C000010858 Holdings — Putnam VT Sustainable Future Fund

All 83 reported holdings of Putnam VT Sustainable Future Fund (C000010858) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Snowflake, Inc.4.56%$1.36M
Datadog, Inc.3.77%$1.13M
Vertiv Holdings Co.2.41%$722.21K
Viking Holdings Ltd.2.38%$711.97K
Comfort Systems USA, Inc.2.34%$699.63K
GE Vernova, Inc.2.33%$696.69K
ASML Holding NV2.29%$686.36K
Quanta Services, Inc.2.11%$630.03K
Putnam Short Term Investment Fund2.08%$622.01K
Marvell Technology, Inc.2.03%$607.99K
Carpenter Technology Corp.1.98%$592.17K
NRG Energy, Inc.1.95%$583.22K
Vistra Corp.1.90%$569.48K
WW Grainger, Inc.1.88%$563.21K
Teradyne, Inc.1.82%$543.35K
Broadcom, Inc.1.79%$534.14K
United Rentals, Inc.1.74%$521.13K
Royal Caribbean Cruises Ltd.1.71%$512.18K
Life Time Group Holdings, Inc.1.70%$508.29K
Birkenstock Holding plc1.68%$502.42K
Dexcom, Inc.1.65%$492.46K
Federal Signal Corp.1.62%$483.51K
Alnylam Pharmaceuticals, Inc.1.54%$461.78K
SharkNinja, Inc.1.54%$460.77K
Edwards Lifesciences Corp.1.50%$447.32K
Coherent Corp.1.48%$442.60K
Monolithic Power Systems, Inc.1.48%$442.36K
Rocket Lab Corp.1.48%$441.77K
Lumentum Holdings, Inc.1.46%$437.61K
Loar Holdings, Inc.1.44%$431.18K
Cadence Design Systems, Inc.1.43%$427.86K
Trane Technologies plc1.42%$423.87K
HA Sustainable Infrastructure Capital, Inc.1.35%$404.13K
Thermo Fisher Scientific, Inc.1.26%$375.52K
Astera Labs, Inc.1.24%$371.93K
Ascendis Pharma A/S1.23%$366.74K
Mastercard, Inc.1.20%$358.49K
On Holding AG1.17%$350.41K
Cava Group, Inc.1.16%$347.20K
First Watch Restaurant Group, Inc.1.15%$344.32K
Insmed, Inc.1.13%$339.05K
Simpson Manufacturing Co., Inc.1.12%$333.70K
Sprouts Farmers Market, Inc.1.11%$332.74K
Tyler Technologies, Inc.1.08%$324.34K
Baker Hughes Co.1.00%$299.26K
Allegion plc1.00%$298.54K
Capital One Financial Corp.0.97%$289.70K
API Group Corp.0.96%$287.18K
EMCOR Group, Inc.0.96%$287.14K
Trimble, Inc.0.95%$285.12K
Alphabet, Inc.0.94%$280.89K
Argenx SE0.91%$273.69K
Microchip Technology, Inc.0.88%$264.66K
Lam Research Corp.0.86%$257.83K
Cisco Systems, Inc.0.86%$255.95K
Toast, Inc.0.84%$251.52K
Micron Technology, Inc.0.84%$250.48K
Advanced Micro Devices, Inc.0.73%$219.00K
Crowdstrike Holdings, Inc.0.72%$215.21K
TPG, Inc.0.72%$215.00K
ServiceTitan, Inc.0.70%$210.65K
Constellation Energy Corp.0.69%$206.89K
Everpure, Inc.0.67%$201.70K
NVIDIA Corp.0.64%$192.29K
Analog Devices, Inc.0.62%$185.08K
Keurig Dr. Pepper, Inc.0.61%$181.78K
Amer Sports, Inc.0.61%$181.55K
Oracle Corp.0.54%$161.06K
Cencora, Inc.0.48%$144.89K
Amazon.com, Inc.0.47%$141.10K
Meta Platforms, Inc.0.47%$140.82K
Planet Labs PBC0.44%$130.70K
IDEXX Laboratories, Inc.0.44%$130.56K
Tesla, Inc.0.41%$121.55K
CRH plc0.37%$111.39K
Aon plc0.35%$105.81K
Hilton Worldwide Holdings, Inc.0.26%$77.00K
KKR & Co., Inc.0.15%$43.87K
Ulta Beauty, Inc.0.10%$28.86K
Robinhood Markets, Inc.0.09%$26.77K
Canadian Dollar0.00%$-0
Danish Krone0.00%$0

C000010858 overview: performance, fees, allocation and SEC filings