C000020125 Holdings — Franklin Growth and Income VIP Fund

All 90 reported holdings of Franklin Growth and Income VIP Fund (C000020125) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
JPMorgan Chase & Co.4.11%$2.36M
Johnson & Johnson3.27%$1.87M
Morgan Stanley3.17%$1.82M
Bank of America Corp.2.86%$1.64M
Chevron Corp.2.82%$1.62M
Alphabet, Inc.2.56%$1.47M
Franklin Institutional U.S. Government Money Market Fund2.32%$1.33M
Procter & Gamble Co. (The)2.09%$1.20M
Cisco Systems, Inc.2.09%$1.20M
Amazon.com, Inc.2.00%$1.15M
Philip Morris International, Inc.1.88%$1.08M
Boeing Co. (The)1.81%$1.04M
Duke Energy Corp.1.69%$968.43K
RTX Corp.1.62%$931.71K
Apollo Global Management, Inc.1.55%$892.39K
Charles Schwab Corp. (The)1.52%$873.17K
Ventas, Inc.1.48%$850.02K
Eaton Corp. plc1.47%$846.25K
T-Mobile US, Inc.1.45%$831.30K
Linde plc1.44%$828.41K
Medtronic plc1.44%$825.86K
Lowe's Cos., Inc.1.41%$811.62K
Parker-Hannifin Corp.1.40%$801.24K
AstraZeneca plc1.38%$792.82K
American Express Co.1.37%$787.66K
Walmart, Inc.1.34%$771.41K
Hubbell, Inc.1.30%$746.42K
Shell plc1.29%$738.88K
Tractor Supply Co.1.29%$737.94K
Coca-Cola Co. (The)1.27%$727.04K
Thermo Fisher Scientific, Inc.1.24%$713.70K
Ares Management Corp.1.24%$710.54K
Prologis, Inc.1.21%$697.12K
Broadcom, Inc.1.21%$692.37K
Microsoft Corp.1.16%$667.05K
Evergy, Inc.1.15%$660.19K
HCA Healthcare, Inc.1.13%$647.39K
Texas Instruments, Inc.1.13%$647.07K
CenterPoint Energy, Inc.1.12%$641.18K
UnitedHealth Group, Inc.1.11%$634.80K
Southern Co. (The)1.08%$619.94K
Ingersoll Rand, Inc.1.08%$617.24K
BlackRock, Inc.1.06%$606.84K
Suncor Energy, Inc.1.02%$586.20K
Intercontinental Exchange, Inc.0.98%$564.64K
Carrier Global Corp.0.98%$561.92K
Corteva, Inc.0.97%$554.33K
TE Connectivity plc0.93%$534.88K
PPL Corp.0.83%$477.96K
United Rentals, Inc.0.83%$474.29K
Canadian Natural Resources Ltd.0.82%$472.68K
NextEra Energy, Inc.0.80%$457.16K
KLA Corp.0.80%$456.45K
Caterpillar, Inc.0.77%$443.50K
Casey's General Stores, Inc.0.77%$439.63K
Oracle Corp.0.76%$438.13K
Dell Technologies, Inc.0.76%$437.57K
CBRE Group, Inc.0.74%$425.62K
Blackstone, Inc.0.72%$410.97K
McDonald's Corp.0.67%$385.38K
Wells Fargo Bank NA into Alphabet, Inc.0.63%$359.42K
Barclays Bank plc into Parker-Hannifin Corp.0.63%$358.94K
BJ's Wholesale Club Holdings, Inc.0.62%$356.58K
National Bank of Canada into Hubbell, Inc.0.62%$355.33K
Mid-America Apartment Communities, Inc.0.60%$344.50K
GE HealthCare Technologies, Inc.0.59%$340.88K
Wells Fargo Bank NA into Charles Schwab Corp. (The)0.58%$333.07K
Citigroup Global Markets Holdings, Inc. into HCA Healthcare, Inc.0.55%$313.37K
NextEra Energy, Inc.0.55%$313.23K
PPL Corp.0.53%$306.25K
Citigroup Global Markets Holdings, Inc. into Thermo Fisher Scientific, Inc.0.53%$303.53K
Danaher Corp.0.50%$289.14K
Royal Bank of Canada into Schlumberger NV0.49%$281.72K
SLB Ltd.0.48%$277.40K
Barclays Bank plc into Prologis, Inc.0.48%$272.68K
Mizuho Markets Cayman LP into Amazon.com, Inc.0.46%$264.60K
Citigroup Global Markets Holdings, Inc. into Microsoft Corp.0.44%$254.55K
Wells Fargo Bank NA into Ingersoll Rand, Inc.0.44%$253.90K
Merrill Lynch BV into Eaton Corp. plc0.44%$253.32K
Royal Bank of Canada into Canadian Natural Resources Ltd.0.44%$253.31K
Oracle Corp.0.42%$239.35K
Toronto-Dominion Bank (The) into BJ's Wholesale Club Holdings, Inc.0.42%$238.22K
Toronto-Dominion Bank (The) into United Rentals, Inc.0.41%$236.91K
Lennar Corp.0.41%$236.81K
Citigroup Global Markets Holdings, Inc. into CBRE Group, Inc.0.41%$235.63K
UBS AG into American Express Co.0.40%$230.32K
Royal Bank of Canada into Lennar Corp.0.38%$220.87K
Barclays Bank plc into Carrier Global Corp.0.36%$208.08K
Wells Fargo Bank NA into Dell Technologies, Inc.0.33%$191.67K
Boston Scientific Corp.0.30%$170.68K

C000020125 overview: performance, fees, allocation and SEC filings