Communications Equipment - 2.5%
 
 
 
Cisco Systems, Inc.
 
798,153
45,774
IT Services - 2.9%
 
 
 
Amdocs Ltd.
 
177,022
15,790
Capgemini SA
 
119,000
22,208
IBM Corp.
 
108,300
15,902
 
 
 
53,900
Semiconductors & Semiconductor Equipment - 2.8%
 
 
 
Microchip Technology, Inc.
 
373,450
30,563
Taiwan Semiconductor Manufacturing Co. Ltd. sponsored ADR
 
220,100
20,595
 
 
 
51,158
Software - 1.2%
 
 
 
Gen Digital, Inc.
 
306,900
6,215
Microsoft Corp. (b)
 
51,200
16,781
 
 
 
22,996
TOTAL INFORMATION TECHNOLOGY
 
 
173,828
MATERIALS - 2.7%
 
 
 
Chemicals - 1.9%
 
 
 
Celanese Corp. Class A
 
94,400
11,928
CF Industries Holdings, Inc.
 
120,400
9,279
Olin Corp.
 
119,600
6,939
The Chemours Co. LLC
 
185,800
6,321
 
 
 
34,467
Containers & Packaging - 0.8%
 
 
 
Berry Global Group, Inc.
 
153,100
10,004
Sonoco Products Co.
 
98,200
5,642
 
 
 
15,646
TOTAL MATERIALS
 
 
50,113
REAL ESTATE - 4.5%
 
 
 
Equity Real Estate Investment Trusts (REITs) - 4.5%
 
 
 
Alexandria Real Estate Equities, Inc.
 
97,900
11,390
American Tower Corp.
 
60,900
11,042
Corporate Office Properties Trust (SBI)
 
463,100
11,985
Crown Castle International Corp.
 
144,500
14,522
Digital Realty Trust, Inc.
 
64,200
8,456
Essex Property Trust, Inc.
 
39,600
9,440
Gaming & Leisure Properties
 
136,800
6,484
Public Storage
 
37,300
10,309
 
 
 
83,628
UTILITIES - 8.0%
 
 
 
Electric Utilities - 5.1%
 
 
 
Duke Energy Corp.
 
317,500
28,194
Edison International
 
332,064
22,863
Eversource Energy
 
185,600
11,845
Exelon Corp.
 
338,000
13,561
FirstEnergy Corp.
 
506,500
18,269
 
 
 
94,732
Independent Power and Renewable Electricity Producers - 1.0%
 
 
 
Vistra Corp.
 
563,200
17,696
Multi-Utilities - 1.9%
 
 
 
Dominion Energy, Inc.
 
189,100
9,179
Sempra
 
366,800
25,757
 
 
 
34,936
TOTAL UTILITIES
 
 
147,364
 
TOTAL COMMON STOCKS
 (Cost $1,601,842)
 
 
 
1,789,405
 
 
 
 
Money Market Funds - 4.0%
 
 
Shares
Value ($)
(000s)
 
Fidelity Cash Central Fund 5.43% (c)
 
43,521,032
43,530
Fidelity Securities Lending Cash Central Fund 5.44% (c)(d)
 
30,296,244
30,299
 
TOTAL MONEY MARKET FUNDS
 (Cost $73,829)
 
 
73,829
 
 
 
 
 
TOTAL INVESTMENT IN SECURITIES - 101.1%
 (Cost $1,675,671)
 
 
 
1,863,234
NET OTHER ASSETS (LIABILITIES) - (1.1)%  
(19,914)
NET ASSETS - 100.0%
1,843,320
 
 
 Written Options
 
Counterparty
Number
of Contracts
Notional
Amount ($)
 
(000s)
Exercise
Price ($)
Expiration
Date
Value ($)
 
(000s)
Call Options
 
 
 
 
 
 
Microsoft Corp.
Chicago Board Options Exchange
96
3,146
360.00
10/20/23
(19)
UnitedHealth Group, Inc.
Chicago Board Options Exchange
96
4,575
530.00
10/20/23
(15)
Visa, Inc. Class A
Chicago Board Options Exchange
118
2,899
260.00
12/15/23
(60)
 
 
 
 
 
 
 
TOTAL WRITTEN OPTIONS
 
 
 
 
 
(94)
 
 
 
Any values shown as $0 in the Schedule of Investments may reflect amounts less than $500.
 
Legend
 
(a)
Security or a portion of the security is on loan at period end.
 
(b)
Security or a portion of the security is pledged as collateral for options written. At period end, the value of securities pledged amounted to $10,621,000.
 
(c)
Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.
 
(d)
Investment made with cash collateral received from securities on loan.
 
 
 
 
 
Affiliated Central Funds
 
Fiscal year to date information regarding the Fund's investments in Fidelity Central Funds, including the ownership percentage, is presented below.
 
 
Affiliate (Amounts in thousands)
Value,
beginning
of period ($)
Purchases ($)
Sales
Proceeds ($)
Dividend
Income ($)
Realized
Gain (loss) ($)
Change in
Unrealized
appreciation
(depreciation) ($)
Value,
end
of period ($)
% ownership,
end
of period
Fidelity Cash Central Fund 5.43%
71,467
199,142
227,079
2,231
-
-
43,530
0.1%
Fidelity Securities Lending Cash Central Fund 5.44%
30,796
320,607
321,104
381
-
-
30,299
0.1%
Total
102,263
519,749
548,183
2,612
-
-
73,829
 
 
 
 
 
 
 
 
 
 
Amounts in the dividend income column in the above table include any capital gain distributions from underlying funds.
 
Amounts in the dividend income column for Fidelity Securities Lending Cash Central Fund represents the income earned on investing cash collateral, less rebates paid to borrowers and any lending agent fees associated with the loan, plus any premium payments received for lending certain types of securities.
 
Investment Valuation
Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. Securities transactions are accounted for as of trade date. The Board of Trustees (the Board) has designated the Fund's investment adviser as the valuation designee responsible for the fair valuation function and performing fair value determinations as needed. The investment adviser has established a Fair Value Committee (the Committee) to carry out the day-to-day fair valuation responsibilities and has adopted policies and procedures to govern the fair valuation process and the activities of the Committee. In accordance with these fair valuation policies and procedures, which have been approved by the Board, the Fund attempts to obtain prices from one or more third party pricing services or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with the policies and procedures. Factors used in determining fair value vary by investment type and may include market or investment specific events, transaction data, estimated cash flows, and market observations of comparable investments. The frequency that the fair valuation procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee manages the Fund's fair valuation practices and maintains the fair valuation policies and procedures. The Fund's investment adviser reports to the Board information regarding the fair valuation process and related material matters.   
 
The inputs to valuation techniques used to value investments are categorized into a disclosure hierarchy consisting of three levels as shown below:
 
Level 1 - Unadjusted quoted prices in active markets for identical investments
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, etc.)
Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available)
 
Valuation techniques used to value investments by major category are as follows:
Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing service on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the last quoted bid price or may be valued using the last available price and are generally categorized as Level 2 in the hierarchy. For any foreign equity securities, when market or security specific events arise, comparisons to the valuation of American Depositary Receipts (ADRs), futures contracts, Exchange-Traded Funds (ETFs) and certain indexes as well as quoted prices for similar securities may be used and would be categorized as Level 2 in the hierarchy. For equity securities, including restricted securities, where observable inputs are limited, assumptions about market activity and risk are used and these securities may be categorized as Level 3 in the hierarchy.
 
Exchange-traded options are valued using the last sale price or, in the absence of a sale, the last offering price and are categorized as Level 1 in the hierarchy.
 
Investments in any open-end mutual funds are valued at their closing net asset value (NAV) each business day and are categorized as Level 1 in the hierarchy.
 
Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.
 
Derivative Instruments
Risk Exposures and the Use of Derivative Instruments: The Fund's investment objectives allow the Fund to enter into various types of derivative contracts. Derivatives are investments whose value is primarily derived from underlying assets, indices or reference rates and may be transacted on an exchange or over-the-counter (OTC). Derivatives may involve a future commitment to buy or sell a specified asset based on specified terms, to exchange future cash flows at periodic intervals based on a notional principal amount, or for one party to make one or more payments upon the occurrence of specified events in exchange for periodic payments from the other party.
 
The Fund used derivatives to increase returns, to gain exposure to certain types of assets and/or to manage exposure to certain risks as defined below. The success of any strategy involving derivatives depends on analysis of numerous economic factors, and if the strategies for investment do not work as intended, the Fund may not achieve its objectives.  
 
The Fund's use of derivatives increased or decreased its exposure to the following risk(s):
 
Equity Risk - Equity risk relates to the fluctuations in the value of financial instruments as a result of changes in market prices (other than those arising from interest rate risk or foreign exchange risk), whether caused by factors specific to an individual investment, its issuer, or all factors affecting all instruments traded in a market or market segment.
 
Investing in derivatives may involve greater risks than investing in the underlying assets directly and, to varying degrees, may involve risk of loss in excess of any initial investment and collateral received. In addition, there may be the risk that the change in value of the derivative contract does not correspond to the change in value of the underlying instrument.  
 
Options: Options give the purchaser the right, but not the obligation, to buy (call) or sell (put) an underlying security or financial instrument at an agreed exercise or strike price between or on certain dates. Options obligate the seller (writer) to buy (put) or sell (call) an underlying instrument at the exercise or strike price or cash settle an underlying derivative instrument if the holder exercises the option on or before the expiration date.
 
The Fund used exchange-traded options to manage its exposure to the stock market.
 
Open options at period end are presented in the Schedule of Investments under the captions "Purchased Options," "Purchased Swaptions," "Written Options" and "Written Swaptions." Writing puts and buying calls tend to increase exposure to the underlying instrument while buying puts and writing calls tend to decrease exposure to the underlying instrument. For purchased options, risk of loss is limited to the premium paid, and for written options, risk of loss is the change in value in excess of the premium received.
 
For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.
The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.
 
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