C000017231 Holdings — DWS Small Mid Cap Value VIP

All 130 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)
Dws3.49%$2.90M
Ciena Corp2.47%$2.05M
Revolution Medicines Inc2.34%$1.94M
Huntington Ingalls Industries Inc2.10%$1.75M
EnerSys1.94%$1.61M
UMB Financial Corp1.90%$1.58M
First BanCorp/Puerto Rico1.85%$1.54M
API Group Corp1.81%$1.50M
Hancock Whitney Corp1.75%$1.46M
Jazz Pharmaceuticals PLC1.74%$1.45M
Gaming and Leisure Properties Inc1.69%$1.41M
Permian Resources Corp1.62%$1.35M
Avnet Inc1.62%$1.34M
Affiliated Managers Group Inc1.52%$1.26M
Sensata Technologies Holding PLC1.51%$1.25M
IDACORP Inc1.49%$1.24M
STAG Industrial Inc1.46%$1.22M
Antero Midstream Corp1.40%$1.17M
Ralph Lauren Corp1.39%$1.16M
MasTec Inc1.34%$1.12M
Omega Healthcare Investors Inc1.26%$1.05M
EchoStar Corp1.23%$1.02M
Reliance Inc1.19%$990.48K
Ionis Pharmaceuticals Inc1.14%$946.13K
Hasbro Inc1.14%$945.83K
Gold.com Inc1.13%$937.63K
Ligand Pharmaceuticals Inc1.11%$924.58K
UGI Corp1.11%$922.01K
nVent Electric PLC1.10%$918.21K
Evercore Inc1.10%$917.32K
Gap Inc/The1.09%$905.35K
APA Corp1.04%$862.76K
Owens Corning1.02%$847.04K
Ollie's Bargain Outlet Holdings Inc1.01%$840.79K
Itron Inc1.00%$829.17K
Global Net Lease Inc0.96%$801.96K
Radian Group Inc0.92%$766.73K
Constellium SE0.91%$756.25K
Coherent Corp0.90%$746.31K
United Therapeutics Corp0.89%$743.00K
Hut 8 Corp0.88%$733.16K
Travel + Leisure Co0.86%$714.46K
Worthington Enterprises Inc0.84%$702.95K
Rithm Capital Corp0.83%$693.42K
Korn Ferry0.83%$690.81K
Applied Optoelectronics Inc0.83%$690.34K
First Financial Corp0.82%$683.95K
Armstrong World Industries Inc0.81%$678.15K
Seaboard Corp0.81%$672.83K
RPM International Inc0.78%$647.29K
Advanced Drainage Systems Inc0.77%$643.00K
TD SYNNEX Corp0.77%$637.39K
Enact Holdings Inc0.76%$628.72K
Wynn Resorts Ltd0.75%$624.94K
Royal Gold Inc0.75%$621.21K
MGIC Investment Corp0.72%$603.43K
California Resources Corp0.72%$597.23K
B&G Foods Inc0.71%$592.81K
Everest Group Ltd0.71%$591.60K
Invesco Ltd0.67%$559.50K
Healthcare Realty Trust Inc0.67%$557.59K
Donnelley Financial Solutions Inc0.67%$557.05K
Hilltop Holdings Inc0.66%$551.45K
Worthington Steel Inc0.64%$530.12K
Portland General Electric Co0.63%$522.48K
Alpha Metallurgical Resources Inc0.60%$503.32K
Kirby Corp0.60%$502.15K
W&T Offshore Inc0.58%$480.52K
Tutor Perini Corp0.57%$474.56K
Navan Inc0.56%$470.36K
ONE Gas Inc0.56%$466.91K
Dws0.56%$462.50K
Otter Tail Corp0.55%$460.18K
Riot Platforms Inc0.54%$451.13K
Weatherford International PLC0.53%$443.11K
RLI Corp0.53%$440.98K
FTI Consulting Inc0.52%$432.73K
Corebridge Financial Inc0.50%$415.43K
Innovex International Inc0.50%$413.39K
Triumph Financial Inc0.50%$412.85K
Essent Group Ltd0.49%$411.77K
Bandwidth Inc0.49%$407.22K
Cohu Inc0.49%$405.99K
Talos Energy Inc0.49%$405.16K
Liberty Latin America Ltd0.48%$399.14K
Winmark Corp0.47%$394.63K
Safehold Inc0.47%$390.72K
ICF International Inc0.46%$385.47K
Exelixis Inc0.46%$383.31K
AutoNation Inc0.46%$382.12K
Mister Car Wash Inc0.45%$377.70K
MGP Ingredients Inc0.45%$374.49K
Frontier Group Holdings Inc0.45%$372.20K
Landstar System Inc0.45%$372.08K
Rayonier Inc0.45%$371.28K
RXO Inc0.43%$360.00K
Core Scientific Inc0.43%$359.94K
SoFi Technologies Inc0.43%$358.27K
Onto Innovation Inc0.43%$355.39K
Willdan Group Inc0.43%$354.63K
Lamb Weston Holdings Inc0.41%$343.70K
Gladstone Land Corp0.41%$339.85K
Simply Good Foods Co/The0.40%$335.06K
Powerfleet Inc NJ0.40%$332.09K
Dine Brands Global Inc0.39%$321.54K
Liberty Global Ltd0.39%$320.78K
Freshpet Inc0.38%$313.73K
Franklin Covey Co0.37%$304.59K
Assurant Inc0.36%$303.19K
Affirm Holdings Inc0.36%$302.78K
Ranpak Holdings Corp0.36%$302.21K
Alpine Income Property Trust Inc0.35%$292.99K
Viasat Inc0.34%$284.23K
Avient Corp0.34%$281.94K
DNOW Inc0.34%$281.54K
Group 1 Automotive Inc0.33%$274.09K
Sonoco Products Co0.33%$273.21K
Globe Life Inc0.32%$264.42K
Aramark0.31%$258.93K
Phoenix Education Partners Inc0.30%$247.68K
BXP Inc0.30%$245.95K
Resolute Holdings Management Inc0.28%$235.34K
MARA Holdings Inc0.28%$233.19K
Bit Digital Inc0.26%$217.67K
SailPoint Inc0.26%$217.32K
Universal Corp/VA0.26%$217.07K
NMI Holdings Inc0.26%$216.51K
CNX Resources Corp0.24%$200.15K
SkyWest Inc0.24%$199.73K
Contra Treehouse Foods0.09%$71.60K

C000017231 overview: performance, fees, allocation and SEC filings