C000021816 Holdings — SA Multi-Managed Mid Cap Value Portfolio

All 797 reported holdings of SA Multi-Managed Mid Cap Value Portfolio (C000021816) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Global Advisors1.27%$2.52M
PG&E Corp0.77%$1.53M
Voya Financial Inc0.75%$1.48M
Fifth Third Bancorp0.74%$1.47M
Baker Hughes Co0.71%$1.41M
Waters Corp0.70%$1.39M
L3Harris Technologies Inc0.69%$1.37M
Aramark0.69%$1.36M
Assurant Inc0.68%$1.34M
American International Group Inc0.67%$1.32M
Ventas Inc0.66%$1.31M
Entegris Inc0.66%$1.31M
StandardAero Inc0.65%$1.30M
CenterPoint Energy Inc0.65%$1.28M
Freddie Mac Discount Nt0.64%$1.27M
PulteGroup Inc0.64%$1.26M
Phillips 660.63%$1.25M
Southwest Airlines Co0.61%$1.20M
Permian Resources Corp0.60%$1.18M
Humana Inc0.58%$1.16M
Middleby Corp/The0.58%$1.16M
Cooper Cos Inc/The0.58%$1.15M
Advance Auto Parts Inc0.58%$1.14M
Fortive Corp0.56%$1.12M
Corpay Inc0.56%$1.11M
Ameren Corp0.56%$1.10M
MKS Inc0.54%$1.08M
TechnipFMC PLC0.54%$1.07M
International Paper Co0.53%$1.05M
AGCO Corp0.53%$1.05M
Flex Ltd0.53%$1.04M
Westinghouse Air Brake Technologies Corp0.52%$1.04M
Willis Towers Watson PLC0.52%$1.03M
Jones Lang LaSalle Inc0.52%$1.03M
Hexcel Corp0.52%$1.03M
Coherent Corp0.51%$1.00M
Becton Dickinson & Co0.51%$1.00M
Keurig Dr Pepper Inc0.50%$996.04K
Consolidated Edison Inc0.49%$981.29K
Northern Trust Corp0.49%$972.46K
Concentra Group Holdings Parent Inc0.48%$953.52K
Allstate Corp/The0.48%$947.95K
Delta Air Lines Inc0.47%$937.63K
Block Inc0.47%$934.65K
Digital Realty Trust Inc0.47%$926.63K
Hartford Insurance Group Inc/The0.47%$925.25K
Sensata Technologies Holding PLC0.47%$923.67K
FirstEnergy Corp0.46%$919.90K
Agilent Technologies Inc0.46%$908.96K
M&T Bank Corp0.45%$896.35K
Hewlett Packard Enterprise Co0.45%$888.26K
Lamb Weston Holdings Inc0.45%$886.49K
Corning Inc0.44%$878.68K
Popular Inc0.44%$868.02K
CDW Corp/DE0.43%$863.11K
Nucor Corp0.43%$858.26K
Skyworks Solutions Inc0.43%$850.21K
Public Service Enterprise Group Inc0.43%$850.15K
Lazard Inc0.42%$835.78K
API Group Corp0.42%$833.62K
Saia Inc0.42%$825.47K
Sun Communities Inc0.42%$824.98K
Hanover Insurance Group Inc/The0.41%$821.79K
eBay Inc0.41%$817.56K
Regency Centers Corp0.40%$803.06K
Raymond James Financial Inc0.40%$800.89K
SLM Corp0.40%$799.03K
US Foods Holding Corp0.40%$797.04K
Centene Corp0.40%$789.28K
Equity Residential0.40%$789.28K
TE Connectivity PLC0.40%$788.30K
VICI Properties Inc0.39%$777.70K
Colgate-Palmolive Co0.39%$775.61K
Kenvue Inc0.38%$755.72K
Diamondback Energy Inc0.38%$755.33K
Dominion Energy Inc0.38%$753.65K
Alliant Energy Corp0.38%$751.69K
DuPont de Nemours Inc0.38%$749.28K
Targa Resources Corp0.38%$745.97K
Columbia Banking System Inc0.38%$744.52K
Rexford Industrial Realty Inc0.37%$740.28K
CMS Energy Corp0.37%$738.61K
Valero Energy Corp0.37%$725.85K
Cheniere Energy Inc0.36%$723.96K
Extra Space Storage Inc0.36%$721.41K
KeyCorp0.35%$703.62K
Ovintiv Inc0.35%$701.25K
Regions Financial Corp0.35%$701.15K
Esab Corp0.35%$697.61K
Lincoln National Corp0.34%$678.97K
Ferguson Enterprises Inc0.34%$668.32K
Viasat Inc0.33%$662.26K
GFL Environmental Inc0.33%$659.09K
Molina Healthcare Inc0.33%$654.08K
Expand Energy Corp0.33%$651.64K
Viatris Inc0.32%$643.90K
Hubbell Inc0.32%$642.49K
TD SYNNEX Corp0.32%$641.08K
JB Hunt Transport Services Inc0.32%$637.90K
Viking Holdings Ltd0.32%$635.77K
First Advantage Corp0.31%$616.50K
East West Bancorp Inc0.31%$607.63K
Keysight Technologies Inc0.31%$607.02K
Pinnacle West Capital Corp0.30%$603.91K
Qnity Electronics Inc0.30%$597.06K
Brixmor Property Group Inc0.30%$596.30K
WP Carey Inc0.30%$591.73K
Atmos Energy Corp0.30%$591.06K
Owens Corning0.30%$590.22K
Allegion plc0.30%$586.55K
JBT Marel Corp0.29%$584.21K
Cenovus Energy Inc0.29%$580.88K
Sysco Corp0.29%$571.85K
Global Payments Inc0.29%$569.89K
Marathon Petroleum Corp0.29%$569.12K
Hyatt Hotels Corp0.29%$565.63K
Viper Energy Inc0.28%$564.39K
Knife River Corp0.28%$564.14K
Steris PLC0.28%$556.75K
Labcorp Holdings Inc0.28%$556.64K
Essex Property Trust Inc0.28%$549.65K
Vornado Realty Trust0.28%$548.35K
Ingersoll Rand Inc0.27%$541.63K
RenaissanceRe Holdings Ltd0.27%$539.68K
WW Grainger Inc0.27%$533.28K
Jacobs Solutions Inc0.27%$532.35K
Equity LifeStyle Properties Inc0.27%$527.85K
Aptiv PLC0.27%$527.75K
Biogen Inc0.27%$526.11K
NXP Semiconductors NV0.26%$519.34K
CSX Corp0.26%$516.03K
nVent Electric PLC0.26%$510.02K
Healthcare Realty Trust Inc0.26%$509.37K
TransUnion0.25%$503.90K
Stanley Black & Decker Inc0.25%$503.07K
International Flavors & Fragrances Inc0.25%$500.59K
Textron Inc0.25%$495.71K
Brown & Brown Inc0.24%$485.81K
Tyson Foods Inc0.24%$485.65K
Onto Innovation Inc0.24%$479.50K
Sempra0.24%$479.22K
Brunswick Corp/DE0.24%$477.47K
Otis Worldwide Corp0.24%$475.71K
Mid-America Apartment Communities Inc0.24%$473.37K
Belden Inc0.24%$472.21K
Ralph Lauren Corp0.24%$471.66K
RadNet Inc0.24%$471.53K
Ciena Corp0.24%$470.94K
Evergy Inc0.24%$469.66K
SS&C Technologies Holdings Inc0.24%$469.10K
FTI Consulting Inc0.23%$463.57K
Everest Group Ltd0.23%$461.90K
Plains GP Holdings LP0.23%$454.84K
Stora Enso Oyj0.23%$453.21K
Novanta Inc0.23%$452.97K
State Street Institutional US Government Money Market Fund0.23%$450.37K
Amcor PLC0.23%$446.94K
Western Alliance Bancorp0.22%$446.10K
Flowserve Corp0.22%$445.26K
Tyler Technologies Inc0.22%$443.95K
Global-e Online Ltd0.22%$441.21K
Pentair PLC0.22%$441.25K
Burlington Stores Inc0.22%$440.67K
Annaly Capital Management Inc0.22%$440.63K
Norwegian Cruise Line Holdings Ltd0.22%$437.80K
Synchrony Financial0.22%$436.98K
Cencora Inc0.22%$436.64K
Eastman Chemical Co0.22%$428.81K
ITT Inc0.21%$426.37K
Omnicom Group Inc0.21%$421.47K
Avery Dennison Corp0.21%$415.45K
Fedex Freight Holding Co Inc0.21%$411.63K
Warner Bros Discovery Inc0.21%$410.51K
Invesco Ltd0.21%$410.42K
Ross Stores Inc0.20%$406.76K
Kinder Morgan Inc0.20%$397.87K
Zebra Technologies Corp0.20%$395.94K
National Fuel Gas Co0.20%$395.62K
Fidelity National Information Services Inc0.20%$394.94K
Nordson Corp0.20%$387.37K
Boeing Co/the0.19%$386.50K
PACCAR Inc0.19%$380.78K
Westlake Corp0.19%$375.95K
Corebridge Financial Inc0.19%$375.45K
StepStone Group Inc0.19%$372.78K
Alaska Air Group Inc0.19%$371.35K
Realty Income Corp0.19%$370.15K
Guidewire Software Inc0.19%$369.77K
Docusign Inc0.19%$369.89K
Chipotle Mexican Grill Inc0.19%$367.20K
Mohawk Industries Inc0.18%$365.57K
Corteva Inc0.18%$364.25K
Main Street Capital Corp0.18%$360.05K
LKQ Corp0.18%$358.83K
CCC Intelligent Solutions Holdings Inc0.18%$354.80K
AMETEK Inc0.18%$354.20K
ONEOK Inc0.18%$350.72K
Procore Technologies Inc0.18%$350.47K
Medline Inc0.18%$350.03K
United Rentals Inc0.18%$347.80K
Ford Motor Co0.18%$347.69K
Nexstar Media Group Inc0.17%$346.82K
Marqeta Inc0.17%$345.89K
Rambus Inc0.17%$343.66K
James Hardie Industries PLC0.17%$342.75K
Tidewater Inc0.17%$340.15K
Entergy Corp0.17%$336.31K
Leidos Holdings Inc0.17%$335.89K
BJ's Wholesale Club Holdings Inc0.17%$335.45K
Universal Health Services Inc0.17%$333.07K
Alkermes PLC0.17%$330.72K
Edwards Lifesciences Corp0.17%$330.00K
Franco-Nevada Corp0.17%$328.43K
SiteOne Landscape Supply Inc0.16%$326.07K
Carlyle Group Inc/The0.16%$325.47K
Xcel Energy Inc0.16%$320.88K
Prosperity Bancshares Inc0.16%$320.38K
EquipmentShare.com Inc0.16%$318.75K
Colliers International Group Inc0.16%$315.23K
Darden Restaurants Inc0.16%$311.49K
Horace Mann Educators Corp0.16%$310.16K
Ingredion Inc0.16%$309.42K
Icon PLC0.16%$309.20K
Innio NV0.16%$308.09K
Ashland Inc0.16%$307.97K
Exelon Corp0.15%$305.78K
General Motors Co0.15%$303.93K
Devon Energy Corp0.15%$298.08K
GoDaddy Inc0.15%$295.81K
FedEx Corp0.15%$294.97K
MACOM Technology Solutions Holdings Inc0.15%$294.79K
State Street Corp0.15%$290.36K
Cognizant Technology Solutions Corp0.15%$289.51K
Wolfspeed Inc0.14%$285.83K
Pinterest Inc0.14%$285.06K
Pernod Ricard SA0.14%$284.78K
Electronic Arts Inc0.14%$283.57K
Albertsons Cos Inc0.14%$280.21K
Brown-Forman Corp0.14%$269.27K
United Airlines Holdings Inc0.13%$264.64K
DR Horton Inc0.13%$262.07K
Equitable Holdings Inc0.13%$261.00K
Birkenstock Holding Plc0.13%$258.27K
CoStar Group Inc0.13%$256.30K
OR Royalties Inc0.13%$250.41K
Builders FirstSource Inc0.13%$249.92K
Garmin Ltd0.13%$249.65K
Installed Building Products Inc0.12%$247.77K
Terex Corp0.12%$247.72K
PayPal Holdings Inc0.12%$247.55K
TPG Inc0.12%$246.14K
Vulcan Materials Co0.12%$244.56K
WEC Energy Group Inc0.12%$243.58K
Ameriprise Financial Inc0.12%$243.60K
KBR Inc0.12%$242.50K
Prudential Financial Inc0.12%$240.14K
Iron Mountain Inc0.12%$238.98K
MSCI Inc0.12%$238.58K
Archer-Daniels-Midland Co0.12%$234.40K
Check Point Software Technologies Ltd0.12%$234.08K
MiniMed Group Inc0.12%$233.32K
Carnival Corp Ltd0.12%$233.22K
Group 1 Automotive Inc0.12%$229.15K
London Stock Exchange Group PLC0.12%$228.81K
Huntington Bancshares Inc/OH0.12%$228.50K
CBRE Group Inc0.11%$227.76K
Occidental Petroleum Corp0.11%$225.32K
Nasdaq Inc0.11%$225.35K
ON Semiconductor Corp0.11%$225.10K
Roper Technologies Inc0.11%$221.31K
Royal Caribbean Cruises Ltd0.11%$221.00K
Martin Marietta Materials Inc0.11%$219.72K
Arch Capital Group Ltd0.11%$215.76K
Crown Castle Inc0.11%$211.44K
Esab Corp. Pipe0.11%$210.92K
IQVIA Holdings Inc0.10%$205.59K
Coinbase Global Inc0.10%$205.40K
EQT Corp0.10%$205.08K
Old Dominion Freight Line Inc0.10%$204.90K
Perrigo Co PLC0.10%$203.30K
DTE Energy Co0.10%$202.19K
Paychex Inc0.10%$202.26K
Pegasystems Inc0.10%$200.68K
Yum! Brands Inc0.10%$197.91K
Kroger Co/The0.10%$197.91K
Sunbelt Rentals Holdings Inc0.10%$196.15K
Teledyne Technologies Inc0.10%$195.40K
Cardinal Health Inc0.10%$192.66K
Dover Corp0.10%$191.09K
Citizens Financial Group Inc0.10%$189.19K
GE HealthCare Technologies Inc0.09%$185.82K
Wolfspeed, Inc.0.09%$184.45K
Steel Dynamics Inc0.09%$181.27K
Edison International0.09%$181.14K
Halliburton Co0.09%$180.68K
ResMed Inc0.09%$180.85K
Cincinnati Financial Corp0.09%$179.96K
Wolfspeed, Inc.0.09%$179.56K
Xylem Inc/NY0.09%$179.09K
PPL Corp0.09%$174.73K
Eversource Energy0.09%$173.59K
PPG Industries Inc0.09%$172.72K
Illumina Inc0.09%$170.56K
Veeva Systems Inc0.09%$168.95K
AvalonBay Communities Inc0.08%$167.18K
Fiserv Inc0.08%$166.08K
Twilio Inc0.08%$165.89K
BioNTech SE0.08%$165.35K
Talen Energy Corp0.08%$165.23K
American Water Works Co Inc0.08%$163.69K
Campbell's Company/The0.08%$163.57K
Mettler-Toledo International Inc0.08%$163.52K
Moderna Inc0.08%$162.54K
Brightstar Lottery PLC0.08%$162.40K
Cboe Global Markets Inc0.08%$162.10K
Dollar General Corp0.08%$161.73K
West Pharmaceutical Services Inc0.08%$160.11K
Copart Inc0.08%$158.79K
Kimberly-Clark Corp0.08%$156.97K
Markel Group Inc0.08%$154.29K
Smurfit Westrock PLC0.08%$154.18K
T Rowe Price Group Inc0.08%$152.69K
Williams-Sonoma Inc0.08%$151.28K
Newell Brands Inc0.08%$150.02K
Verisk Analytics Inc0.08%$149.91K
F5 Inc0.08%$149.75K
Quest Diagnostics Inc0.08%$149.21K
Workday Inc0.07%$148.37K
Royalty Pharma PLC0.07%$147.91K
Principal Financial Group Inc0.07%$147.01K
Okta Inc0.07%$146.41K
Hershey Co/The0.07%$146.50K
Church & Dwight Co Inc0.07%$146.29K
Zoom Communications Inc0.07%$146.30K
NiSource Inc0.07%$145.12K
First Solar Inc0.07%$145.12K
United Therapeutics Corp0.07%$144.13K
Dollar Tree Inc0.07%$142.84K
Veralto Corp0.07%$138.70K
RB Global Inc0.07%$137.88K
Expeditors International of Washington Inc0.07%$137.39K
Peabody Energy Corp0.07%$134.44K
Gap Inc/The0.07%$132.42K
Liberty Media Corp-Liberty Formula One0.07%$131.58K
Packaging Corp of America0.07%$131.53K
Snap-on Inc0.07%$131.18K
VeriSign Inc0.07%$130.56K
Kraft Heinz Co/The0.06%$128.66K
HP Inc0.06%$127.76K
SoFi Technologies Inc0.06%$127.07K
IonQ Inc0.06%$125.75K
Dow Inc0.06%$125.61K
NetApp Inc0.06%$125.20K
Ambarella Inc0.06%$124.41K
Constellation Brands Inc0.06%$123.51K
Apartment Investment and Management Co0.06%$123.19K
Reliance Inc0.06%$121.05K
Incyte Corp0.06%$120.84K
Loews Corp0.06%$120.46K
Equifax Inc0.06%$119.67K
SBA Communications Corp0.06%$119.64K
General Mills Inc0.06%$119.40K
Lennar Corp0.06%$118.99K
Invitation Homes Inc0.06%$115.19K
Nextpower Inc0.06%$113.42K
Roivant Sciences Ltd0.06%$111.41K
Weyerhaeuser Co0.06%$110.94K
Akamai Technologies Inc0.06%$109.58K
Generac Holdings Inc0.05%$108.93K
IDEX Corp0.05%$108.03K
Coeur Mining Inc0.05%$107.89K
Royal Gold Inc0.05%$107.59K
Zimmer Biomet Holdings Inc0.05%$107.27K
Performance Food Group Co0.05%$106.87K
CF Industries Holdings Inc0.05%$106.74K
Ball Corp0.05%$106.83K
Kimco Realty Corp0.05%$106.55K
RBC Bearings Inc0.05%$106.27K
First Citizens BancShares Inc/NC0.05%$106.12K
WESCO International Inc0.05%$106.05K
Tractor Supply Co0.05%$105.61K
Masco Corp0.05%$105.62K
Host Hotels & Resorts Inc0.05%$103.54K
W R Berkley Corp0.05%$102.97K
Genuine Parts Co0.05%$102.88K
Regal Rexnord Corp0.05%$101.71K
Tenet Healthcare Corp0.05%$101.58K
Estee Lauder Cos Inc/The0.05%$101.61K
Broadridge Financial Solutions Inc0.05%$101.62K
Albemarle Corp0.05%$101.14K
Toll Brothers Inc0.05%$98.69K
Ulta Beauty Inc0.05%$98.31K
Rocket Cos Inc0.05%$98.19K
Best Buy Co Inc0.05%$96.06K
DT Midstream Inc0.05%$95.97K
Healthpeak Properties Inc0.05%$95.49K
Super Micro Computer Inc0.05%$95.26K
LPL Financial Holdings Inc0.05%$93.52K
Flutter Entertainment PLC0.05%$93.08K
Dick's Sporting Goods Inc0.05%$92.08K
Watsco Inc0.05%$92.10K
Omega Healthcare Investors Inc0.05%$91.40K
Unum Group0.05%$91.10K
Jazz Pharmaceuticals PLC0.05%$91.09K
Bunge Global SA0.05%$91.15K
RPM International Inc0.05%$90.25K
Pinnacle Financial Partners Inc0.05%$89.88K
Globe Life Inc0.05%$89.70K
Reinsurance Group of America Inc0.05%$89.53K
Alcoa Corp0.04%$88.33K
BorgWarner Inc0.04%$87.52K
LyondellBasell Industries NV0.04%$87.40K
PTC Inc0.04%$86.91K
Curtiss-Wright Corp0.04%$86.38K
Somnigroup International Inc0.04%$85.69K
Mueller Industries Inc0.04%$85.81K
Robinhood Markets Inc0.04%$85.24K
Nutanix Inc0.04%$84.95K
Carlisle Cos Inc0.04%$84.16K
IREN Ltd0.04%$83.32K
UDR Inc0.04%$83.31K
McCormick & Co Inc/MD0.04%$82.59K
Lennox International Inc0.04%$81.93K
Deckers Outdoor Corp0.04%$81.62K
Evercore Inc0.04%$80.58K
Graco Inc0.04%$80.30K
AGNC Investment Corp0.04%$80.35K
Crown Holdings Inc0.04%$80.17K
Revvity Inc0.04%$79.88K
Rivian Automotive Inc0.04%$79.46K
Webster Financial Corp0.04%$79.25K
Clean Harbors Inc0.04%$79.17K
Knight-Swift Transportation Holdings Inc0.04%$79.19K
Applied Industrial Technologies Inc0.04%$78.79K
Gen Digital Inc0.04%$78.25K
Elanco Animal Health Inc0.04%$78.24K
First Horizon Corp0.04%$78.13K
Gaming and Leisure Properties Inc0.04%$77.97K
Cognex Corp0.04%$77.71K
SPX Technologies Inc0.04%$76.74K
Trimble Inc0.04%$76.16K
J M Smucker Co/The0.04%$75.60K
Clorox Co/The0.04%$73.97K
APA Corp0.04%$73.90K
Novanta Inc. Pipe Shares Pp0.04%$73.67K
Advanced Drainage Systems Inc0.04%$73.46K
Solventum Corp0.04%$73.37K
Ally Financial Inc0.04%$73.47K
Lululemon Athletica Inc0.04%$73.30K
Littelfuse Inc0.04%$72.85K
Camden Property Trust0.04%$72.59K
Align Technology Inc0.04%$72.52K
American Homes 4 Rent0.04%$72.34K
QXO Inc0.04%$72.13K
Circle Internet Group Inc0.04%$72.09K
Fidelity National Financial Inc0.04%$72.11K
Acuity Inc0.04%$71.94K
Charles River Laboratories International Inc0.04%$71.44K
Crane Co0.04%$70.94K
Bio-Techne Corp0.04%$71.07K
BioMarin Pharmaceutical Inc0.04%$70.61K
Huntington Ingalls Industries Inc0.04%$70.53K
Valmont Industries Inc0.04%$70.47K
Baxter International Inc0.04%$70.48K
Element Solutions Inc0.04%$70.14K
Charter Communications Inc0.04%$70.25K
SharkNinja Inc0.04%$69.89K
Arrow Electronics Inc0.04%$69.79K
Essential Utilities Inc0.04%$69.80K
Lincoln Electric Holdings Inc0.04%$69.56K
EastGroup Properties Inc0.04%$69.47K
New York Times Co/The0.04%$69.35K
HF Sinclair Corp.0.04%$69.37K
Amkor Technology Inc0.03%$69.16K
Tradeweb Markets Inc0.03%$69.06K
Dynatrace Inc0.03%$68.85K
Wintrust Financial Corp0.03%$68.63K
Restaurant Brands International Inc0.03%$68.38K
Watts Water Technologies Inc0.03%$68.50K
NVR Inc0.03%$68.13K
Federal Realty Investment Trust0.03%$68.02K
BXP Inc0.03%$67.57K
AES Corp/The0.03%$67.03K
Antero Resources Corp0.03%$67.12K
GLOBALFOUNDRIES Inc0.03%$66.92K
Stifel Financial Corp0.03%$66.91K
Donaldson Co Inc0.03%$66.61K
Fox Corp0.03%$66.66K
Lamar Advertising Co0.03%$66.45K
Unity Software Inc0.03%$66.31K
Service Corp International/US0.03%$65.55K
Exelixis Inc0.03%$65.02K
Fastenal Co0.03%$64.74K
OGE Energy Corp0.03%$64.47K
Zions Bancorp NA0.03%$64.55K
Chart Industries Inc0.03%$64.14K
American Healthcare REIT Inc0.03%$64.04K
Encompass Health Corp0.03%$63.98K
CACI International Inc0.03%$63.93K
Jack Henry & Associates Inc0.03%$63.77K

C000021816 overview: performance, fees, allocation and SEC filings