C000021501 Holdings — Transamerica TS&W International Equity VP

All 109 reported holdings of Transamerica TS&W International Equity VP (C000021501) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding NV2.43%$5.39M
Samsung Electronics Co Ltd2.39%$5.30M
Roche Holding AG2.31%$5.12M
Societe Generale SA2.30%$5.11M
Sumitomo Mitsui Financial Group Inc2.12%$4.71M
Veolia Environnement SA2.08%$4.63M
DNB Bank ASA2.04%$4.53M
Lloyds Banking Group PLC1.95%$4.34M
ORIX Corp1.90%$4.22M
Hitachi Ltd1.89%$4.20M
Sony Group Corp1.78%$3.94M
AIB Group PLC1.69%$3.76M
Nestle SA1.55%$3.45M
Siemens AG1.54%$3.41M
DBS Group Holdings Ltd1.52%$3.38M
AerCap Holdings NV1.41%$3.13M
Sap SE1.37%$3.05M
CK Hutchison Holdings Ltd1.31%$2.91M
Infineon Technologies AG1.30%$2.88M
KBC Group NV1.27%$2.83M
Bp PLC1.27%$2.81M
Shell PLC1.27%$2.81M
Seven & i Holdings Co Ltd1.25%$2.77M
Glencore PLC1.22%$2.71M
Skandinaviska Enskilda Banken AB1.22%$2.70M
Panasonic Holdings Corp1.22%$2.70M
Deutsche Boerse AG1.17%$2.61M
ING Groep NV1.15%$2.55M
SBI Holdings Inc1.14%$2.52M
TotalEnergies SE1.11%$2.47M
State Street Global Advisors1.11%$2.46M
Sanofi SA1.11%$2.46M
Fujitsu Ltd1.09%$2.43M
Capgemini SE1.06%$2.35M
Aker BP ASA1.04%$2.30M
Accor SA1.01%$2.25M
Gsk PLC1.01%$2.24M
Tesco PLC1.01%$2.24M
Anheuser-Busch InBev SA/NV0.98%$2.19M
Smurfit Westrock PLC0.97%$2.16M
Merck KGaA0.97%$2.15M
Novartis AG0.97%$2.15M
Dcc PLC0.97%$2.14M
Heidelberg Materials AG0.96%$2.13M
Allianz SE0.96%$2.13M
Eurofins Scientific SE0.95%$2.11M
Cie Financiere Richemont SA0.93%$2.07M
Check Point Software Technologies Ltd0.92%$2.04M
Prosus NV0.92%$2.03M
Kyocera Corp0.88%$1.96M
Macquarie Group Ltd0.87%$1.93M
Amundi SA0.85%$1.89M
Cie de Saint-Gobain SA0.83%$1.84M
Santos Ltd0.82%$1.82M
CK Asset Holdings Ltd0.82%$1.81M
Reckitt Benckiser Group PLC0.81%$1.79M
Credit Agricole SA0.80%$1.77M
Zalando SE0.77%$1.71M
Legal & General Group PLC0.76%$1.68M
FANUC Corp0.75%$1.67M
Fixed Income Clearing Corp.0.75%$1.67M
Renesas Electronics Corp0.75%$1.66M
Julius Baer Group Ltd0.74%$1.65M
Essity AB0.74%$1.64M
Deutsche Post AG0.74%$1.63M
Komatsu Ltd0.71%$1.58M
Unilever PLC0.70%$1.56M
Aviva PLC0.70%$1.55M
Pearson PLC0.69%$1.53M
Edenred SE0.67%$1.49M
Henkel AG & Co KGaA0.65%$1.44M
Nomura Holdings Inc0.63%$1.39M
Basf SE0.62%$1.38M
CCL Industries Inc0.62%$1.37M
Linde PLC0.60%$1.34M
Sonic Healthcare Ltd0.59%$1.30M
Koninklijke Philips NV0.58%$1.29M
Canadian National Railway Co0.56%$1.25M
Dai Nippon Printing Co Ltd0.55%$1.23M
Rakuten Group Inc0.54%$1.21M
Olympus Corp0.54%$1.20M
Canon Inc0.53%$1.18M
Daikin Industries Ltd0.52%$1.16M
Ryanair Holdings PLC0.52%$1.15M
Tenaris SA0.50%$1.12M
Whitehaven Coal Ltd0.49%$1.10M
Boliden AB0.48%$1.06M
CTS Eventim AG & Co KGaA0.47%$1.05M
Sodexo SA0.46%$1.03M
Cellnex Telecom SA0.46%$1.03M
Smith & Nephew PLC0.43%$960.15K
Rexel SA0.41%$919.32K
Wise PLC0.40%$895.94K
Nintendo Co Ltd0.40%$879.12K
Bunzl PLC0.39%$864.03K
Kingfisher PLC0.38%$853.24K
Nexans SA0.38%$846.16K
Inchcape PLC0.37%$823.81K
Persimmon PLC0.35%$778.01K
Informa PLC0.35%$774.41K
Novo Nordisk A/S0.33%$739.21K
Barratt Redrow PLC0.29%$654.58K
Rockwool A/s0.29%$636.04K
SITC International Holdings Co Ltd0.28%$629.19K
Beazley PLC0.25%$564.34K
Fdj United0.25%$550.32K
Exor NV0.23%$512.87K
BHP Group Ltd0.23%$502.94K
ArcelorMittal SA0.14%$316.36K

C000021501 overview: performance, fees, allocation and SEC filings