C000043855 Holdings — LVIP MFS International Growth Fund

All 83 reported holdings of LVIP MFS International Growth Fund (C000043855) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Schneider Electric SE4.69%$69.62M
Resonac Holdings Corp3.96%$58.80M
Nestle SA3.53%$52.39M
Novartis AG3.15%$46.80M
Taiwan Semiconductor Manufacturing Co Ltd3.13%$46.39M
AIA Group Ltd3.12%$46.28M
Sap SE3.04%$45.11M
DBS Group Holdings Ltd2.93%$43.49M
AstraZeneca PLC2.91%$43.22M
Linde PLC2.83%$41.94M
Rolls-Royce Holdings PLC2.73%$40.46M
Agnico Eagle Mines Ltd2.56%$38.01M
Heineken NV2.44%$36.17M
Air Liquide SA2.41%$35.70M
ASML Holding NV2.38%$35.29M
Franco-Nevada Corp2.35%$34.92M
RB Global Inc2.34%$34.78M
Assa Abloy AB2.14%$31.83M
Deutsche Boerse AG2.11%$31.27M
LVMH Moet Hennessy Louis Vuitton SE2.05%$30.49M
SUMCO Corp1.96%$29.06M
Amadeus IT Group SA1.85%$27.45M
GEA Group AG1.79%$26.60M
Hitachi Ltd1.68%$24.95M
Freddie Mac Discount Nt1.55%$23.02M
Element Fleet Management Corp1.49%$22.12M
Symrise AG1.42%$21.13M
Tencent Holdings Ltd1.23%$18.22M
Dassault Systemes SE1.16%$17.15M
Compass Group PLC1.15%$17.11M
Capgemini SE1.13%$16.72M
Tenaris SA1.03%$15.22M
Experian PLC0.98%$14.53M
Relx PLC0.97%$14.36M
Atlas Copco AB0.92%$13.68M
Haleon PLC0.91%$13.55M
Terumo Corp0.90%$13.35M
Diageo PLC0.89%$13.22M
Aristocrat Leisure Ltd0.88%$13.10M
Flutter Entertainment PLC0.85%$12.60M
Nomura Research Institute Ltd0.84%$12.40M
Glencore PLC0.82%$12.11M
James Hardie Industries PLC0.81%$12.08M
Daiichi Sankyo Co Ltd0.81%$12.05M
Delta Electronics Inc0.80%$11.93M
Merck KGaA0.78%$11.56M
London Stock Exchange Group PLC0.77%$11.39M
Obic Co Ltd0.63%$9.41M
Zalando SE0.59%$8.77M
Sonova Holding AG0.59%$8.77M
Nitori Holdings Co Ltd0.58%$8.61M
Pernod Ricard SA0.57%$8.53M
Sika AG0.57%$8.39M
Credicorp Ltd0.54%$7.97M
Akzo Nobel NV0.53%$7.86M
HDFC Bank Ltd0.51%$7.51M
Pan Pacific International Holdings Corp0.50%$7.46M
Roche Holding AG0.48%$7.19M
Northern Star Resources Ltd0.48%$7.09M
B3 SA - Brasil Bolsa Balcao0.46%$6.83M
Sugi Holdings Co Ltd0.42%$6.26M
LY Corp0.42%$6.22M
Kingspan Group PLC0.40%$5.86M
L'Oreal SA0.39%$5.82M
Grupo Financiero Banorte SAB de CV0.37%$5.47M
Oracle Corp Japan0.33%$4.91M
Sodexo SA0.33%$4.85M
Banco BTG Pactual SA0.30%$4.44M
WiseTech Global Ltd0.27%$4.02M
Reliance Industries Ltd0.24%$3.62M
Totvs SA0.22%$3.26M
Lottery Corp Ltd/The0.20%$2.94M
Alibaba Group Holding Ltd0.19%$2.88M
XP Inc0.19%$2.85M
MercadoLibre Inc0.18%$2.61M
Sands China Ltd0.16%$2.33M
ICICI Bank Ltd0.15%$2.26M
UPL Ltd0.14%$2.04M
NAVER Corp0.12%$1.73M
Amorepacific Corp0.08%$1.25M
China Resources Gas Group Ltd0.07%$1.07M
Kingsoft Corp Ltd0.07%$996.31K
State Street Institutional US Government Money Market Fund0.00%$54

C000043855 overview: performance, fees, allocation and SEC filings