C000025633 Holdings — Goldman Sachs Variable Insurance Trust U.S. Equity Insights Fund

All 119 reported holdings of Goldman Sachs Variable Insurance Trust U.S. Equity Insights Fund (C000025633) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc.7.76%$26.47M
NVIDIA Corp.7.06%$24.08M
Microsoft Corp.5.97%$20.36M
Amazon.com, Inc.4.07%$13.89M
Broadcom Inc3.56%$12.15M
Alphabet Inc.3.55%$12.11M
Meta Platforms Inc3.22%$10.98M
JPMorgan Chase & Co.2.47%$8.43M
Tesla Inc2.27%$7.74M
MasterCard Incorporated1.83%$6.26M
Bank of America Corp.1.62%$5.54M
RTX Corp.1.56%$5.34M
Coca-Cola Co (The)1.53%$5.22M
Eli Lilly & Co.1.46%$4.97M
The TJX Companies Inc.1.37%$4.67M
Texas Instruments Inc.1.30%$4.42M
CVS Health Corp1.18%$4.02M
Illinois Tool Works Inc.1.17%$3.98M
Kinder Morgan, Inc.1.14%$3.90M
Synopsys Inc1.14%$3.88M
Casey'S General Stores Inc.1.11%$3.78M
Aramark1.09%$3.72M
Boston Scientific Corporation1.08%$3.67M
Kirby Corp1.06%$3.63M
Vertex Pharmaceuticals Incorporated1.05%$3.60M
Oracle Corp.1.05%$3.59M
3M Company1.05%$3.57M
Camden Property Trust1.04%$3.54M
Motorola Solutions Inc1.00%$3.41M
Clean Harbors, Inc.0.99%$3.39M
OneMain Holdings Inc.0.98%$3.34M
GE Aerospace0.94%$3.22M
Alphabet Inc.0.94%$3.22M
Loews Corporation0.94%$3.19M
Chipotle Mexican Grill Inc0.92%$3.12M
Waste Connections, Inc.0.91%$3.12M
BorgWarner Inc.0.89%$3.03M
Palantir Technologies Inc0.88%$3.02M
UnitedHealth Group Inc.0.88%$3.01M
Johnson & Johnson0.84%$2.87M
Mueller Industries Inc.0.83%$2.84M
Tyson Foods, Inc.0.81%$2.76M
Fortinet Inc0.73%$2.50M
Universal Health Services, Inc.0.72%$2.44M
Vulcan Materials Company0.70%$2.39M
Kimberly-Clark Corporation0.70%$2.37M
Corning Incorporated0.67%$2.28M
Invesco Ltd0.64%$2.17M
Burlington Stores Inc.0.59%$2.02M
General Dynamics Corporation0.58%$1.98M
Berkshire Hathaway Inc.0.58%$1.97M
T-Mobile US Inc0.54%$1.84M
Emerson Electric Co.0.54%$1.83M
Mettler-Toledo International Inc0.52%$1.79M
Welltower Inc.0.51%$1.74M
Stryker Corporation0.48%$1.63M
Sysco Corporation0.48%$1.62M
HCA Healthcare Inc0.46%$1.56M
Phillips 660.45%$1.54M
AvalonBay Communities, Inc.0.43%$1.47M
United Airlines Holdings Inc0.42%$1.43M
Reddit Inc0.40%$1.38M
Universal Display Corp.0.40%$1.38M
Ollies Bargain Outlet Holdings Inc.0.40%$1.36M
Textron Inc.0.38%$1.31M
Gilead Sciences Inc.0.38%$1.29M
Gentex Corp0.38%$1.28M
TechnipFMC PLC0.37%$1.28M
Synchrony Financial0.37%$1.28M
Invitation Homes, Inc.0.36%$1.23M
APA Corp.0.36%$1.22M
Baker Hughes Company0.35%$1.20M
Royal Caribbean Cruises Ltd.0.35%$1.20M
XPO Inc0.34%$1.16M
Fox Corporation0.33%$1.14M
Microchip Technology Incorporated0.32%$1.10M
Blackrock Inc.0.32%$1.08M
D.R. Horton, Inc.0.31%$1.07M
Zoom Communications Inc.0.31%$1.05M
Quanta Services, Inc.0.30%$1.04M
Antero Resources Corporation0.30%$1.02M
Regeneron Pharmaceuticals, Inc.0.27%$934.89K
Micron Technology Inc.0.27%$933.45K
Encompass Health Corporation0.27%$931.61K
Ameriprise Financial, Inc.0.27%$927.91K
ConocoPhillips0.24%$822.62K
Exxon Mobil Corp.0.22%$763.30K
Cadence Design Systems, Inc.0.22%$762.48K
Linde PLC0.21%$733.23K
International Business Machines Corp.0.20%$683.78K
Sandisk Corp.0.19%$663.29K
Sofi Technologies Inc0.18%$601.33K
Marathon Petroleum Corp.0.17%$582.37K
American Homes 4 Rent0.17%$575.74K
CME Group Inc.0.15%$523.95K
ON Semiconductor Corp.0.15%$509.35K
MetLife Inc.0.14%$473.89K
AES Corp.0.13%$441.05K
Moderna Inc0.13%$434.49K
MarketAxess Holdings Inc.0.12%$401.07K
Evercore Inc.0.11%$383.29K
NOV Inc.0.10%$339.31K
Arista Networks Inc0.10%$324.14K
Allegro MicroSystems Inc0.08%$263.37K
Delta Air Lines Inc.0.07%$253.49K
Howmet Aerospace Inc0.07%$252.12K
Carrier Global Corporation0.07%$247.03K
Chevron Corp.0.07%$228.21K
Axalta Coating Systems Ltd.0.05%$186.45K
Viking Holdings Ltd.0.05%$161.66K
Autonation, Inc.0.04%$149.57K
Targa Resources Corp.0.04%$146.18K
Everus Construction Group Inc.0.04%$145.21K
Parsons Corporation0.04%$121.45K
Planet Fitness Inc.0.04%$119.90K
Bright Horizons Family Solutions LLC0.03%$106.77K
Carvana Co0.03%$92.74K
Coinbase Global Inc0.02%$60.24K
Chicago Mercantile Exchange Inc.0.02%$51.97K

C000025633 overview: performance, fees, allocation and SEC filings