C000029536 Holdings — Columbia Variable Portfolio - Small Company Growth Fund

All 110 reported holdings of Columbia Variable Portfolio - Small Company Growth Fund (C000029536) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Lumentum Holdings Inc2.57%$5.52M
RBC Bearings Inc2.49%$5.35M
Brinker International Inc2.39%$5.15M
Rush Street Interactive Inc2.20%$4.74M
Hut 8 Corp2.12%$4.55M
Carpenter Technology Corp2.08%$4.47M
WESCO International Inc2.07%$4.46M
ICU Medical Inc2.03%$4.37M
Bloom Energy Corp2.01%$4.33M
InterDigital Inc1.95%$4.20M
Glaukos Corp1.88%$4.04M
DigitalOcean Holdings Inc1.87%$4.03M
Karman Holdings Inc1.69%$3.64M
SiTime Corp1.69%$3.63M
Repligen Corp1.64%$3.52M
AAON Inc1.63%$3.50M
Babcock & Wilcox Enterprises Inc1.60%$3.43M
Dutch Bros Inc1.56%$3.35M
Bridgebio Pharma Inc1.51%$3.24M
Vita Coco Co Inc/The1.47%$3.16M
Guardant Health Inc1.43%$3.08M
SiteOne Landscape Supply Inc1.42%$3.05M
Celsius Holdings Inc1.41%$3.02M
Ollie's Bargain Outlet Holdings Inc1.38%$2.96M
IMAX Corp1.38%$2.96M
Semtech Corp1.37%$2.95M
BrightSpring Health Services Inc1.35%$2.91M
Mercury Systems Inc1.35%$2.91M
Moelis & Co1.32%$2.84M
Coherent Corp1.24%$2.66M
Standex International Corp1.23%$2.63M
Onto Innovation Inc1.20%$2.58M
Liberty Energy Inc1.16%$2.49M
Bancorp Inc/The1.14%$2.45M
Rambus Inc1.11%$2.38M
Casey's General Stores Inc1.10%$2.37M
RadNet Inc1.10%$2.37M
Knight-Swift Transportation Holdings Inc1.00%$2.16M
Credo Technology Group Holding Ltd1.00%$2.15M
Axos Financial Inc0.99%$2.14M
Modine Manufacturing Co0.99%$2.14M
National Energy Services Reunited Corp0.99%$2.13M
Sphere Entertainment Co0.98%$2.10M
Alaska Air Group Inc0.97%$2.09M
Impinj Inc0.97%$2.08M
Nuvalent Inc0.95%$2.04M
Perella Weinberg Partners0.95%$2.03M
Dycom Industries Inc0.93%$2.01M
AeroVironment Inc0.87%$1.86M
Madrigal Pharmaceuticals Inc0.83%$1.79M
Axsome Therapeutics Inc0.81%$1.74M
Unusual Machines Inc /US0.76%$1.62M
Insmed Inc0.73%$1.58M
Ryder System Inc0.73%$1.57M
Solstice Advanced Materials Inc0.73%$1.56M
Kratos Defense & Security Solutions Inc0.72%$1.55M
Arcosa Inc0.70%$1.51M
Construction Partners Inc0.68%$1.46M
Coeur Mining Inc0.65%$1.40M
Columbia Short Term Cash Fund0.64%$1.38M
Saia Inc0.64%$1.37M
Lionsgate Studios Corp0.62%$1.33M
Riot Platforms Inc0.61%$1.32M
Kura Sushi USA Inc0.60%$1.29M
Madison Square Garden Entertainment Corp0.60%$1.28M
Primo Brands Corp0.58%$1.26M
Herc Holdings Inc0.58%$1.25M
United States Antimony Corp0.58%$1.25M
Charles River Laboratories International Inc0.57%$1.23M
Dianthus Therapeutics Inc0.57%$1.22M
Globalstar Inc0.55%$1.18M
Helios Technologies Inc0.54%$1.17M
Revolution Medicines Inc0.53%$1.14M
Guidewire Software Inc0.52%$1.12M
Boot Barn Holdings Inc0.51%$1.10M
Terns Pharmaceuticals Inc0.51%$1.09M
Red Rock Resorts Inc0.51%$1.09M
Appfolio Inc0.50%$1.09M
ServiceTitan Inc0.49%$1.06M
Kadant Inc0.48%$1.04M
WaterBridge Infrastructure LLC0.48%$1.03M
Applied Optoelectronics Inc0.47%$1.02M
Par Pacific Holdings Inc0.43%$933.46K
Adaptive Biotechnologies Corp0.43%$921.56K
Floor & Decor Holdings Inc0.42%$913.79K
Personalis Inc0.42%$911.35K
York Space Systems Inc0.41%$891.88K
OSI Systems Inc0.40%$863.97K
Rogers Corp0.39%$837.17K
VSE Corp0.38%$820.76K
Crinetics Pharmaceuticals Inc0.38%$813.24K
Solid Biosciences Inc0.37%$805.90K
GeneDx Holdings Corp0.35%$745.79K
Dave Inc0.32%$691.83K
Uranium Energy Corp0.31%$675.69K
Centrus Energy Corp0.31%$673.88K
Rhythm Pharmaceuticals Inc0.30%$646.62K
Lithia Motors Inc0.30%$641.28K
Hallador Energy Co0.30%$634.90K
Xometry Inc0.28%$598.51K
Mirum Pharmaceuticals Inc0.28%$593.82K
Golar LNG Ltd0.25%$527.79K
nLight Inc0.23%$490.20K
Newamsterdam Pharma Co NV0.22%$463.92K
Black Rock Coffee Bar Inc0.21%$441.46K
Shattuck Labs Inc0.17%$371.27K
Tectonic Therapeutic Inc0.13%$280.94K
VeraDermics Inc0.11%$235.04K
Camping World Holdings Inc0.10%$220.34K
Dna Script Sas0.06%$131.80K

C000029536 overview: performance, fees, allocation and SEC filings