C000019811 Holdings — VT Index Asset Allocation Fund

All 500 reported holdings of VT Index Asset Allocation Fund (C000019811) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp4.45%$2.89M
Apple Inc3.91%$2.54M
Allspring Government Money Mar3.01%$1.96M
Microsoft Corp2.89%$1.88M
Amazon.com Inc2.14%$1.39M
United States Treasury1.87%$1.21M
United States Treasury1.82%$1.19M
United States Treasury1.81%$1.18M
United States Treasury1.80%$1.17M
Alphabet Inc1.76%$1.14M
United States Treasury1.72%$1.12M
Broadcom Inc1.54%$1.00M
United States Treasury1.46%$948.00K
Alphabet Inc1.41%$915.94K
United States Treasury1.41%$913.60K
United States Treasury1.40%$912.19K
United States Treasury1.33%$866.87K
Meta Platforms Inc1.31%$854.19K
United States Treasury1.25%$815.16K
United States Treasury1.13%$737.23K
Tesla Inc1.10%$713.76K
United States Treasury1.06%$686.63K
United States Treasury1.03%$667.72K
United States Treasury0.97%$628.92K
Berkshire Hathaway Inc0.92%$599.96K
United States Treasury0.84%$544.49K
JPMorgan Chase & Co0.83%$541.55K
Eli Lilly & Co0.77%$497.60K
Exxon Mobil Corp0.74%$484.04K
United States Treasury0.73%$477.70K
United States Treasury0.73%$472.57K
United States Treasury0.69%$451.57K
Johnson & Johnson0.62%$402.10K
United States Treasury0.58%$376.17K
Walmart Inc0.57%$371.97K
United States Treasury0.57%$370.63K
United States Treasury0.55%$357.82K
United States Treasury0.54%$351.74K
Visa Inc0.53%$346.97K
Costco Wholesale Corp0.46%$301.92K
United States Treasury0.45%$295.39K
United States Treasury0.44%$284.04K
United States Treasury0.43%$281.97K
Mastercard Inc0.43%$277.81K
Netflix Inc0.43%$277.10K
United States Treasury0.41%$268.21K
Chevron Corp0.41%$264.83K
AbbVie Inc0.40%$262.51K
United States Treasury0.40%$260.09K
Micron Technology Inc0.40%$259.46K
United States Treasury0.36%$235.09K
Procter & Gamble Co/The0.35%$229.23K
Palantir Technologies Inc0.35%$228.05K
Advanced Micro Devices Inc0.35%$226.42K
Caterpillar Inc0.35%$225.29K
Home Depot Inc/The0.34%$223.65K
United States Treasury0.34%$222.06K
Bank of America Corp0.34%$220.84K
Cisco Systems Inc0.32%$209.26K
United States Treasury0.31%$204.14K
Merck & Co Inc0.31%$203.77K
General Electric Co0.31%$203.18K
United States Treasury0.31%$202.69K
Coca-Cola Co/The0.31%$201.00K
United States Treasury0.30%$193.46K
United States Treasury0.30%$191.82K
United States Treasury0.29%$191.25K
United States Treasury0.29%$186.84K
United States Treasury0.29%$185.99K
United States Treasury0.29%$185.38K
Applied Materials Inc0.28%$185.25K
Lam Research Corp0.28%$182.04K
United States Treasury0.28%$179.16K
RTX Corp0.27%$176.70K
Philip Morris International Inc0.27%$175.76K
United States Treasury0.27%$175.12K
United States Treasury0.27%$174.61K
Goldman Sachs Group Inc/The0.27%$173.43K
Oracle Corp0.26%$170.35K
Wells Fargo & Co0.26%$168.06K
UnitedHealth Group Inc0.26%$167.22K
United States Treasury0.25%$161.97K
United States Treasury0.25%$161.42K
GE Vernova Inc0.25%$160.61K
Linde PLC0.24%$158.15K
International Business Machines Corp0.24%$154.64K
McDonald's Corp0.23%$151.04K
United States Treasury0.23%$147.24K
United States Treasury0.23%$146.46K
PepsiCo Inc0.22%$144.89K
Verizon Communications Inc0.22%$144.53K
Intel Corp0.22%$141.44K
AT&T Inc0.21%$138.54K
United States Treasury0.21%$137.90K
United States Treasury0.21%$135.52K
Citigroup Inc0.21%$135.30K
Morgan Stanley0.21%$135.11K
NextEra Energy Inc0.20%$132.08K
KLA Corp0.20%$131.04K
Amgen Inc0.20%$129.48K
Thermo Fisher Scientific Inc0.19%$125.83K
United States Treasury0.19%$122.72K
Abbott Laboratories0.19%$121.87K
TJX Cos Inc/The0.19%$121.05K
Texas Instruments Inc0.19%$120.37K
Salesforce Inc0.18%$119.47K
United States Treasury0.18%$118.46K
Gilead Sciences Inc0.18%$118.05K
Walt Disney Co/The0.18%$116.52K
United States Treasury0.18%$115.05K
United States Treasury0.18%$114.45K
United States Treasury0.17%$113.61K
United States Treasury0.17%$112.57K
Intuitive Surgical Inc0.17%$111.56K
American Express Co0.17%$110.71K
United States Treasury0.17%$110.65K
ConocoPhillips0.17%$110.35K
Pfizer Inc0.17%$108.98K
United States Treasury0.17%$107.95K
Charles Schwab Corp/The0.16%$107.14K
Boeing Co/The0.16%$106.68K
United States Treasury0.16%$106.68K
Analog Devices Inc0.16%$106.26K
Amphenol Corp0.16%$106.01K
United States Treasury0.16%$102.25K
Uber Technologies Inc0.16%$101.06K
Union Pacific Corp0.15%$98.26K
Honeywell International Inc0.15%$97.87K
Deere & Co0.15%$96.89K
United States Treasury0.15%$96.54K
United States Treasury0.15%$96.13K
Blackrock Inc0.15%$95.21K
Eaton Corp PLC0.15%$94.78K
Welltower Inc0.14%$94.11K
QUALCOMM Inc0.14%$93.75K
Booking Holdings Inc0.14%$92.63K
United States Treasury0.14%$92.56K
United States Treasury0.14%$91.03K
Lowe's Cos Inc0.14%$90.50K
United States Treasury0.14%$89.90K
S&P Global Inc0.14%$88.90K
United States Treasury0.14%$88.80K
Palo Alto Networks Inc0.14%$88.50K
United States Treasury0.13%$87.63K
United States Treasury0.13%$86.93K
Arista Networks Inc0.13%$86.56K
United States Treasury0.13%$86.17K
Bristol-Myers Squibb Co0.13%$84.30K
United States Treasury0.13%$84.07K
Prologis Inc0.13%$83.93K
Lockheed Martin Corp0.13%$83.41K
Accenture PLC0.13%$83.28K
Intuit Inc0.13%$82.15K
United States Treasury0.13%$82.08K
Danaher Corp0.13%$81.34K
Chubb Ltd0.12%$80.83K
Newmont Corp0.12%$80.65K
Progressive Corp/The0.12%$79.30K
United States Treasury0.12%$79.29K
United States Treasury0.12%$78.98K
Capital One Financial Corp0.12%$77.90K
United States Treasury0.12%$77.29K
Stryker Corp0.12%$77.22K
Vertex Pharmaceuticals Inc0.12%$77.25K
Parker-Hannifin Corp0.12%$76.99K
Medtronic PLC0.12%$75.82K
Altria Group Inc0.12%$75.62K
ServiceNow Inc0.11%$74.65K
AppLovin Corp0.11%$73.63K
United States Treasury0.11%$73.44K
McKesson Corp0.11%$72.69K
CME Group Inc0.11%$72.66K
Southern Co/The0.11%$72.58K
Corning Inc0.11%$72.47K
United States Treasury0.11%$72.14K
United States Treasury0.11%$71.47K
United States Treasury0.11%$70.54K
Comcast Corp0.11%$70.34K
Starbucks Corp0.11%$69.70K
Duke Energy Corp0.11%$69.53K
Adobe Inc0.10%$68.06K
T-Mobile US Inc0.10%$67.84K
United States Treasury0.10%$67.18K
Crowdstrike Holdings Inc0.10%$67.15K
Chicago Board of Trade0.10%$66.63K
Equinix Inc0.10%$65.68K
Vertiv Holdings Co0.10%$65.40K
Sandisk Corp/DE0.10%$64.17K
Boston Scientific Corp0.10%$63.50K
Howmet Aerospace Inc0.10%$63.15K
Trane Technologies PLC0.10%$62.93K
Western Digital Corp0.10%$62.48K
CVS Health Corp0.10%$62.34K
Northrop Grumman Corp0.10%$62.08K
Intercontinental Exchange Inc0.09%$61.02K
Williams Cos Inc/The0.09%$60.70K
Constellation Energy Corp0.09%$59.48K
General Dynamics Corp0.09%$59.38K
Blackstone Inc0.09%$58.76K
Seagate Technology Holdings PLC0.09%$58.37K
Waste Management Inc0.09%$58.14K
Freeport-McMoRan Inc0.09%$57.66K
PNC Financial Services Group Inc/The0.09%$57.43K
Marsh & McLennan Cos Inc0.09%$57.24K
Quanta Services Inc0.09%$56.00K
Automatic Data Processing Inc0.09%$55.87K
Bank of New York Mellon Corp/The0.09%$55.76K
American Tower Corp0.09%$55.23K
US Bancorp0.08%$55.18K
Johnson Controls International plc0.08%$54.74K
EOG Resources Inc0.08%$53.49K
Regeneron Pharmaceuticals Inc0.08%$53.31K
O'Reilly Automotive Inc0.08%$53.08K
FedEx Corp0.08%$52.71K
SLB Ltd0.08%$52.47K
3M Co0.08%$52.28K
CSX Corp0.08%$52.09K
Synopsys Inc0.08%$51.94K
Cadence Design Systems Inc0.08%$51.68K
Valero Energy Corp0.08%$51.39K
United States Treasury0.08%$50.78K
HCA Healthcare Inc0.08%$50.64K
Cummins Inc0.08%$50.57K
Mondelez International Inc0.08%$50.44K
Sherwin-Williams Co/The0.08%$50.33K
Emerson Electric Co0.08%$50.31K
Phillips 660.08%$50.10K
United Parcel Service Inc0.08%$49.58K
Marriott International Inc/MD0.08%$49.06K
Marathon Petroleum Corp0.08%$49.08K
United States Treasury0.08%$49.01K
Motorola Solutions Inc0.08%$49.04K
American Electric Power Co Inc0.07%$48.37K
Crh PLC0.07%$48.14K
Cigna Group/The0.07%$48.02K
Ross Stores Inc0.07%$47.88K
Hilton Worldwide Holdings Inc0.07%$47.74K
Royal Caribbean Cruises Ltd0.07%$47.33K
Aon PLC0.07%$47.13K
Colgate-Palmolive Co0.07%$46.88K
Illinois Tool Works Inc0.07%$46.59K
Warner Bros Discovery Inc0.07%$46.46K
Ecolab Inc0.07%$46.29K
General Motors Co0.07%$45.97K
Moody's Corp0.07%$45.81K
United States Treasury0.07%$45.39K
TransDigm Group Inc0.07%$45.20K
Kinder Morgan Inc0.07%$44.83K
United States Treasury0.07%$44.24K
Elevance Health Inc0.07%$44.21K
L3Harris Technologies Inc0.07%$44.18K
Air Products and Chemicals Inc0.07%$44.15K
Norfolk Southern Corp0.07%$43.91K
Sempra0.07%$43.34K
KKR & Co Inc0.07%$43.38K
Travelers Cos Inc/The0.07%$43.17K
NIKE Inc0.07%$42.94K
TE Connectivity PLC0.06%$41.80K
Cencora Inc0.06%$41.78K
PACCAR Inc0.06%$41.46K
Simon Property Group Inc0.06%$41.41K
Baker Hughes Co0.06%$41.21K
Truist Financial Corp0.06%$39.63K
Digital Realty Trust Inc0.06%$39.65K
Cintas Corp0.06%$39.24K
Chicago Mercantile Exchange0.06%$39.03K
ONEOK Inc0.06%$38.87K
Corteva Inc0.06%$38.42K
Realty Income Corp0.06%$38.42K
DoorDash Inc0.06%$38.29K
United States Treasury0.06%$38.14K
Arthur J Gallagher & Co0.06%$37.90K
Robinhood Markets Inc0.06%$37.42K
Target Corp0.06%$37.45K
Ciena Corp0.06%$37.27K
AutoZone Inc0.06%$37.16K
Targa Resources Corp0.06%$36.86K
Allstate Corp/The0.06%$36.70K
Airbnb Inc0.06%$36.49K
Fastenal Co0.06%$36.38K
Monolithic Power Systems Inc0.06%$36.08K
Dominion Energy Inc0.06%$36.04K
Monster Beverage Corp0.05%$35.29K
Apollo Global Management Inc0.05%$35.32K
Fortinet Inc0.05%$35.30K
Aflac Inc0.05%$35.00K
Autodesk Inc0.05%$34.71K
Entergy Corp0.05%$34.72K
Lumentum Holdings Inc0.05%$34.44K
Exelon Corp0.05%$34.22K
Zoetis Inc0.05%$34.04K
Cardinal Health Inc0.05%$34.02K
United States Treasury0.05%$34.00K
United States Treasury0.05%$33.91K
NXP Semiconductors NV0.05%$33.86K
AMETEK Inc0.05%$33.65K
Dell Technologies Inc0.05%$33.32K
Comfort Systems USA Inc0.05%$33.10K
Keysight Technologies Inc0.05%$33.04K
United States Treasury0.05%$32.94K
WW Grainger Inc0.05%$32.72K
United States Treasury0.05%$32.69K
Vistra Corp0.05%$32.62K
Xcel Energy Inc0.05%$32.09K
United States Treasury0.05%$32.10K
Occidental Petroleum Corp0.05%$31.91K
Edwards Lifesciences Corp0.05%$31.71K
Teradyne Inc0.05%$31.72K
Electronic Arts Inc0.05%$31.40K
United Rentals Inc0.05%$31.33K
IDEXX Laboratories Inc0.05%$30.90K
Ford Motor Co0.05%$30.87K
Carvana Co0.05%$30.49K
Coherent Corp0.05%$30.49K
Becton Dickinson & Co0.05%$30.50K
United States Treasury0.05%$30.28K
Carrier Global Corp0.05%$30.18K
United States Treasury0.05%$30.09K
Republic Services Inc0.05%$30.01K
Yum! Brands Inc0.05%$29.54K
Delta Air Lines Inc0.05%$29.45K
Public Storage0.04%$29.26K
Westinghouse Air Brake Technologies Corp0.04%$28.99K
Kroger Co/The0.04%$28.73K
Fifth Third Bancorp0.04%$28.53K
PayPal Holdings Inc0.04%$28.45K
Chipotle Mexican Grill Inc0.04%$28.46K
eBay Inc0.04%$28.13K
Consolidated Edison Inc0.04%$27.84K
Rockwell Automation Inc0.04%$27.63K
Public Service Enterprise Group Inc0.04%$27.60K
Ameriprise Financial Inc0.04%$27.55K
American International Group Inc0.04%$27.54K
EQT Corp0.04%$27.11K
MSCI Inc0.04%$26.95K
CBRE Group Inc0.04%$26.82K
MetLife Inc0.04%$26.59K
Coinbase Global Inc0.04%$26.54K
Ventas Inc0.04%$26.50K
United States Treasury0.04%$26.51K
Datadog Inc0.04%$26.44K
Nucor Corp0.04%$26.38K
PG&E Corp0.04%$26.36K
Diamondback Energy Inc0.04%$26.31K
United States Treasury0.04%$26.16K
Nasdaq Inc0.04%$26.06K
Garmin Ltd0.04%$25.99K
Roper Technologies Inc0.04%$25.83K
Hartford Insurance Group Inc/The0.04%$25.69K
WEC Energy Group Inc0.04%$25.70K
DR Horton Inc0.04%$25.25K
Old Dominion Freight Line Inc0.04%$24.62K
Vulcan Materials Co0.04%$24.51K
Keurig Dr Pepper Inc0.04%$24.41K
State Street Corp0.04%$24.17K
Martin Marietta Materials Inc0.04%$24.14K
Crown Castle Inc0.04%$24.15K
Archer-Daniels-Midland Co0.04%$23.84K
Microchip Technology Inc0.04%$23.84K
United States Treasury0.04%$23.73K
Take-Two Interactive Software Inc0.04%$23.50K
Arch Capital Group Ltd0.04%$23.42K
Sysco Corp0.04%$23.32K
Prudential Financial Inc0.04%$23.25K
Axon Enterprise Inc0.04%$22.93K
EMCOR Group Inc0.04%$22.89K
Kenvue Inc0.03%$22.55K
Block Inc0.03%$22.51K
Halliburton Co0.03%$22.30K
ResMed Inc0.03%$22.22K
GE HealthCare Technologies Inc0.03%$22.14K
Agilent Technologies Inc0.03%$22.00K
Kimberly-Clark Corp0.03%$21.90K
Huntington Bancshares Inc/OH0.03%$21.69K
Hewlett Packard Enterprise Co0.03%$21.60K
M&T Bank Corp0.03%$21.50K
Devon Energy Corp0.03%$21.29K
NRG Energy Inc0.03%$21.19K
United States Treasury0.03%$21.15K
Hershey Co/The0.03%$21.00K
Atmos Energy Corp0.03%$20.87K
Ameren Corp0.03%$20.77K
DTE Energy Co0.03%$20.76K
Iron Mountain Inc0.03%$20.63K
Fiserv Inc0.03%$20.48K
Otis Worldwide Corp0.03%$20.43K
Interactive Brokers Group Inc0.03%$20.39K
Dow Inc0.03%$20.41K
Carnival Corp0.03%$20.32K
United Airlines Holdings Inc0.03%$20.35K
Paychex Inc0.03%$20.36K
Waters Corp0.03%$20.25K
Copart Inc0.03%$20.19K
Cognizant Technology Solutions Corp0.03%$20.00K
Cboe Global Markets Inc0.03%$19.96K
VICI Properties Inc0.03%$19.94K
Xylem Inc/NY0.03%$19.84K
IQVIA Holdings Inc0.03%$19.78K
Tapestry Inc0.03%$19.47K
Ingersoll Rand Inc0.03%$19.47K
Teledyne Technologies Inc0.03%$19.36K
PPL Corp0.03%$19.29K
CenterPoint Energy Inc0.03%$19.25K
Edison International0.03%$19.25K
Dover Corp0.03%$19.18K
Jabil Inc0.03%$19.13K
Texas Pacific Land Corp0.03%$18.98K
Extra Space Storage Inc0.03%$19.01K
Willis Towers Watson PLC0.03%$18.90K
Workday Inc0.03%$18.84K
Expedia Group Inc0.03%$18.47K
Biogen Inc0.03%$18.33K
Coterra Energy Inc0.03%$18.20K
American Water Works Co Inc0.03%$18.10K
FirstEnergy Corp0.03%$17.98K
Verisk Analytics Inc0.03%$18.03K
Expand Energy Corp0.03%$17.89K
Dollar General Corp0.03%$17.81K
Northern Trust Corp0.03%$17.73K
Eversource Energy0.03%$17.74K
Hubbell Inc0.03%$17.67K
Mettler-Toledo International Inc0.03%$17.66K
Citizens Financial Group Inc0.03%$17.39K
Raymond James Financial Inc0.03%$17.37K
Fair Isaac Corp0.03%$17.08K
Steel Dynamics Inc0.03%$16.92K
Cincinnati Financial Corp0.03%$16.84K
ON Semiconductor Corp0.03%$16.66K
Fidelity National Information Services Inc0.03%$16.61K
Qnity Electronics Inc0.03%$16.50K
Dexcom Inc0.03%$16.52K
Live Nation Entertainment Inc0.03%$16.47K
Tractor Supply Co0.03%$16.35K
PPG Industries Inc0.03%$16.35K
Omnicom Group Inc0.02%$16.19K
CMS Energy Corp0.02%$16.21K
Synchrony Financial0.02%$16.12K
AvalonBay Communities Inc0.02%$15.84K
Ulta Beauty Inc0.02%$15.68K
Darden Restaurants Inc0.02%$15.49K
Regions Financial Corp0.02%$15.49K
Ares Management Corp0.02%$15.38K
PulteGroup Inc0.02%$15.41K
NiSource Inc0.02%$15.26K
Labcorp Holdings Inc0.02%$15.21K
Church & Dwight Co Inc0.02%$15.12K
Veralto Corp0.02%$15.03K
Steris PLC0.02%$14.82K
Equifax Inc0.02%$14.77K
Williams-Sonoma Inc0.02%$14.77K
Quest Diagnostics Inc0.02%$14.70K
First Solar Inc0.02%$14.40K
Constellation Brands Inc0.02%$14.40K
Albemarle Corp0.02%$14.36K
Humana Inc0.02%$14.22K
Smurfit Westrock PLC0.02%$14.23K
LyondellBasell Industries NV0.02%$14.18K
Corpay Inc0.02%$13.97K
Equity Residential0.02%$13.90K
VeriSign Inc0.02%$13.91K
NetApp Inc0.02%$13.82K
Dollar Tree Inc0.02%$13.80K
CF Industries Holdings Inc0.02%$13.76K
General Mills Inc0.02%$13.55K
Leidos Holdings Inc0.02%$13.53K
W R Berkley Corp0.02%$13.45K
T Rowe Price Group Inc0.02%$13.43K
CH Robinson Worldwide Inc0.02%$13.45K
NVR Inc0.02%$13.18K
Kraft Heinz Co/The0.02%$13.09K
Brown & Brown Inc0.02%$13.04K
Expeditors International of Washington Inc0.02%$13.03K
Broadridge Financial Solutions Inc0.02%$13.00K
Packaging Corp of America0.02%$12.95K
Evergy Inc0.02%$12.86K
International Paper Co0.02%$12.85K
KeyCorp0.02%$12.83K
DuPont de Nemours Inc0.02%$12.78K
Charter Communications Inc0.02%$12.74K
Snap-on Inc0.02%$12.71K
Lennar Corp0.02%$12.77K
International Flavors & Fragrances Inc0.02%$12.70K
Southwest Airlines Co0.02%$12.59K
SBA Communications Corp0.02%$12.56K
Amcor PLC0.02%$12.52K
Alliant Energy Corp0.02%$12.56K
Tyson Foods Inc0.02%$12.37K
Loews Corp0.02%$12.28K
West Pharmaceutical Services Inc0.02%$12.28K
Zimmer Biomet Holdings Inc0.02%$12.21K
Principal Financial Group Inc0.02%$12.16K
Estee Lauder Cos Inc/The0.02%$12.13K
HP Inc0.02%$12.04K
Moderna Inc0.02%$12.04K
Weyerhaeuser Co0.02%$12.02K
Fortive Corp0.02%$11.83K
Bunge Global SA0.02%$11.70K
CoStar Group Inc0.02%$11.66K
PTC Inc0.02%$11.54K
Hologic Inc0.02%$11.49K

C000019811 overview: performance, fees, allocation and SEC filings