C000017184 Holdings — DWS Core Equity VIP

All 96 reported holdings of DWS Core Equity VIP (C000017184) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc8.59%$10.00M
NVIDIA Corp6.40%$7.46M
Microsoft Corp5.91%$6.89M
Alphabet Inc5.89%$6.86M
Micron Technology Inc4.55%$5.30M
Amazon.com Inc4.45%$5.18M
Advanced Micro Devices Inc3.44%$4.01M
JPMorgan Chase & Co2.96%$3.44M
Broadcom Inc2.19%$2.55M
AbbVie Inc2.07%$2.41M
Visa Inc1.89%$2.20M
Meta Platforms Inc1.66%$1.94M
Walmart Inc1.56%$1.81M
Amgen Inc1.40%$1.63M
Tesla Inc1.37%$1.59M
Dws1.33%$1.55M
Oracle Corp1.28%$1.49M
PulteGroup Inc1.23%$1.43M
Caterpillar Inc1.16%$1.36M
NRG Energy Inc1.04%$1.21M
Ameriprise Financial Inc0.99%$1.16M
Lam Research Corp0.99%$1.15M
Cboe Global Markets Inc0.92%$1.07M
QUALCOMM Inc0.90%$1.05M
UnitedHealth Group Inc0.89%$1.04M
RTX Corp0.88%$1.03M
Kirby Corp0.86%$1.00M
Exxon Mobil Corp0.86%$1.00M
Cheniere Energy Inc0.86%$1.00M
Prologis Inc0.81%$946.66K
Bank of America Corp0.79%$925.07K
HF Sinclair Corp0.79%$923.56K
Lockheed Martin Corp0.78%$907.35K
Waste Management Inc0.75%$867.89K
Automatic Data Processing Inc0.73%$848.99K
Regeneron Pharmaceuticals Inc0.72%$833.05K
Merck & Co Inc0.69%$805.70K
Philip Morris International Inc0.68%$789.85K
General Motors Co0.67%$780.74K
Howmet Aerospace Inc0.66%$767.86K
S&P Global Inc0.65%$751.80K
Fortinet Inc0.64%$747.05K
Costco Wholesale Corp0.63%$729.67K
Netflix Inc0.63%$728.85K
Apollo Global Management Inc0.60%$703.35K
Kenvue Inc0.60%$695.87K
Newmont Corp0.59%$685.84K
KKR & Co Inc0.58%$676.42K
GE Aerospace0.57%$668.23K
United Airlines Holdings Inc0.57%$664.72K
Dws0.57%$662.48K
Hyatt Hotels Corp0.56%$648.98K
Owens Corning0.56%$648.87K
Hubbell Inc0.55%$644.58K
Cloudflare Inc0.55%$636.75K
Rocket Lab Corp0.54%$627.18K
Salesforce Inc0.53%$619.43K
Bristol-Myers Squibb Co0.53%$616.02K
Albemarle Corp0.52%$611.15K
Elevance Health Inc0.52%$609.87K
TJX Cos Inc/The0.52%$605.39K
Goldman Sachs Group Inc/The0.52%$604.80K
Constellation Brands Inc0.49%$574.44K
WEC Energy Group Inc0.48%$562.48K
Medical Properties Trust Inc0.48%$561.64K
MKS Inc0.48%$559.56K
Wells Fargo & Co0.44%$517.66K
Motorola Solutions Inc0.43%$499.18K
Allstate Corp/The0.42%$487.30K
Walt Disney Co/The0.42%$486.64K
Boeing Co/The0.42%$484.46K
Johnson & Johnson0.41%$480.77K
Nucor Corp0.41%$478.02K
Blackstone Inc0.40%$468.56K
AvalonBay Communities Inc0.39%$455.31K
Steris PLC0.39%$454.62K
Lululemon Athletica Inc0.38%$444.85K
Molson Coors Beverage Co0.35%$404.52K
CME Group Inc0.34%$398.16K
ServiceNow Inc0.34%$394.24K
Vistra Corp0.31%$365.96K
Veeva Systems Inc0.31%$359.73K
Chord Energy Corp0.30%$345.19K
Intercontinental Exchange Inc0.29%$342.62K
Antero Resources Corp0.29%$341.56K
Abbott Laboratories0.28%$327.66K
Zoetis Inc0.27%$318.27K
T-Mobile US Inc0.27%$312.82K
Hasbro Inc0.27%$312.27K
Domino's Pizza Inc0.25%$293.67K
NIKE Inc0.24%$280.25K
Coupang Inc0.23%$269.22K
Verisk Analytics Inc0.23%$267.32K
Mosaic Co/The0.17%$201.60K
Palantir Technologies Inc0.15%$170.80K
Adobe Inc0.13%$150.28K

C000017184 overview: performance, fees, allocation and SEC filings