C000021452 Holdings — Transamerica JPMorgan Mid Cap Value VP

All 68 reported holdings of Transamerica JPMorgan Mid Cap Value VP (C000021452) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Kraft Heinz Co/The2.69%$6.05M
IQVIA Holdings Inc2.30%$5.16M
Markel Group Inc2.26%$5.08M
Evergy Inc2.25%$5.05M
LKQ Corp2.19%$4.93M
Charter Communications Inc2.17%$4.88M
Expand Energy Corp2.16%$4.85M
Occidental Petroleum Corp2.12%$4.76M
Fiserv Inc2.10%$4.73M
Graphic Packaging Holding Co2.10%$4.71M
First Citizens BancShares Inc/NC2.07%$4.65M
CDW Corp/DE2.04%$4.58M
Crown Castle Inc2.02%$4.54M
SS&C Technologies Holdings Inc2.01%$4.51M
U-Haul Holding Co1.98%$4.45M
Zoetis Inc1.96%$4.41M
Zimmer Biomet Holdings Inc1.94%$4.36M
CoStar Group Inc1.92%$4.32M
Mosaic Co/The1.88%$4.24M
Gaming and Leisure Properties Inc1.85%$4.15M
Vontier Corp1.78%$3.99M
Tyson Foods Inc1.77%$3.98M
Conagra Brands Inc1.67%$3.75M
Dominion Energy Inc1.67%$3.75M
Molson Coors Beverage Co1.67%$3.74M
Henry Schein Inc1.64%$3.68M
Fidelity National Financial Inc1.62%$3.64M
Cognizant Technology Solutions Corp1.55%$3.49M
Omnicom Group Inc1.53%$3.44M
Lithia Motors Inc1.53%$3.43M
Centene Corp1.49%$3.34M
Global Payments Inc1.49%$3.34M
Aptiv PLC1.48%$3.33M
Halliburton Co1.47%$3.31M
Baxter International Inc1.43%$3.22M
Amentum Holdings Inc1.43%$3.22M
People Inc1.42%$3.19M
Constellation Brands Inc1.35%$3.03M
Ryan Specialty Holdings Inc1.29%$2.90M
Campbell's Company/The1.19%$2.67M
News Corp1.15%$2.59M
Match Group Inc1.15%$2.58M
Perrigo Co PLC1.08%$2.43M
Sirius XM Holdings Inc1.05%$2.36M
Fluor Corp1.03%$2.33M
OGE Energy Corp1.03%$2.31M
Brown-Forman Corp1.02%$2.29M
Biogen Inc1.01%$2.27M
Corpay Inc1.01%$2.27M
Molina Healthcare Inc1.00%$2.24M
PPG Industries Inc0.96%$2.15M
Liberty Global Ltd0.93%$2.09M
Bio-Rad Laboratories Inc0.93%$2.08M
HF Sinclair Corp0.92%$2.06M
Builders FirstSource Inc0.79%$1.77M
Clarivate PLC0.76%$1.72M
HP Inc0.76%$1.71M
Crown Holdings Inc0.76%$1.70M
National Fuel Gas Co0.75%$1.69M
TD SYNNEX Corp0.72%$1.61M
Flutter Entertainment PLC0.68%$1.52M
Dollar Tree Inc0.64%$1.44M
Lululemon Athletica Inc0.51%$1.15M
Roper Technologies Inc0.51%$1.15M
Dollar General Corp0.50%$1.12M
Noble Corp PLC0.50%$1.12M
Viatris Inc0.29%$660.61K
State Street Global Advisors0.14%$325.71K

C000021452 overview: performance, fees, allocation and SEC filings