C000007614 Holdings — Technology Growth Portfolio

All 37 reported holdings of Technology Growth Portfolio (C000007614) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co., Ltd.8.04%$12.54M
NVIDIA Corp.6.86%$10.69M
Lam Research Corporation5.42%$8.44M
Applied Materials Inc.4.78%$7.45M
Micron Technology Inc.4.49%$7.00M
Amazon.com, Inc.4.42%$6.89M
Intel Corporation4.32%$6.74M
Netflix, Inc.4.32%$6.74M
Microsoft Corp.4.02%$6.26M
Alphabet Inc.3.95%$6.15M
Texas Instruments Inc.3.85%$6.00M
Meta Platforms Inc3.77%$5.89M
Alibaba Group Holding Ltd.3.56%$5.56M
Intuit Inc3.33%$5.19M
Servicenow Inc3.28%$5.11M
Oracle Corp.3.23%$5.03M
Shopify Inc2.91%$4.54M
Apple Inc.2.86%$4.46M
Amphenol Corporation2.25%$3.51M
ASML Holding N.V.2.00%$3.12M
MasterCard Incorporated1.96%$3.06M
QUALCOMM Inc.1.93%$3.02M
Axon Enterprise Inc1.87%$2.91M
Tencent Holdings Ltd.1.66%$2.59M
Synaptics Incorporated1.43%$2.24M
Synopsys Inc1.38%$2.15M
Klaviyo Inc1.25%$1.96M
JFrog Ltd1.09%$1.70M
Hubspot Inc1.01%$1.58M
MongoDB Inc.0.95%$1.49M
Spotify Technology SA0.87%$1.36M
Databricks, Inc.0.81%$1.27M
Databricks, Inc. Series J0.72%$1.12M
Dreyfus Institutional Preferred Money Market Funds0.70%$1.08M
Datadog Inc0.65%$1.02M
Databricks Inc Series I Preferred0.07%$109.03K
Roofstock0.02%$36.56K

C000007614 overview: performance, fees, allocation and SEC filings