C000017770 Holdings — Frontier Mid Cap Growth Portfolio

All 112 reported holdings of Frontier Mid Cap Growth Portfolio (C000017770) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Royal Caribbean Cruises Ltd3.91%$42.31M
Fixed Income Clearing Corp.3.20%$34.65M
Snowflake Inc3.04%$32.97M
XPO Inc2.94%$31.82M
FTAI Aviation Ltd2.62%$28.34M
Datadog Inc2.51%$27.13M
Monolithic Power Systems Inc2.35%$25.49M
Cloudflare Inc2.14%$23.21M
Quanta Services Inc2.05%$22.23M
Fair Isaac Corp2.04%$22.12M
Dexcom Inc1.93%$20.94M
Natera Inc1.85%$20.06M
Astera Labs Inc1.83%$19.80M
Akamai Technologies Inc1.79%$19.36M
MongoDB Inc1.74%$18.88M
RBC Bearings Inc1.71%$18.49M
Rocket Lab Corp1.69%$18.30M
Knight-Swift Transportation Holdings Inc1.60%$17.36M
United Therapeutics Corp1.56%$16.86M
Molina Healthcare Inc1.55%$16.80M
Lattice Semiconductor Corp1.40%$15.21M
ATI Inc1.35%$14.63M
Builders FirstSource Inc1.35%$14.61M
API Group Corp1.31%$14.22M
Cencora Inc1.31%$14.14M
Teradyne Inc1.28%$13.89M
Cheniere Energy Inc1.28%$13.83M
NXP Semiconductors NV1.25%$13.53M
Vistra Corp1.21%$13.09M
Mueller Industries Inc1.20%$13.02M
Reddit Inc1.19%$12.85M
Burlington Stores Inc1.18%$12.77M
Nebius Group NV1.14%$12.37M
Jabil Inc1.12%$12.15M
Verisk Analytics Inc1.12%$12.12M
Viking Holdings Ltd1.08%$11.69M
Eagle Materials Inc1.02%$11.07M
Deckers Outdoor Corp0.99%$10.75M
Lumentum Holdings Inc0.99%$10.74M
Robinhood Markets Inc0.97%$10.47M
Celsius Holdings Inc0.94%$10.19M
IDEXX Laboratories Inc0.92%$10.01M
QXO Inc0.91%$9.89M
Church & Dwight Co Inc0.88%$9.51M
Mettler-Toledo International Inc0.84%$9.09M
Stride Inc0.83%$8.99M
Insmed Inc0.83%$8.99M
Watts Water Technologies Inc0.83%$8.94M
Entegris Inc0.81%$8.73M
Circle Internet Group Inc0.80%$8.71M
Skyworks Solutions Inc0.79%$8.58M
Vertiv Holdings Co0.75%$8.18M
First Industrial Realty Trust Inc0.75%$8.17M
ROBLOX Corp0.74%$8.04M
Dynatrace Inc0.73%$7.95M
Solstice Advanced Materials Inc0.71%$7.73M
Agilent Technologies Inc0.69%$7.49M
Flex Ltd0.69%$7.48M
Murphy USA Inc0.67%$7.21M
Motorola Solutions Inc0.66%$7.18M
Chipotle Mexican Grill Inc0.66%$7.16M
Allegro MicroSystems Inc0.65%$7.01M
Ms Govt US Lex0.65%$7.00M
Dreyfus Treasury & Agency Lex0.65%$7.00M
Tfdxx Lex Blackrock Fed Fund0.65%$7.00M
Goldman Sachs Fin Square Govt Fd0.65%$7.00M
Allspring Govt Fund Lex0.65%$7.00M
Invesco Govt And Agcy Lex0.65%$7.00M
L3Harris Technologies Inc0.64%$6.95M
Block Inc0.63%$6.79M
Zscaler Inc0.62%$6.72M
Lemonade Inc0.61%$6.60M
Everpure Inc0.61%$6.56M
Veeva Systems Inc0.60%$6.50M
Steris PLC0.59%$6.36M
Aon PLC0.58%$6.26M
Waste Connections Inc0.57%$6.19M
Federal Realty Investment Trust0.57%$6.15M
Bridgebio Pharma Inc0.55%$5.93M
GE HealthCare Technologies Inc0.54%$5.85M
Alcon AG0.54%$5.80M
Wingstop Inc0.53%$5.71M
Symbotic Inc0.53%$5.71M
Cintas Corp0.52%$5.67M
Flowserve Corp0.49%$5.28M
Workday Inc0.48%$5.22M
Permian Resources Corp0.48%$5.17M
Align Technology Inc0.48%$5.17M
MSCI Inc0.48%$5.16M
Coherent Corp0.47%$5.12M
State Street Inst US Govt Fund0.46%$5.00M
Barclays Capital Inc0.46%$5.00M
Rbc US Govt Money Mkt Fund0.46%$5.00M
Alnylam Pharmaceuticals Inc0.45%$4.93M
Floor & Decor Holdings Inc0.42%$4.56M
Amphenol Corp0.41%$4.49M
Arista Networks Inc0.40%$4.38M
CACI International Inc0.38%$4.10M
The Bank Of Nova Scotia, Toronto0.37%$4.00M
Jefferies LLC0.36%$3.90M
Carlyle Group Inc/The0.33%$3.53M
Pool Corp0.31%$3.31M
Rollins Inc0.29%$3.16M
HSBC Bank PLC0.18%$2.00M
Cantor Fitzgeral & Co0.18%$2.00M
Citigroup Global Markets Inc0.18%$2.00M
Bank Of Montreal Toronto0.18%$1.90M
Societe Generale0.09%$1.00M
National Bank Of Canada0.09%$1.00M
Bank Of Nova Scotia NY Agency0.09%$1.00M
National Bank Financial Inc0.09%$1.00M
NBC Global Finance Limited0.09%$1.00M

C000017770 overview: performance, fees, allocation and SEC filings