PCDPrivate Comps Data

Company record · updated August 5, 2026

Open Ai Global Llc: 89 valuation observations from SEC filings

Every row below names the filing it came from. Coverage for this company runs September 30, 2024 to October 31, 2025.

89observations
70source filings
89verified rows
2025-10-31most recent as-of date

Source rails for this company: N-PORT fund mark (89).

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

As ofMeasureValueReported byTier What the filing saysAccession
2025-10-31 price per share 2.18 USD Fidelity Advisor Technology Fund VERIFIED valUSD 8174782.0 / balance 3749900.0 [convertible / pp] 000003540225002863
2025-10-31 price per share 1.42 USD Fidelity Advisor Technology Fund VERIFIED valUSD 1521956.0 / balance 1071800.0 [convertible / pp] 000003540225002863
2025-10-31 price per share 2.18 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 64138050.32 / balance 29421124.0 [convertible / pp] 000003540225002869
2025-10-31 price per share 1.42 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 19097868.26 / balance 13449203.0 [convertible / pp] 000003540225002869
2025-10-31 price per share 2.18 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 10912149.14 / balance 5005573.0 [convertible / pp] 000003540225003008
2025-10-31 price per share 1.42 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 3436324.74 / balance 2419947.0 [convertible / pp] 000003540225003008
2025-10-31 price per share 2.18 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 15214810.78 / balance 6979271.0 [convertible / pp] 000003540225002882
2025-10-31 price per share 1.42 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 4245199.34 / balance 2989577.0 [convertible / pp] 000003540225002882
2025-10-31 price per share 2.18 USD Fidelity Capital Appreciation Fund VERIFIED valUSD 8503744.0 / balance 3900800.0 [convertible / pp] 000003540225002873
2025-09-30 price per share 2.07 USD VIP Technology Portfolio VERIFIED valUSD 3149298.0 / balance 1521400.0 [convertible / pp] 000003540225002321
2025-09-30 price per share 1.37 USD VIP Technology Portfolio VERIFIED valUSD 580743.0 / balance 423900.0 [convertible / pp] 000003540225002321
2025-09-30 price per share 2.07 USD Fidelity Fund VERIFIED valUSD 5146100.73 / balance 2486039.0 [convertible / pp] 000003540225002194
2025-09-30 price per share 2.07 USD VIP Growth Portfolio VERIFIED valUSD 12651908.31 / balance 6112033.0 [convertible / pp] 000003540225002290
2025-09-30 price per share 2.07 USD Fidelity Contrafund K6 VERIFIED valUSD 37101943.08 / balance 17923644.0 [convertible / pp] 000003540225002118
2025-09-30 price per share 1.37 USD Fidelity Contrafund K6 VERIFIED valUSD 15574768.28 / balance 11368444.0 [convertible / pp] 000003540225002118
2025-09-30 price per share 2.07 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1310142.33 / balance 632919.0 [convertible / pp] 000003540225002299
2025-09-30 price per share 1.37 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1010375.0 / balance 737500.0 [convertible / pp] 000003540225002299
2025-09-30 price per share 1.37 USD VIP Communication Services Portfolio VERIFIED valUSD 70692.0 / balance 51600.0 [convertible / pp] 000003540225002252
2025-09-30 price per share 2.07 USD Fidelity Contrafund VERIFIED valUSD 154839939.21 / balance 74801903.0 [convertible / pp] 000003540225002136
2025-09-30 price per share 1.37 USD Fidelity Contrafund VERIFIED valUSD 71353460.66 / balance 52082818.0 [convertible / pp] 000003540225002136
2025-09-30 price per share 2.07 USD VIP Stock Selector Portfolio VERIFIED valUSD 834996.6 / balance 403380.0 [convertible / pp] 000003540225002317
2025-09-30 price per share 1.37 USD VIP Stock Selector Portfolio VERIFIED valUSD 97955.0 / balance 71500.0 [convertible / pp] 000003540225002317
2025-09-30 price per share 2.07 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 11946121.11 / balance 5771073.0 [convertible / pp] 000003540225002229
2025-09-30 price per share 1.37 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 4659715.24 / balance 3401252.0 [convertible / pp] 000003540225002229
2025-09-30 price per share 2.07 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 18992701.26 / balance 9175218.0 [convertible / pp] 000003540225002095
2025-09-30 price per share 1.37 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 4407427.0 / balance 3217100.0 [convertible / pp] 000003540225002095
2025-09-30 price per share 2.07 USD VIP Contrafund Portfolio VERIFIED valUSD 25952507.01 / balance 12537443.0 [convertible / pp] 000003540225002272
2025-09-30 price per share 1.37 USD VIP Contrafund Portfolio VERIFIED valUSD 9400534.48 / balance 6861704.0 [convertible / pp] 000003540225002272
2025-09-30 price per share 2.07 USD Fidelity Growth Discovery Fund VERIFIED valUSD 7106310.0 / balance 3433000.0 [convertible / pp] 000003540225002193
2025-08-31 price per share 2.06 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 13170404.0 / balance 6393400.0 [convertible / pp] 000003540225001332
2025-08-31 price per share 2.06 USD Select Technology Portfolio VERIFIED valUSD 18624666.0 / balance 9041100.0 [convertible / pp] 000003540225001471
2025-08-31 price per share 1.37 USD Select Technology Portfolio VERIFIED valUSD 3335128.0 / balance 2434400.0 [convertible / pp] 000003540225001471
2025-08-31 price per share 2.06 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 342087.72 / balance 166062.0 [convertible / pp] 000003540225001353
2025-08-31 price per share 1.37 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 225913.0 / balance 164900.0 [convertible / pp] 000003540225001353
2025-08-31 price per share 2.06 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 8311434.62 / balance 4034677.0 [convertible / pp] 000003540225001335
2025-08-31 price per share 1.37 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 6551066.0 / balance 4781800.0 [convertible / pp] 000003540225001335
2025-08-31 price per share 2.06 USD Select Communication Services Portfolio VERIFIED valUSD 1893964.0 / balance 919400.0 [convertible / pp] 000003540225001455
2025-08-31 price per share 1.37 USD Select Communication Services Portfolio VERIFIED valUSD 482103.0 / balance 351900.0 [convertible / pp] 000003540225001455
2025-08-31 price per share 1.37 USD Fidelity Series Growth Company Fund VERIFIED valUSD 3497747.0 / balance 2553100.0 [convertible / pp] 000003540225001412
2025-07-31 price per share 1.47 USD Fidelity Advisor Technology Fund VERIFIED valUSD 5512353.0 / balance 3749900.0 [convertible / pp] 000003540225000692
2025-07-31 price per share 1.47 USD Fidelity Capital Appreciation Fund VERIFIED valUSD 5734176.0 / balance 3900800.0 [convertible / pp] 000003540225000721
2025-06-30 price per share 1.47 USD VIP Technology Portfolio VERIFIED valUSD 2236458.0 / balance 1521400.0 [convertible / pp] 000175272425198678
2025-06-30 price per share 1.47 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 930390.93 / balance 632919.0 [convertible / pp] 000175272425198657
2025-06-30 price per share 1.47 USD Fidelity Contrafund K6 VERIFIED valUSD 26347756.68 / balance 17923644.0 [convertible / pp] 000175272425198460
2025-06-30 price per share 1 USD Fidelity Contrafund K6 VERIFIED valUSD 6190744.0 / balance 6190744.0 [convertible / pp] 000175272425198460
2025-06-30 price per share 1.47 USD Fidelity Contrafund VERIFIED valUSD 109958797.41 / balance 74801903.0 [convertible / pp] 000175272425198459
2025-06-30 price per share 1 USD Fidelity Contrafund VERIFIED valUSD 28479418.0 / balance 28479418.0 [convertible / pp] 000175272425198459
2025-05-31 price per share 1.47 USD Select Technology Portfolio VERIFIED valUSD 13290417.0 / balance 9041100.0 [convertible / pp] 000175272425176793
2025-05-31 price per share 1.47 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 244111.14 / balance 166062.0 [convertible / pp] 000175272425176656
2025-05-31 price per share 1.47 USD Select Communication Services Portfolio VERIFIED valUSD 1351518.0 / balance 919400.0 [convertible / pp] 000175272425176763
2025-05-31 price per share 1.47 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 5930975.19 / balance 4034677.0 [convertible / pp] 000175272425176649
2025-05-31 price per share 1.47 USD Fidelity Advisor Series Equity Growth Fund VERIFIED valUSD 1104852.0 / balance 751600.0 [convertible / pp] 000175272425176644
2025-04-30 price per share 1.47 USD Fidelity Advisor Technology Fund VERIFIED valUSD 5512353.0 / balance 3749900.0 [convertible / pp] 000175272425159817
2025-04-30 price per share 1.47 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 43249052.28 / balance 29421124.0 [convertible / pp] 000175272425159875
2025-04-30 price per share 1 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 5849403.0 / balance 5849403.0 [convertible / pp] 000175272425159875
2025-03-31 price per share 1.46 USD Fidelity Contrafund K6 VERIFIED valUSD 26168520.24 / balance 17923644.0 [convertible / pp] 000175272425121878
2025-03-31 price per share 1.46 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 924061.74 / balance 632919.0 [convertible / pp] 000175272425122152
2025-03-31 price per share 1.46 USD VIP Technology Portfolio VERIFIED valUSD 2221244.0 / balance 1521400.0 [convertible / pp] 000175272425122199
2025-03-31 price per share 1.46 USD Fidelity Contrafund VERIFIED valUSD 109210778.38 / balance 74801903.0 [convertible / pp] 000175272425121849
2025-03-31 price per share 1.46 USD Fidelity Growth Discovery Fund VERIFIED valUSD 5012180.0 / balance 3433000.0 [convertible / pp] 000175272425121951
2025-03-31 price per share 1.46 USD VIP Dynamic Capital Appreciation Portfolio VERIFIED valUSD 232140.0 / balance 159000.0 [convertible / pp] 000175272425122172
2025-03-31 price per share 1.46 USD VIP Growth Portfolio VERIFIED valUSD 8923568.18 / balance 6112033.0 [convertible / pp] 000175272425122151
2025-03-31 price per share 1.46 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 8425766.58 / balance 5771073.0 [convertible / pp] 000175272425122081
2025-02-28 price per share 1.07 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 4317104.39 / balance 4034677.0 [convertible / pp] 000175272425093437
2025-02-28 price per share 1.07 USD Select Communication Services Portfolio VERIFIED valUSD 983758.0 / balance 919400.0 [convertible / pp] 000175272425093567
2025-02-28 price per share 1.07 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 177686.34 / balance 166062.0 [convertible / pp] 000175272425093453
2025-02-28 price per share 1.07 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 6840938.0 / balance 6393400.0 [convertible / pp] 000175272425093445
2025-01-31 price per share 1 USD Fidelity Advisor Technology Fund VERIFIED valUSD 3749900.0 / balance 3749900.0 [convertible / pp] 000175272425076590
2025-01-31 price per share 1 USD Fidelity Capital Appreciation Fund VERIFIED valUSD 3900800.0 / balance 3900800.0 [convertible / pp] 000175272425076618
2024-12-31 price per share 1 USD VIP Technology Portfolio VERIFIED valUSD 1521400.0 / balance 1521400.0 [convertible / pp] 000175272425037451
2024-12-31 price per share 1 USD Fidelity Contrafund K6 VERIFIED valUSD 17923644.0 / balance 17923644.0 [convertible / pp] 000175272425037249
2024-12-31 price per share 1 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 632919.0 / balance 632919.0 [convertible / pp] 000175272425037437
2024-12-31 price per share 1 USD Fidelity Contrafund VERIFIED valUSD 74801903.0 / balance 74801903.0 [convertible / pp] 000175272425037255
2024-11-30 price per share 1 USD Select Technology Portfolio VERIFIED valUSD 9041100.0 / balance 9041100.0 [convertible / pp] 000175272425015334
2024-11-30 price per share 1 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 166062.0 / balance 166062.0 [convertible / pp] 000175272425015175
2024-11-30 price per share 1 USD Select Communication Services Portfolio VERIFIED valUSD 919400.0 / balance 919400.0 [convertible / pp] 000175272425015318
2024-11-30 price per share 1 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 4034677.0 / balance 4034677.0 [convertible / pp] 000175272425015181
2024-10-31 price per share 1 USD Fidelity Advisor Technology Fund VERIFIED valUSD 3749900.0 / balance 3749900.0 [convertible / pp] 000175272424297875
2024-10-31 price per share 1 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 29421124.0 / balance 29421124.0 [convertible / pp] 000175272424297827
2024-10-31 price per share 1 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 5005573.0 / balance 5005573.0 [convertible / pp] 000175272424297828
2024-09-30 price per share 1 USD Fidelity Contrafund K6 VERIFIED valUSD 17923644.0 / balance 17923644.0 [convertible / pp] 000175272424266667
2024-09-30 price per share 1 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 632919.0 / balance 632919.0 [convertible / pp] 000175272424266884
2024-09-30 price per share 1 USD VIP Technology Portfolio VERIFIED valUSD 1521400.0 / balance 1521400.0 [convertible / pp] 000175272424266921
2024-09-30 price per share 1 USD Fidelity Contrafund VERIFIED valUSD 74801903.0 / balance 74801903.0 [convertible / pp] 000175272424266665
2024-09-30 price per share 1 USD VIP Contrafund Portfolio VERIFIED valUSD 12537443.0 / balance 12537443.0 [convertible / pp] 000175272424266854
2024-09-30 price per share 1 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 9175218.0 / balance 9175218.0 [convertible / pp] 000175272424266641
2024-09-30 price per share 1 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 5771073.0 / balance 5771073.0 [convertible / pp] 000175272424266791
2024-09-30 price per share 1 USD VIP Growth Portfolio VERIFIED valUSD 6112033.0 / balance 6112033.0 [convertible / pp] 000175272424266890
2024-09-30 price per share 1 USD Fidelity Growth Discovery Fund VERIFIED valUSD 3433000.0 / balance 3433000.0 [convertible / pp] 000175272424266724

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.