Fidelity’s Favorite Q3 Consumer Goods Stocks: KO, PG, PM, CL, GMCR, NKE, PEP, LO

Wall St. Watchdog reveals information regarding Fidelity’s top holdings in the Consumer Goods sector for the quarter ending September 30th, 2011. The firm held 242 stocks in the Consumer Goods sector at the end of the quarter with an aggregate market value of $42.799 billion.

  • The Coca-cola Company (NYSE:KO): On 06/30/2011 reported holding 74,583,008 shares with a market value of $5,018,690,677. This comprised 0.95% of the total portfolio. On 09/30/2011 reported holding 74,669,897 shares with a market value of $5,044,698,059. This comprised 1.16% of the total portfolio. The net change in shares for this position over the two quarters is 86,889. About Company: The Coca-Cola Company manufactures, markets, and distributes soft drink concentrates and syrups. The Company also distributes and markets juice and juice-drink products. Coca-Cola distributes its products to retailers and wholesalers in the United States and internationally.
  • Procter & Gamble Co. (NYSE:PG): On 06/30/2011 reported holding 47,489,494 shares with a market value of $3,018,907,119. This comprised 0.57% of the total portfolio. On 09/30/2011 reported holding 50,957,210 shares with a market value of $3,219,476,543. This comprised 0.74% of the total portfolio. The net change in shares for this position over the two quarters is 3,467,716. About Company: The Procter & Gamble Company manufactures and markets consumer products in countries throughout the world. The Company provides products in the laundry and cleaning, paper, beauty care, food and beverage, and health care segments. Proctor & Gamble’s products are sold primarily through mass merchandisers, grocery stores, membership club stores, drug stores, and neighborhood stores.
  • Philip Morris International Inc. (NYSE:PM): On 06/30/2011 reported holding 32,966,837 shares with a market value of $2,201,195,596. This comprised 0.42% of the total portfolio. On 09/30/2011 reported holding 33,438,722 shares with a market value of $2,085,907,514. This comprised 0.48% of the total portfolio. The net change in shares for this position over the two quarters is 471,885. About Company: Philip Morris International Inc., through its subsidiaries, affiliates and their licensees, produces, sells, distributes, and markets a wide range of branded cigarettes and tobacco products in markets outside of the United States of America. The Company’s portfolio comprises both international and local brands.
  • Colgate-palmolive Co. (NYSE:CL): On 06/30/2011 reported holding 18,242,954 shares with a market value of $1,594,616,676. This comprised 0.3% of the total portfolio. On 09/30/2011 reported holding 21,323,936 shares with a market value of $1,891,006,651. This comprised 0.44% of the total portfolio. The net change in shares for this position over the two quarters is 3,080,982. About Company: Colgate-Palmolive Company is a consumer products company that markets its products throughout the world. The Company’s products include toothpaste, toothbrushes, shampoos, deodorants, bar and liquid soaps, dishwashing liquid, and laundry products, as well as pet nutrition products for cats and dogs.
  • Green Mountain Coffee Roasters Inc. (NASDAQ:GMCR): On 06/30/2011 reported holding 19,103,161 shares with a market value of $1,705,148,192. This comprised 0.32% of the total portfolio. On 09/30/2011 reported holding 19,325,062 shares with a market value of $1,796,071,309. This comprised 0.41% of the total portfolio. The net change in shares for this position over the two quarters is 221,901. About Company: Green Mountain Coffee Roasters, Inc. roasts Arabica coffees and offers various coffee selections. The Company’s products include single-origin, estate, certified organic, Fair Trade, signature blends, and flavored coffees sold under the Green Mountain Coffee Roasters brand. Green Mountain serves offices, supermarkets, and convenience stores, and operates a direct mail business.
  • Nike Inc. (NYSE:NKE): On 06/30/2011 reported holding 15,539,766 shares with a market value of $1,398,268,197. This comprised 0.26% of the total portfolio. On 09/30/2011 reported holding 18,514,495 shares with a market value of $1,583,174,507. This comprised 0.36% of the total portfolio. The net change in shares for this position over the two quarters is 2,974,729. About Company: NIKE, Inc. designs, develops, and markets athletic footwear, apparel, equipment, and accessory products for men, women, and children. The Company sells its products worldwide to retail stores, through its own stores, subsidiaries, and distributors.
  • Pepsico Inc. (NYSE:PEP): On 06/30/2011 reported holding 21,048,599 shares with a market value of $1,482,452,834. This comprised 0.28% of the total portfolio. On 09/30/2011 reported holding 21,623,491 shares with a market value of $1,338,494,126. This comprised 0.31% of the total portfolio. The net change in shares for this position over the two quarters is 574,892. About Company: PepsiCo, Inc. operates worldwide beverage, snack and food businesses. The Company manufacture or uses contract manufacturers, market and sell a variety of grain-based snacks, carbonated and non-carbonated beverages and foods in countries throughout the world.
  • British American Tobacco Plc (AMEX:BTI): On 06/30/2011 reported holding 13,577,068 shares with a market value of $1,194,781,984. This comprised 0.23% of the total portfolio. On 09/30/2011 reported holding 15,363,601 shares with a market value of $1,301,757,964. This comprised 0.3% of the total portfolio. The net change in shares for this position over the two quarters is 1,786,533. About Company: British American Tobacco PLC is the holding company for a group of companies that manufacture, market and sell cigarettes and other tobacco products, including cigars and roll-your-own tobacco.
  • Lorillard Inc. (NYSE:LO): On 06/30/2011 reported holding 7,011,449 shares with a market value of $763,336,472. This comprised 0.14% of the total portfolio. On 09/30/2011 reported holding 8,502,121 shares with a market value of $941,184,769. This comprised 0.22% of the total portfolio. The net change in shares for this position over the two quarters is 1,490,672. About Company: Lorillard, Inc. manufactures and sells cigarettes. The Company produces cigarettes for both the premium and discount segments of the domestic cigarette market for sale to distributors and retailers in the United States.
  • Lululemon Athletica Inc. (NASDAQ:LULU): On 06/30/2011 reported holding 8,153,868 shares with a market value of $911,765,517. This comprised 0.17% of the total portfolio. On 09/30/2011 reported holding 16,320,577 shares with a market value of $794,648,872. This comprised 0.18% of the total portfolio. The net change in shares for this position over the two quarters is 8,166,709. About Company: Lululemon Athletica Inc designs and retails athletic clothing. The Company produces fitness pants, shorts, tops and jackets for yoga, dance, running, and general fitness.

(Note: Data regarding Fidelity’s stock holdings are sourced from whalewisdom.com. All data are assumed to be accurate.)

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