C000007708 Holdings — LVIP Delaware Social Awareness Fund

All 92 reported holdings of LVIP Delaware Social Awareness Fund (C000007708) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp7.48%$56.62M
Alphabet Inc5.93%$44.93M
Apple Inc5.65%$42.77M
Microsoft Corp5.04%$38.17M
Amazon.com Inc3.73%$28.24M
Broadcom Inc3.65%$27.60M
Meta Platforms Inc2.49%$18.84M
Quanta Services Inc2.48%$18.82M
JPMorgan Chase & Co2.35%$17.76M
Eli Lilly & Co2.13%$16.14M
Visa Inc2.08%$15.73M
Parker-Hannifin Corp1.60%$12.11M
Caterpillar Inc1.43%$10.86M
Casey's General Stores Inc1.40%$10.59M
US Bancorp1.33%$10.10M
Home Depot Inc/The1.23%$9.32M
Merck & Co Inc1.22%$9.27M
Diamondback Energy Inc1.19%$9.03M
Netflix Inc1.16%$8.80M
Trane Technologies PLC1.15%$8.72M
East West Bancorp Inc1.13%$8.56M
ConocoPhillips1.08%$8.21M
Cisco Systems Inc1.03%$7.80M
Permian Resources Corp1.03%$7.78M
Blackrock Inc0.96%$7.26M
CSX Corp0.95%$7.20M
Linde PLC0.93%$7.05M
Reinsurance Group of America Inc0.93%$7.04M
PepsiCo Inc0.91%$6.89M
Insmed Inc0.91%$6.87M
Vertex Pharmaceuticals Inc0.90%$6.81M
Expand Energy Corp0.90%$6.80M
Thermo Fisher Scientific Inc0.88%$6.66M
Intercontinental Exchange Inc0.86%$6.51M
Tesla Inc0.86%$6.50M
Webster Financial Corp0.85%$6.45M
Crowdstrike Holdings Inc0.85%$6.43M
Cigna Group/The0.84%$6.38M
Tractor Supply Co0.80%$6.08M
Axis Capital Holdings Ltd0.80%$6.06M
Texas Instruments Inc0.79%$6.00M
State Street Institutional US Government Money Market Fund0.79%$5.97M
Abbott Laboratories0.78%$5.91M
Eaton Corp PLC0.76%$5.75M
Evercore Inc0.76%$5.72M
Corteva Inc0.73%$5.51M
Walt Disney Co/The0.66%$4.97M
Natera Inc0.65%$4.93M
Lincoln Electric Holdings Inc0.65%$4.92M
Oracle Corp0.63%$4.74M
Texas Roadhouse Inc0.62%$4.68M
Salesforce Inc0.60%$4.57M
AT&T Inc0.60%$4.56M
ServiceNow Inc0.59%$4.46M
Raymond James Financial Inc0.59%$4.46M
Starbucks Corp0.59%$4.43M
Accenture PLC0.57%$4.33M
Roper Technologies Inc0.57%$4.30M
Palo Alto Networks Inc0.57%$4.30M
Dick's Sporting Goods Inc0.56%$4.28M
Ally Financial Inc0.56%$4.27M
Toll Brothers Inc0.56%$4.24M
Knight-Swift Transportation Holdings Inc0.55%$4.15M
Jones Lang LaSalle Inc0.54%$4.10M
First Industrial Realty Trust Inc0.54%$4.10M
FTAI Aviation Ltd0.54%$4.07M
ON Semiconductor Corp0.54%$4.06M
Neurocrine Biosciences Inc0.53%$4.00M
Waste Management Inc0.52%$3.93M
AMETEK Inc0.52%$3.92M
Edwards Lifesciences Corp0.50%$3.79M
YETI Holdings Inc0.49%$3.73M
Comcast Corp0.49%$3.70M
Aramark0.48%$3.66M
Lantheus Holdings Inc0.48%$3.65M
Emerson Electric Co0.48%$3.64M
American Tower Corp0.47%$3.57M
Boston Scientific Corp0.47%$3.52M
Carlisle Cos Inc0.46%$3.51M
American Water Works Co Inc0.45%$3.40M
Qnity Electronics Inc0.42%$3.22M
Intuit Inc0.42%$3.19M
BorgWarner Inc0.41%$3.09M
Repligen Corp0.37%$2.80M
PTC Inc0.34%$2.60M
Tyler Technologies Inc0.34%$2.56M
DuPont de Nemours Inc0.34%$2.55M
NIKE Inc0.31%$2.33M
Adobe Inc0.25%$1.90M
Snowflake Inc0.24%$1.81M
Veeva Systems Inc0.21%$1.56M
Versant Media Group Inc0.03%$189.65K

C000007708 overview: performance, fees, allocation and SEC filings