C000030370 Holdings — Calvert VP NASDAQ 100 Index Portfolio

All 106 reported holdings of Calvert VP NASDAQ 100 Index Portfolio (C000030370) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.36%$55.47M
Apple Inc7.35%$48.76M
Microsoft Corp5.42%$35.98M
Amazon.com Inc4.41%$29.26M
Tesla Inc3.66%$24.28M
Meta Platforms Inc3.33%$22.08M
Walmart Inc3.31%$21.95M
Alphabet Inc3.30%$21.91M
Alphabet Inc3.08%$20.42M
Broadcom Inc2.90%$19.21M
Costco Wholesale Corp2.41%$15.98M
Invesco QQQ Trust Series 12.31%$15.30M
Netflix Inc2.21%$14.67M
Micron Technology Inc2.07%$13.74M
Palantir Technologies Inc1.83%$12.11M
Advanced Micro Devices Inc1.81%$11.98M
Cisco Systems Inc1.67%$11.07M
Applied Materials Inc1.48%$9.80M
Lam Research Corp1.45%$9.64M
T-Mobile US Inc1.26%$8.36M
Linde PLC1.25%$8.30M
Intel Corp1.20%$7.96M
Morgan Stanley & Co. LLC1.18%$7.84M
PepsiCo Inc1.16%$7.67M
KLA Corp1.05%$6.97M
Amgen Inc1.03%$6.85M
Texas Instruments Inc0.96%$6.37M
Gilead Sciences Inc0.94%$6.25M
Intuitive Surgical Inc0.89%$5.91M
Analog Devices Inc0.85%$5.61M
Shopify Inc0.79%$5.25M
Honeywell International Inc0.78%$5.19M
QUALCOMM Inc0.75%$4.96M
Booking Holdings Inc0.73%$4.82M
Palo Alto Networks Inc0.71%$4.73M
AppLovin Corp0.67%$4.42M
Intuit Inc0.65%$4.32M
ASML Holding NV0.63%$4.19M
Vertex Pharmaceuticals Inc0.62%$4.10M
Comcast Corp0.56%$3.72M
Starbucks Corp0.56%$3.69M
Constellation Energy Corp0.55%$3.65M
Adobe Inc0.54%$3.58M
Crowdstrike Holdings Inc0.54%$3.56M
State Street Global Advisors0.50%$3.34M
Western Digital Corp0.50%$3.31M
MercadoLibre Inc0.48%$3.17M
Marriott International Inc/MD0.47%$3.13M
Marvell Technology Inc0.47%$3.12M
Seagate Technology Holdings PLC0.47%$3.09M
Automatic Data Processing Inc0.45%$2.96M
Regeneron Pharmaceuticals Inc0.44%$2.90M
O'Reilly Automotive Inc0.42%$2.80M
Cadence Design Systems Inc0.42%$2.77M
CSX Corp0.42%$2.76M
Synopsys Inc0.41%$2.74M
Mondelez International Inc0.40%$2.67M
American Electric Power Co Inc0.39%$2.56M
Monster Beverage Corp0.39%$2.56M
Ross Stores Inc0.38%$2.53M
PDD Holdings Inc0.37%$2.47M
Warner Bros Discovery Inc0.37%$2.46M
Cintas Corp0.37%$2.44M
DoorDash Inc0.34%$2.22M
PACCAR Inc0.33%$2.19M
Fortinet Inc0.33%$2.18M
Baker Hughes Co0.33%$2.18M
Diamondback Energy Inc0.30%$2.02M
United States Treasury0.30%$1.98M
Monolithic Power Systems Inc0.29%$1.94M
Airbnb Inc0.29%$1.93M
Fastenal Co0.29%$1.93M
Electronic Arts Inc0.28%$1.84M
Autodesk Inc0.28%$1.83M
Exelon Corp0.27%$1.81M
NXP Semiconductors NV0.27%$1.80M
Xcel Energy Inc0.27%$1.79M
Ferrovial SE0.26%$1.69M
IDEXX Laboratories Inc0.24%$1.62M
Alnylam Pharmaceuticals Inc0.24%$1.58M
PayPal Holdings Inc0.23%$1.50M
Coca-Cola Europacific Partners PLC0.23%$1.50M
Old Dominion Freight Line Inc0.22%$1.47M
Thomson Reuters Corp0.22%$1.45M
Strategy Inc0.21%$1.42M
Datadog Inc0.21%$1.40M
Take-Two Interactive Software Inc0.20%$1.32M
Roper Technologies Inc0.20%$1.32M
Keurig Dr Pepper Inc0.20%$1.29M
Insmed Inc0.19%$1.27M
Microchip Technology Inc0.19%$1.26M
Axon Enterprise Inc0.19%$1.23M
Paychex Inc0.18%$1.20M
GE HealthCare Technologies Inc0.18%$1.17M
Copart Inc0.18%$1.16M
Cognizant Technology Solutions Corp0.16%$1.06M
Workday Inc0.15%$1.00M
Charter Communications Inc0.15%$987.65K
Kraft Heinz Co/The0.15%$962.39K
Verisk Analytics Inc0.14%$945.71K
Dexcom Inc0.13%$873.30K
Zscaler Inc0.12%$815.08K
ARM Holdings PLC0.12%$763.36K
CoStar Group Inc0.09%$611.88K
Atlassian Corp0.06%$414.62K
Chicago Mercantile Exchange-0.05%$-342.42K

C000030370 overview: performance, fees, allocation and SEC filings