BackFidelity Select Portfolios - Medical Technology and Devices Portfolio Overview

Fidelity Select Portfolios - Medical Technology and Devices Portfolio Total Assets

Track Fidelity Select Portfolios - Medical Technology and Devices Portfolio's total assets ($180M) with charts, peers, and YoY trends.

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Total Assets
$179.95M
1.37% YoYΔ $-2.50M vs prior year quarter

Peer average

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Fidelity Select Portfolios - Medical Technology and Devices Portfolio Total Assets History

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Fidelity Select Portfolios - Medical Technology and Devices Portfolio vs. peers: Total Assets Comparison

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Fidelity Select Portfolios - Medical Technology and Devices Portfolio Total Assets Growth (YoY per quarter)

Latest change versus the prior comparable period (same company).

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Fidelity Select Portfolios - Medical Technology and Devices Portfolio (FSMEX) FAQ

As of the most recent data (September 2023), FSMEX shows a total assets of $180M. That compares with $180M in the prior-year period — down 1.4% year over year. Scroll down for historical charts and peer comparison views.

Compared with the year-ago period, FSMEX's total assets is now $180M (was $180M) — a 1.4% year-over-year decrease. Pairing that YoY change with peer averages gives a clearer picture of whether Fidelity Select Portfolios - Medical Technology and Devices Portfolio is outperforming or lagging.

Tracking FSMEX's total assets over time shows whether Fidelity Select Portfolios - Medical Technology and Devices Portfolio is scaling, shrinking, or reshaping that part of the business. The current reading is $180M That compares with $180M in the prior-year period — down 1.4% year over year. Multi-quarter patterns matter more than any single print, which is why this page emphasizes history and peer comparison charts.

Besides this total assets page, Stockcircle has Fidelity Select Portfolios - Medical Technology and Devices Portfolio's full stock overview, other financial metrics, insider and congress trade tabs, and tools to follow the stock. Together they help you connect total assets (currently $180M) with ownership activity and broader fundamentals.