C000007723 Holdings — LVIP Blended Large Cap Growth Managed Volatility Fund

All 144 reported holdings of LVIP Blended Large Cap Growth Managed Volatility Fund (C000007723) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp11.18%$177.84M
Alphabet Inc7.35%$116.87M
Apple Inc5.57%$88.56M
State Street Institutional US Government Money Market Fund5.14%$81.78M
Broadcom Inc5.09%$81.01M
Microsoft Corp3.51%$55.82M
Meta Platforms Inc3.28%$52.12M
Eli Lilly & Co2.84%$45.11M
Micron Technology Inc2.70%$42.96M
Visa Inc2.23%$35.50M
Tesla Inc1.99%$31.58M
Alphabet Inc1.95%$30.98M
Advanced Micro Devices Inc1.71%$27.14M
General Electric Co1.64%$26.13M
KLA Corp1.61%$25.61M
Netflix Inc1.58%$25.16M
Amazon.com Inc1.58%$25.05M
Applied Materials Inc1.49%$23.77M
Taiwan Semiconductor Manufacturing Co Ltd1.33%$21.19M
Texas Instruments Inc1.17%$18.56M
TJX Cos Inc/The1.15%$18.36M
Costco Wholesale Corp1.10%$17.52M
Monster Beverage Corp1.10%$17.43M
Mastercard Inc0.98%$15.62M
Lam Research Corp0.88%$13.92M
Home Depot Inc/The0.77%$12.29M
Cadence Design Systems Inc0.75%$11.94M
ASML Holding NV0.70%$11.14M
AppLovin Corp0.65%$10.39M
Caterpillar Inc0.60%$9.61M
Intuitive Surgical Inc0.60%$9.58M
Western Digital Corp0.60%$9.47M
Palantir Technologies Inc0.59%$9.42M
UnitedHealth Group Inc0.58%$9.30M
Reddit Inc0.57%$9.03M
Oracle Corp0.54%$8.64M
Chipotle Mexican Grill Inc0.52%$8.25M
Vertex Pharmaceuticals Inc0.50%$7.96M
Howmet Aerospace Inc0.50%$7.94M
Sherwin-Williams Co/The0.49%$7.79M
Verisk Analytics Inc0.48%$7.59M
Hilton Worldwide Holdings Inc0.47%$7.49M
Stryker Corp0.44%$6.96M
Veeva Systems Inc0.42%$6.62M
Saia Inc0.41%$6.54M
Sandisk Corp0.41%$6.48M
United Rentals Inc0.40%$6.29M
Casey's General Stores Inc0.39%$6.12M
HCA Healthcare Inc0.38%$6.07M
Shopify Inc0.38%$6.04M
Fortinet Inc0.38%$5.97M
Sysco Corp0.37%$5.89M
McKesson Corp0.37%$5.89M
Mettler-Toledo International Inc0.37%$5.84M
Eaton Corp PLC0.37%$5.83M
Burlington Stores Inc0.35%$5.64M
Trane Technologies PLC0.35%$5.64M
Astera Labs Inc0.34%$5.47M
Illinois Tool Works Inc0.34%$5.45M
Cintas Corp0.33%$5.32M
Progressive Corp/The0.33%$5.26M
Cava Group Inc0.32%$5.16M
Ferrari NV0.32%$5.08M
Cboe Global Markets Inc0.31%$4.88M
Procore Technologies Inc0.30%$4.80M
Motorola Solutions Inc0.30%$4.73M
XPO Inc0.29%$4.58M
Dexcom Inc0.29%$4.58M
Waters Corp0.29%$4.54M
Texas Roadhouse Inc0.28%$4.52M
Elastic NV0.28%$4.40M
Anglogold Ashanti Plc0.28%$4.38M
ITT Inc0.27%$4.37M
GoDaddy Inc0.24%$3.80M
SoFi Technologies Inc0.24%$3.79M
On Holding AG0.23%$3.64M
Fabrinet0.22%$3.53M
Garmin Ltd0.22%$3.51M
Vertiv Holdings Co0.22%$3.45M
Emerson Electric Co0.22%$3.44M
Amrize Ltd0.21%$3.39M
Celsius Holdings Inc0.21%$3.32M
GE Vernova Inc0.20%$3.22M
Toast Inc0.20%$3.21M
Teradyne Inc0.19%$3.07M
IES Holdings Inc0.19%$3.05M
Gartner Inc0.19%$3.00M
Quanta Services Inc0.19%$2.99M
Broadridge Financial Solutions Inc0.18%$2.94M
Powell Industries Inc0.18%$2.91M
PepsiCo Inc0.18%$2.91M
FormFactor Inc0.18%$2.91M
Align Technology Inc0.17%$2.77M
Alnylam Pharmaceuticals Inc0.17%$2.73M
Tempus AI Inc0.17%$2.63M
Cloudflare Inc0.16%$2.61M
Argenx SE0.16%$2.60M
Amkor Technology Inc0.16%$2.59M
Edwards Lifesciences Corp0.16%$2.59M
Manhattan Associates Inc0.15%$2.44M
Jabil Inc0.15%$2.41M
QUALCOMM Inc0.15%$2.39M
PACCAR Inc0.15%$2.35M
TTM Technologies Inc0.15%$2.32M
Zscaler Inc0.14%$2.28M
Sterling Infrastructure Inc0.14%$2.27M
Trex Co Inc0.14%$2.16M
Brookfield Asset Management Ltd0.14%$2.15M
Everus Construction Group Inc0.13%$2.12M
Genmab A/S0.13%$2.12M
Corning Inc0.13%$2.09M
ATI Inc0.13%$2.08M
Comfort Systems USA Inc0.13%$2.03M
Sanmina Corp0.13%$2.01M
Palo Alto Networks Inc0.12%$1.95M
Chicago Mercantile Exchange0.12%$1.94M
Seagate Technology Holdings PLC0.12%$1.87M
Space Exploration Technologies Corp0.12%$1.86M
Block Inc0.10%$1.59M
Ryder System Inc0.10%$1.54M
Viking Holdings Ltd0.09%$1.41M
PNC Financial Services Group Inc/The0.08%$1.26M
Airbnb Inc0.08%$1.26M
Kinsale Capital Group Inc0.08%$1.26M
Snowflake Inc0.08%$1.23M
Murphy USA Inc0.07%$1.11M
O'Reilly Automotive Inc0.07%$1.10M
Trade Desk Inc/The0.07%$1.10M
Applied Optoelectronics Inc0.07%$1.08M
Vicor Corp0.07%$1.04M
Choice Hotels International Inc0.06%$892.64K
Expedia Group Inc0.06%$892.51K
JPMorgan Chase & Co0.05%$832.07K
Karman Holdings Inc0.05%$802.71K
Deckers Outdoor Corp0.04%$705.95K
Carvana Co0.04%$658.99K
Arista Networks Inc0.04%$617.85K
HEICO Corp0.04%$597.69K
Terawulf Inc0.03%$545.85K
Coinbase Global Inc0.02%$362.55K
OneMain Holdings Inc0.02%$259.24K
Atlassian Corp0.01%$235.08K
Datadog Inc0.01%$219.22K
Contra Abiomed, Inc.0.00%$11.99K

C000007723 overview: performance, fees, allocation and SEC filings