C000017251 Holdings — DWS High Income VIP

All 258 reported holdings of DWS High Income VIP (C000017251) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Dws14.17%$5.88M
State Street SPDR Portfolio High Yield Bond ETF2.90%$1.20M
Alpha Generation LLC2.03%$842.29K
Post Holdings, Inc.1.98%$823.08K
Dws1.65%$683.54K
Carnival Corp. Ltd.1.52%$631.10K
Charles River Laboratori1.37%$566.42K
Cco Hldgs Llc/cap Corp.1.29%$536.09K
Carnival Corp. Ltd.1.29%$533.44K
Xhr LP1.25%$520.36K
Vodafone Group PLC1.23%$508.15K
Insight Enterprs1.03%$425.85K
Park Intermed Holdings1.03%$425.33K
Ezcorp, Inc.1.02%$424.47K
Windsor Holdings III LLC1.02%$424.12K
Ashland, Inc.0.99%$410.41K
Transdigm, Inc.0.99%$408.85K
Ardonagh Finco Ltd.0.96%$396.75K
Iron Mountain, Inc.0.94%$389.10K
Venture Global Plaque0.92%$381.30K
Olympus Wtr US Hldg Corp.0.92%$379.76K
Ascent Resources/aru Fin0.91%$376.22K
Sirius Xm Radio LLC0.90%$371.99K
Rlj Lodging Trust LP0.86%$358.14K
iShares Broad USD High Yield Corporate Bond ETF0.80%$331.22K
Virgin Media Secured Fin0.79%$327.46K
Ascent Resources/aru Fin0.77%$319.95K
Venture Global Plaque0.72%$300.06K
Oak-Eagle Acquireco, Inc.0.71%$295.05K
Hub International Ltd.0.68%$283.96K
Lumen Technologies, Inc.0.66%$272.94K
Service Properties Trust0.66%$271.67K
Cco Hldgs Llc/cap Corp.0.65%$269.57K
Pls Group Ltd.0.65%$268.26K
Chs/community Health Sys0.64%$264.22K
Olin Corp.0.64%$263.64K
Cloud Software Grp, Inc.0.63%$263.04K
Sunoco LP0.62%$256.86K
Gfl Environmental Hol0.61%$251.97K
Avient Corp.0.59%$245.22K
Lithia Motors, Inc.0.59%$243.65K
Vistra Corp.0.58%$241.90K
Sv Rno Property Owner 10.57%$236.54K
Excelerate Energy LP0.57%$235.18K
Electricite De France SA0.56%$232.25K
Ws Escrow LLC0.56%$232.06K
Pr Rno Property Owner 10.56%$230.67K
Rakuten Group, Inc.0.55%$226.32K
Venture Global Lng, Inc.0.54%$224.19K
Discovery Communications0.54%$222.75K
Neptune Bidco US, Inc.0.53%$221.30K
Prime Healthcare Service0.53%$219.38K
Altice France SA0.52%$217.42K
Ats Corp.0.52%$214.54K
Hawaiian Elec Co.0.52%$214.00K
Voyager Parent LLC0.51%$211.51K
Organon & Co/organon For0.51%$210.97K
Seadrill Finance Ltd.0.50%$209.05K
Stena International SA0.49%$204.48K
Dish Network Corp.0.49%$203.46K
1261229 Bc Ltd.0.49%$202.57K
Bond US Bidco 1/2/3/g1/20.49%$201.95K
Pattern Energy Op Lp/pat0.48%$200.72K
Starwood Property Trust0.48%$200.52K
Global Auto Ho/aag Fh UK0.47%$197.00K
Navient Corp.0.47%$196.18K
Summit Midstream Holding0.47%$195.91K
Telenet Finance Lux Note0.47%$195.17K
Tkc Holdings, Inc.0.47%$194.50K
Ziggo Bond Co. Bv0.47%$194.09K
Howden UK Refinance / US0.47%$193.73K
Howard Midstream Energy0.46%$191.61K
Csc Holdings LLC0.46%$190.15K
Dish Dbs Corp.0.45%$188.18K
Champion Iron Canada, Inc.0.45%$185.35K
Bath & Body Works, Inc.0.45%$185.31K
Echostar Corp.0.44%$183.71K
Sm Energy Co.0.44%$180.65K
Voltagrid LLC0.44%$180.64K
Venture Global Calcasieu0.43%$179.19K
Discovery Holdings, Inc.0.43%$178.21K
Staples, Inc.0.43%$177.43K
Directv Financing LLC0.43%$177.09K
Apld Computeco 2 LLC0.42%$175.63K
Mineral Resources Ltd.0.42%$175.09K
Versant Media Group, Inc.0.42%$174.84K
Echostar Corp.0.42%$173.97K
Venture Global Plaque0.42%$172.93K
Nexstar Media, Inc.0.41%$171.95K
Ams-Osram AG0.41%$171.92K
Molina Healthcare, Inc.0.41%$171.94K
Charles River Laboratori0.41%$171.66K
Core Scientific Finance0.41%$171.38K
Novelis Corp.0.41%$170.25K
Altice France SA0.41%$169.65K
American Axle & Mfg, Inc.0.40%$167.94K
Asurion LLC0.40%$167.73K
Paramount Global0.40%$165.42K
Block, Inc.0.40%$163.86K
Rivers Enterprise0.39%$163.41K
Viking Baked Goods Acqui0.39%$161.73K
Open Text Corp.0.39%$160.79K
Freedom Mortgage Hold0.38%$157.21K
Windstream Services/escr0.38%$156.07K
Crc Insurance Group LLC0.36%$149.52K
Cco Hldgs Llc/cap Corp.0.36%$148.60K
Avis Budget Finance PLC0.36%$148.26K
Signature Aviation US0.35%$146.47K
Equipmentshare.com, Inc.0.35%$145.42K
Garda World Security Corporation0.35%$145.41K
Uniti Group/csl Capital0.35%$143.86K
Axalta Coating Systems0.35%$143.19K
Amc Global Media, Inc.0.34%$142.88K
Bausch Health Cos, Inc.0.34%$142.56K
Coreweave, Inc.0.34%$141.69K
Connect Holding Ii LLC0.34%$141.25K
Starwood Property Trust0.34%$140.51K
Michaels Cos Inc/the0.34%$139.66K
Charlotte Buyer, Inc.0.34%$139.70K
Adi Escrow Issuer LLC0.33%$138.49K
Crescent Energy Finance0.33%$136.18K
Deluxe Corp.0.33%$135.96K
Nissan Motor Acceptance0.32%$133.75K
Nissan Motor Acceptance0.32%$133.11K
Teleflex, Inc.0.32%$133.00K
Connect Finco Sarl0.31%$129.55K
Kaiser Aluminum Corp.0.31%$129.24K
Boyd Gaming Corp.0.31%$128.43K
Sm Energy Co.0.30%$125.99K
Harvest Midstream I LP0.30%$125.77K
Bausch Health Companies Inc0.30%$124.81K
Industrial F&b Inv0.30%$124.33K
Calderys Financing LLC0.30%$124.29K
Luna 1.5 Sarl0.29%$121.47K
Venture Global Plaque0.29%$119.83K
Viasat, Inc.0.29%$119.70K
Directv Financing LLC0.28%$116.90K
Acrisure LLC / Fin, Inc.0.28%$115.95K
Kehe Dist/fin / Nextwave0.28%$115.15K
Magnera Corp.0.27%$112.27K
Mpt Oper Partnersp/finl0.27%$112.09K
Playtika Holding Corp.0.27%$111.88K
Lindblad Expeditions LLC0.27%$110.63K
Qxo Building Products0.26%$109.05K
Nissan Motor Acceptance0.26%$107.39K
Crocs, Inc.0.26%$106.73K
Genesis Energy Lp/fin0.26%$106.17K
iShares Core S&P 500 ETF0.25%$105.59K
Mcgraw-Hill Education0.25%$105.21K
Scih Salt Holdings, Inc.0.25%$105.08K
Avantor Funding, Inc.0.25%$105.02K
Coreweave, Inc.0.25%$104.68K
Mohegan Tribal / Ms Dig0.25%$104.16K
Equipmentshare.com, Inc.0.25%$104.02K
The Men's Wearhouse LLC0.25%$103.07K
Adt Sec Corp.0.25%$103.01K
Lifepoint Health, Inc.0.25%$102.56K
Starwood Property Trust0.25%$102.54K
Whirlpool Corp.0.25%$102.42K
Amerigas Part/fin Corp.0.24%$101.25K
Gaia Purchaser, Inc.0.24%$100.14K
Hlf Fin Sarl Llc/herbali0.24%$99.33K
Alliant Hold / Co.-Issuer0.24%$98.73K
Graphic Packaging Intern0.24%$98.68K
Cooper-Standard Automoti0.24%$97.76K
Mpt Oper Partnersp/finl0.23%$97.26K
Cloud Software Grp, Inc.0.23%$93.72K
Arches Buyer, Inc.0.23%$93.57K
Ukg, Inc.0.22%$92.29K
Chs/community Health Sys0.22%$90.16K
Univision Communications0.22%$89.58K
Navient Corp.0.22%$89.29K
Meridian Arc Holdco LLC0.21%$86.19K
Open Text Corp.0.21%$85.51K
Clear Channel Outdoor Ho0.21%$85.14K
Discovery Holdings, Inc.0.20%$84.25K
Rithm Capital Corp.0.20%$83.20K
Pennymac Fin Svcs, Inc.0.20%$83.19K
Coty/hfc Prestige/int US0.20%$82.68K
Genesis Energy Lp/fin0.20%$82.49K
Block, Inc.0.19%$80.55K
Suncoke Energy, Inc.0.19%$80.43K
Altice Financing SA0.19%$80.12K
Cco Hldgs Llc/cap Corp.0.19%$79.92K
Sm Energy Co.0.19%$77.85K
Pacificorp0.19%$77.78K
Elk Grove Village Proper0.19%$77.52K
Rocket Software, Inc.0.18%$76.54K
Luxco3 Shares0.18%$75.87K
Rithm Capital Corp.0.18%$75.30K
Fertitta Entertainment0.18%$73.55K
Freedom Mortgage Hold0.17%$72.34K
Firstcash, Inc.0.17%$71.93K
Mcafee Corp.0.16%$67.98K
Sm Energy Co.0.16%$67.89K
Genesis Energy Lp/fin0.16%$67.61K
Puget Energy, Inc.0.16%$65.71K
Nrg Energy, Inc.0.16%$65.01K
Newell Brands, Inc.0.16%$64.81K
Dealer Tire Financial Ll0.16%$64.77K
Fmc Corp.0.16%$64.53K
Kehe Dist/fin / Nextwave0.15%$64.17K
Iheartcommunications, Inc.0.15%$63.19K
Mohegan Tribal / Ms Dig0.15%$62.84K
Sabre Glbl, Inc.0.15%$62.35K
Paramount Global0.15%$61.61K
Crescent Energy Finance0.15%$61.49K
Lifepoint Health, Inc.0.15%$61.41K
Hlf Fin Sarl Llc/herbali0.15%$60.85K
Paramount Global0.15%$60.42K
Acrisure LLC / Fin, Inc.0.14%$57.21K
Photo Holdings LLC0.13%$55.64K
Icahn Enterprises/fin0.13%$53.94K
Transocean Aquila Ltd.0.13%$53.51K
Oi European Group Bv0.13%$53.19K
Wabash National Corp.0.12%$50.19K
Jetblue Airways/loyalty0.12%$49.81K
Nissan Motor Acceptance0.12%$49.15K
Whirlpool Corp.0.12%$48.57K
Rithm Capital Corp.0.12%$47.88K
Paramount Global0.10%$43.55K
Trident Tpi Holdings, Inc.0.10%$43.06K
Specialty Building Produ0.10%$42.32K
Penn Entertainment, Inc.0.10%$42.22K
Cleveland-Cliffs, Inc.0.10%$42.05K
Univision Communications0.10%$41.66K
Starz Capital Holdings0.10%$41.59K
Buckeye Partners LP0.10%$41.46K
Navient Corp.0.10%$41.27K
Penn Entertainment, Inc.0.10%$41.23K
United States Treasury0.10%$40.17K
Scripps Escrow Ii, Inc.0.10%$40.14K
Fmc Corp.0.10%$40.06K
Freedom Mortgage Hold0.10%$39.67K
Moss Creek Resources Hld0.10%$39.66K
Unisys Corp.0.10%$39.46K
Synergy Infrastructure H0.09%$35.50K
Men's Wearhouse, Inc. (The)0.08%$35.04K
Ont Gaming Gta/otg Co.-Is0.08%$34.68K
Getty Images, Inc.0.08%$33.35K
Wilsonart LLC0.08%$31.60K
Tronox, Inc.0.08%$31.50K
Vistajet Malta/vm Holds0.07%$30.37K
Service Properties Trust0.07%$29.20K
Service Properties Trust0.07%$28.83K
Vistajet Malta/vm Holds0.07%$28.55K
Xerox Holdings Corp.0.07%$27.32K
Venture Global Calcasieu0.06%$25.27K
Bausch Health Cos, Inc.0.05%$21.30K
Whirlpool Corp.0.05%$20.18K
Staples, Inc.0.05%$19.15K
Xerox Corporation0.04%$17.60K
E.W. Scripps Company (The)0.04%$15.26K
Coreweave, Inc.0.02%$7.88K
Hercules Trust II0.02%$7.04K
Quad/Graphics Inc0.01%$2.42K
Chicago Board of Trade0.00%$157
State Street Bank & Trust Co.-0.00%$-1.61K

C000017251 overview: performance, fees, allocation and SEC filings