C000020970 Holdings — VIP Equity-Income Portfolio

All 118 reported holdings of VIP Equity-Income Portfolio (C000020970) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp.4.23%$304.17M
Amazon.com, Inc.3.64%$261.75M
JPMORGAN CHASE and CO3.12%$224.04M
Exxon Mobil Corp.2.84%$204.56M
Abbvie, Inc.2.51%$180.46M
Taiwan Semiconductor Mfg Co. Ltd.2.39%$172.03M
JOHNSON and JOHNSON2.22%$159.69M
Samsung Electronics Co. Ltd.2.03%$145.80M
Linde PLC1.91%$137.20M
Gilead Sciences, Inc.1.83%$131.45M
Bank Of America Corporation1.76%$126.71M
Cisco Systems, Inc.1.69%$121.29M
WELLS FARGO and CO1.67%$120.29M
MERCK and CO INC1.65%$118.65M
Chubb Ltd.1.61%$115.86M
Unitedhealth Group, Inc.1.59%$114.45M
Walmart, Inc.1.51%$108.67M
PROCTER and GAMBLE CO1.48%$106.48M
Fidelity Revere Street Trust1.46%$105.05M
Itt, Inc.1.32%$94.83M
Apple, Inc.1.30%$93.17M
Coca Cola Co.1.29%$92.76M
Pnc Financial Services Grp, Inc.1.28%$91.72M
IBM Corporation1.18%$85.10M
Travelers Cos, Inc.1.16%$83.60M
Mcdonalds Corp.1.14%$82.07M
Ge Aerospace1.14%$81.82M
Astrazeneca PLC1.13%$81.42M
Lowes Cos, Inc.1.13%$81.07M
M and T BANK CORP1.11%$79.61M
Johnson Controls International PLC1.05%$75.70M
Nextera Energy, Inc.1.03%$74.23M
Schwab Charles Corp.1.02%$73.46M
Nxp Semiconductors NV1.01%$72.56M
Tjx Companies, Inc.0.98%$70.79M
Alphabet, Inc.0.98%$70.16M
Hartford Insurance Group Inc/the0.97%$69.53M
ELI LILLY and CO0.95%$68.06M
Walt Disney Co/the0.93%$66.85M
Ge Vernova, Inc.0.89%$64.24M
Target Corp.0.88%$63.06M
Analog Devices, Inc.0.85%$61.09M
MARSH and MCLENNAN COS INC0.83%$59.65M
US Bancorp Del0.79%$56.79M
Danaher Corp.0.78%$56.09M
Lamar Advertising Co.0.76%$54.51M
Visa, Inc.0.74%$53.57M
Shell PLC0.74%$53.35M
General Dynamics Corp.0.73%$52.25M
Keurig Dr Pepper, Inc.0.72%$52.00M
Tapestry, Inc.0.71%$51.28M
Imperial Oil Ltd.0.70%$50.17M
Blackrock, Inc.0.69%$49.92M
Constellation Energy Corp.0.69%$49.73M
T-Mobile US, Inc.0.68%$49.17M
Bjs Wholesale Club Holdings, Inc.0.68%$49.00M
Verizon Communications, Inc.0.68%$48.66M
Huntington Bancshares Inc/oh0.67%$47.84M
Ametek, Inc. New0.66%$47.62M
American Finl Group, Inc. Ohio0.64%$45.78M
Public Storage0.63%$45.29M
Watsco, Inc.0.63%$45.18M
Capital One Financial Corp.0.62%$44.89M
Crane Co.0.62%$44.83M
Southern Company0.60%$42.98M
Canadian Natural Resources Ltd.0.60%$42.91M
Restaurant Brands Intl, Inc.0.60%$42.90M
Northrop Grumman Corp.0.58%$41.51M
Metro, Inc.0.55%$39.36M
Royalty Pharma PLC0.55%$39.30M
AT and T INC0.54%$39.04M
Vistra Corp.0.53%$38.17M
Dicks Sporting Goods, Inc.0.52%$37.45M
Gsk PLC0.50%$36.05M
Huntington Ingalls Industries, Inc.0.50%$35.85M
Broadcom, Inc.0.50%$35.82M
Ball Corp.0.49%$35.11M
Enterprise Products Partners LP0.49%$35.02M
Bristol-Myers Squibb Co.0.48%$34.32M
Rolls-Royce Holdings PLC0.46%$32.72M
Comcast Corp.0.45%$32.37M
Alimentation Couche-Tard, Inc.0.45%$32.18M
Apollo Global Management, Inc.0.44%$31.65M
Starbucks Corp.0.41%$29.57M
PG and E CORP0.40%$28.82M
Prysmian Spa0.40%$28.69M
Fidelity Revere Street Trust0.40%$28.51M
United Parcel Service, Inc.0.39%$27.92M
Norfolk Southern Corp.0.39%$27.85M
Burlington Stores, Inc.0.39%$27.82M
Valero Energy Corp.0.38%$27.28M
Siemens AG0.35%$25.42M
Hitachi Ltd.0.35%$25.24M
Crown Holdings, Inc.0.34%$24.63M
American Tower Corp.0.34%$24.53M
Gen Digital, Inc.0.34%$24.35M
Centerpoint Energy, Inc.0.33%$23.97M
Mondelez International, Inc.0.33%$23.41M
Southwest Gas Holdings, Inc.0.30%$21.83M
Crane Nxt Co.0.30%$21.55M
Chevron Corp. New0.30%$21.39M
Wec Energy Group, Inc.0.30%$21.23M
Kenvue, Inc.0.29%$20.87M
Amdocs Limited0.29%$20.71M
Phillips 660.28%$19.93M
Ameren Corp.0.26%$18.74M
British American Tobacco PLC0.25%$18.04M
H and R BLOCK INC0.25%$17.73M
Smurfit Westrock PLC0.25%$17.71M
Jm Smucker Co/the0.23%$16.38M
Vallourec SA0.22%$16.06M
Adidas AG0.20%$14.56M
Costco Wholesale Corp.0.18%$13.28M
Clorox Co.0.18%$12.70M
Nrg Energy, Inc.0.17%$12.41M
Kbr, Inc.0.14%$9.87M
G Mining Ventures Corp.0.06%$4.42M
Imperial Brands PLC0.06%$4.10M

C000020970 overview: performance, fees, allocation and SEC filings