C000017183 Holdings — DWS Global Small Cap VIP

All 173 reported holdings of DWS Global Small Cap VIP (C000017183) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Dws2.46%$1.98M
Benchmark Electronics Inc2.35%$1.89M
Madison Square Garden Sports Corp1.86%$1.50M
Affiliated Managers Group Inc1.85%$1.49M
Lumentum Holdings Inc1.79%$1.44M
TechnipFMC PLC1.75%$1.41M
Ducommun Inc1.72%$1.38M
MaxLinear Inc1.68%$1.35M
Adeia Inc1.66%$1.34M
Bridgebio Pharma Inc1.63%$1.32M
Popular Inc1.46%$1.17M
ACM Research Inc1.43%$1.15M
SiTime Corp1.36%$1.10M
SkyWest Inc1.32%$1.06M
Hochtief AG1.24%$997.38K
Rush Enterprises Inc1.23%$988.07K
Butterfly Network Inc1.22%$982.39K
Hecla Mining Co1.13%$910.20K
Williams-Sonoma Inc1.12%$903.73K
TopBuild Corp1.10%$885.62K
Curtiss-Wright Corp1.07%$863.09K
Pinnacle Financial Partners Inc1.03%$832.66K
Reinsurance Group of America Inc1.01%$818.06K
Federal Agricultural Mortgage Corp1.00%$806.84K
CECO Environmental Corp1.00%$803.94K
CNX Resources Corp1.00%$803.02K
Buzzi SpA0.98%$786.56K
Enact Holdings Inc0.97%$784.48K
National HealthCare Corp0.96%$773.58K
Huber + Suhner AG0.95%$766.02K
Unum Group0.93%$750.87K
SentinelOne Inc0.93%$747.04K
Dyno Nobel Ltd0.89%$714.22K
Dws0.87%$702.62K
Four Corners Property Trust Inc0.87%$702.33K
Sandisk Corp0.87%$698.04K
Merchants Bancorp/IN0.85%$689.20K
Drax Group PLC0.85%$688.52K
Essent Group Ltd0.83%$672.37K
Wolfspeed Inc0.82%$664.50K
Triumph Financial Inc0.78%$627.34K
Eiffage SA0.78%$625.67K
Stride Inc0.77%$617.91K
Hasbro Inc0.76%$614.47K
Zions Bancorp NA0.76%$613.16K
Ralph Lauren Corp0.75%$605.73K
Siegfried Holding AG0.73%$592.34K
Computacenter PLC0.73%$587.55K
Bloom Energy Corp0.73%$587.54K
Everus Construction Group Inc0.72%$578.34K
Coeur Mining Inc0.70%$565.98K
Aeva Technologies Inc0.70%$562.45K
J M Smucker Co/The0.69%$557.66K
Russel Metals Inc0.69%$555.42K
Unibail-Rodamco-Westfield0.69%$553.09K
CH Robinson Worldwide Inc0.64%$514.17K
Marcus & Millichap Inc0.64%$513.09K
Aspen Aerogels Inc0.63%$505.39K
Seino Holdings Co Ltd0.62%$497.82K
Tyson Foods Inc0.58%$466.99K
MGIC Investment Corp0.57%$457.15K
MDU Resources Group Inc0.55%$442.50K
Badger Infrastructure Solutions Ltd0.55%$442.00K
Clearway Energy Inc0.55%$440.61K
Healthpeak Properties Inc0.55%$440.39K
nVent Electric PLC0.54%$433.01K
Finning International Inc0.53%$427.77K
EastGroup Properties Inc0.53%$425.92K
TechMatrix Corp0.51%$411.66K
ClearPoint Neuro Inc0.51%$409.04K
Ashland Inc0.49%$396.92K
TV Asahi Holdings Corp0.49%$392.53K
Macnica Holdings Inc0.48%$389.56K
Kite Realty Group Trust0.48%$383.39K
Hokkaido Electric Power Co Inc0.48%$383.17K
NMI Holdings Inc0.47%$380.41K
Ambarella Inc0.47%$378.89K
Cboe Global Markets Inc0.47%$375.17K
EchoStar Corp0.46%$369.16K
Alpha & Omega Semiconductor Ltd0.46%$368.65K
Suzuken Co Ltd/Aichi Japan0.46%$367.90K
Primo Brands Corp0.45%$366.48K
Nkt A/s0.45%$360.57K
Zenkoku Hosho Co Ltd0.44%$358.00K
Accelleron Industries AG0.44%$356.83K
EMCOR Group Inc0.44%$351.87K
Orora Ltd0.43%$347.62K
Softcat PLC0.43%$345.38K
Do & Co. AG0.42%$335.17K
Radian Group Inc0.41%$332.21K
Americold Realty Trust Inc0.41%$330.59K
Aurinia Pharmaceuticals Inc0.40%$323.84K
Pilgrim's Pride Corp0.39%$317.50K
Brinker International Inc0.39%$315.67K
Sensata Technologies Holding PLC0.39%$314.99K
Devon Energy Corp0.39%$312.42K
Ceribell Inc0.39%$310.83K
Alfresa Holdings Corp0.38%$305.11K
Forestar Group Inc0.38%$303.40K
Kontoor Brands Inc0.37%$301.77K
Apple Hospitality REIT Inc0.37%$301.35K
Antero Midstream Corp0.37%$300.39K
Kaken Pharmaceutical Co Ltd0.37%$295.61K
F&F Co Ltd / New0.36%$292.93K
LGI Homes Inc0.36%$292.04K
Hansol Chemical Co Ltd0.36%$289.19K
International Workplace Group PLC0.35%$284.33K
Man Wah Holdings Ltd0.35%$279.46K
Meritage Homes Corp0.34%$277.96K
Option Care Health Inc0.34%$277.39K
Silex Systems Ltd0.34%$275.62K
K&O Energy Group Inc0.34%$274.47K
Walker & Dunlop Inc0.34%$273.61K
Maire SpA0.34%$271.49K
Cal-Maine Foods Inc0.33%$268.26K
Dream Finders Homes Inc0.33%$266.05K
Impinj Inc0.33%$263.83K
Trupanion Inc0.33%$262.88K
TETRA Technologies Inc0.33%$262.90K
Greggs PLC0.32%$261.12K
Clean Energy Fuels Corp0.32%$258.72K
Comture Corp0.32%$256.79K
Neogen Corp0.32%$254.81K
Genus PLC0.31%$253.30K
Dick's Sporting Goods Inc0.31%$252.89K
HIS Co Ltd0.31%$252.84K
Akzo Nobel NV0.31%$249.15K
Duolingo Inc0.31%$246.26K
AH Realty Trust Inc0.29%$235.25K
Qualitau Ltd0.29%$233.77K
Mitsubishi Research Institute Inc0.29%$233.11K
Enphase Energy Inc0.29%$232.81K
Kemira Oyj0.29%$232.67K
Regal Rexnord Corp0.29%$232.47K
SMA Solar Technology AG0.29%$231.15K
PHC Holdings Corp0.28%$229.13K
Expedia Group Inc0.28%$226.97K
BML Inc0.27%$221.55K
Americas Gold & Silver Corp0.27%$220.44K
Essential Properties Realty Trust Inc0.27%$219.10K
Ladder Capital Corp0.27%$218.01K
VF Corp0.27%$215.14K
Aecon Group Inc0.26%$211.99K
TK Corp0.26%$211.25K
OCI Holdings Co Ltd0.26%$210.90K
Kimco Realty Corp0.26%$208.22K
Novocure Ltd0.26%$206.62K
Nordex SE0.25%$199.85K
Cavco Industries Inc0.24%$189.84K
Lamb Weston Holdings Inc0.23%$188.26K
Easterly Government Properties Inc0.23%$183.41K
Grifols SA0.22%$180.06K
Pharming Group NV0.22%$177.95K
Installed Building Products Inc0.22%$176.98K
Alcoa Corp0.21%$173.31K
Freshpet Inc0.21%$170.92K
Okinawa Electric Power Co Inc/The0.21%$169.29K
Murphy USA Inc0.21%$168.67K
Noble Corp PLC0.21%$167.92K
Wonik Materials Co Ltd0.21%$167.90K
Clarkson PLC0.21%$166.10K
Richelieu Hardware Ltd0.20%$162.72K
BioGaia AB0.20%$161.25K
Bilfinger SE0.20%$160.79K
Utz Brands Inc0.20%$158.23K
Iss A/s0.19%$156.58K
Elis SA0.19%$154.92K
Valaris Ltd0.19%$153.48K
Chow Sang Sang Holdings International Ltd0.17%$139.33K
Richtech Robotics Inc0.17%$139.17K
Bunge Global SA0.17%$138.11K
Aekyung Chemical Co Ltd0.13%$103.18K
Dongwha Enterprise Co Ltd0.11%$85.77K

C000017183 overview: performance, fees, allocation and SEC filings