C000023173 Holdings — AXA Conservative Allocation Portfolio

All 32 reported holdings of AXA Conservative Allocation Portfolio (C000023173) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
EQ/Intermediate Government Bond Portfolio27.77%$304.18M
EQ/Core Bond Index Portfolio22.29%$244.13M
EQ/PIMCO Ultra Short Bond Portfolio11.85%$129.84M
ATM Large Cap Managed Volatility Portfolio6.71%$73.53M
EQ/AB Dynamic Growth Portfolio5.67%$62.14M
Multimanager Core Bond Portfolio5.50%$60.28M
EQ/Quality Bond PLUS Portfolio3.04%$33.35M
EQ/Global Bond PLUS Portfolio2.07%$22.63M
ATM International Managed Volatility Portfolio1.79%$19.65M
EQ/Large Cap Core Managed Volatility Portfolio1.50%$16.47M
ATM Mid Cap Managed Volatility Portfolio1.31%$14.36M
1290 VT High Yield Bond Portfolio1.22%$13.32M
EQ/Large Cap Growth Managed Volatility Portfolio0.91%$9.97M
EQ/MFS International Growth Portfolio0.83%$9.08M
EQ/Large Cap Value Managed Volatility Portfolio0.73%$7.97M
EQ/JPMorgan Value Opportunities Portfolio0.72%$7.89M
1290 VT Equity Income Portfolio0.70%$7.65M
EQ/Global Equity Managed Volatility Portfolio0.64%$7.04M
EQ/Loomis Sayles Growth Portfolio0.64%$6.97M
EQ/BlackRock Basic Value Equity Portfolio0.62%$6.80M
ATM Small Cap Managed Volatility Portfolio0.52%$5.72M
EQ/International Value Managed Volatility Portfolio0.51%$5.56M
EQ/Janus Enterprise Portfolio0.47%$5.18M
EQ/International Core Managed Volatility Portfolio0.39%$4.30M
EQ/T. Rowe Price Growth Stock Portfolio0.35%$3.86M
EQ/AB Small Cap Growth Portfolio0.28%$3.04M
Eq Advisors Tr0.23%$2.55M
EQ/Morgan Stanley Small Cap Growth Portfolio0.22%$2.42M
1290 VT GAMCO Small Company Value Portfolio0.20%$2.18M
1290 VT Micro Cap Portfolio0.14%$1.48M
EQ/Large Cap Growth Index Portfolio0.13%$1.40M
EQ/International Equity Index Portfolio0.06%$651.59K

C000023173 overview: performance, fees, allocation and SEC filings