C000020057 Holdings — Growth Opportunities Portfolio

All 81 reported holdings of Growth Opportunities Portfolio (C000020057) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Vertiv Holdings Co4.25%$2.72M
Comfort Systems USA Inc3.99%$2.55M
Howmet Aerospace Inc3.78%$2.42M
Fixed Income Clearing Corp.3.45%$2.21M
Cloudflare Inc2.86%$1.83M
Quanta Services Inc2.69%$1.72M
Natera Inc2.62%$1.68M
Monolithic Power Systems Inc2.33%$1.49M
Nova Ltd1.92%$1.23M
IDEXX Laboratories Inc1.87%$1.20M
MasTec Inc1.80%$1.15M
Hilton Worldwide Holdings Inc1.76%$1.13M
Carpenter Technology Corp1.71%$1.09M
Guardant Health Inc1.69%$1.08M
Argenx SE1.65%$1.06M
Ross Stores Inc1.57%$1.01M
Cheniere Energy Inc1.52%$975.85K
Sandisk Corp/DE1.52%$974.61K
Interactive Brokers Group Inc1.50%$959.44K
FTAI Aviation Ltd1.50%$956.97K
Viking Holdings Ltd1.44%$918.57K
Woodward Inc1.42%$911.62K
Carvana Co1.42%$911.07K
EMCOR Group Inc1.41%$904.43K
Curtiss-Wright Corp1.41%$899.08K
Madrigal Pharmaceuticals Inc1.40%$896.18K
Royal Caribbean Cruises Ltd1.37%$876.45K
RBC Bearings Inc1.36%$871.16K
Lattice Semiconductor Corp1.34%$859.89K
TKO Group Holdings Inc1.33%$852.58K
Karman Holdings Inc1.32%$846.69K
TechnipFMC PLC1.30%$833.29K
Cogent Biosciences Inc1.26%$804.90K
Datadog Inc1.18%$753.99K
Live Nation Entertainment Inc1.14%$727.32K
Fabrinet1.12%$715.00K
Terns Pharmaceuticals Inc1.09%$694.53K
Insmed Inc1.08%$693.00K
TTM Technologies Inc1.05%$671.13K
Modine Manufacturing Co0.96%$616.97K
API Group Corp0.95%$609.10K
TE Connectivity PLC0.95%$607.20K
Nextpower Inc0.94%$604.56K
Circle Internet Group Inc0.93%$595.93K
Lumentum Holdings Inc0.91%$579.78K
Take-Two Interactive Software Inc0.90%$572.75K
Raymond James Financial Inc0.89%$567.43K
Amer Sports Inc0.87%$555.92K
Abivax SA0.86%$549.18K
Piper Sandler Cos0.84%$538.68K
Teradyne Inc0.83%$529.77K
Ascendis Pharma A/S0.81%$521.28K
Evercore Inc0.80%$511.65K
Mirum Pharmaceuticals Inc0.78%$501.25K
Snowflake Inc0.78%$496.20K
L3Harris Technologies Inc0.77%$493.91K
AppLovin Corp0.77%$491.13K
Cava Group Inc0.77%$490.25K
Affirm Holdings Inc0.76%$488.40K
Bridgebio Pharma Inc0.76%$484.10K
Reddit Inc0.74%$472.35K
XPO Inc0.74%$471.20K
Astera Labs Inc0.70%$445.20K
IDEX Corp0.68%$431.98K
Kratos Defense & Security Solutions Inc0.67%$430.11K
Deckers Outdoor Corp0.67%$427.08K
Celsius Holdings Inc0.66%$420.79K
SharkNinja Inc0.65%$413.75K
Axon Enterprise Inc0.64%$409.40K
Credo Technology Group Holding Ltd0.59%$376.14K
Nasdaq Inc0.56%$355.77K
Figma Inc0.55%$354.05K
Rocket Cos Inc0.54%$348.34K
Bloom Energy Corp0.52%$334.80K
Tradeweb Markets Inc0.51%$328.15K
Universal Technical Institute Inc0.48%$305.51K
Crane Co0.44%$284.20K
MercadoLibre Inc0.44%$280.10K
Planet Labs PBC0.43%$277.12K
Mercury Systems Inc0.40%$254.60K
DoorDash Inc0.39%$251.35K

C000020057 overview: performance, fees, allocation and SEC filings