C000025802 Holdings — MainStay VP MacKay Common Stock Portfolio

All 121 reported holdings of MainStay VP MacKay Common Stock Portfolio (C000025802) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.7.39%$68.62M
Apple, Inc.6.66%$61.91M
Microsoft Corp.4.53%$42.12M
Eli Lilly & Co.4.50%$41.77M
Meta Platforms, Inc.4.33%$40.22M
Visa, Inc.4.07%$37.85M
Mastercard, Inc.2.48%$22.99M
Caterpillar, Inc.2.41%$22.39M
Home Depot, Inc. (The)2.33%$21.64M
Lam Research Corp.2.13%$19.83M
Oracle Corp.2.10%$19.47M
Costco Wholesale Corp.2.08%$19.35M
AbbVie, Inc.1.85%$17.14M
PepsiCo, Inc.1.80%$16.69M
International Business Machines Corp.1.76%$16.39M
TJX Cos., Inc. (The)1.53%$14.20M
Amgen, Inc.1.46%$13.61M
Gilead Sciences, Inc.1.46%$13.54M
KLA Corp.1.38%$12.81M
Union Pacific Corp.1.23%$11.44M
Merck & Co., Inc.1.21%$11.26M
Ross Stores, Inc.1.09%$10.10M
Cheniere Energy, Inc.1.07%$9.95M
Netflix, Inc.1.03%$9.53M
Lockheed Martin Corp.1.02%$9.43M
Targa Resources Corp.0.95%$8.79M
Kroger Co. (The)0.88%$8.21M
Vistra Corp.0.87%$8.08M
Adobe, Inc.0.86%$7.96M
WW Grainger, Inc.0.83%$7.75M
United Rentals, Inc.0.82%$7.64M
QUALCOMM, Inc.0.82%$7.61M
Ameriprise Financial, Inc.0.81%$7.56M
Bristol-Myers Squibb Co.0.81%$7.53M
Waste Management, Inc.0.77%$7.19M
Vertiv Holdings Co.0.77%$7.13M
IDEXX Laboratories, Inc.0.76%$7.03M
Procter & Gamble Co. (The)0.75%$6.95M
Coca-Cola Co. (The)0.73%$6.80M
Royal Caribbean Cruises Ltd.0.69%$6.38M
Travelers Cos., Inc. (The)0.67%$6.22M
Automatic Data Processing, Inc.0.67%$6.18M
Sherwin-Williams Co. (The)0.66%$6.13M
Motorola Solutions, Inc.0.66%$6.09M
Sysco Corp.0.65%$6.02M
Illinois Tool Works, Inc.0.65%$6.00M
AppLovin Corp.0.64%$5.97M
Devon Energy Corp.0.62%$5.74M
Moody's Corp.0.62%$5.72M
Cencora, Inc.0.61%$5.65M
American Express Co.0.59%$5.46M
Target Corp.0.58%$5.37M
Kimberly-Clark Corp.0.57%$5.31M
Colgate-Palmolive Co.0.56%$5.22M
United Parcel Service, Inc.0.53%$4.90M
Cintas Corp.0.52%$4.81M
Expedia Group, Inc.0.52%$4.81M
Zoetis, Inc.0.51%$4.77M
NRG Energy, Inc.0.51%$4.74M
Aon plc0.51%$4.70M
Tractor Supply Co.0.48%$4.49M
Darden Restaurants, Inc.0.47%$4.33M
LPL Financial Holdings, Inc.0.46%$4.27M
Paychex, Inc.0.45%$4.19M
Williams-Sonoma, Inc.0.44%$4.13M
Burlington Stores, Inc.0.43%$4.04M
Western Digital Corp.0.43%$4.03M
Autodesk, Inc.0.43%$4.02M
NetApp, Inc.0.41%$3.84M
Las Vegas Sands Corp.0.41%$3.81M
Corpay, Inc.0.41%$3.77M
Texas Instruments, Inc.0.40%$3.76M
Verisk Analytics, Inc.0.40%$3.68M
Chipotle Mexican Grill, Inc.0.39%$3.65M
NYLI U.S. Government Liquidity Fund0.36%$3.37M
CDW Corp.0.36%$3.32M
Waters Corp.0.35%$3.27M
Hershey Co. (The)0.35%$3.27M
Ulta Beauty, Inc.0.35%$3.22M
Fortinet, Inc.0.34%$3.19M
3M Co.0.31%$2.85M
Best Buy Co., Inc.0.30%$2.82M
General Motors Co.0.29%$2.72M
DaVita, Inc.0.29%$2.72M
eBay, Inc.0.29%$2.69M
Lennox International, Inc.0.28%$2.64M
Amphenol Corp.0.25%$2.33M
Lululemon Athletica, Inc.0.24%$2.24M
Carvana Co.0.23%$2.11M
Gartner, Inc.0.20%$1.89M
Equitable Holdings, Inc.0.19%$1.78M
Medpace Holdings, Inc.0.19%$1.78M
GoDaddy, Inc.0.19%$1.77M
Honeywell International, Inc.0.18%$1.71M
Southern Copper Corp.0.15%$1.36M
Booz Allen Hamilton Holding Corp.0.14%$1.31M
Charter Communications, Inc.0.13%$1.22M
Carnival Corp.0.11%$1.06M
Jabil, Inc.0.09%$872.86K
EMCOR Group, Inc.0.09%$853.49K
Willis Towers Watson plc0.09%$849.13K
Comfort Systems USA, Inc.0.08%$730.86K
Clorox Co. (The)0.08%$717.74K
Chevron Corp.0.08%$711.12K
Manhattan Associates, Inc.0.07%$675.18K
Dick's Sporting Goods, Inc.0.07%$664.87K
United Airlines Holdings, Inc.0.07%$605.82K
NXP Semiconductors NV0.06%$603.18K
Warner Music Group Corp.0.06%$557.28K
Pool Corp.0.05%$488.42K
T-Mobile US, Inc.0.02%$172.22K
Broadridge Financial Solutions, Inc.0.02%$165.89K
Johnson & Johnson0.01%$79.20K
NVR, Inc.0.01%$72.49K
TechnipFMC plc0.01%$66.71K
Veralto Corp.0.00%$45.89K
NIKE, Inc.0.00%$38.66K
Rollins, Inc.0.00%$33.65K
Tapestry, Inc.0.00%$22.01K
Alnylam Pharmaceuticals, Inc.0.00%$18.20K
Live Nation Entertainment, Inc.0.00%$14.64K

C000025802 overview: performance, fees, allocation and SEC filings