C000017214 Holdings — DWS Small Mid Cap Growth VIP

All 113 reported holdings of DWS Small Mid Cap Growth VIP (C000017214) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Advanced Energy Industries Inc3.60%$1.66M
Rush Enterprises Inc3.08%$1.41M
RadNet Inc2.61%$1.20M
Casey's General Stores Inc2.49%$1.14M
SiTime Corp2.32%$1.07M
Dws2.27%$1.05M
Pinnacle Financial Partners Inc2.24%$1.03M
Nextpower Inc2.18%$1.00M
TopBuild Corp2.04%$939.02K
Burlington Stores Inc2.04%$938.07K
Neurocrine Biosciences Inc2.03%$933.38K
Monolithic Power Systems Inc2.01%$926.07K
Insmed Inc1.90%$873.85K
Brink's Co/The1.83%$843.13K
Allegion plc1.83%$842.54K
Eagle Materials Inc1.81%$833.77K
FormFactor Inc1.61%$739.74K
Builders FirstSource Inc1.56%$716.76K
Tyler Technologies Inc1.55%$710.78K
HEICO Corp1.54%$706.34K
Kinsale Capital Group Inc1.41%$649.15K
LPL Financial Holdings Inc1.37%$631.74K
FTAI Aviation Ltd1.33%$612.50K
Semtech Corp1.28%$586.82K
YETI Holdings Inc1.24%$567.95K
Entegris Inc1.23%$565.21K
Maximus Inc1.19%$548.44K
Ultra Clean Holdings Inc1.17%$539.29K
Ligand Pharmaceuticals Inc1.16%$533.46K
Lazard Inc1.14%$523.23K
Moelis & Co1.13%$520.75K
Option Care Health Inc1.10%$507.82K
Essential Properties Realty Trust Inc1.07%$491.16K
Hilton Grand Vacations Inc1.06%$488.65K
Calix Inc1.03%$472.46K
Fabrinet1.02%$469.37K
Varonis Systems Inc1.01%$463.26K
Thermon Group Holdings Inc1.00%$461.11K
Ovintiv Inc0.94%$433.98K
Tetra Tech Inc0.94%$433.58K
Travere Therapeutics Inc0.94%$433.11K
Take-Two Interactive Software Inc0.93%$429.37K
WEX Inc0.93%$428.05K
Kiniksa Pharmaceuticals International Plc0.92%$422.23K
Celldex Therapeutics Inc0.87%$399.67K
Cognex Corp0.84%$385.70K
HealthEquity Inc0.82%$378.49K
Bloom Energy Corp0.77%$352.27K
MSA Safety Inc0.75%$342.98K
Dws0.74%$338.07K
EastGroup Properties Inc0.73%$334.64K
Valvoline Inc0.73%$333.43K
Four Corners Property Trust Inc0.72%$330.01K
Kforce Inc0.71%$328.22K
Matador Resources Co0.70%$322.22K
Credo Technology Group Holding Ltd0.67%$309.77K
Molina Healthcare Inc0.67%$309.12K
Vera Therapeutics Inc0.67%$305.75K
Bancorp Inc/The0.64%$295.25K
Protagonist Therapeutics Inc0.64%$295.12K
Broadridge Financial Solutions Inc0.63%$289.54K
Merit Medical Systems Inc0.63%$289.51K
IDEX Corp0.62%$284.70K
Dynatrace Inc0.62%$283.97K
Expand Energy Corp0.61%$279.17K
Bright Horizons Family Solutions Inc0.61%$279.08K
CG oncology Inc0.60%$277.49K
Lantheus Holdings Inc0.58%$265.48K
Core Natural Resources Inc0.57%$263.81K
Madrigal Pharmaceuticals Inc0.57%$261.74K
Impinj Inc0.57%$259.83K
Cleveland-Cliffs Inc0.55%$251.70K
Everpure Inc0.51%$236.16K
Wingstop Inc0.51%$232.46K
Solv Energy Inc0.50%$227.93K
FactSet Research Systems Inc0.49%$224.80K
Janus Living Inc0.47%$216.51K
Hallador Energy Co0.46%$211.64K
Scholar Rock Holding Corp0.46%$211.39K
Tenable Holdings Inc0.45%$205.37K
Gentherm Inc0.45%$204.57K
Titan Machinery Inc0.43%$196.34K
Vaxcyte Inc0.42%$191.76K
Catalyst Pharmaceuticals Inc0.41%$188.18K
Chart Industries Inc0.40%$186.07K
Halozyme Therapeutics Inc0.39%$180.96K
Axogen Inc0.39%$178.90K
Privia Health Group Inc0.38%$176.90K
Kratos Defense & Security Solutions Inc0.38%$176.28K
Bridgebio Pharma Inc0.37%$170.80K
Crinetics Pharmaceuticals Inc0.36%$167.07K
Marzetti Company/The0.36%$166.00K
Waystar Holding Corp0.36%$163.95K
Apellis Pharmaceuticals Inc0.35%$158.95K
Palomar Holdings Inc0.34%$155.35K
Verra Mobility Corp0.34%$154.33K
Rhythm Pharmaceuticals Inc0.32%$147.85K
Five9 Inc0.32%$144.83K
Globus Medical Inc0.27%$122.69K
LGI Homes Inc0.27%$122.11K
SPX Technologies Inc0.26%$119.96K
Caris Life Sciences Inc0.23%$105.99K
Alphatec Holdings Inc0.22%$101.40K
Commvault Systems Inc0.22%$101.26K
Crescent Energy Co0.19%$86.18K
Workiva Inc0.18%$80.98K
Haemonetics Corp0.17%$76.26K
EyePoint Inc0.16%$72.18K
IonQ Inc0.15%$69.19K
Helen of Troy Ltd0.06%$28.31K
Contra Blueprint Medic0.00%$1.60K
Omniab, Inc.0.00%$0
Omniab, Inc.0.00%$0

C000017214 overview: performance, fees, allocation and SEC filings