C000030379 Holdings — Pioneer Select Mid Cap Growth Vct Portfolio

All 81 reported holdings of Pioneer Select Mid Cap Growth Vct Portfolio (C000030379) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
AppLovin Corp3.14%$2.99M
Natera Inc3.10%$2.95M
Vertiv Holdings Co2.84%$2.71M
Datadog Inc2.79%$2.66M
Trade Desk Inc/The2.34%$2.23M
Axon Enterprise Inc2.27%$2.16M
Palantir Technologies Inc2.26%$2.15M
MSCI Inc2.26%$2.15M
Cloudflare Inc2.21%$2.10M
Verisk Analytics Inc2.06%$1.96M
Robinhood Markets Inc2.06%$1.96M
WW Grainger Inc2.04%$1.95M
HubSpot Inc2.02%$1.93M
Siemens Energy AG1.77%$1.69M
ResMed Inc1.77%$1.68M
Chipotle Mexican Grill Inc1.64%$1.56M
Spotify Technology SA1.60%$1.52M
Western Digital Corp1.59%$1.51M
Vaxcyte Inc1.55%$1.47M
Tradeweb Markets Inc1.53%$1.46M
Advanced Micro Devices Inc1.53%$1.46M
ASM International NV1.50%$1.43M
McKesson Corp1.35%$1.29M
Crh PLC1.35%$1.29M
Williams Cos Inc/The1.34%$1.28M
Veeva Systems Inc1.34%$1.28M
Affirm Holdings Inc1.33%$1.26M
Viking Holdings Ltd1.31%$1.25M
Ross Stores Inc1.31%$1.25M
MongoDB Inc1.24%$1.18M
Comstock Resources Inc1.24%$1.18M
Amphenol Corp1.22%$1.16M
Insulet Corp1.21%$1.16M
Credo Technology Group Holding1.21%$1.15M
TopBuild Corp1.19%$1.13M
TFI International Inc1.19%$1.13M
Iron Mountain Inc1.17%$1.12M
CyberArk Software Ltd1.16%$1.11M
Marex Group PLC1.16%$1.10M
Antero Resources Corp1.16%$1.10M
BE Semiconductor Industries NV1.15%$1.10M
Flex Ltd1.15%$1.09M
Ulta Beauty Inc1.13%$1.08M
Builders FirstSource Inc1.10%$1.05M
DraftKings Inc1.07%$1.02M
Procore Technologies Inc1.07%$1.02M
Pinterest Inc1.05%$996.93K
Thomson Reuters Corp1.02%$970.78K
AutoZone Inc1.01%$963.80K
Samsara Inc1.01%$962.53K
Motorola Solutions Inc1.00%$952.66K
NRG Energy Inc0.99%$942.44K
Tractor Supply Co0.99%$940.22K
Skechers USA Inc0.97%$926.84K
Trex Co Inc0.93%$889.38K
Penumbra Inc0.92%$879.39K
Arista Networks Inc0.89%$850.53K
Super Micro Computer Inc0.86%$823.05K
Booz Allen Hamilton Holding Co0.85%$814.41K
Monday.com Ltd0.84%$803.32K
State Street Corp0.83%$789.22K
Agilent Technologies Inc0.81%$767.89K
Synopsys Inc0.77%$729.50K
Repligen Corp0.76%$719.41K
Onto Innovation Inc0.72%$687.18K
Inspire Medical Systems Inc0.71%$680.34K
Alnylam Pharmaceuticals Inc0.71%$676.28K
ArcBest Corp0.68%$644.75K
Simpson Manufacturing Co Inc0.62%$591.52K
Evercore Inc0.60%$573.23K
Genius Sports Ltd0.60%$572.21K
Oscar Health Inc0.58%$553.49K
Sherwin-Williams Co/The0.58%$551.71K
Sweetgreen Inc0.57%$539.86K
On Holding AG0.53%$509.03K
Edgewise Therapeutics Inc0.53%$507.75K
KinderCare Learning Cos Inc0.45%$429.78K
Cirrus Logic Inc0.31%$296.05K
Ranpak Holdings Corp0.30%$290.59K
Dreyfus Government Cash Management0.15%$142.32K
Molina Healthcare Inc0.02%$20.96K

C000030379 overview: performance, fees, allocation and SEC filings