C000025788 Holdings — MainStay VP Epoch U.S. Equity Yield Portfolio

All 111 reported holdings of MainStay VP Epoch U.S. Equity Yield Portfolio (C000025788) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Dell Technologies, Inc.2.29%$21.67M
Cisco Systems, Inc.2.25%$21.28M
JPMorgan Chase & Co.2.14%$20.23M
Bank of America Corp.2.09%$19.77M
Johnson & Johnson2.08%$19.68M
CVS Health Corp.1.94%$18.34M
AbbVie, Inc.1.81%$17.09M
Broadcom, Inc.1.80%$17.06M
MetLife, Inc.1.68%$15.89M
Hewlett Packard Enterprise Co.1.64%$15.49M
American Electric Power Co., Inc.1.55%$14.68M
Merck & Co., Inc.1.55%$14.67M
Analog Devices, Inc.1.45%$13.70M
Walmart, Inc.1.41%$13.31M
Chevron Corp.1.34%$12.69M
UnitedHealth Group, Inc.1.33%$12.58M
KLA Corp.1.29%$12.20M
Texas Instruments, Inc.1.28%$12.13M
Emerson Electric Co.1.28%$12.09M
Entergy Corp.1.26%$11.88M
NetApp, Inc.1.25%$11.79M
International Business Machines Corp.1.23%$11.65M
Eli Lilly & Co.1.22%$11.57M
Wells Fargo & Co.1.20%$11.34M
Microsoft Corp.1.19%$11.31M
Hasbro, Inc.1.18%$11.15M
Eaton Corp. plc1.16%$10.94M
Cummins, Inc.1.15%$10.90M
U.S. Bancorp1.13%$10.69M
BlackRock, Inc.1.12%$10.59M
Medtronic plc1.11%$10.49M
Philip Morris International, Inc.1.09%$10.33M
MSC Industrial Direct Co., Inc.1.06%$10.00M
Enterprise Products Partners LP0.99%$9.36M
Linde plc0.97%$9.18M
Alphabet, Inc.0.96%$9.06M
General Dynamics Corp.0.94%$8.86M
Travelers Cos., Inc. (The)0.92%$8.73M
Verizon Communications, Inc.0.91%$8.61M
Invesco Govt And Agcy Lex0.91%$8.60M
McDonald's Corp.0.90%$8.54M
Procter & Gamble Co. (The)0.88%$8.34M
Prologis, Inc.0.86%$8.18M
Marsh & McLennan Cos., Inc.0.85%$8.06M
Microchip Technology, Inc.0.84%$7.93M
Voya Financial, Inc.0.83%$7.84M
Nutrien Ltd.0.82%$7.72M
Scotts Miracle-Gro Co. (The)0.80%$7.61M
NextEra Energy, Inc.0.80%$7.61M
Columbia Banking System, Inc.0.77%$7.30M
AT&T, Inc.0.77%$7.26M
Unum Group0.76%$7.21M
NiSource, Inc.0.76%$7.20M
TotalEnergies SE0.76%$7.18M
RTX Corp.0.75%$7.06M
Home Depot, Inc. (The)0.74%$6.96M
Omnicom Group, Inc.0.73%$6.93M
Best Buy Co., Inc.0.73%$6.87M
Coca-Cola Co. (The)0.72%$6.82M
Meta Platforms, Inc.0.71%$6.74M
Colgate-Palmolive Co.0.71%$6.73M
Republic Services, Inc.0.70%$6.65M
PPG Industries, Inc.0.70%$6.63M
Snap-on, Inc.0.70%$6.62M
Mplx LP0.70%$6.58M
Apple, Inc.0.68%$6.43M
Vail Resorts, Inc.0.67%$6.36M
Coca-Cola Europacific Partners plc0.67%$6.32M
Bristol-Myers Squibb Co.0.64%$6.01M
Alliant Energy Corp.0.63%$6.00M
Regions Financial Corp.0.63%$5.97M
Lockheed Martin Corp.0.63%$5.92M
Hubbell, Inc.0.62%$5.86M
Toro Co. (The)0.62%$5.82M
United Parcel Service, Inc.0.61%$5.80M
Watsco, Inc.0.61%$5.79M
Pfizer, Inc.0.61%$5.78M
Lamar Advertising Co.0.61%$5.75M
Hormel Foods Corp.0.60%$5.71M
Sonoco Products Co.0.60%$5.70M
Pinnacle West Capital Corp.0.60%$5.67M
Starbucks Corp.0.59%$5.57M
Kimberly-Clark Corp.0.58%$5.52M
McCormick & Co., Inc.0.57%$5.43M
NYLIM U.S. Government Liquidity Fund0.57%$5.42M
Amgen, Inc.0.57%$5.39M
NVIDIA Corp.0.57%$5.38M
Realty Income Corp.0.56%$5.35M
Salesforce, Inc.0.56%$5.31M
Gilead Sciences, Inc.0.55%$5.25M
Mondelez International, Inc.0.55%$5.23M
VICI Properties, Inc.0.55%$5.19M
Essential Utilities, Inc.0.55%$5.17M
Ameren Corp.0.54%$5.14M
Duke Energy Corp.0.54%$5.10M
Truist Financial Corp.0.54%$5.08M
Nexstar Media Group, Inc.0.54%$5.08M
Plains All American Pipeline LP0.54%$5.07M
NNN REIT, Inc.0.53%$5.04M
CMS Energy Corp.0.53%$5.04M
CME Group, Inc.0.53%$5.02M
Comcast Corp.0.53%$5.02M
OGE Energy Corp.0.52%$4.96M
WEC Energy Group, Inc.0.52%$4.93M
Lazard, Inc.0.50%$4.71M
PepsiCo, Inc.0.49%$4.61M
Accenture plc0.48%$4.57M
American Tower Corp.0.47%$4.41M
Honeywell International, Inc.0.45%$4.24M
Honeywell Aerospace, Inc.0.44%$4.19M
Lear Corp.0.37%$3.54M

C000025788 overview: performance, fees, allocation and SEC filings