C000025018 Holdings — EQ/Janus Enterprise Portfolio

All 86 reported holdings of EQ/Janus Enterprise Portfolio (C000025018) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Flex Ltd.5.34%$81.80M
Ferguson Enterprises, Inc.3.28%$50.19M
ON Semiconductor Corp.3.18%$48.65M
Revvity, Inc.2.82%$43.17M
LPL Financial Holdings, Inc.2.77%$42.42M
JB Hunt Transport Services, Inc.2.75%$42.06M
DoorDash, Inc.2.67%$40.87M
Aramark2.51%$38.42M
Teledyne Technologies, Inc.2.50%$38.22M
NXP Semiconductors NV2.44%$37.40M
API Group Corp.2.41%$36.82M
Alliant Energy Corp.2.33%$35.70M
KLA Corp.2.26%$34.62M
Sensata Technologies Holding plc2.19%$33.46M
Liberty Media Corp.-Liberty Formula One1.99%$30.49M
JPMorgan Prime Money Market Fund1.96%$29.99M
Waters Corp.1.89%$28.95M
WEX, Inc.1.80%$27.51M
Ameren Corp.1.71%$26.10M
Ingersoll Rand, Inc.1.69%$25.91M
Corteva, Inc.1.64%$25.14M
Ryanair Holdings plc1.64%$25.11M
Teleflex, Inc.1.63%$24.90M
RB Global, Inc.1.57%$24.05M
Constellation Software, Inc.1.55%$23.78M
DTE Energy Co.1.47%$22.49M
Canadian Pacific Kansas City Ltd.1.43%$21.84M
Gildan Activewear, Inc.1.38%$21.15M
Argenx SE1.30%$19.82M
PTC, Inc.1.26%$19.30M
Boston Scientific Corp.1.23%$18.75M
TFI International, Inc.1.18%$18.03M
Clean Harbors, Inc.1.14%$17.51M
Wayfair, Inc.1.13%$17.37M
Cimpress plc0.98%$15.07M
TE Connectivity plc0.96%$14.65M
Illumina, Inc.0.96%$14.63M
STERIS plc0.93%$14.17M
ICU Medical, Inc.0.91%$13.91M
CDW Corp.0.82%$12.59M
Rentokil Initial plc0.81%$12.45M
CarMax, Inc.0.80%$12.20M
Revolution Medicines, Inc.0.79%$12.14M
Burlington Stores, Inc.0.79%$12.14M
Cooper Cos., Inc. (The)0.79%$12.02M
StandardAero, Inc.0.76%$11.69M
Globus Medical, Inc.0.75%$11.53M
Willis Towers Watson plc0.72%$11.07M
AppLovin Corp.0.72%$11.04M
Veralto Corp.0.69%$10.63M
Vaxcyte, Inc.0.69%$10.57M
TransUnion0.66%$10.12M
CoStar Group, Inc.0.66%$10.12M
FirstService Corp.0.65%$10.00M
UL Solutions, Inc.0.64%$9.74M
Bridgebio Pharma, Inc.0.62%$9.55M
Cboe Global Markets, Inc.0.62%$9.53M
Lamar Advertising Co.0.58%$8.87M
Broadridge Financial Solutions, Inc.0.57%$8.74M
Ascendis Pharma A/S0.57%$8.73M
SPX Technologies, Inc.0.57%$8.68M
Charles Schwab Corp. (The)0.56%$8.51M
Madrigal Pharmaceuticals, Inc.0.55%$8.49M
Lantheus Holdings, Inc.0.55%$8.41M
Medline, Inc.0.52%$7.94M
CAE, Inc.0.51%$7.86M
Dollar Tree, Inc.0.51%$7.82M
Verisk Analytics, Inc.0.51%$7.75M
Praxis Precision Medicines, Inc.0.50%$7.58M
ONEOK, Inc.0.45%$6.89M
Innio NV0.44%$6.69M
Rentokil Initial plc0.43%$6.51M
Glaukos Corp.0.40%$6.18M
Descartes Systems Group, Inc. (The)0.39%$6.04M
Entain plc0.39%$5.90M
Ziff Davis, Inc.0.38%$5.76M
Arxis, Inc.0.38%$5.74M
Invesco Govt And Agcy Lex0.36%$5.55M
Dynatrace, Inc.0.32%$4.92M
Topicus.com, Inc.0.29%$4.47M
Liberty Media Corp.-Liberty Formula One0.27%$4.18M
Allspring Govt Fund Lex0.07%$1.00M
Rbc US Govt Money Mkt Fund0.02%$300.00K
British Pound0.00%$0
Canadian Dollar0.00%$280
Euro0.00%$0

C000025018 overview: performance, fees, allocation and SEC filings