C000025794 Holdings — MainStay VP MacKay Mid Cap Core Portfolio

All 74 reported holdings of MainStay VP MacKay Mid Cap Core Portfolio (C000025794) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Aramark2.74%$19.87M
Bio-Techne Corp.2.17%$15.70M
Assurant, Inc.2.13%$15.45M
West Pharmaceutical Services, Inc.2.10%$15.23M
Mettler-Toledo International, Inc.1.95%$14.13M
Burlington Stores, Inc.1.85%$13.39M
Snowflake, Inc.1.83%$13.29M
BWX Technologies, Inc.1.79%$12.95M
TechnipFMC plc1.77%$12.85M
Keysight Technologies, Inc.1.76%$12.77M
Trane Technologies plc1.74%$12.58M
Twilio, Inc.1.72%$12.46M
Coherent Corp.1.70%$12.35M
Take-Two Interactive Software, Inc.1.70%$12.33M
Alliant Energy Corp.1.70%$12.31M
Reinsurance Group of America, Inc.1.68%$12.20M
Teledyne Technologies, Inc.1.68%$12.19M
Lamar Advertising Co.1.68%$12.17M
NYLIM U.S. Government Liquidity Fund1.65%$11.96M
Hubbell, Inc.1.62%$11.75M
Invesco Govt And Agcy Lex1.61%$11.63M
Regal Rexnord Corp.1.59%$11.52M
Marvell Technology, Inc.1.58%$11.43M
Ventas, Inc.1.57%$11.40M
Rentokil Initial plc1.57%$11.38M
Ralph Lauren Corp.1.57%$11.37M
CDW Corp.1.54%$11.16M
CH Robinson Worldwide, Inc.1.52%$10.99M
Zebra Technologies Corp.1.50%$10.89M
Everpure, Inc.1.48%$10.75M
Hyatt Hotels Corp.1.47%$10.66M
Ciena Corp.1.45%$10.53M
Diamondback Energy, Inc.1.45%$10.51M
Novanta, Inc.1.45%$10.49M
Ameren Corp.1.44%$10.45M
Aon plc1.44%$10.42M
Brixmor Property Group, Inc.1.43%$10.38M
Dover Corp.1.42%$10.27M
IDEX Corp.1.42%$10.26M
Verisk Analytics, Inc.1.39%$10.10M
Tractor Supply Co.1.38%$9.97M
Republic Services, Inc.1.37%$9.93M
Masco Corp.1.36%$9.82M
Valero Energy Corp.1.35%$9.76M
Advanced Drainage Systems, Inc.1.29%$9.32M
Dynatrace, Inc.1.28%$9.26M
Evercore, Inc.1.26%$9.16M
Churchill Downs, Inc.1.24%$8.99M
Lincoln Electric Holdings, Inc.1.22%$8.82M
Raymond James Financial, Inc.1.22%$8.82M
VeriSign, Inc.1.20%$8.70M
East West Bancorp, Inc.1.18%$8.57M
RB Global, Inc.1.14%$8.26M
Veralto Corp.1.14%$8.24M
McCormick & Co., Inc.1.13%$8.21M
UMB Financial Corp.1.13%$8.17M
Leidos Holdings, Inc.1.07%$7.79M
Fabrinet1.02%$7.41M
Teleflex, Inc.1.02%$7.37M
PTC, Inc.1.00%$7.23M
Hershey Co. (The)1.00%$7.22M
NiSource, Inc.0.98%$7.11M
Popular, Inc.0.97%$7.04M
RPM International, Inc.0.95%$6.92M
PPL Corp.0.91%$6.61M
ExlService Holdings, Inc.0.83%$6.01M
EQT Corp.0.81%$5.90M
DraftKings, Inc.0.77%$5.58M
Natera, Inc.0.76%$5.48M
Guardant Health, Inc.0.74%$5.38M
LPL Financial Holdings, Inc.0.70%$5.04M
Westlake Corp.0.69%$5.01M
Hexcel Corp.0.69%$5.00M
Tfdxx Lex Blackrock Fed Fund0.14%$1.00M

C000025794 overview: performance, fees, allocation and SEC filings