C000007722 Holdings — LVIP Blended Large Cap Growth Managed Volatility Fund

All 138 reported holdings of LVIP Blended Large Cap Growth Managed Volatility Fund (C000007722) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp10.67%$158.14M
Apple Inc7.86%$116.57M
Microsoft Corp7.50%$111.16M
Alphabet Inc6.40%$94.89M
Amazon.com Inc5.41%$80.20M
Broadcom Inc5.22%$77.47M
State Street Institutional US Government Money Market Fund4.89%$72.44M
Meta Platforms Inc4.44%$65.77M
Eli Lilly & Co2.78%$41.15M
Visa Inc2.29%$33.93M
Tesla Inc1.90%$28.15M
Netflix Inc1.82%$27.06M
TJX Cos Inc/The1.32%$19.53M
Vertex Pharmaceuticals Inc1.28%$18.99M
Costco Wholesale Corp1.26%$18.67M
General Electric Co1.19%$17.59M
Cadence Design Systems Inc1.11%$16.45M
Taiwan Semiconductor Manufacturing Co Ltd1.11%$16.41M
Mastercard Inc1.09%$16.13M
Intuitive Surgical Inc1.08%$16.08M
Monster Beverage Corp0.95%$14.07M
Home Depot Inc/The0.81%$11.99M
Palantir Technologies Inc0.77%$11.46M
Oracle Corp0.74%$11.01M
Chipotle Mexican Grill Inc0.73%$10.86M
Reddit Inc0.71%$10.47M
McKesson Corp0.67%$9.96M
Verisk Analytics Inc0.67%$9.93M
Texas Instruments Inc0.64%$9.42M
Mettler-Toledo International Inc0.58%$8.57M
Veeva Systems Inc0.57%$8.46M
ASML Holding NV0.57%$8.43M
AppLovin Corp0.55%$8.21M
Howmet Aerospace Inc0.54%$7.93M
Stryker Corp0.51%$7.60M
Sherwin-Williams Co/The0.51%$7.58M
Shopify Inc0.49%$7.26M
Fortinet Inc0.49%$7.20M
Synopsys Inc0.46%$6.82M
Cboe Global Markets Inc0.45%$6.62M
Burlington Stores Inc0.44%$6.47M
Ameriprise Financial Inc0.44%$6.46M
Cintas Corp0.43%$6.38M
Royal Caribbean Cruises Ltd0.42%$6.20M
Kirby Corp0.39%$5.72M
Saia Inc0.38%$5.71M
Corpay Inc0.38%$5.67M
Applied Materials Inc0.38%$5.59M
Bentley Systems Inc0.37%$5.47M
Planet Fitness Inc0.37%$5.43M
CVS Health Corp0.35%$5.21M
Ferrari NV0.35%$5.19M
Progressive Corp/The0.34%$4.99M
Celsius Holdings Inc0.34%$4.98M
Manhattan Associates Inc0.33%$4.96M
Cava Group Inc0.31%$4.60M
United Rentals Inc0.31%$4.54M
Encompass Health Corp0.31%$4.53M
Dexcom Inc0.29%$4.37M
QUALCOMM Inc0.29%$4.35M
OneMain Holdings Inc0.28%$4.17M
Procore Technologies Inc0.28%$4.15M
Clean Harbors Inc0.28%$4.10M
Waste Connections Inc0.27%$4.05M
Texas Roadhouse Inc0.27%$4.02M
Toast Inc0.26%$3.92M
Motorola Solutions Inc0.26%$3.91M
Sysco Corp0.26%$3.86M
XPO Inc0.26%$3.81M
Murphy USA Inc0.25%$3.71M
UnitedHealth Group Inc0.25%$3.70M
Arista Networks Inc0.25%$3.68M
Broadridge Financial Solutions Inc0.24%$3.62M
Garmin Ltd0.24%$3.56M
Vertiv Holdings Co0.24%$3.53M
Waters Corp0.23%$3.42M
Ollie's Bargain Outlet Holdings Inc0.21%$3.13M
Vulcan Materials Co0.21%$3.12M
Tractor Supply Co0.20%$3.00M
Hilton Worldwide Holdings Inc0.19%$2.78M
Viking Holdings Ltd0.18%$2.66M
AbbVie Inc0.16%$2.42M
ROBLOX Corp0.16%$2.32M
Astera Labs Inc0.15%$2.22M
Abbott Laboratories0.15%$2.21M
GE Vernova Inc0.15%$2.17M
Argenx SE0.14%$2.13M
Genmab A/S0.14%$2.13M
ITT Inc0.14%$2.10M
Equitable Holdings Inc0.14%$2.09M
KLA Corp0.12%$1.77M
Insulet Corp0.12%$1.74M
Lamar Advertising Co0.11%$1.70M
Cloudflare Inc0.11%$1.64M
Trex Co Inc0.11%$1.62M
Comfort Systems USA Inc0.11%$1.60M
Loews Corp0.10%$1.55M
GoDaddy Inc0.10%$1.52M
On Holding AG0.10%$1.49M
Blue Owl Capital Inc0.10%$1.46M
Casey's General Stores Inc0.09%$1.29M
Crowdstrike Holdings Inc0.08%$1.24M
Spotify Technology SA0.08%$1.19M
BorgWarner Inc0.08%$1.18M
Boston Scientific Corp0.08%$1.17M
Moderna Inc0.08%$1.16M
Microchip Technology Inc0.08%$1.16M
Camden Property Trust0.08%$1.15M
Invesco Ltd0.08%$1.13M
Aramark0.08%$1.13M
Wyndham Hotels & Resorts Inc0.07%$1.07M
Ralph Lauren Corp0.07%$1.01M
Fair Isaac Corp0.06%$941.57K
Expedia Group Inc0.06%$906.94K
ServiceNow Inc0.06%$878.95K
Carvana Co0.06%$846.31K
AutoNation Inc0.06%$831.22K
Appfolio Inc0.05%$802.51K
SoFi Technologies Inc0.05%$742.79K
United Airlines Holdings Inc0.05%$712.07K
Match Group Inc0.05%$689.59K
Watsco Inc0.05%$682.47K
Parsons Corp0.03%$449.88K
Micron Technology Inc0.03%$442.57K
Tyson Foods Inc0.03%$433.18K
Lam Research Corp0.03%$400.40K
Amrize Ltd0.02%$352.76K
Amphenol Corp0.02%$352.52K
Zscaler Inc0.02%$351.57K
Mueller Industries Inc0.02%$304.92K
Bloom Energy Corp0.02%$298.89K
Loar Holdings Inc0.02%$297.05K
Trane Technologies PLC0.02%$236.29K
Bright Horizons Family Solutions Inc0.01%$185.04K
Medpace Holdings Inc0.01%$78.75K
Chicago Mercantile Exchange0.00%$12.41K
Contra Abiomed, Inc.0.00%$11.99K
Chicago Mercantile Exchange-0.12%$-1.77M

C000007722 overview: performance, fees, allocation and SEC filings