C000025649 Holdings — Goldman Sachs Variable Insurance Trust Mid Cap Value

All 80 reported holdings of Goldman Sachs Variable Insurance Trust Mid Cap Value (C000025649) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United Rentals, Inc.2.95%$13.07M
L3 Harris Technologies Inc2.50%$11.09M
Fifth Third Bancorp2.47%$10.95M
CMS Energy Corporation2.37%$10.50M
Coca-Cola Europacific Partners PLC2.32%$10.30M
Digital Realty Trust Inc.2.30%$10.19M
Rockwell Automation, Inc.2.26%$9.99M
Royalty Pharma PLC2.17%$9.63M
Performance Food Group Co.2.13%$9.45M
Consolidated Edison, Inc.2.07%$9.17M
Builders Firstsource, Inc.2.05%$9.10M
Martin Marietta Materials Inc2.04%$9.03M
Marvell Technology Inc2.00%$8.87M
Intercontinental Exchange Inc2.00%$8.86M
Old Dominion Freight Line Inc.1.87%$8.29M
eBay Inc.1.86%$8.23M
PG&E Corporation1.79%$7.93M
Quest Diagnostics Incorporated1.65%$7.32M
Mirion Technologies Inc1.59%$7.03M
Cencora Inc1.58%$7.00M
Agilent Technologies Inc.1.58%$7.00M
Ross Stores Inc1.56%$6.89M
Phillips 661.51%$6.67M
International Paper Co.1.45%$6.44M
ITT Inc1.45%$6.43M
Woodward Inc.1.45%$6.42M
Wintrust Financial Corporation1.43%$6.34M
Expand Energy Corp.1.41%$6.24M
Vici Properties Inc1.39%$6.14M
Global Payments Inc1.37%$6.07M
Hewlett Packard Enterprise Co.1.32%$5.84M
Coherent Corp1.30%$5.75M
Western Digital Corp.1.30%$5.74M
United Airlines Holdings Inc1.28%$5.69M
Ameren Corp.1.26%$5.59M
Invesco Ltd1.25%$5.55M
Synchrony Financial1.25%$5.55M
Aptiv PLC1.19%$5.25M
Live Nation Entertainment, Inc.1.18%$5.22M
Westlake Corporation1.17%$5.18M
Permian Resources Corp1.17%$5.16M
Mid-America Apartment Communities, Inc.1.16%$5.14M
Teradyne Inc.1.15%$5.07M
Steel Dynamics, Inc.1.15%$5.07M
BKV Corporation1.09%$4.85M
EOG Resources Inc.1.07%$4.73M
American Financial Group, Inc.1.05%$4.67M
Celanese Corporation1.03%$4.57M
Ingersoll Rand Inc1.03%$4.54M
Atmos Energy Corp.1.02%$4.51M
Solstice Advanced Materials Inc.1.02%$4.51M
Unum Group0.99%$4.40M
Lennar Corp.0.98%$4.34M
Omnicom Group Inc0.94%$4.17M
Targa Resources Corp.0.94%$4.14M
Wyndham Hotels & Resorts Inc0.93%$4.10M
Rocket Companies Inc0.88%$3.89M
Mettler-Toledo International Inc0.87%$3.87M
Huntington Bancshares Incorporated0.83%$3.69M
Ingram Micro Holding Corporation0.79%$3.48M
Edwards Lifesciences Corporation0.77%$3.41M
Motorola Solutions Inc0.77%$3.39M
Jabil Inc0.76%$3.37M
The Kroger Co.0.75%$3.31M
LPL Financial Holdings Inc.0.74%$3.30M
NRG Energy, Inc.0.67%$2.96M
Sandisk Corp.0.66%$2.94M
Arch Capital Group Ltd.0.61%$2.72M
Saia Inc0.61%$2.70M
W.w. Grainger Inc.0.60%$2.67M
Venture Global Inc0.55%$2.45M
HF Sinclair Corp.0.54%$2.40M
ON Semiconductor Corp.0.52%$2.32M
Flagstar Bank National Association0.50%$2.21M
Equitable Holdings Inc0.49%$2.16M
Humana Inc.0.47%$2.06M
DexCom Inc0.34%$1.49M
Goldman Sachs Trust0.34%$1.48M
Kinetik Holdings Inc0.25%$1.09M
Public Service Enterprise Group Incorporated0.01%$61.12K

C000025649 overview: performance, fees, allocation and SEC filings