C000019816 Holdings — VT Discovery Fund

All 77 reported holdings of VT Discovery Fund (C000019816) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Carpenter Technology Corp3.00%$4.79M
Guardant Health Inc2.52%$4.03M
MACOM Technology Solutions Holdings Inc2.50%$3.99M
Viavi Solutions Inc2.50%$3.99M
Affirm Holdings Inc2.33%$3.73M
Allspring Government Money Mar2.27%$3.64M
Modine Manufacturing Co2.19%$3.50M
Xometry Inc2.02%$3.22M
Talen Energy Corp2.00%$3.19M
Casella Waste Systems Inc1.97%$3.14M
Liberty Live Holdings Inc1.93%$3.09M
Mercury Systems Inc1.93%$3.09M
RBC Bearings Inc1.90%$3.04M
Argan Inc1.86%$2.98M
Novanta Inc1.82%$2.92M
Construction Partners Inc1.82%$2.90M
Curtiss-Wright Corp1.68%$2.69M
Qnity Electronics Inc1.60%$2.57M
Teva Pharmaceutical Industries Ltd1.60%$2.55M
Jones Lang LaSalle Inc1.59%$2.55M
Hyatt Hotels Corp1.59%$2.55M
SiTime Corp1.59%$2.54M
Glaukos Corp1.59%$2.53M
Twilio Inc1.56%$2.50M
Viking Holdings Ltd1.50%$2.40M
Dutch Bros Inc1.49%$2.38M
Applied Industrial Technologies Inc1.45%$2.31M
TKO Group Holdings Inc1.43%$2.29M
RB Global Inc1.39%$2.22M
FormFactor Inc1.38%$2.21M
Twist Bioscience Corp1.36%$2.17M
BrightSpring Health Services Inc1.35%$2.16M
Ascendis Pharma A/S1.32%$2.11M
ATI Inc1.29%$2.06M
UL Solutions Inc1.29%$2.06M
TTM Technologies Inc1.26%$2.01M
Saia Inc1.25%$2.00M
Natera Inc1.25%$2.00M
Comfort Systems USA Inc1.22%$1.95M
Cava Group Inc1.17%$1.87M
XPO Inc1.17%$1.87M
RadNet Inc1.16%$1.85M
IRhythm Holdings Inc1.15%$1.84M
Teledyne Technologies Inc1.13%$1.81M
Wyndham Hotels & Resorts Inc1.13%$1.80M
DigitalOcean Holdings Inc1.12%$1.79M
Celestica Inc1.11%$1.78M
MongoDB Inc1.08%$1.72M
Elanco Animal Health Inc1.02%$1.63M
Neurocrine Biosciences Inc1.02%$1.63M
Miami International Holdings Inc1.02%$1.63M
Axon Enterprise Inc1.01%$1.61M
Bloom Energy Corp1.00%$1.60M
SharkNinja Inc0.98%$1.57M
Fabrinet0.98%$1.57M
Monolithic Power Systems Inc0.98%$1.56M
Encompass Health Corp0.90%$1.44M
Alignment Healthcare Inc0.87%$1.39M
Terawulf Inc0.87%$1.39M
Bridgebio Pharma Inc0.84%$1.34M
Tenet Healthcare Corp0.82%$1.31M
Marex Group PLC0.80%$1.27M
Burlington Stores Inc0.79%$1.27M
MercadoLibre Inc0.79%$1.26M
SiteOne Landscape Supply Inc0.77%$1.22M
Federal Signal Corp0.75%$1.21M
Madrigal Pharmaceuticals Inc0.73%$1.17M
Impinj Inc0.72%$1.16M
Herc Holdings Inc0.70%$1.12M
Axsome Therapeutics Inc0.66%$1.06M
Krystal Biotech Inc0.61%$977.49K
York Space Systems Inc0.53%$853.03K
TG Therapeutics Inc0.51%$814.05K
Akamai Technologies Inc0.48%$763.64K
Xenon Pharmaceuticals Inc0.44%$711.10K
Repligen Corp0.43%$694.48K
Novanta, Inc. Pipe Deal Funded0.27%$438.37K

C000019816 overview: performance, fees, allocation and SEC filings