C000025655 Holdings — Goldman Sachs Variable Insurance Trust Growth Opportunities Fund

All 66 reported holdings of Goldman Sachs Variable Insurance Trust Growth Opportunities Fund (C000025655) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Howmet Aerospace Inc4.05%$2.36M
Quanta Services, Inc.3.99%$2.33M
Cencora Inc3.98%$2.32M
Vertiv Holdings Co3.95%$2.30M
Hilton Worldwide Holdings Inc3.86%$2.25M
Royal Caribbean Cruises Ltd.3.06%$1.78M
Vistra Corp2.90%$1.69M
Cloudflare Inc2.89%$1.68M
Ross Stores Inc2.57%$1.50M
Live Nation Entertainment, Inc.2.53%$1.47M
Jabil Inc2.31%$1.35M
Monolithic Power Systems Inc.2.28%$1.33M
Datadog Inc1.98%$1.16M
DexCom Inc1.92%$1.12M
Teradyne Inc.1.75%$1.02M
Solstice Advanced Materials Inc.1.74%$1.02M
Diamondback Energy Inc1.72%$1.00M
Corpay Inc1.70%$994.60K
Axon Enterprise Inc1.67%$971.69K
L3 Harris Technologies Inc1.58%$920.86K
Expand Energy Corp.1.55%$906.67K
Roblox Corporation1.55%$902.87K
Cava Group, Inc.1.54%$897.34K
Woodward Inc.1.51%$882.27K
Insmed Inc1.51%$881.86K
LPL Financial Holdings Inc.1.51%$880.53K
Agilent Technologies Inc.1.49%$869.78K
Carvana Co1.45%$847.25K
Reddit Inc1.45%$847.08K
Guardant Health Inc1.38%$806.57K
Intercontinental Exchange Inc1.37%$798.35K
Martin Marietta Materials Inc1.34%$779.41K
Roivant Sciences Ltd1.30%$759.28K
Rockwell Automation, Inc.1.28%$746.11K
Rocket Lab Corp.1.27%$740.20K
Coherent Corp1.26%$735.59K
United Rentals, Inc.1.21%$708.16K
Mettler-Toledo International Inc1.20%$702.49K
Marvell Technology Inc1.16%$674.73K
On Holding AG1.13%$661.14K
Dutch Bros Inc1.07%$622.36K
Coca-Cola Europacific Partners PLC1.03%$599.60K
Zscaler Inc1.02%$595.81K
Ionis Pharmaceuticals, Inc.0.97%$568.58K
DoorDash Inc0.93%$540.24K
DraftKings Inc.0.90%$527.14K
Celanese Corporation0.90%$523.59K
eBay Inc.0.89%$518.36K
Insulet Corporation0.85%$494.80K
Venture Global Inc0.83%$484.35K
Old Dominion Freight Line Inc.0.78%$453.72K
E L F Beauty Inc0.77%$449.48K
Edwards Lifesciences Corporation0.74%$430.99K
Rocket Companies Inc0.71%$413.81K
Casey'S General Stores Inc.0.68%$398.87K
Madrigal Pharmaceuticals Inc0.68%$396.27K
Builders Firstsource, Inc.0.66%$383.33K
Flagstar Bank National Association0.65%$377.69K
Alnylam Pharmaceuticals Inc.0.64%$376.20K
Argenx SE0.62%$362.93K
FTAI Aviation Ltd0.60%$349.12K
Royalty Pharma PLC0.58%$339.05K
Lennar Corp.0.57%$334.16K
MongoDB Inc.0.50%$292.50K
Mirion Technologies Inc0.50%$291.53K
Repligen Corporation0.47%$276.76K

C000025655 overview: performance, fees, allocation and SEC filings