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 assets | Value (USD) |
|---|---|---|
| TE Connectivity PLC | 3.77% | $806.82K |
| Royalty Pharma PLC | 3.63% | $776.92K |
| CSW Industrials Inc | 3.09% | $660.83K |
| AMETEK Inc | 3.06% | $654.01K |
| IDEXX Laboratories Inc | 2.96% | $632.13K |
| Motorola Solutions Inc | 2.87% | $612.77K |
| Equity LifeStyle Properties Inc | 2.74% | $586.37K |
| Burlington Stores Inc | 2.63% | $562.91K |
| Arch Capital Group Ltd | 2.63% | $561.54K |
| Aramark | 2.44% | $521.91K |
| Wyndham Hotels & Resorts Inc | 2.34% | $499.48K |
| Donaldson Co Inc | 2.30% | $491.40K |
| Dorman Products Inc | 2.23% | $476.51K |
| Graco Inc | 2.21% | $472.43K |
| US Foods Holding Corp | 2.20% | $470.18K |
| A O Smith Corp | 2.06% | $440.28K |
| Lamar Advertising Co | 1.98% | $423.17K |
| VeriSign Inc | 1.95% | $417.49K |
| Tradeweb Markets Inc | 1.89% | $403.46K |
| Neurocrine Biosciences Inc | 1.88% | $401.81K |
| Core & Main Inc | 1.87% | $398.81K |
| Cincinnati Financial Corp | 1.86% | $397.78K |
| Quaker Chemical Corp | 1.82% | $388.72K |
| Nordson Corp | 1.82% | $388.18K |
| AptarGroup Inc | 1.72% | $366.97K |
| Mid-America Apartment Communities Inc | 1.71% | $365.87K |
| Advanced Drainage Systems Inc | 1.69% | $361.61K |
| Post Holdings Inc | 1.65% | $353.52K |
| Old National Bancorp/IN | 1.63% | $349.47K |
| Valvoline Inc | 1.61% | $343.84K |
| Alliant Energy Corp | 1.57% | $336.34K |
| CMS Energy Corp | 1.52% | $324.21K |
| United Rentals Inc | 1.48% | $316.20K |
| Microchip Technology Inc | 1.46% | $311.55K |
| Steven Madden Ltd | 1.33% | $284.39K |
| NVR Inc | 1.29% | $276.77K |
| ON Semiconductor Corp | 1.20% | $256.72K |
| Kinsale Capital Group Inc | 1.14% | $243.26K |
| Community Financial System Inc | 1.10% | $235.66K |
| Citizens Financial Group Inc | 1.09% | $233.70K |
| Cullen/Frost Bankers Inc | 1.08% | $231.80K |
| Bentley Systems Inc | 1.03% | $219.96K |
| Commerce Bancshares Inc/MO | 1.02% | $217.86K |
| EastGroup Properties Inc | 1.01% | $216.37K |
| Domino's Pizza Inc | 0.99% | $210.97K |
| Bio-Techne Corp | 0.98% | $209.77K |
| IDACORP Inc | 0.98% | $209.45K |
| Huntington Bancshares Inc/OH | 0.97% | $206.41K |
| LPL Financial Holdings Inc | 0.96% | $204.87K |
| NiSource Inc | 0.94% | $200.78K |
| CDW Corp/DE | 0.89% | $190.85K |
| Rexford Industrial Realty Inc | 0.88% | $188.33K |
| Entegris Inc | 0.85% | $182.43K |
| Tyler Technologies Inc | 0.84% | $180.09K |
| Descartes Systems Group Inc/The | 0.84% | $179.83K |
| Manhattan Associates Inc | 0.81% | $172.79K |
| Ryan Specialty Holdings Inc | 0.79% | $168.63K |
| Hexcel Corp | 0.73% | $156.19K |
| Verisk Analytics Inc | 0.70% | $148.95K |
| Avery Dennison Corp | 0.49% | $103.95K |
| White Mountains Insurance Group Ltd | 0.47% | $101.06K |
| Pool Corp | 0.41% | $87.81K |
| First Financial Bankshares Inc | 0.29% | $61.96K |
| Morgan Stanley & Co. LLC | 0.04% | $8.85K |
C000023790 overview: performance, fees, allocation and SEC filings