Holdings Study: Fidelity Blue Chip Growth vs. Vanguard 500
By Will McClatchy
August 21, 2000

This table compares amounts of stock held in each fund. At least 58% of the holdings are absolutely identical. Periods during which data was gathered (source: Wiesenberger) do not entirely coincide.

Fund Name /
Vanguard S&P 500 /
Fidelity Blue Chip Growth
Holdings as of: / 12/31/99 / 3/31/00
Symbol / Company Name / % of fund / % of fund / % identical
GE / GENERALELECCO / 4.20% / 4.82% / 4.20%
INTC / INTELCORP / 3.67% / 3.95% / 3.67%
CSCO / CISCOSYSINC / 3.41% / 4.53% / 3.41%
MSFT / MICROSOFTCORP / 3.39% / 3.45% / 3.39%
PFE / PFIZERINC / 2.45% / 3.13% / 2.45%
XOM / EXXONMOBILCORP / 2.23% / 0.71% / 0.71%
WMT / WALMARTSTORESINC / 2.11% / 1.73% / 1.73%
ORCL / ORACLECORP / 1.96% / 0.98% / 0.98%
C / CITIGROUPINC / 1.71% / 0.87% / 0.87%
IBM / INTERNATIONALBUS.MACHS. / 1.62% / 0.85% / 0.85%
LU / LUCENTTECHNOLOGIESINC / 1.52% / 1.75% / 1.52%
NT / NORTELNETWORKSCORP / 1.52% / 0.00% / 0.00%
AIG / AMERICANINTLGROUPINC / 1.49% / 1.19% / 1.19%
MRK / MERCKCOINC / 1.47% / 1.84% / 1.47%
EMC / EMCCORPMASS / 1.29% / 1.72% / 1.29%
SBC / SBCCOMMUNICATIONSINC / 1.28% / 0.45% / 0.45%
SUNW / SUNMICROSYSTEMSINC / 1.17% / 1.29% / 1.17%
KO / COCACOLACO / 1.16% / 0.91% / 0.91%
JNJ / JOHNSONJOHNSON / 1.16% / 1.18% / 1.16%
RD / ROYALDUTCHPETECO / 1.08% / 0.00% / 0.00%
T / AT&TCORP / 1.07% / 0.51% / 0.51%
WCOM / WORLDCOMINCGANEW / 1.07% / 0.76% / 0.76%
HWP / HEWLETTPACKARDCO / 1.04% / 0.65% / 0.65%
DELL / DELLCOMPUTERCORP / 1.03% / 1.14% / 1.03%
AOL / AMERICAONLINEINCDEL / 0.97% / 0.65% / 0.65%
BMY / BRISTOLMYERSSQUIBBCO / 0.95% / 1.60% / 0.95%
HD / HOMEDEPOTINC / 0.94% / 1.51% / 0.94%
TXN / TEXASINSTRSINC / 0.90% / 1.27% / 0.90%
LLY / LILLYELICO / 0.89% / 1.75% / 0.89%
VIAB / VIACOMINC / 0.84% / 1.20% / 0.84%
TWX / TIMEWARNERINC / 0.80% / 1.24% / 0.80%
MWD / MORGANSTANLEYDEAN / 0.76% / 0.27% / 0.27%
BLS / BELLSOUTHCORP / 0.66% / 0.00% / 0.00%
TYC / TYCOINTLLTDNEW / 0.66% / 0.26% / 0.26%
DIS / DISNEYWALTCO / 0.66% / 0.35% / 0.35%
BEL / BELLATLANTICCORP / 0.65% / 0.00% / 0.00%
AHP / AMERICANHOMEPRODS / 0.63% / 0.40% / 0.40%
PG / PROCTERGAMBLECO / 0.62% / 1.04% / 0.62%
SGP / SCHERINGPLOUGHCORP / 0.61% / 0.82% / 0.61%
BAC / BANKOFAMERICACORP / 0.60% / 0.00% / 0.00%
AMGN / AMGENINC / 0.59% / 1.24% / 0.59%
AXP / AMERICANEXPRESSCO / 0.57% / 0.75% / 0.57%
AMAT / APPLIEDMATLSINC / 0.56% / 0.36% / 0.36%
ABT / ABBOTTLABS / 0.56% / 0.41% / 0.41%
GLW / CORNINGINC / 0.54% / 1.46% / 0.54%
YHOO / YAHOOINC / 0.54% / 0.27% / 0.27%
PEP / PEPSICOINC / 0.53% / 0.27% / 0.27%
PHA / PHARMACIACORP / 0.53% / 0.26% / 0.26%
WFC / WELLSFARGOCONEW / 0.52% / 0.00% / 0.00%
MO / PHILIPMORRISCOSINC / 0.51% / 1.02% / 0.51%
MOT / MOTOROLAINC / 0.51% / 0.70% / 0.51%
GTE / GTECORP / 0.50% / 0.00% / 0.00%
MDT / MEDTRONICINC / 0.49% / 0.37% / 0.37%
CMB / CHASEMANHATTANCORP / 0.47% / 0.00% / 0.00%
CHV / CHEVRONCORPORATION / 0.46% / 0.00% / 0.00%
FNM / FEDERALNATLMTGASSN / 0.44% / 0.95% / 0.44%
F / FORDMTRCODEL / 0.43% / 0.00% / 0.00%
PCS / SPRINTCORP / 0.42% / 0.43% / 0.42%
MU / MICRONTECHNOLOGYINC / 0.39% / 0.63% / 0.39%
ENE / ENRONCORP / 0.38% / 0.00% / 0.00%
DD / DUPONTEIDENEMOURS / 0.38% / 0.00% / 0.00%
MCD / MCDONALDSCORP / 0.37% / 0.73% / 0.37%
NXTL / NEXTELCOMMUNICATIONS / 0.36% / 0.53% / 0.36%
FON / SPRINTCORP / 0.36% / 0.19% / 0.19%
CPQ / COMPAQCOMPUTERCORP / 0.36% / 0.00% / 0.00%
Q / QWESTCOMMUNICATIONS / 0.36% / 0.00% / 0.00%