C000028221 Holdings — Pioneer Mid Cap Value Vct Portfolio

All 67 reported holdings of Pioneer Mid Cap Value Vct Portfolio (C000028221) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Corp4.14%$4.44M
Raymond James Financial Inc3.69%$3.96M
Coterra Energy Inc3.21%$3.44M
Regions Financial Corp2.75%$2.94M
eBay Inc2.75%$2.94M
M&T Bank Corp2.64%$2.82M
American International Group I2.63%$2.82M
Zimmer Biomet Holdings Inc2.53%$2.71M
Northern Trust Corp2.32%$2.49M
Truist Financial Corp2.31%$2.47M
GE HealthCare Technologies Inc2.24%$2.40M
Kenvue Inc2.20%$2.36M
Rockwell Automation Inc2.11%$2.26M
Public Service Enterprise Grou2.01%$2.15M
CenterPoint Energy Inc2.00%$2.14M
Chord Energy Corp1.97%$2.11M
AerCap Holdings NV1.95%$2.09M
Graphic Packaging Holding Co1.93%$2.07M
Eversource Energy1.84%$1.97M
AGCO Corp1.83%$1.96M
Fox Corp1.83%$1.96M
Citizens Financial Group Inc1.82%$1.95M
Motorola Solutions Inc1.77%$1.89M
AvalonBay Communities Inc1.69%$1.81M
Range Resources Corp1.62%$1.73M
Expedia Group Inc1.59%$1.71M
JB Hunt Transport Services Inc1.58%$1.69M
Molson Coors Beverage Co1.53%$1.64M
Dow Inc1.53%$1.64M
HP Inc1.48%$1.59M
Warner Bros Discovery Inc1.47%$1.58M
LyondellBasell Industries NV1.47%$1.57M
Whirlpool Corp1.40%$1.50M
Ingersoll Rand Inc1.32%$1.41M
Gaming and Leisure Properties1.29%$1.38M
Target Corp1.26%$1.35M
Baker Hughes Co1.26%$1.35M
Sysco Corp1.22%$1.30M
Western Digital Corp1.21%$1.29M
Exelon Corp1.19%$1.27M
Kimco Realty Corp1.17%$1.26M
Old Republic International Cor1.17%$1.25M
Extra Space Storage Inc1.17%$1.25M
CDW Corp/DE1.15%$1.23M
Ralph Lauren Corp1.12%$1.19M
Emerson Electric Co1.05%$1.13M
Genuine Parts Co1.05%$1.12M
Delta Air Lines Inc0.96%$1.03M
Brighthouse Financial Inc0.89%$954.65K
WESCO International Inc0.89%$950.94K
Brink's Co/The0.88%$942.45K
Ford Motor Co0.87%$930.62K
Newmont Corp0.86%$919.71K
First Industrial Realty Trust0.85%$910.11K
Host Hotels & Resorts Inc0.80%$860.07K
The Campbell's Company0.79%$841.83K
Zoom Communications Inc0.78%$832.83K
ON Semiconductor Corp0.70%$749.22K
Hershey Co/The0.68%$729.05K
Lear Corp0.61%$654.57K
Healthpeak Properties Inc0.58%$620.18K
Humana Inc0.50%$532.28K
PayPal Holdings Inc0.48%$515.60K
Valero Energy Corp0.45%$479.94K
Dreyfus Government Cash Management0.41%$435.41K
Cleveland-Cliffs Inc0.38%$401.69K
PACCAR Inc0.20%$214.07K

C000028221 overview: performance, fees, allocation and SEC filings