C000017231 Holdings — DWS Small Mid Cap Value VIP

All 128 reported holdings of DWS Small Mid Cap Value VIP (C000017231) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Ciena Corp2.69%$2.59M
UMB Financial Corp2.08%$2.00M
Avnet Inc2.01%$1.94M
First BanCorp/Puerto Rico1.95%$1.88M
Jazz Pharmaceuticals PLC1.92%$1.85M
EnerSys1.85%$1.78M
Hancock Whitney Corp1.78%$1.71M
Revolution Medicines Inc1.78%$1.71M
Sensata Technologies Holding PLC1.76%$1.70M
Affiliated Managers Group Inc1.60%$1.54M
Dws1.53%$1.47M
Ligand Pharmaceuticals Inc1.52%$1.46M
Gaming and Leisure Properties Inc1.46%$1.41M
Ralph Lauren Corp1.41%$1.36M
nVent Electric PLC1.37%$1.32M
IDACORP Inc1.36%$1.31M
Huntington Ingalls Industries Inc1.34%$1.29M
STAG Industrial Inc1.33%$1.28M
Owens Corning1.29%$1.24M
Coherent Corp1.28%$1.24M
Reliance Inc1.26%$1.22M
Permian Resources Corp1.21%$1.17M
Antero Midstream Corp1.21%$1.16M
MasTec Inc1.19%$1.14M
Omega Healthcare Investors Inc1.19%$1.14M
Applied Optoelectronics Inc1.14%$1.09M
Evercore Inc1.09%$1.05M
Hut 8 Corp1.07%$1.03M
API Group Corp1.05%$1.02M
TD SYNNEX Corp1.05%$1.01M
Riot Platforms Inc1.04%$999.34K
Ionis Pharmaceuticals Inc1.04%$999.05K
Willdan Group Inc1.02%$981.16K
Constellium SE1.02%$980.54K
Gold.com Inc1.01%$973.42K
Korn Ferry1.00%$960.62K
Sandisk Corp0.95%$914.04K
Dws0.94%$903.93K
EchoStar Corp0.92%$884.98K
UGI Corp0.91%$874.41K
Radian Group Inc0.91%$873.12K
First Financial Corp0.87%$838.06K
Hasbro Inc0.87%$834.57K
Frontier Group Holdings Inc0.87%$834.02K
Navan Inc0.84%$812.48K
Generac Holdings Inc0.83%$801.71K
Itron Inc0.83%$800.49K
Travel + Leisure Co0.82%$789.22K
Science Applications International Corp0.82%$786.56K
Freshpet Inc0.80%$773.94K
Global Net Lease Inc0.80%$765.98K
Silgan Holdings Inc0.78%$749.20K
Advanced Drainage Systems Inc0.76%$735.99K
Worthington Enterprises Inc0.75%$724.79K
RPM International Inc0.75%$723.81K
Enact Holdings Inc0.73%$704.21K
Ollie's Bargain Outlet Holdings Inc0.73%$702.30K
Gap Inc/The0.73%$698.84K
Rithm Capital Corp0.71%$686.84K
RXO Inc0.71%$679.38K
United Therapeutics Corp0.70%$678.91K
Allient Inc0.70%$676.97K
APA Corp0.69%$662.12K
Healthcare Realty Trust Inc0.69%$661.96K
Armstrong World Industries Inc0.69%$660.13K
Onto Innovation Inc0.68%$655.85K
MGIC Investment Corp0.67%$648.26K
Everest Group Ltd0.67%$646.59K
Toll Brothers Inc0.66%$633.30K
Core Scientific Inc0.64%$615.70K
Invesco Ltd0.63%$607.87K
Hilltop Holdings Inc0.62%$597.02K
Leggett & Platt Inc0.62%$593.16K
Worthington Steel Inc0.61%$586.54K
El Pollo Loco Holdings Inc0.58%$563.09K
Viasat Inc0.58%$557.36K
Primo Brands Corp0.57%$548.58K
Affirm Holdings Inc0.56%$538.88K
Seaboard Corp0.55%$531.26K
Triumph Financial Inc0.55%$528.07K
Portland General Electric Co0.53%$513.17K
Corebridge Financial Inc0.52%$498.48K
SailPoint Inc0.52%$497.06K
Donnelley Financial Solutions Inc0.51%$495.72K
Royal Gold Inc0.51%$487.25K
Exelixis Inc0.50%$486.26K
Landstar System Inc0.50%$480.01K
Otter Tail Corp0.49%$471.77K
Lumentum Holdings Inc0.49%$467.64K
RLI Corp0.47%$456.67K
California Resources Corp0.47%$456.16K
Valaris Ltd0.47%$455.71K
Safehold Inc0.47%$453.38K
Essent Group Ltd0.47%$452.92K
SkyWest Inc0.47%$452.65K
W&T Offshore Inc0.46%$443.89K
Bandwidth Inc0.46%$443.10K
Utz Brands Inc0.46%$439.72K
ICF International Inc0.45%$430.17K
ONE Gas Inc0.43%$417.80K
Powerfleet Inc NJ0.43%$412.96K
SoFi Technologies Inc0.42%$404.52K
Alpha Metallurgical Resources Inc0.42%$404.43K
MARA Holdings Inc0.41%$396.93K
Winmark Corp0.41%$390.50K
Rayonier Inc0.40%$383.17K
Assurant Inc0.39%$373.79K
FTI Consulting Inc0.38%$364.78K
AutoNation Inc0.38%$363.59K
Liberty Latin America Ltd0.38%$362.18K
Globe Life Inc0.35%$339.49K
Alpine Income Property Trust Inc0.35%$337.91K
Talos Energy Inc0.34%$331.89K
BXP Inc0.33%$314.24K
DNOW Inc0.32%$306.60K
Bit Digital Inc0.31%$299.09K
Avient Corp0.30%$287.07K
Uniti Group Inc0.30%$285.87K
Gladstone Land Corp0.29%$284.21K
Helen of Troy Ltd0.27%$259.39K
Phoenix Education Partners Inc0.27%$258.63K
Group 1 Automotive Inc0.25%$241.38K
Borr Drilling Ltd0.24%$233.25K
Simply Good Foods Co/The0.24%$229.13K
Kirby Corp0.24%$226.93K
Nabors Industries Ltd0.20%$196.08K
Liberty Latin American0.10%$100.19K
Contra Treehouse Foods0.07%$71.60K

C000017231 overview: performance, fees, allocation and SEC filings