C000021860 Holdings — SA Multi-Managed Large Cap Growth Portfolio

All 189 reported holdings of SA Multi-Managed Large Cap Growth Portfolio (C000021860) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp9.05%$23.58M
Alphabet Inc5.51%$14.36M
Microsoft Corp4.78%$12.46M
Cloudflare Inc4.04%$10.53M
Tesla Inc3.58%$9.32M
Alphabet Inc2.88%$7.52M
Broadcom Inc2.87%$7.48M
Apple Inc2.85%$7.43M
Meta Platforms Inc2.50%$6.51M
Advanced Micro Devices Inc2.37%$6.18M
Micron Technology Inc2.29%$5.97M
Royalty Pharma PLC2.28%$5.95M
Eli Lilly & Co2.18%$5.68M
AppLovin Corp2.12%$5.52M
DoorDash Inc1.81%$4.73M
Roivant Sciences Ltd1.80%$4.68M
Amazon.com Inc1.59%$4.14M
Space Exploration Technologies Corp1.43%$3.72M
KLA Corp1.29%$3.35M
Affirm Holdings Inc1.28%$3.33M
Shopify Inc1.27%$3.30M
Applied Materials Inc1.23%$3.20M
Caterpillar Inc1.19%$3.10M
Medline Inc1.16%$3.03M
Mastercard Inc1.11%$2.88M
ROBLOX Corp1.09%$2.84M
JPMorgan Chase & Co1.03%$2.69M
Marvell Technology Inc1.02%$2.66M
Crowdstrike Holdings Inc0.98%$2.55M
Palo Alto Networks Inc0.93%$2.42M
Berkshire Hathaway Inc0.92%$2.39M
Samsara Inc0.88%$2.29M
General Electric Co0.82%$2.12M
Madison Air Solutions Corp0.81%$2.10M
GE Vernova Inc0.78%$2.03M
QXO Inc0.72%$1.89M
Airbnb Inc0.72%$1.88M
Snowflake Inc0.71%$1.85M
Spotify Technology SA0.71%$1.85M
State Street Global Advisors0.68%$1.78M
Core & Main Inc0.68%$1.77M
Strategy Inc0.63%$1.64M
Johnson & Johnson0.62%$1.63M
Palantir Technologies Inc0.61%$1.58M
Fannie Mae0.56%$1.47M
Lam Research Corp0.54%$1.41M
Coherent Corp0.52%$1.36M
Rockwell Automation Inc0.50%$1.31M
Axon Enterprise Inc0.47%$1.22M
Intuitive Surgical Inc0.47%$1.21M
Old Dominion Freight Line Inc0.44%$1.16M
Targa Resources Corp0.43%$1.12M
MSCI Inc0.43%$1.11M
Verisk Analytics Inc0.43%$1.11M
Costco Wholesale Corp0.43%$1.11M
Western Digital Corp0.41%$1.07M
Rollins Inc0.40%$1.04M
United Rentals Inc0.40%$1.04M
Eaton Corp PLC0.38%$998.40K
Copart Inc0.38%$991.30K
Dutch Bros Inc0.37%$972.59K
Lumentum Holdings Inc0.34%$884.66K
Guardant Health Inc0.34%$875.28K
Sandisk Corp0.34%$875.39K
Home Depot Inc/The0.32%$822.10K
Visa Inc0.31%$815.18K
Netflix Inc0.30%$782.69K
Bank of America Corp0.29%$747.52K
Datadog Inc0.28%$728.75K
Edwards Lifesciences Corp0.27%$708.12K
Capital One Financial Corp0.27%$697.15K
RTX Corp0.26%$665.19K
Coinbase Global Inc0.25%$641.34K
Cisco Systems Inc0.25%$639.92K
Martin Marietta Materials Inc0.24%$635.52K
Ross Stores Inc0.24%$615.14K
Motorola Solutions Inc0.22%$571.85K
Argenx SE0.22%$571.51K
Amphenol Corp0.22%$564.75K
ARM Holdings PLC0.21%$548.52K
AbbVie Inc0.20%$532.22K
Goldman Sachs Group Inc/The0.19%$504.67K
Biogen Inc0.19%$499.31K
State Street Institutional US Government Money Market Fund0.19%$482.41K
Arista Networks Inc0.18%$456.64K
Welltower Inc0.16%$416.04K
Philip Morris International Inc0.16%$411.03K
TKO Group Holdings Inc0.16%$404.23K
Morgan Stanley0.15%$397.18K
Uber Technologies Inc0.15%$381.73K
Seagate Technology Holdings PLC0.14%$361.88K
Corning Inc0.14%$360.41K
International Business Machines Corp0.14%$358.54K
Booking Holdings Inc0.14%$358.62K
Celsius Holdings Inc0.13%$346.24K
Amgen Inc0.13%$344.74K
Coca-Cola Co/The0.13%$344.10K
Oracle Corp0.13%$336.63K
Vertiv Holdings Co0.13%$336.16K
American Express Co0.12%$319.98K
Waste Connections Inc0.12%$311.88K
Quanta Services Inc0.11%$281.54K
Howmet Aerospace Inc0.11%$279.61K
Newmont Goldcorp Corp.0.10%$260.87K
TJX Cos Inc/The0.09%$239.67K
Zscaler Inc0.09%$224.29K
McDonald's Corp0.08%$221.38K
Gilead Sciences Inc0.08%$221.09K
Marriott International Inc/MD0.08%$209.75K
Royal Caribbean Cruises Ltd0.08%$207.35K
Robinhood Markets Inc0.08%$206.88K
O'Reilly Automotive Inc0.08%$199.65K
Boeing Co/The0.07%$194.61K
Hilton Worldwide Holdings Inc0.07%$194.64K
TransDigm Group Inc0.07%$194.48K
Progressive Corp/The0.07%$186.77K
Comfort Systems USA Inc0.07%$180.36K
Ciena Corp0.07%$179.54K
Parker-Hannifin Corp0.07%$179.00K
Monster Beverage Corp0.07%$178.49K
Monolithic Power Systems Inc0.07%$175.56K
Cummins Inc0.07%$171.17K
Cadence Design Systems Inc0.07%$170.40K
ServiceNow Inc0.06%$163.41K
Bank of New York Mellon Corp/The0.06%$163.12K
HCA Healthcare Inc0.06%$158.30K
Fortinet Inc0.06%$157.61K
Flex Ltd0.06%$155.91K
Johnson Controls International plc0.06%$153.27K
Trane Technologies PLC0.06%$149.31K
S&P Global Inc0.05%$142.13K
Constellation Energy Corp0.05%$139.83K
Vistra Corp0.05%$130.71K
General Dynamics Corp0.05%$124.34K
Stryker Corp0.05%$119.32K
CME Group Inc0.04%$116.82K
Teradyne Inc0.04%$113.70K
Boston Scientific Corp0.04%$109.64K
IDEXX Laboratories Inc0.04%$107.39K
TE Connectivity PLC0.04%$106.65K
Intuit Inc0.04%$104.66K
Interactive Brokers Group Inc0.04%$101.75K
Carnival Corp Ltd0.04%$97.22K
EMCOR Group Inc0.04%$96.27K
eBay Inc0.04%$94.99K
KKR & Co Inc0.03%$89.58K
AutoZone Inc0.03%$86.29K
Moody's Corp0.03%$83.79K
Casey's General Stores Inc0.03%$77.89K
Tapestry Inc0.03%$77.58K
Simon Property Group Inc0.03%$76.94K
Expedia Group Inc0.03%$76.51K
Apollo Global Management Inc0.03%$75.25K
First Solar Inc0.03%$67.01K
State Street SPDR Portfolio S&P 500 Growth ETF0.03%$66.75K
Jabil Inc0.02%$63.99K
Autodesk Inc0.02%$62.21K
Carvana Co0.02%$62.27K
NRG Energy Inc0.02%$60.03K
Take-Two Interactive Software Inc0.02%$57.75K
Yum! Brands Inc0.02%$57.23K
Ventas Inc0.02%$56.30K
Electronic Arts Inc0.02%$56.18K
VeriSign Inc0.02%$54.59K
Ulta Beauty Inc0.02%$51.41K
Incyte Corp0.02%$48.74K
Cincinnati Financial Corp0.02%$44.25K
Veeva Systems Inc0.02%$42.42K
ResMed Inc0.02%$40.54K
Ralph Lauren Corp0.02%$39.74K
Live Nation Entertainment Inc0.01%$39.00K
EchoStar Corp0.01%$35.73K
Las Vegas Sands Corp0.01%$34.97K
Fair Isaac Corp0.01%$34.65K
Dexcom Inc0.01%$34.21K
Cboe Global Markets Inc0.01%$33.97K
Mettler-Toledo International Inc0.01%$33.22K
W R Berkley Corp0.01%$29.98K
Workday Inc0.01%$29.63K
Steris PLC0.01%$27.58K
Insulet Corp0.01%$27.25K
Wynn Resorts Ltd0.01%$20.49K
Fox Corp0.01%$18.31K
Allegion plc0.01%$17.28K
Norwegian Cruise Line Holdings Ltd0.00%$12.62K
Fox Corp0.00%$11.52K
Chicago Mercantile Exchange0.00%$5.27K
Barclays Bank PLC0.00%$3.57K
Standard Chartered Bank0.00%$431

C000021860 overview: performance, fees, allocation and SEC filings