PCDPrivate Comps Data

Company record · updated August 5, 2026

Space Exploration Technologies Corp: 255 valuation observations from SEC filings

Every row below names the filing it came from. Coverage for this company runs November 30, 2023 to May 31, 2026.

255observations
140source filings
255verified rows
2026-05-31most recent as-of date

Source rails for this company: N-PORT fund mark (233), BDC equity mark (22).

Reported by 30 filers: Blue Owl Capital Corp, Blue Owl Technology Finance Corp., Destiny Tech100 Inc., Fidelity Advisor Equity Growth Fund, Fidelity Advisor Growth Opportunities Fund, Fidelity Advisor New Insights Fund, Fidelity Advisor Series Growth Opportunities Fund, Fidelity Blue Chip Growth Fund and 22 more.

Possibly the same company under another spelling

Filers write company names differently, and these entries differ only by a legal suffix: Space Exploration Technologies. They are kept separate rather than merged, because two entities sharing a name can be genuinely different and a wrong merge would invent a history no filer reported. Check both.

Marked independently by more than one kind of filer

Two regulated filers with no relationship to each other each determined a fair value for this company at close dates, under their own valuation policies.

  • BDC equity mark marks it at 387.36 on 2025-12-31 (Blue Owl Capital Corp), while N-PORT fund mark marks it at 421.00 on 2025-12-31 (The Private Shares Fund). A spread of 8.7%.

Both figures are shown and neither is preferred. No average is taken, because the spread between two independent determinations is itself the useful information, and a single blended number would hide it.

Read the step change before you read the trend

The mark for this company falls by a near-exact whole-number factor between two consecutive dates. That pattern is consistent with a share split, in which case it is not a fall in value at all.

  • The mark moves from 526.59 on 2026-04-30 to 105.32 on 2026-05-31, a factor of 5.00.

This is an arithmetic observation, not a confirmed corporate action. The figures above and in the table are exactly as filed and are never adjusted here. Confirm the split against the company's own filings before reading either figure as a change in value.

As ofMeasureValueReported byTier What the filing saysAccession
2026-05-31 price per share 105.32 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 270262178.6 / balance 2566105.0 [pp] 000003540226004618
2026-05-31 price per share 105.32 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 48603073.6 / balance 461480.0 [pp] 000003540226004635
2026-05-31 price per share 105.32 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 36207962.8 / balance 343790.0 [pp] 000003540226004629
2026-04-30 price per share 526.59 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 6017343.93 / balance 11427.0 [class c / pp] 000003540226004135
2026-04-30 price per share 526.59 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 14733461.61 / balance 27979.0 [pp] 000003540226004135
2026-04-30 price per share 526.59 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 3612407.4 / balance 6860.0 [class c / pp] 000003540226004168
2026-04-30 price per share 526.59 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 537963817.41 / balance 1021599.0 [pp] 000003540226004168
2026-04-30 price per share 526.59 USD Franklin Growth Opportunities Fund VERIFIED valUSD 75227067.63 / balance 142857.0 [class a] 000207169126014424
2026-04-30 price per share 526.59 USD Fidelity OTC Portfolio VERIFIED valUSD 80066429.73 / balance 152047.0 [class c / pp] 000003540226004133
2026-04-30 price per share 526.59 USD Fidelity OTC Portfolio VERIFIED valUSD 1907071487.91 / balance 3621549.0 [pp] 000003540226004133
2026-03-31 price per share 526.59 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 94929959.07 / balance 180273.0 [pp] 000003540226003483
2026-03-31 price per share 526.59 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 3200087.43 / balance 6077.0 [class c / pp] 000003540226003483
2026-03-31 price per share 526.59 USD VIP Growth Portfolio VERIFIED valUSD 33683329.35 / balance 63965.0 [pp] 000003540226003501
2026-03-31 price per share 526.59 USD VIP Growth Portfolio VERIFIED valUSD 11746643.13 / balance 22307.0 [class c / pp] 000003540226003501
2026-03-31 price per share 526.59 USD Fidelity Contrafund VERIFIED valUSD 2150718361.83 / balance 4084237.0 [pp] 000003540226003312
2026-03-31 price per share 526.59 USD Fidelity Contrafund VERIFIED valUSD 68409306.9 / balance 129910.0 [class c / pp] 000003540226003312
2026-03-31 price per share 526.59 USD The Private Shares Fund VERIFIED valUSD 189746175.0 / balance 360330.0 [common] 000119312526241036
2026-03-31 price per share 526.59 USD VIP Communication Services Portfolio VERIFIED valUSD 147445.2 / balance 280.0 [pp] 000003540226003440
2026-03-31 price per share 526.59 USD VIP Communication Services Portfolio VERIFIED valUSD 273826.8 / balance 520.0 [class c / pp] 000003540226003440
2026-03-31 price per share 526.59 USD VIP Technology Portfolio VERIFIED valUSD 6926764.86 / balance 13154.0 [pp] 000003540226003509
2026-03-31 price per share 526.59 USD VIP Dynamic Capital Appreciation Portfolio VERIFIED valUSD 701417.88 / balance 1332.0 [pp] 000003540226003467
2026-03-31 price per share 526.59 USD Fidelity Growth Discovery Fund VERIFIED valUSD 19225800.9 / balance 36510.0 [pp] 000003540226003385
2026-03-31 price per share 526.59 USD Fidelity Growth Discovery Fund VERIFIED valUSD 6617129.94 / balance 12566.0 [class c / pp] 000003540226003385
2026-03-31 price per share 526.59 USD Fidelity Contrafund K6 VERIFIED valUSD 1084620582.54 / balance 2059706.0 [pp] 000003540226003310
2026-03-31 price per share 526.59 USD Fidelity Contrafund K6 VERIFIED valUSD 67256074.8 / balance 127720.0 [class c / pp] 000003540226003310
2026-03-31 price per share 526.59 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 343573645.5 / balance 652450.0 [pp] 000003540226003299
2026-03-31 price per share 526.59 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 141837016.5 / balance 269350.0 [pp] 000003540226003406
2026-03-31 price per share 526.59 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 12551799.24 / balance 23836.0 [class c / pp] 000003540226003406
2026-02-28 price per share 526.59 USD Select Technology Portfolio VERIFIED valUSD 58179769.56 / balance 110484.0 [pp] 000003540226002676
2026-02-28 price per share 526.59 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 238853325.15 / balance 453585.0 [pp] 000003540226002554
2026-02-28 price per share 526.59 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 31403721.24 / balance 59636.0 [class c / pp] 000003540226002554
2026-02-28 price per share 526.59 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 35888161.68 / balance 68152.0 [pp] 000003540226002549
2026-02-28 price per share 526.59 USD Fidelity Advisor Equity Growth Fund VERIFIED valUSD 12713988.96 / balance 24144.0 [class c / pp] 000003540226002549
2026-02-28 price per share 526.59 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 35510596.65 / balance 67435.0 [pp] 000003540226002546
2026-02-28 price per share 526.59 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 696678.57 / balance 1323.0 [class c / pp] 000003540226002546
2026-02-28 price per share 526.59 USD Select Communication Services Portfolio VERIFIED valUSD 4641890.85 / balance 8815.0 [pp] 000003540226002653
2026-02-28 price per share 526.59 USD Select Communication Services Portfolio VERIFIED valUSD 1918367.37 / balance 3643.0 [class c / pp] 000003540226002653
2026-02-28 price per share 526.59 USD Fidelity New Millennium Fund VERIFIED valUSD 246228744.69 / balance 467591.0 [pp] 000003540226002602
2026-01-31 price per share 421 USD Fidelity Pacific Basin Fund VERIFIED valUSD 9488919.0 / balance 22539.0 [pp] 000003540226002033
2026-01-31 price per share 421 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 1265773127.0 / balance 3006587.0 [pp] 000003540226001932
2026-01-31 price per share 421 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 43812207.0 / balance 104067.0 [class c / pp] 000003540226001932
2026-01-31 price per share 421 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 395754735.0 / balance 940035.0 [pp] 000003540226001924
2026-01-31 price per share 421 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 68352297.0 / balance 162357.0 [class c / pp] 000003540226001924
2026-01-31 price per share 421 USD Franklin Growth Opportunities Fund VERIFIED valUSD 60142797.0 / balance 142857.0 [class a] 000207169126007553
2026-01-31 price per share 421 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 2093633.0 / balance 4973.0 [pp] 000003540226002016
2026-01-31 price per share 421 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 4810767.0 / balance 11427.0 [class c / pp] 000003540226002016
2026-01-31 price per share 421 USD Fidelity OTC Portfolio VERIFIED valUSD 1405897083.0 / balance 3339423.0 [pp] 000003540226002031
2026-01-31 price per share 421 USD Fidelity OTC Portfolio VERIFIED valUSD 64011787.0 / balance 152047.0 [class c / pp] 000003540226002031
2025-12-31 price per share 421 USD The Private Shares Fund VERIFIED valUSD 151698930.0 / balance 360330.0 [common] 000092687726000030
2025-12-31 price per share 400.44 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1849632.36 / balance 4619.0 [class c / pp] 000003540226001320
2025-12-31 price per share 400.44 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 57166413.96 / balance 142759.0 [pp] 000003540226001320
2025-12-31 price per share 400.44 USD Fidelity Contrafund K6 VERIFIED valUSD 51144196.8 / balance 127720.0 [class c / pp] 000003540226001162
2025-12-31 price per share 400.44 USD Fidelity Contrafund K6 VERIFIED valUSD 757200405.24 / balance 1890921.0 [pp] 000003540226001162
2025-12-31 price per share 400.44 USD Fidelity Contrafund VERIFIED valUSD 52021160.4 / balance 129910.0 [class c / pp] 000003540226001161
2025-12-31 price per share 400.44 USD Fidelity Contrafund VERIFIED valUSD 1331697657.84 / balance 3325586.0 [pp] 000003540226001161
2025-12-31 price per share 387.3619 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 18,053 (declared thousands) 0001655888-26-000010
2025-12-31 price per share 387.3932 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 3,626 (declared thousands) 0001655888-26-000010
2025-12-31 price per share 387.3619 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 18,053 (declared thousands) 0001655888-26-000010
2025-12-31 price per share 387.3932 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 3,626 (declared thousands) 0001655888-26-000010
2025-12-31 price per share 387.3616 USD Blue Owl Technology Finance Corp. VERIFIED Class A Common Stock: 419,311 units / fair value 162,425 (declared thousands) 0001747777-26-000012
2025-12-31 price per share 387.3591 USD Blue Owl Technology Finance Corp. VERIFIED Class C Common Stock: 84,250 units / fair value 32,635 (declared thousands) 0001747777-26-000012
2025-12-31 price per share 387.3616 USD Blue Owl Technology Finance Corp. VERIFIED Class A Common Stock: 419,311 units / fair value 162,425 (declared thousands) 0001747777-26-000012
2025-12-31 price per share 387.3591 USD Blue Owl Technology Finance Corp. VERIFIED Class C Common Stock: 84,250 units / fair value 32,635 (declared thousands) 0001747777-26-000012
2025-11-30 price per share 212 USD Select Communication Services Portfolio VERIFIED valUSD 313972.0 / balance 1481.0 [pp] 000003540226000511
2025-11-30 price per share 212 USD Select Communication Services Portfolio VERIFIED valUSD 597628.0 / balance 2819.0 [class c / pp] 000003540226000511
2025-11-30 price per share 212 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 45067808.0 / balance 212584.0 [pp] 000003540226000410
2025-11-30 price per share 212 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 10614204.0 / balance 50067.0 [class c / pp] 000003540226000410
2025-10-31 price per share 212 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 1468736.0 / balance 6928.0 [class c / pp] 000003540225002967
2025-10-31 price per share 212 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 502864.0 / balance 2372.0 [pp] 000003540225002967
2025-10-31 price per share 212 USD Franklin Growth Opportunities Fund VERIFIED valUSD 30285684.0 / balance 142857.0 [class a] 000207169125009354
2025-10-31 price per share 212 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 22062204.0 / balance 104067.0 [class c / pp] 000003540225002869
2025-10-31 price per share 212 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 637396444.0 / balance 3006587.0 [pp] 000003540225002869
2025-10-31 price per share 212 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 1454320.0 / balance 6860.0 [class c / pp] 000003540225003008
2025-10-31 price per share 212 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 192226760.0 / balance 906730.0 [pp] 000003540225003008
2025-10-31 price per share 212 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 34419684.0 / balance 162357.0 [class c / pp] 000003540225002882
2025-10-31 price per share 212 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 110160500.0 / balance 519625.0 [pp] 000003540225002882
2025-10-31 price per share 212 USD Fidelity OTC Portfolio VERIFIED valUSD 32233964.0 / balance 152047.0 [class c / pp] 000003540225002966
2025-10-31 price per share 212 USD Fidelity OTC Portfolio VERIFIED valUSD 437218836.0 / balance 2062353.0 [pp] 000003540225002966
2025-09-30 price per share 212 USD Fidelity Contrafund K6 VERIFIED valUSD 34857040.0 / balance 164420.0 [class c / pp] 000003540225002118
2025-09-30 price per share 212 USD Fidelity Contrafund K6 VERIFIED valUSD 107234052.0 / balance 505821.0 [pp] 000003540225002118
2025-09-30 price per share 212 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 979228.0 / balance 4619.0 [class c / pp] 000003540225002299
2025-09-30 price per share 212 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 4737988.0 / balance 22349.0 [pp] 000003540225002299
2025-09-30 price per share 212 USD VIP Communication Services Portfolio VERIFIED valUSD 83316.0 / balance 393.0 [class c / pp] 000003540225002252
2025-09-30 price per share 212 USD VIP Communication Services Portfolio VERIFIED valUSD 43884.0 / balance 207.0 [pp] 000003540225002252
2025-09-30 price per share 212 USD The Private Shares Fund VERIFIED valUSD 76389960.0 / balance 360330.0 [common] 000119312525289155
2025-09-30 price per share 212 USD Fidelity Contrafund VERIFIED valUSD 34090448.0 / balance 160804.0 [class c / pp] 000003540225002136
2025-09-30 price per share 212 USD Fidelity Contrafund VERIFIED valUSD 760845104.0 / balance 3588892.0 [pp] 000003540225002136
2025-09-30 price per share 212 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 5053232.0 / balance 23836.0 [class c / pp] 000003540225002229
2025-09-30 price per share 212 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 45771648.0 / balance 215904.0 [pp] 000003540225002229
2025-09-30 price per share 212 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 9637520.0 / balance 45460.0 [class c / pp] 000003540225002095
2025-09-30 price per share 212 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 545571400.0 / balance 2573450.0 [pp] 000003540225002095
2025-09-30 price per share 212 USD VIP Contrafund Portfolio VERIFIED valUSD 19325708.0 / balance 91159.0 [class c / pp] 000003540225002272
2025-09-30 price per share 212 USD VIP Contrafund Portfolio VERIFIED valUSD 46001244.0 / balance 216987.0 [pp] 000003540225002272
2025-08-31 price per share 212 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 213272.0 / balance 1006.0 [class c / pp] 000003540225001353
2025-08-31 price per share 212 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 1141196.0 / balance 5383.0 [pp] 000003540225001353
2025-08-31 price per share 212 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 10614204.0 / balance 50067.0 [class c / pp] 000003540225001335
2025-08-31 price per share 212 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 45067808.0 / balance 212584.0 [pp] 000003540225001335
2025-08-31 price per share 212 USD Select Communication Services Portfolio VERIFIED valUSD 597628.0 / balance 2819.0 [class c / pp] 000003540225001455
2025-08-31 price per share 212 USD Select Communication Services Portfolio VERIFIED valUSD 313972.0 / balance 1481.0 [pp] 000003540225001455
2025-08-31 price per share 212 USD Fidelity Series Growth Company Fund VERIFIED valUSD 151425452.0 / balance 714271.0 [pp] 000003540225001412
2025-07-31 price per share 212 USD Fidelity OTC Portfolio VERIFIED valUSD 22475604.0 / balance 106017.0 [class c / pp] 000003540225000770
2025-07-31 price per share 212 USD Fidelity OTC Portfolio VERIFIED valUSD 432094796.0 / balance 2038183.0 [pp] 000003540225000770
2025-07-31 price per share 212 USD Fidelity Pacific Basin Fund VERIFIED valUSD 4778268.0 / balance 22539.0 [pp] 000003540225000821
2025-07-31 price per share 212 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 620736.0 / balance 2928.0 [class c / pp] 000003540225000781
2025-07-31 price per share 212 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 57664.0 / balance 272.0 [pp] 000003540225000781
2025-07-31 price per share 212 USD Franklin Growth Opportunities Fund VERIFIED valUSD 30285684.0 / balance 142857.0 [class a] 000207169125001617
2025-06-30 price per share 185 USD The Private Shares Fund VERIFIED valUSD 66661050.0 / balance 360330.0 [common] 000114554925053272
2025-06-30 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 745365.0 / balance 4029.0 [class c / pp] 000175272425198657
2025-06-30 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 4077215.0 / balance 22039.0 [pp] 000175272425198657
2025-06-30 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 30417700.0 / balance 164420.0 [class c / pp] 000175272425198460
2025-06-30 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 93576885.0 / balance 505821.0 [pp] 000175272425198460
2025-06-30 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 29748740.0 / balance 160804.0 [class c / pp] 000175272425198459
2025-06-30 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 663945020.0 / balance 3588892.0 [pp] 000175272425198459
2025-05-31 price per share 185 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 186110.0 / balance 1006.0 [class c / pp] 000175272425176656
2025-05-31 price per share 185 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 995855.0 / balance 5383.0 [pp] 000175272425176656
2025-05-31 price per share 185 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 8534605.0 / balance 46133.0 [class c / pp] 000175272425176649
2025-05-31 price per share 185 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 38945830.0 / balance 210518.0 [pp] 000175272425176649
2025-04-30 price per share 185 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 19252395.0 / balance 104067.0 [class c / pp] 000175272425159875
2025-04-30 price per share 185 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 556218595.0 / balance 3006587.0 [pp] 000175272425159875
2025-04-30 price per share 185 USD Fidelity OTC Portfolio VERIFIED valUSD 19613145.0 / balance 106017.0 [class c / pp] 000175272425160011
2025-04-30 price per share 185 USD Fidelity OTC Portfolio VERIFIED valUSD 377063855.0 / balance 2038183.0 [pp] 000175272425160011
2025-04-30 price per share 185 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 541680.0 / balance 2928.0 [class c / pp] 000175272425160000
2025-04-30 price per share 185 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 50320.0 / balance 272.0 [pp] 000175272425160000
2025-04-30 price per share 185 USD Franklin Growth Opportunities Fund VERIFIED valUSD 26428545.0 / balance 142857.0 [class a] 000175272425153735
2025-03-31 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 93576885.0 / balance 505821.0 [pp] 000175272425121878
2025-03-31 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 30417700.0 / balance 164420.0 [class c / pp] 000175272425121878
2025-03-31 price per share 185 USD The Private Shares Fund VERIFIED valUSD 66661050.0 / balance 360330.0 [common] 000114554925032340
2025-03-31 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 4077215.0 / balance 22039.0 [pp] 000175272425122152
2025-03-31 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 745365.0 / balance 4029.0 [class c / pp] 000175272425122152
2025-03-31 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 663945020.0 / balance 3588892.0 [pp] 000175272425121849
2025-03-31 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 29748740.0 / balance 160804.0 [class c / pp] 000175272425121849
2025-03-31 price per share 185 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 39604615.0 / balance 214079.0 [pp] 000175272425122081
2025-03-31 price per share 185 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 3766785.0 / balance 20361.0 [class c / pp] 000175272425122081
2025-02-28 price per share 185 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 8534605.0 / balance 46133.0 [class c / pp] 000175272425093437
2025-02-28 price per share 185 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 38945830.0 / balance 210518.0 [pp] 000175272425093437
2025-02-28 price per share 185 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 186110.0 / balance 1006.0 [class c / pp] 000175272425093453
2025-02-28 price per share 185 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 995855.0 / balance 5383.0 [pp] 000175272425093453
2025-02-28 price per share 185 USD Fidelity New Millennium Fund VERIFIED valUSD 1513300.0 / balance 8180.0 [class c / pp] 000175272425093497
2025-02-28 price per share 185 USD Fidelity New Millennium Fund VERIFIED valUSD 108389650.0 / balance 585890.0 [pp] 000175272425093497
2025-01-31 price per share 185 USD Franklin Growth Opportunities Fund VERIFIED valUSD 26428545.0 / balance 142857.0 [class a] 000175272425071077
2025-01-31 price per share 185 USD Fidelity OTC Portfolio VERIFIED valUSD 19613145.0 / balance 106017.0 [class c / pp] 000175272425076684
2025-01-31 price per share 185 USD Fidelity OTC Portfolio VERIFIED valUSD 377063855.0 / balance 2038183.0 [pp] 000175272425076684
2024-12-31 price per share 185 USD The Private Shares Fund VERIFIED valUSD 66661050.0 / balance 360330.0 [common] 000114554925009703
2024-12-31 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 27710595.0 / balance 149787.0 [class c / pp] 000175272425037249
2024-12-31 price per share 185 USD Fidelity Contrafund K6 VERIFIED valUSD 93453490.0 / balance 505154.0 [pp] 000175272425037249
2024-12-31 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 444555.0 / balance 2403.0 [class c / pp] 000175272425037437
2024-12-31 price per share 185 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 4063525.0 / balance 21965.0 [pp] 000175272425037437
2024-12-31 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 29748740.0 / balance 160804.0 [class c / pp] 000175272425037255
2024-12-31 price per share 185 USD Fidelity Contrafund VERIFIED valUSD 663945020.0 / balance 3588892.0 [pp] 000175272425037255
2024-12-31 price per share 178.8864 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 8,337 (declared thousands) 0001655888-26-000010
2024-12-31 price per share 178.8462 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 1,674 (declared thousands) 0001655888-26-000010
2024-12-31 price per share 178.8863 USD Blue Owl Technology Finance Corp. VERIFIED Class A Common Stock: 419,311 units / fair value 75,009 (declared thousands) 0001747777-26-000012
2024-12-31 price per share 178.8843 USD Blue Owl Technology Finance Corp. VERIFIED Class C Common Stock: 84,250 units / fair value 15,071 (declared thousands) 0001747777-26-000012
2024-12-31 price per share 178.8863 USD Blue Owl Technology Finance Corp. VERIFIED Class A Common Stock: 419,311 units / fair value 75,009 (declared thousands) 0001747777-25-000008
2024-12-31 price per share 178.8843 USD Blue Owl Technology Finance Corp. VERIFIED Class C Common Stock: 84,250 units / fair value 15,071 (declared thousands) 0001747777-25-000008
2024-12-31 price per share 178.8864 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 8,337 (declared thousands) 0001655888-25-000007
2024-12-31 price per share 178.8462 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 1,674 (declared thousands) 0001655888-25-000007
2024-12-31 price per share 178.8864 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 8,337 (declared thousands) 0001655888-25-000007
2024-12-31 price per share 178.8462 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 1,674 (declared thousands) 0001655888-25-000007
2024-11-30 price per share 116.92 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 72841.16 / balance 623.0 [class c / pp] 000175272425015175
2024-11-30 price per share 116.92 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 627392.72 / balance 5366.0 [pp] 000175272425015175
2024-11-30 price per share 116.92 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 4186203.68 / balance 35804.0 [class c / pp] 000175272425015181
2024-11-30 price per share 116.92 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 24558695.24 / balance 210047.0 [pp] 000175272425015181
2024-10-31 price per share 116.92 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 8622733.08 / balance 73749.0 [class c / pp] 000175272424297827
2024-10-31 price per share 116.92 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 351368568.6 / balance 3005205.0 [pp] 000175272424297827
2024-10-31 price per share 116.92 USD Fidelity Pacific Basin Fund VERIFIED valUSD 2635259.88 / balance 22539.0 [pp] 000175272424295663
2024-10-31 price per share 116.92 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 802071.2 / balance 6860.0 [class c / pp] 000175272424297828
2024-10-31 price per share 116.92 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 26544347.6 / balance 227030.0 [pp] 000175272424297828
2024-10-31 price per share 116.92 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 208117.6 / balance 1780.0 [class c / pp] 000175272424297833
2024-10-31 price per share 116.92 USD Fidelity OTC K6 Portfolio VERIFIED valUSD 25722.4 / balance 220.0 [pp] 000175272424297833
2024-10-31 price per share 116.92 USD Fidelity OTC Portfolio VERIFIED valUSD 10841173.16 / balance 92723.0 [class c / pp] 000175272424297797
2024-10-31 price per share 116.92 USD Fidelity OTC Portfolio VERIFIED valUSD 238233502.84 / balance 2037577.0 [pp] 000175272424297797
2024-10-31 price per share 112 USD Franklin Growth Opportunities Fund VERIFIED valUSD 15999984.0 / balance 142857.0 [class a] 000175272424289518
2024-09-30 price per share 113.34 USD Destiny Tech100 Inc. VERIFIED valUSD 15316200.9 / balance 135135.0 [unspecified] 000114554924075269
2024-09-30 price per share 108.37 USD Destiny Tech100 Inc. VERIFIED valUSD 5108886.91 / balance 47143.0 [class a / class c] 000114554924075269
2024-09-30 price per share 113.34 USD Destiny Tech100 Inc. VERIFIED valUSD 1031394.0 / balance 9100.0 [series b] 000114554924075269
2024-09-30 price per share 112 USD Fidelity Contrafund K6 VERIFIED valUSD 16776144.0 / balance 149787.0 [class c / pp] 000175272424266667
2024-09-30 price per share 112 USD Fidelity Contrafund K6 VERIFIED valUSD 56577248.0 / balance 505154.0 [pp] 000175272424266667
2024-09-30 price per share 112 USD The Private Shares Fund VERIFIED valUSD 40356960.0 / balance 360330.0 [common] 000114554924071138
2024-09-30 price per share 112 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 269136.0 / balance 2403.0 [class c / pp] 000175272424266884
2024-09-30 price per share 112 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 2460080.0 / balance 21965.0 [pp] 000175272424266884
2024-09-30 price per share 112 USD Fidelity Contrafund VERIFIED valUSD 18010048.0 / balance 160804.0 [class c / pp] 000175272424266665
2024-09-30 price per share 112 USD Fidelity Contrafund VERIFIED valUSD 401955904.0 / balance 3588892.0 [pp] 000175272424266665
2024-09-30 price per share 112 USD VIP Contrafund Portfolio VERIFIED valUSD 1896608.0 / balance 16934.0 [class c / pp] 000175272424266854
2024-09-30 price per share 112 USD VIP Contrafund Portfolio VERIFIED valUSD 19937344.0 / balance 178012.0 [pp] 000175272424266854
2024-09-30 price per share 112 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 5091520.0 / balance 45460.0 [class c / pp] 000175272424266641
2024-09-30 price per share 112 USD Fidelity Advisor New Insights Fund VERIFIED valUSD 288226400.0 / balance 2573450.0 [pp] 000175272424266641
2024-09-30 price per share 112 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 1734096.0 / balance 15483.0 [class c / pp] 000175272424266791
2024-09-30 price per share 112 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 23951984.0 / balance 213857.0 [pp] 000175272424266791
2024-08-31 price per share 112 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 4010048.0 / balance 35804.0 [class c / pp] 000175272424242855
2024-08-31 price per share 112 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 17418464.0 / balance 155522.0 [pp] 000175272424242855
2024-08-31 price per share 112 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 69776.0 / balance 623.0 [class c / pp] 000175272424242854
2024-08-31 price per share 112 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 344624.0 / balance 3077.0 [pp] 000175272424242854
2024-08-31 price per share 112 USD Fidelity New Millennium Fund VERIFIED valUSD 916160.0 / balance 8180.0 [class c / pp] 000175272424242912
2024-08-31 price per share 112 USD Fidelity New Millennium Fund VERIFIED valUSD 65619680.0 / balance 585890.0 [pp] 000175272424242912
2024-07-31 price per share 112 USD Fidelity OTC Portfolio VERIFIED valUSD 7943040.0 / balance 70920.0 [class c / pp] 000175272424218102
2024-07-31 price per share 112 USD Fidelity OTC Portfolio VERIFIED valUSD 227906560.0 / balance 2034880.0 [pp] 000175272424218102
2024-07-31 price per share 97 USD Franklin Growth Opportunities Fund VERIFIED valUSD 13857129.0 / balance 142857.0 [class a] 000175272424212639
2024-06-30 price per share 112 USD Destiny Tech100 Inc. VERIFIED valUSD 15135120.0 / balance 135135.0 [unspecified] 000114554924055426
2024-06-30 price per share 112 USD Destiny Tech100 Inc. VERIFIED valUSD 1019200.0 / balance 9100.0 [series b] 000114554924055426
2024-06-30 price per share 107.16 USD Destiny Tech100 Inc. VERIFIED valUSD 5051843.88 / balance 47143.0 [class a / class c] 000114554924055426
2024-06-30 price per share 112 USD The Private Shares Fund VERIFIED valUSD 40356960.0 / balance 360330.0 [common] 000114554924048684
2024-06-30 price per share 112 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1456000.0 / balance 13000.0 [pp] 000175272424194621
2024-06-30 price per share 112 USD Fidelity Contrafund K6 VERIFIED valUSD 56271488.0 / balance 502424.0 [pp] 000175272424194469
2024-06-30 price per share 112 USD Fidelity Contrafund K6 VERIFIED valUSD 14304640.0 / balance 127720.0 [class c / pp] 000175272424194469
2024-06-30 price per share 112 USD Fidelity Contrafund VERIFIED valUSD 401527840.0 / balance 3585070.0 [pp] 000175272424196450
2024-06-30 price per share 112 USD Fidelity Contrafund VERIFIED valUSD 14549920.0 / balance 129910.0 [class c / pp] 000175272424196450
2024-05-31 price per share 97 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 291000.0 / balance 3000.0 [pp] 000175272424166774
2024-05-31 price per share 97 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 1979673.0 / balance 20409.0 [class c / pp] 000175272424166777
2024-05-31 price per share 97 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 14900849.0 / balance 153617.0 [pp] 000175272424166777
2024-04-30 price per share 97 USD Fidelity OTC Portfolio VERIFIED valUSD 6879240.0 / balance 70920.0 [class c / pp] 000175272424151168
2024-04-30 price per share 97 USD Fidelity OTC Portfolio VERIFIED valUSD 197383360.0 / balance 2034880.0 [pp] 000175272424151168
2024-04-30 price per share 97 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 665420.0 / balance 6860.0 [class c / pp] 000175272424151234
2024-04-30 price per share 97 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 22021910.0 / balance 227030.0 [pp] 000175272424151234
2024-04-30 price per share 97 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 14704133.0 / balance 151589.0 [class c / pp] 000175272424151091
2024-04-30 price per share 97 USD Fidelity Blue Chip Growth K6 Fund VERIFIED valUSD 45977321.0 / balance 473993.0 [pp] 000175272424151091
2024-04-30 price per share 97 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 2699510.0 / balance 27830.0 [class c / pp] 000175272424151073
2024-04-30 price per share 97 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 287298092.0 / balance 2961836.0 [pp] 000175272424151073
2024-04-30 price per share 97 USD Franklin Growth Opportunities Fund VERIFIED valUSD 13857129.0 / balance 142857.0 [class a] 000175272424143312
2024-03-31 price per share 107.5 USD Destiny Tech100 Inc. VERIFIED valUSD 14527012.5 / balance 135135.0 [unspecified] 000114554924032089
2024-03-31 price per share 103.11 USD Destiny Tech100 Inc. VERIFIED valUSD 4860914.73 / balance 47143.0 [class a / class c] 000114554924032089
2024-03-31 price per share 107.5 USD Destiny Tech100 Inc. VERIFIED valUSD 978250.0 / balance 9100.0 [series b] 000114554924032089
2024-03-31 price per share 97 USD Fidelity Contrafund K6 VERIFIED valUSD 7081000.0 / balance 73000.0 [pp] 000175272424116399
2024-03-31 price per share 97 USD Fidelity Contrafund VERIFIED valUSD 12601270.0 / balance 129910.0 [class c / pp] 000175272424116389
2024-03-31 price per share 97 USD Fidelity Contrafund VERIFIED valUSD 347751790.0 / balance 3585070.0 [pp] 000175272424116389
2024-03-31 price per share 97 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1261000.0 / balance 13000.0 [pp] 000175272424116589
2024-03-31 price per share 97 USD The Private Shares Fund VERIFIED valUSD 34952010.0 / balance 360330.0 [common] 000114554924027534
2024-03-31 price per share 97 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 759510.0 / balance 7830.0 [class c / pp] 000175272424116534
2024-03-31 price per share 97 USD Fidelity Series Opportunistic Insights Fund VERIFIED valUSD 20652270.0 / balance 212910.0 [pp] 000175272424116534
2024-03-31 price per share 97 USD VIP Contrafund Portfolio VERIFIED valUSD 17063949.0 / balance 175917.0 [pp] 000175272424116566
2024-02-29 price per share 97 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 8245000.0 / balance 85000.0 [pp] 000175272424089197
2024-02-29 price per share 97 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 291000.0 / balance 3000.0 [pp] 000175272424089195
2024-02-29 price per share 97 USD Fidelity Puritan Fund VERIFIED valUSD 5438790.0 / balance 56070.0 [class c / pp] 000175272424089301
2024-02-29 price per share 97 USD Fidelity Puritan Fund VERIFIED valUSD 39888340.0 / balance 411220.0 [pp] 000175272424089301
2024-01-31 price per share 97 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 2699510.0 / balance 27830.0 [class c / pp] 000175272424071878
2024-01-31 price per share 97 USD Fidelity Blue Chip Growth Fund VERIFIED valUSD 287298092.0 / balance 2961836.0 [pp] 000175272424071878
2024-01-31 price per share 97 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 665420.0 / balance 6860.0 [class c / pp] 000175272424072061
2024-01-31 price per share 97 USD Fidelity Series Blue Chip Growth Fund VERIFIED valUSD 22021910.0 / balance 227030.0 [pp] 000175272424072061
2024-01-31 price per share 97 USD Fidelity OTC Portfolio VERIFIED valUSD 6879240.0 / balance 70920.0 [class c / pp] 000175272424072003
2024-01-31 price per share 97 USD Fidelity OTC Portfolio VERIFIED valUSD 197383360.0 / balance 2034880.0 [pp] 000175272424072003
2024-01-31 price per share 97 USD Franklin Growth Opportunities Fund VERIFIED valUSD 13857129.0 / balance 142857.0 [class a] 000175272424070140
2023-12-31 price per share 97 USD Destiny Tech100 Inc. VERIFIED valUSD 13108095.0 / balance 135135.0 [unspecified] 000114554924013732
2023-12-31 price per share 97 USD Destiny Tech100 Inc. VERIFIED valUSD 882700.0 / balance 9100.0 [series b] 000114554924013732
2023-12-31 price per share 93.66 USD Destiny Tech100 Inc. VERIFIED valUSD 4415413.38 / balance 47143.0 [class a / class c] 000114554924013732
2023-12-31 price per share 83.03 USD The Private Shares Fund VERIFIED valUSD 29918199.9 / balance 360330.0 [common] 000114554924010573
2023-12-31 price per share 97 USD VIP Growth Opportunities Portfolio VERIFIED valUSD 1261000.0 / balance 13000.0 [pp] 000175272424037228
2023-12-31 price per share 97 USD Fidelity Contrafund K6 VERIFIED valUSD 7081000.0 / balance 73000.0 [pp] 000175272424037076
2023-12-31 price per share 97 USD Fidelity Contrafund VERIFIED valUSD 12601270.0 / balance 129910.0 [class c / pp] 000175272424037064
2023-12-31 price per share 97 USD Fidelity Contrafund VERIFIED valUSD 347751790.0 / balance 3585070.0 [pp] 000175272424037064
2023-12-31 price per share 91.9985 USD Blue Owl Technology Finance Corp. VERIFIED Class A Common Stock: 419,311 units / fair value 38,576 (declared thousands) 0001747777-25-000008
2023-12-31 price per share 91.9881 USD Blue Owl Technology Finance Corp. VERIFIED Class C Common Stock: 84,250 units / fair value 7,750 (declared thousands) 0001747777-25-000008
2023-12-31 price per share 92.0288 USD Blue Owl Capital Corp VERIFIED Class A Common Stock: 46,605 units / fair value 4,289 (declared thousands) 0001655888-25-000007
2023-12-31 price per share 92.094 USD Blue Owl Capital Corp VERIFIED Class C Common Stock: 9,360 units / fair value 862 (declared thousands) 0001655888-25-000007
2023-11-30 price per share 81 USD Fidelity Advisor Series Growth Opportunities Fund VERIFIED valUSD 243000.0 / balance 3000.0 [pp] 000175272424011764
2023-11-30 price per share 81 USD Fidelity Advisor Growth Opportunities Fund VERIFIED valUSD 6885000.0 / balance 85000.0 [pp] 000175272424011758

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.