C000014725 Holdings — NVIT Nationwide Fund

All 113 reported holdings of NVIT Nationwide Fund (C000014725) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.8.36%$59.03M
Apple, Inc.6.70%$47.36M
Alphabet, Inc.5.18%$36.62M
Microsoft Corp.4.97%$35.13M
Amazon.com, Inc.4.15%$29.28M
Micron Technology, Inc.3.00%$21.21M
Broadcom, Inc.2.60%$18.39M
Meta Platforms, Inc.2.42%$17.12M
Wells Fargo & Co.2.15%$15.18M
Lam Research Corp.1.76%$12.42M
Advanced Micro Devices, Inc.1.69%$11.91M
Exxon Mobil Corp.1.63%$11.53M
Mastercard, Inc.1.57%$11.08M
Tesla, Inc.1.55%$10.92M
Eli Lilly & Co.1.47%$10.36M
AbbVie, Inc.1.46%$10.32M
Seagate Technology Holdings plc1.38%$9.76M
Bank of America Corp.1.31%$9.27M
Philip Morris International, Inc.1.22%$8.65M
CSX Corp.1.20%$8.51M
American Express Co.1.07%$7.58M
RTX Corp.1.07%$7.52M
Howmet Aerospace, Inc.1.04%$7.33M
UnitedHealth Group, Inc.1.02%$7.22M
Bristol-Myers Squibb Co.0.92%$6.47M
Lowe's Cos., Inc.0.87%$6.12M
Trane Technologies plc0.85%$5.98M
Morgan Stanley0.83%$5.85M
EOG Resources, Inc.0.80%$5.63M
Amphenol Corp.0.80%$5.62M
Southern Co. (The)0.76%$5.35M
ConocoPhillips0.75%$5.31M
Berkshire Hathaway, Inc.0.73%$5.17M
GE Vernova, Inc.0.71%$5.00M
Thermo Fisher Scientific, Inc.0.71%$5.00M
Progressive Corp. (The)0.70%$4.93M
Stryker Corp.0.69%$4.87M
NXP Semiconductors NV0.69%$4.84M
Deere & Co.0.68%$4.83M
Charles Schwab Corp. (The)0.68%$4.79M
NextEra Energy, Inc.0.67%$4.76M
Eaton Corp. plc0.67%$4.76M
3M Co.0.67%$4.74M
Analog Devices, Inc.0.66%$4.63M
Mondelez International, Inc.0.65%$4.62M
McDonald's Corp.0.65%$4.59M
Ameriprise Financial, Inc.0.64%$4.53M
Dover Corp.0.64%$4.50M
Hewlett Packard Enterprise Co.0.63%$4.43M
Hilton Worldwide Holdings, Inc.0.62%$4.35M
Northrop Grumman Corp.0.59%$4.20M
Walt Disney Co. (The)0.59%$4.15M
Entergy Corp.0.59%$4.15M
Prologis, Inc.0.58%$4.08M
ASML Holding NV0.57%$4.05M
Digital Realty Trust, Inc.0.55%$3.87M
TJX Cos., Inc. (The)0.54%$3.81M
Regeneron Pharmaceuticals, Inc.0.53%$3.73M
CMS Energy Corp.0.53%$3.72M
Medtronic plc0.52%$3.66M
Performance Food Group Co.0.50%$3.55M
Crowdstrike Holdings, Inc.0.48%$3.42M
CME Group, Inc.0.47%$3.32M
State Street Corp.0.47%$3.29M
PepsiCo, Inc.0.46%$3.24M
AutoZone, Inc.0.44%$3.12M
Intel Corp.0.44%$3.07M
Walmart, Inc.0.43%$3.04M
AT&T, Inc.0.42%$3.00M
Ventas, Inc.0.42%$2.99M
Comcast Corp.0.42%$2.99M
MetLife, Inc.0.41%$2.88M
Johnson & Johnson0.39%$2.77M
Vertex Pharmaceuticals, Inc.0.38%$2.71M
Cigna Group (The)0.38%$2.68M
Edwards Lifesciences Corp.0.37%$2.65M
Corning, Inc.0.37%$2.61M
Vulcan Materials Co.0.37%$2.59M
Salesforce, Inc.0.35%$2.46M
Axalta Coating Systems Ltd.0.34%$2.40M
Coca-Cola Co. (The)0.33%$2.36M
Elanco Animal Health, Inc.0.33%$2.30M
United Parcel Service, Inc.0.33%$2.30M
Blackstone, Inc.0.32%$2.26M
First Citizens BancShares, Inc.0.31%$2.21M
Qnity Electronics, Inc.0.30%$2.09M
BJ's Wholesale Club Holdings, Inc.0.29%$2.04M
Costco Wholesale Corp.0.28%$1.99M
Textron, Inc.0.27%$1.93M
Intuit, Inc.0.27%$1.92M
Corpay, Inc.0.27%$1.88M
Cadence Design Systems, Inc.0.27%$1.88M
Chipotle Mexican Grill, Inc.0.25%$1.80M
Oracle Corp.0.25%$1.74M
Procter & Gamble Co. (The)0.24%$1.72M
Arthur J Gallagher & Co.0.24%$1.69M
Arista Networks, Inc.0.23%$1.63M
Sandisk Corp.0.23%$1.61M
Netflix, Inc.0.23%$1.61M
DuPont de Nemours, Inc.0.21%$1.48M
Linde plc0.20%$1.40M
Cognizant Technology Solutions Corp.0.20%$1.38M
Palantir Technologies, Inc.0.19%$1.37M
Leidos Holdings, Inc.0.18%$1.30M
Fidelity National Information Services, Inc.0.16%$1.12M
Spotify Technology SA0.16%$1.12M
Motorola Solutions, Inc.0.15%$1.03M
Autodesk, Inc.0.13%$938.85K
Roper Technologies, Inc.0.13%$884.55K
AppLovin Corp.0.12%$867.13K
Aptiv plc0.10%$712.50K
Vistra Corp.0.08%$576.30K

C000014725 overview: performance, fees, allocation and SEC filings