PCDPrivate Comps Data

Company record · updated August 5, 2026

Canva Australia Holdings Pty. Ltd: 44 valuation observations from SEC filings

Every row below names the filing it came from. Coverage for this company runs July 31, 2025 to April 30, 2026.

44observations
40source filings
44verified rows
2026-04-30most recent as-of date

Source rails for this company: N-PORT fund mark (44).

Reported by 25 filers: EUPAC Fund, Fidelity Advisor Equity Growth Fund, Fidelity Advisor Growth Opportunities Fund, Fidelity Advisor New Insights Fund, Fidelity Advisor Technology Fund, Fidelity Blue Chip Growth Fund, Fidelity Blue Chip Growth K6 Fund, Fidelity Contrafund and 17 more.

As ofMeasureValueReported byTier What the filing saysAccession
2026-04-30 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 19472190.06 / balance 11829.0 [class b] 000207169126014424
2026-04-30 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 5093157.16 / balance 3094.0 [class a] 000207169126014424
2026-03-31 price per share 1,646.14 USD Franklin Growth Fund VERIFIED valUSD 41833355.82 / balance 25413.0 [class b] 000207169126012218
2026-03-31 price per share 1,255.4 USD International Fund VERIFIED valUSD 6049772.6 / balance 4819.0 [pp] 000119312526243972
2026-01-31 price per share 1,546.28 USD Fidelity Founders Fund VERIFIED valUSD 290700.64 / balance 188.0 [unspecified] 000003540226001955
2026-01-31 price per share 1,546.28 USD Fidelity International Discovery K6 Fund VERIFIED valUSD 834991.2 / balance 540.0 [unspecified] 000003540226001984
2026-01-31 price per share 1,546.28 USD Fidelity International Discovery Fund VERIFIED valUSD 12215612.0 / balance 7900.0 [unspecified] 000003540226001979
2026-01-31 price per share 1,546.28 USD Fidelity Pacific Basin Fund VERIFIED valUSD 6840742.72 / balance 4424.0 [unspecified] 000003540226002033
2026-01-31 price per share 1,546.28 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 41904188.0 / balance 27100.0 [unspecified] 000003540226001932
2026-01-31 price per share 1,546.28 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 8968424.0 / balance 5800.0 [unspecified] 000003540226001924
2026-01-31 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 5093157.16 / balance 3094.0 [class a] 000207169126007553
2026-01-31 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 19472190.06 / balance 11829.0 [class b] 000207169126007553
2026-01-31 price per share 1,546.28 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 2010164.0 / balance 1300.0 [unspecified] 000003540226002016
2026-01-31 price per share 1,546.28 USD Fidelity OTC Portfolio VERIFIED valUSD 22421060.0 / balance 14500.0 [unspecified] 000003540226002031
2025-12-31 price per share 1,646.14 USD VIP Technology Portfolio VERIFIED valUSD 2304596.0 / balance 1400.0 [unspecified] 000003540226001344
2025-12-31 price per share 1,646.14 USD Franklin Growth Fund VERIFIED valUSD 41833355.82 / balance 25413.0 [class b] 000207169126003953
2025-12-31 price per share 1,646.14 USD EUPAC Fund VERIFIED valUSD 62189523.06 / balance 37779.0 [pp] 000119312526074850
2025-12-31 price per share 1,646.14 USD International Fund VERIFIED valUSD 7932748.66 / balance 4819.0 [pp] 000119312526074953
2025-12-31 price per share 1,646.14 USD VIP Growth Portfolio VERIFIED valUSD 8395314.0 / balance 5100.0 [unspecified] 000003540226001326
2025-12-31 price per share 1,646.14 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1804169.44 / balance 1096.0 [unspecified] 000003540226001320
2025-12-31 price per share 1,646.14 USD Fidelity Contrafund K6 VERIFIED valUSD 63047162.0 / balance 38300.0 [unspecified] 000003540226001162
2025-12-31 price per share 1,646.14 USD Fidelity Contrafund VERIFIED valUSD 271076458.36 / balance 164674.0 [unspecified] 000003540226001161
2025-11-30 price per share 1,646.14 USD Select Technology Portfolio VERIFIED valUSD 18436768.0 / balance 11200.0 [unspecified] 000003540226000532
2025-11-30 price per share 1,646.14 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 9382998.0 / balance 5700.0 [unspecified] 000003540226000416
2025-11-30 price per share 1,646.14 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 11447257.56 / balance 6954.0 [unspecified] 000003540226000410
2025-10-31 price per share 1,646.21 USD Fidelity Advisor Technology Fund VERIFIED valUSD 3127799.0 / balance 1900.0 [unspecified] 000003540225002863
2025-10-31 price per share 1,646.21 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 1152347.0 / balance 700.0 [unspecified] 000003540225002967
2025-10-31 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 5093157.16 / balance 3094.0 [class a] 000207169125009354
2025-10-31 price per share 1,646.14 USD Franklin Growth Opportunities Fund VERIFIED valUSD 19472190.06 / balance 11829.0 [class b] 000207169125009354
2025-10-31 price per share 1,646.21 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 25022392.0 / balance 15200.0 [unspecified] 000003540225002869
2025-10-31 price per share 1,646.21 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 4280146.0 / balance 2600.0 [unspecified] 000003540225003008
2025-10-31 price per share 1,646.21 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 5267872.0 / balance 3200.0 [unspecified] 000003540225002882
2025-10-31 price per share 1,646.21 USD Fidelity OTC Portfolio VERIFIED valUSD 13334301.0 / balance 8100.0 [unspecified] 000003540225002966
2025-10-31 price per share 1,646.21 USD Fidelity Founders Fund VERIFIED valUSD 309487.48 / balance 188.0 [unspecified] 000003540225002904
2025-09-30 price per share 1,646.14 USD Franklin Growth Fund VERIFIED valUSD 41833355.82 / balance 25413.0 [class b] 000207169125006512
2025-09-30 price per share 1,646.14 USD Fidelity Contrafund K6 VERIFIED valUSD 35885852.0 / balance 21800.0 [unspecified] 000003540225002118
2025-09-30 price per share 1,646.14 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 816485.44 / balance 496.0 [unspecified] 000003540225002299
2025-09-30 price per share 1,280 USD International Fund VERIFIED valUSD 6168320.0 / balance 4819.0 [pp] 000119312525293565
2025-09-30 price per share 1,646.14 USD Fidelity Contrafund VERIFIED valUSD 145482560.92 / balance 88378.0 [unspecified] 000003540225002136
2025-09-30 price per share 1,646.14 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 11358366.0 / balance 6900.0 [unspecified] 000003540225002229
2025-09-30 price per share 1,646.14 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 19671373.0 / balance 11950.0 [unspecified] 000003540225002095
2025-09-30 price per share 1,646.14 USD VIP Contrafund Portfolio VERIFIED valUSD 16089372.36 / balance 9774.0 [unspecified] 000003540225002272
2025-07-31 price per share 1,357.5904 USD Franklin Growth Opportunities Fund VERIFIED valUSD 4200384.77 / balance 3094.0 [class a] 000207169125001617
2025-07-31 price per share 1,357.5904 USD Franklin Growth Opportunities Fund VERIFIED valUSD 16058937.1 / balance 11829.0 [class b] 000207169125001617

Reading these figures

A fund mark is the filer's own fair-value estimate at a quarter end, not a transaction price, and two filers can reach different values for the same date. A charter round price is the issue price of that series at issuance. Neither is a current market price. The capabilities page states the full limits.