C000023790 Holdings — Calvert VP SRI Mid Cap Portfolio

All 64 reported holdings of Calvert VP SRI Mid Cap Portfolio (C000023790) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
TE Connectivity PLC3.77%$806.82K
Royalty Pharma PLC3.63%$776.92K
CSW Industrials Inc3.09%$660.83K
AMETEK Inc3.06%$654.01K
IDEXX Laboratories Inc2.96%$632.13K
Motorola Solutions Inc2.87%$612.77K
Equity LifeStyle Properties Inc2.74%$586.37K
Burlington Stores Inc2.63%$562.91K
Arch Capital Group Ltd2.63%$561.54K
Aramark2.44%$521.91K
Wyndham Hotels & Resorts Inc2.34%$499.48K
Donaldson Co Inc2.30%$491.40K
Dorman Products Inc2.23%$476.51K
Graco Inc2.21%$472.43K
US Foods Holding Corp2.20%$470.18K
A O Smith Corp2.06%$440.28K
Lamar Advertising Co1.98%$423.17K
VeriSign Inc1.95%$417.49K
Tradeweb Markets Inc1.89%$403.46K
Neurocrine Biosciences Inc1.88%$401.81K
Core & Main Inc1.87%$398.81K
Cincinnati Financial Corp1.86%$397.78K
Quaker Chemical Corp1.82%$388.72K
Nordson Corp1.82%$388.18K
AptarGroup Inc1.72%$366.97K
Mid-America Apartment Communities Inc1.71%$365.87K
Advanced Drainage Systems Inc1.69%$361.61K
Post Holdings Inc1.65%$353.52K
Old National Bancorp/IN1.63%$349.47K
Valvoline Inc1.61%$343.84K
Alliant Energy Corp1.57%$336.34K
CMS Energy Corp1.52%$324.21K
United Rentals Inc1.48%$316.20K
Microchip Technology Inc1.46%$311.55K
Steven Madden Ltd1.33%$284.39K
NVR Inc1.29%$276.77K
ON Semiconductor Corp1.20%$256.72K
Kinsale Capital Group Inc1.14%$243.26K
Community Financial System Inc1.10%$235.66K
Citizens Financial Group Inc1.09%$233.70K
Cullen/Frost Bankers Inc1.08%$231.80K
Bentley Systems Inc1.03%$219.96K
Commerce Bancshares Inc/MO1.02%$217.86K
EastGroup Properties Inc1.01%$216.37K
Domino's Pizza Inc0.99%$210.97K
Bio-Techne Corp0.98%$209.77K
IDACORP Inc0.98%$209.45K
Huntington Bancshares Inc/OH0.97%$206.41K
LPL Financial Holdings Inc0.96%$204.87K
NiSource Inc0.94%$200.78K
CDW Corp/DE0.89%$190.85K
Rexford Industrial Realty Inc0.88%$188.33K
Entegris Inc0.85%$182.43K
Tyler Technologies Inc0.84%$180.09K
Descartes Systems Group Inc/The0.84%$179.83K
Manhattan Associates Inc0.81%$172.79K
Ryan Specialty Holdings Inc0.79%$168.63K
Hexcel Corp0.73%$156.19K
Verisk Analytics Inc0.70%$148.95K
Avery Dennison Corp0.49%$103.95K
White Mountains Insurance Group Ltd0.47%$101.06K
Pool Corp0.41%$87.81K
First Financial Bankshares Inc0.29%$61.96K
Morgan Stanley & Co. LLC0.04%$8.85K

C000023790 overview: performance, fees, allocation and SEC filings