C000010883 Holdings — Putnam VT Equity Income Fund

All 74 reported holdings of Putnam VT Equity Income Fund (C000010883) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Citigroup, Inc.4.02%$100.06M
Alphabet, Inc.3.58%$88.97M
Exxon Mobil Corp.3.41%$84.90M
Putnam Short Term Investment Fund3.17%$78.86M
Cisco Systems, Inc.3.03%$75.44M
NextEra Energy, Inc.2.47%$61.35M
Coca-Cola Co. (The)2.40%$59.78M
Philip Morris International, Inc.2.32%$57.81M
General Motors Co.2.28%$56.77M
McKesson Corp.2.21%$55.01M
Amazon.com, Inc.2.14%$53.27M
Bank of America Corp.2.08%$51.64M
Microsoft Corp.2.05%$51.10M
Honeywell International, Inc.2.04%$50.69M
FedEx Corp.1.92%$47.75M
Regeneron Pharmaceuticals, Inc.1.87%$46.56M
Capital One Financial Corp.1.80%$44.82M
PulteGroup, Inc.1.79%$44.47M
Thermo Fisher Scientific, Inc.1.78%$44.36M
Corteva, Inc.1.76%$43.66M
Charles Schwab Corp. (The)1.62%$40.31M
RTX Corp.1.62%$40.18M
Walmart, Inc.1.60%$39.83M
Freeport-McMoRan, Inc.1.58%$39.34M
Northrop Grumman Corp.1.54%$38.30M
Southwest Airlines Co.1.54%$38.20M
AstraZeneca plc1.52%$37.82M
Valero Energy Corp.1.51%$37.63M
Procter & Gamble Co. (The)1.47%$36.55M
PNC Financial Services Group, Inc. (The)1.40%$34.76M
Shell plc1.40%$34.73M
CME Group, Inc.1.38%$34.26M
Goldman Sachs Group, Inc. (The)1.36%$33.86M
Allstate Corp. (The)1.36%$33.75M
T-Mobile US, Inc.1.33%$33.02M
Hilton Worldwide Holdings, Inc.1.32%$32.85M
Accenture plc1.29%$32.19M
CRH plc1.28%$31.86M
Seagate Technology Holdings plc1.27%$31.49M
ConocoPhillips1.22%$30.30M
Sanofi SA1.20%$29.77M
Marvell Technology, Inc.1.13%$28.05M
JPMorgan Chase & Co.1.09%$27.23M
UnitedHealth Group, Inc.1.09%$27.10M
Otis Worldwide Corp.1.03%$25.72M
Kroger Co. (The)1.01%$25.17M
Prologis, Inc.1.01%$25.15M
Becton Dickinson & Co.1.01%$25.14M
PPL Corp.1.00%$24.89M
American International Group, Inc.0.97%$24.04M
Ingersoll Rand, Inc.0.93%$23.07M
BlackRock, Inc.0.91%$22.60M
AbbVie, Inc.0.90%$22.28M
Apollo Global Management, Inc.0.88%$21.99M
United Rentals, Inc.0.87%$21.76M
NRG Energy, Inc.0.83%$20.71M
Boston Scientific Corp.0.79%$19.56M
Johnson Controls International plc0.71%$17.77M
Novo Nordisk A/S0.61%$15.24M
BJ's Wholesale Club Holdings, Inc.0.59%$14.78M
QUALCOMM, Inc.0.56%$14.04M
State Street Corp.0.56%$13.95M
PPG Industries, Inc.0.54%$13.39M
Vornado Realty Trust0.47%$11.79M
Ball Corp.0.44%$10.89M
Charter Communications, Inc.0.44%$10.84M
Eastman Chemical Co.0.40%$9.95M
Comcast Corp.0.38%$9.41M
American Tower Corp.0.32%$7.92M
Waters Corp.0.26%$6.44M
United States of America0.09%$2.18M
United States of America0.01%$199.56K
United States of America0.01%$189.01K
Australian Dollar0.00%$345

C000010883 overview: performance, fees, allocation and SEC filings