C000030371 Holdings — Calvert VP Russell 2000 Small Cap Index Portfolio

All 500 reported holdings of Calvert VP Russell 2000 Small Cap Index Portfolio (C000030371) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Morgan Stanley & Co. LLC2.18%$5.52M
iShares Russell 2000 ETF1.22%$3.10M
Bloom Energy Corp0.96%$2.45M
State Street Global Advisors0.81%$2.07M
United States Treasury0.78%$1.98M
Coeur Mining Inc0.62%$1.58M
Fabrinet0.61%$1.56M
Nextpower Inc0.57%$1.45M
EchoStar Corp0.52%$1.31M
Credo Technology Group Holding Ltd0.49%$1.25M
Kratos Defense & Security Solutions Inc0.42%$1.05M
Advanced Energy Industries Inc0.39%$996.21K
Sterling Infrastructure Inc0.39%$994.96K
Hecla Mining Co0.38%$969.73K
Bridgebio Pharma Inc0.38%$964.49K
Guardant Health Inc0.37%$939.03K
Modine Manufacturing Co0.37%$929.90K
Ensign Group Inc/The0.37%$926.70K
TTM Technologies Inc0.32%$819.98K
IonQ Inc0.32%$814.56K
Dycom Industries Inc0.32%$809.78K
SPX Technologies Inc0.31%$796.56K
Chart Industries Inc0.30%$772.62K
Rambus Inc0.30%$766.96K
Madrigal Pharmaceuticals Inc0.29%$732.86K
Arrowhead Pharmaceuticals Inc0.28%$700.80K
American Healthcare REIT Inc0.27%$690.19K
CareTrust REIT Inc0.27%$680.70K
Praxis Precision Medicines Inc0.27%$680.79K
Moog Inc0.27%$677.46K
UMB Financial Corp0.27%$677.19K
Watts Water Technologies Inc0.26%$658.67K
InterDigital Inc0.25%$646.28K
Cytokinetics Inc0.25%$643.28K
Old National Bancorp/IN0.25%$639.53K
SiTime Corp0.25%$636.48K
SM Energy Co0.25%$636.45K
Primoris Services Corp0.25%$633.81K
Viavi Solutions Inc0.25%$628.36K
FormFactor Inc0.25%$624.32K
Fluor Corp0.25%$622.54K
Planet Labs PBC0.24%$619.99K
FirstCash Holdings Inc0.24%$609.87K
Argan Inc0.24%$603.47K
Vaxcyte Inc0.24%$597.60K
ESCO Technologies Inc0.23%$594.25K
Semtech Corp0.23%$586.36K
Jackson Financial Inc0.23%$585.05K
HealthEquity Inc0.23%$576.63K
AeroVironment Inc0.23%$571.85K
Sanmina Corp0.23%$571.97K
Axsome Therapeutics Inc0.23%$571.46K
Ormat Technologies Inc0.22%$566.87K
Commercial Metals Co0.22%$565.16K
Silicon Laboratories Inc0.22%$561.38K
Zurn Elkay Water Solutions Corp0.22%$558.66K
JBT Marel Corp0.22%$551.89K
Lumen Technologies Inc0.22%$547.70K
Clearwater Analytics Holdings Inc0.22%$545.44K
Terex Corp0.21%$542.36K
Federal Signal Corp0.21%$538.43K
DigitalOcean Holdings Inc0.21%$538.18K
Uranium Energy Corp0.21%$534.26K
Krystal Biotech Inc0.21%$530.85K
EnerSys0.21%$526.72K
Terreno Realty Corp0.21%$520.66K
Installed Building Products Inc0.20%$509.88K
GATX Corp0.20%$508.12K
Noble Corp PLC0.20%$507.38K
Brinker International Inc0.20%$507.12K
Transocean Ltd0.20%$500.25K
Essential Properties Realty Trust Inc0.20%$500.15K
Glaukos Corp0.20%$498.90K
Protagonist Therapeutics Inc0.20%$498.01K
Valaris Ltd0.20%$496.96K
Archrock Inc0.20%$496.74K
Oklo Inc0.20%$495.50K
Southwest Gas Holdings Inc0.19%$489.07K
TXNM Energy Inc0.19%$486.56K
Portland General Electric Co0.19%$486.38K
SSR Mining Inc0.19%$486.25K
Valley National Bancorp0.19%$483.80K
StoneX Group Inc0.19%$481.32K
Glacier Bancorp Inc0.19%$475.33K
Ryman Hospitality Properties Inc0.19%$472.33K
United Bankshares Inc/WV0.19%$470.53K
Viasat Inc0.18%$467.57K
Applied Digital Corp0.18%$467.49K
Alkermes PLC0.18%$465.73K
Magnolia Oil & Gas Corp0.18%$464.08K
Taylor Morrison Home Corp0.18%$463.82K
Applied Optoelectronics Inc0.18%$457.63K
Murphy Oil Corp0.18%$452.88K
Balchem Corp0.18%$452.00K
BrightSpring Health Services Inc0.18%$451.37K
Cogent Biosciences Inc0.18%$450.83K
New Jersey Resources Corp0.18%$450.73K
Essent Group Ltd0.18%$444.85K
Piper Sandler Cos0.18%$443.99K
Plexus Corp0.17%$442.14K
PTC Therapeutics Inc0.17%$438.69K
Hancock Whitney Corp0.17%$437.75K
UFP Industries Inc0.17%$435.17K
CNX Resources Corp0.17%$434.88K
Construction Partners Inc0.17%$434.03K
Kite Realty Group Trust0.17%$433.77K
Core Natural Resources Inc0.17%$433.37K
Black Hills Corp0.17%$432.63K
D-Wave Quantum Inc0.17%$432.01K
Enpro Inc0.17%$430.37K
Golar LNG Ltd0.17%$429.31K
Spire Inc0.17%$429.16K
Granite Construction Inc0.17%$426.29K
Powell Industries Inc0.17%$423.12K
California Resources Corp0.17%$420.65K
Ameris Bancorp0.17%$419.12K
ONE Gas Inc0.17%$419.02K
Matson Inc0.17%$418.70K
Arcosa Inc0.17%$418.62K
Nuvalent Inc0.16%$416.36K
Xenon Pharmaceuticals Inc0.16%$415.07K
Atlantic Union Bankshares Corp0.16%$413.90K
Casella Waste Systems Inc0.16%$413.92K
Terns Pharmaceuticals Inc0.16%$413.43K
Lantheus Holdings Inc0.16%$412.70K
Home BancShares Inc/AR0.16%$412.06K
VSE Corp0.16%$410.66K
Kodiak Gas Services Inc0.16%$400.25K
Macerich Co/The0.16%$398.68K
Joby Aviation Inc0.16%$396.13K
Warrior Met Coal Inc0.16%$394.30K
Sabra Health Care REIT Inc0.15%$392.33K
TG Therapeutics Inc0.15%$391.66K
Compass Inc0.15%$388.83K
Kymera Therapeutics Inc0.15%$388.38K
Brookfield Infrastructure Corp0.15%$386.70K
Atmus Filtration Technologies Inc0.15%$385.01K
Phillips Edison & Co Inc0.15%$383.82K
Rhythm Pharmaceuticals Inc0.15%$379.62K
Knife River Corp0.15%$379.26K
Hut 8 Corp0.15%$378.85K
Axos Financial Inc0.15%$375.93K
Boot Barn Holdings Inc0.15%$373.51K
Liberty Energy Inc0.15%$372.47K
Selective Insurance Group Inc0.15%$372.43K
Rigetti Computing Inc0.15%$370.57K
Mirion Technologies Inc0.15%$368.83K
HA Sustainable Infrastructure Capital Inc0.15%$368.38K
Badger Meter Inc0.14%$367.16K
Belden Inc0.14%$365.16K
Radian Group Inc0.14%$364.24K
Terawulf Inc0.14%$361.62K
Arcellx Inc0.14%$360.65K
Laureate Education Inc0.14%$359.79K
IES Holdings Inc0.14%$359.73K
CRISPR Therapeutics AG0.14%$355.59K
Core Scientific Inc0.14%$355.49K
Brink's Co/The0.14%$354.31K
AAR Corp0.14%$353.77K
Resideo Technologies Inc0.14%$353.58K
MYR Group Inc0.14%$353.46K
Eastern Bankshares Inc0.14%$351.90K
Hims & Hers Health Inc0.14%$351.63K
Scholar Rock Holding Corp0.14%$351.20K
Riot Platforms Inc0.14%$350.06K
Amicus Therapeutics Inc0.14%$349.70K
Clear Secure Inc0.14%$349.76K
Associated Banc-Corp0.14%$349.47K
Option Care Health Inc0.14%$349.15K
Mueller Water Products Inc0.14%$348.27K
Cipher Digital Inc0.14%$346.43K
Novanta Inc0.14%$346.30K
Abercrombie & Fitch Co0.14%$345.56K
ACI Worldwide Inc0.14%$344.69K
CSW Industrials Inc0.14%$344.75K
Energy Fuels Inc/Canada0.14%$344.38K
Moelis & Co0.14%$344.05K
Tidewater Inc0.14%$343.56K
Champion Homes Inc0.13%$341.66K
OSI Systems Inc0.13%$341.71K
Meritage Homes Corp0.13%$341.48K
Texas Capital Bancshares Inc0.13%$340.81K
Telephone and Data Systems Inc0.13%$340.29K
Urban Outfitters Inc0.13%$338.67K
Rush Enterprises Inc0.13%$337.69K
Peabody Energy Corp0.13%$337.01K
PBF Energy Inc0.13%$333.63K
Fastly Inc0.13%$332.71K
Life Time Group Holdings Inc0.13%$330.66K
Itron Inc0.13%$330.73K
Northwestern Energy Group Inc0.13%$330.43K
Mercury Systems Inc0.13%$327.73K
Celcuity Inc0.13%$327.70K
CG oncology Inc0.13%$327.57K
Merit Medical Systems Inc0.13%$327.35K
Cabot Corp0.13%$325.49K
Flagstar Bank NA0.13%$324.98K
Vistance Networks Inc0.13%$324.54K
Kontoor Brands Inc0.13%$323.69K
Outfront Media Inc0.13%$323.72K
PriceSmart Inc0.13%$322.97K
Tri Pointe Homes Inc0.13%$321.74K
First Financial Bankshares Inc0.13%$321.80K
Mirum Pharmaceuticals Inc0.13%$321.76K
Covista Inc0.13%$321.66K
CNO Financial Group Inc0.13%$320.88K
Tanger Inc0.13%$319.17K
Ligand Pharmaceuticals Inc0.13%$318.24K
Group 1 Automotive Inc0.13%$317.74K
Lemonade Inc0.12%$316.91K
Frontdoor Inc0.12%$314.94K
ServisFirst Bancshares Inc0.12%$314.12K
United Community Banks Inc/GA0.12%$313.20K
Academy Sports & Outdoors Inc0.12%$313.02K
National Health Investors Inc0.12%$312.44K
Dana Inc0.12%$311.77K
AZZ Inc0.12%$310.57K
RadNet Inc0.12%$309.91K
Cavco Industries Inc0.12%$308.98K
Apogee Therapeutics Inc0.12%$308.57K
Asbury Automotive Group Inc0.12%$308.36K
Patterson-UTI Energy Inc0.12%$307.70K
Vicor Corp0.12%$307.03K
Independent Bank Corp0.12%$306.48K
IRhythm Holdings Inc0.12%$305.55K
Stride Inc0.12%$301.98K
SkyWest Inc0.12%$301.75K
Patrick Industries Inc0.12%$301.67K
Indivior Pharmaceuticals Inc0.12%$300.17K
Fulton Financial Corp0.12%$300.16K
UniFirst Corp/MA0.12%$299.14K
International Bancshares Corp0.12%$298.03K
Sensient Technologies Corp0.12%$296.75K
StoneCo Ltd0.12%$296.45K
BGC Group Inc0.12%$296.37K
Crinetics Pharmaceuticals Inc0.12%$293.83K
Independence Realty Trust Inc0.12%$292.86K
COPT Defense Properties0.11%$291.50K
Helmerich & Payne Inc0.11%$291.12K
Franklin Electric Co Inc0.11%$290.43K
LivaNova PLC0.11%$289.58K
Broadstone Net Lease Inc0.11%$289.73K
Kadant Inc0.11%$287.96K
Shake Shack Inc0.11%$287.53K
Tutor Perini Corp0.11%$287.30K
Oceaneering International Inc0.11%$287.02K
WSFS Financial Corp0.11%$286.26K
Maximus Inc0.11%$286.27K
Renasant Corp0.11%$284.78K
Cal-Maine Foods Inc0.11%$284.47K
Crescent Energy Co0.11%$284.51K
Graham Holdings Co0.11%$283.35K
Otter Tail Corp0.11%$282.79K
Commvault Systems Inc0.11%$282.90K
HB Fuller Co0.11%$282.00K
Spyre Therapeutics Inc0.11%$282.11K
Alignment Healthcare Inc0.11%$281.85K
Avient Corp0.11%$278.93K
Globalstar Inc0.11%$278.43K
Bread Financial Holdings Inc0.11%$278.44K
Scorpio Tankers Inc0.11%$277.66K
Chemours Co/The0.11%$277.36K
Gulfport Energy Corp0.11%$276.31K
TransMedics Group Inc0.11%$276.16K
First BanCorp/Puerto Rico0.11%$275.93K
Perimeter Solutions Inc0.11%$275.99K
BankUnited Inc0.11%$274.98K
Signet Jewelers Ltd0.11%$274.49K
Kulicke & Soffa Industries Inc0.11%$274.18K
Zeta Global Holdings Corp0.11%$274.14K
Constellium SE0.11%$273.89K
Century Aluminum Co0.11%$273.26K
WesBanco Inc0.11%$272.95K
Korn Ferry0.11%$272.01K
Avista Corp0.11%$270.22K
StepStone Group Inc0.11%$270.38K
Box Inc0.11%$269.76K
Cathay General Bancorp0.11%$269.29K
Victoria's Secret & Co0.11%$268.47K
Genworth Financial Inc0.11%$268.07K
M/I Homes Inc0.11%$267.06K
NCR Atleos Corp0.11%$266.80K
Exponent Inc0.11%$266.87K
Enova International Inc0.10%$266.09K
KB Home0.10%$265.48K
Advance Auto Parts Inc0.10%$264.65K
Garrett Motion Inc0.10%$264.28K
Herc Holdings Inc0.10%$264.21K
Cactus Inc0.10%$263.71K
Palomar Holdings Inc0.10%$263.38K
Brookdale Senior Living Inc0.10%$262.40K
Sphere Entertainment Co0.10%$260.86K
ICU Medical Inc0.10%$260.88K
PJT Partners Inc0.10%$260.72K
Qualys Inc0.10%$260.74K
Community Financial System Inc0.10%$259.58K
Archer Aviation Inc0.10%$257.57K
Standex International Corp0.10%$256.13K
Diodes Inc0.10%$254.41K
Integer Holdings Corp0.10%$253.53K
MARA Holdings Inc0.10%$253.52K
Par Pacific Holdings Inc0.10%$253.32K
Erasca Inc0.10%$251.18K
Hawkins Inc0.10%$250.68K
OPENLANE Inc0.10%$249.20K
GPGI Inc0.10%$249.08K
Cinemark Holdings Inc0.10%$247.81K
Blackstone Mortgage Trust Inc0.10%$247.28K
Dianthus Therapeutics Inc0.10%$246.22K
Sunrun Inc0.10%$246.30K
Plug Power Inc0.10%$245.01K
International Seaways Inc0.10%$244.95K
American States Water Co0.10%$244.56K
Workiva Inc0.10%$243.41K
Materion Corp0.10%$243.01K
Polaris Inc0.10%$242.91K
Victory Capital Holdings Inc0.10%$242.28K
Calix Inc0.10%$241.47K
Chesapeake Utilities Corp0.10%$241.49K
Seacoast Banking Corp of Florida0.10%$240.99K
Dorman Products Inc0.09%$240.76K
Catalyst Pharmaceuticals Inc0.09%$239.48K
Q2 Holdings Inc0.09%$239.05K
MGE Energy Inc0.09%$238.44K
Centrus Energy Corp0.09%$237.64K
Bank of Hawaii Corp0.09%$237.45K
First Financial Bancorp0.09%$237.43K
Towne Bank/Portsmouth VA0.09%$237.07K
Cushman & Wakefield Ltd0.09%$237.24K
Northern Oil & Gas Inc0.09%$236.88K
LCI Industries0.09%$236.37K
NMI Holdings Inc0.09%$236.16K
First Interstate BancSystem Inc0.09%$235.84K
Twist Bioscience Corp0.09%$234.75K
Axcelis Technologies Inc0.09%$234.65K
Griffon Corp0.09%$233.08K
Prestige Consumer Healthcare Inc0.09%$232.99K
Supernus Pharmaceuticals Inc0.09%$232.97K
Nicolet Bankshares Inc0.09%$232.44K
Marzetti Company/The0.09%$232.39K
Seadrill Ltd0.09%$232.10K
Ultra Clean Holdings Inc0.09%$232.06K
ACADIA Pharmaceuticals Inc0.09%$231.46K
Power Integrations Inc0.09%$231.37K
Boise Cascade Co0.09%$230.66K
Simmons First National Corp0.09%$230.42K
Kennametal Inc0.09%$229.97K
Impinj Inc0.09%$229.53K
Tarsus Pharmaceuticals Inc0.09%$229.53K
USA Rare Earth Inc0.09%$228.33K
Provident Financial Services Inc0.09%$227.81K
McGrath RentCorp0.09%$226.29K
United Natural Foods Inc0.09%$225.75K
LXP Industrial Trust0.09%$225.47K
WD-40 Co0.09%$225.35K
Delek US Holdings Inc0.09%$224.90K
Synaptics Inc0.09%$224.62K
Ideaya Biosciences Inc0.09%$223.58K
Denali Therapeutics Inc0.09%$223.76K
nLight Inc0.09%$222.15K
SL Green Realty Corp0.09%$221.90K
DigitalBridge Group Inc0.09%$220.83K
Haemonetics Corp0.09%$220.59K
Waystar Holding Corp0.09%$220.41K
Phinia Inc0.09%$220.38K
Trinity Industries Inc0.09%$220.21K
California Water Service Group0.09%$220.17K
Cargurus Inc0.09%$220.20K
Remitly Global Inc0.09%$218.69K
Adeia Inc0.09%$218.34K
Red Rock Resorts Inc0.09%$217.87K
Ingevity Corp0.09%$217.11K
American Eagle Outfitters Inc0.09%$216.33K
Apple Hospitality REIT Inc0.09%$215.48K
Acushnet Holdings Corp0.09%$215.66K
Solaris Energy Infrastructure Inc0.08%$214.17K
Urban Edge Properties0.08%$212.47K
Cheesecake Factory Inc/The0.08%$211.66K
Acadia Realty Trust0.08%$210.93K
Veracyte Inc0.08%$210.94K
Arcutis Biotherapeutics Inc0.08%$210.81K
Centuri Holdings Inc0.08%$210.72K
SoundHound AI Inc0.08%$210.31K
Curbline Properties Corp0.08%$209.85K
Visteon Corp0.08%$209.19K
Beacon Financial Corp0.08%$208.98K
Dynex Capital Inc0.08%$208.68K
Four Corners Property Trust Inc0.08%$207.67K
PennyMac Financial Services Inc0.08%$207.57K
Calumet Inc0.08%$206.89K
Novagold Resources Inc0.08%$206.66K
Varonis Systems Inc0.08%$206.22K
CVB Financial Corp0.08%$204.55K
Vera Therapeutics Inc0.08%$203.60K
Concentra Group Holdings Parent Inc0.08%$203.50K
Steven Madden Ltd0.08%$203.52K
Park National Corp0.08%$202.68K
Liquidia Corp0.08%$202.48K
Alpha Metallurgical Resources Inc0.08%$200.75K
Marex Group PLC0.08%$200.52K
First Merchants Corp0.08%$199.92K
St Joe Co/The0.08%$199.89K
Travere Therapeutics Inc0.08%$198.97K
Hawaiian Electric Industries Inc0.08%$198.80K
InvenTrust Properties Corp0.08%$198.66K
Mercury General Corp0.08%$198.25K
Dyne Therapeutics Inc0.08%$197.74K
Privia Health Group Inc0.08%$197.70K
Hilton Grand Vacations Inc0.08%$197.24K
Photronics Inc0.08%$196.47K
Andersons Inc/The0.08%$196.39K
WaFd Inc0.08%$195.78K
Madison Square Garden Entertainment Corp0.08%$195.23K
DHT Holdings Inc0.08%$194.61K
Perpetua Resources Corp0.08%$194.08K
RXO Inc0.08%$193.01K
HNI Corp0.08%$192.49K
Perdoceo Education Corp0.08%$191.33K
Verra Mobility Corp0.08%$190.79K
ABM Industries Inc0.08%$190.60K
Artisan Partners Asset Management Inc0.08%$190.39K
Beam Therapeutics Inc0.08%$190.35K
10X Genomics Inc0.07%$190.24K
GEO Group Inc/The0.07%$190.10K
First Bancorp/Southern Pines NC0.07%$190.12K
LeMaitre Vascular Inc0.07%$190.28K
Trustmark Corp0.07%$190.18K
Tango Therapeutics Inc0.07%$190.14K
FB Financial Corp0.07%$189.84K
BancFirst Corp0.07%$189.33K
Banc of California Inc0.07%$188.63K
ArcBest Corp0.07%$187.57K
Minerals Technologies Inc0.07%$187.23K
Oscar Health Inc0.07%$186.09K
NetScout Systems Inc0.07%$185.81K
CSG Systems International Inc0.07%$185.70K
Vita Coco Co Inc/The0.07%$185.41K
SiriusPoint Ltd0.07%$184.53K
Bancorp Inc/The0.07%$184.72K
ImmunityBio Inc0.07%$183.75K
BioCryst Pharmaceuticals Inc0.07%$183.82K
Knowles Corp0.07%$183.38K
Bank of NT Butterfield & Son Ltd/The0.07%$183.00K
DNOW Inc0.07%$183.03K
Immunome Inc0.07%$182.72K
Vishay Intertechnology Inc0.07%$182.25K
NBT Bancorp Inc0.07%$182.24K
OneSpaWorld Holdings Ltd0.07%$181.92K
Huron Consulting Group Inc0.07%$181.67K
Chefs' Warehouse Inc/The0.07%$181.20K
First Busey Corp0.07%$180.83K
Upstart Holdings Inc0.07%$180.50K
Newmark Group Inc0.07%$180.21K
Customers Bancorp Inc0.07%$180.40K
Northwest Natural Holding Co0.07%$180.04K
Kinetik Holdings Inc0.07%$179.26K
Helios Technologies Inc0.07%$179.38K
Edgewise Therapeutics Inc0.07%$177.60K
SPS Commerce Inc0.07%$177.25K
Cleanspark Inc0.07%$176.09K
Ambarella Inc0.07%$175.22K
Hub Group Inc0.07%$174.90K
Celldex Therapeutics Inc0.07%$173.57K
Adaptive Biotechnologies Corp0.07%$173.29K
Warby Parker Inc0.07%$172.98K
Legence Corp0.07%$172.77K
Banner Corp0.07%$172.82K
Alarm.com Holdings Inc0.07%$171.90K
Baldwin Insurance Group Inc/The0.07%$171.88K
Bel Fuse Inc0.07%$172.04K
Capri Holdings Ltd0.07%$171.37K
Neogen Corp0.07%$169.76K
Intuitive Machines Inc0.07%$169.69K
ADMA Biologics Inc0.07%$169.57K
National HealthCare Corp0.07%$169.44K
National Vision Holdings Inc0.07%$168.69K
Astronics Corp0.07%$168.76K
Green Brick Partners Inc0.07%$168.34K
Sable Offshore Corp0.07%$168.34K
Benchmark Electronics Inc0.07%$167.45K
Rogers Corp0.07%$166.79K
Syndax Pharmaceuticals Inc0.07%$166.30K
Extreme Networks Inc0.07%$166.35K
ACM Research Inc0.07%$166.18K
Enterprise Financial Services Corp0.07%$165.90K
ePlus Inc0.07%$165.93K
Atkore Inc0.07%$165.71K
Immunovant Inc0.07%$165.71K
Enerpac Tool Group Corp0.07%$165.28K
Atlanta Braves Holdings Inc0.07%$164.74K
Pathward Financial Inc0.06%$164.63K
Tenable Holdings Inc0.06%$164.30K
Lionsgate Studios Corp0.06%$164.20K
Braze Inc0.06%$163.59K
Kaiser Aluminum Corp0.06%$161.97K
Insight Enterprises Inc0.06%$161.96K
Veeco Instruments Inc0.06%$161.88K
Strategic Education Inc0.06%$161.85K
DiamondRock Hospitality Co0.06%$161.49K
Rush Street Interactive Inc0.06%$161.30K

C000030371 overview: performance, fees, allocation and SEC filings