C000043858 Holdings — LVIP MFS Value Fund

All 72 reported holdings of LVIP MFS Value Fund (C000043858) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Amazon.com Inc5.38%$122.32M
JPMorgan Chase & Co4.06%$92.35M
Microsoft Corp3.53%$80.28M
KLA Corp3.27%$74.30M
Apple Inc3.14%$71.51M
Johnson & Johnson2.66%$60.54M
Cigna Group/The2.55%$57.92M
Morgan Stanley2.23%$50.78M
Analog Devices Inc2.23%$50.77M
RTX Corp2.21%$50.32M
McKesson Corp2.11%$47.98M
Progressive Corp/The2.02%$46.03M
Exxon Mobil Corp2.00%$45.48M
Travelers Cos Inc/The1.88%$42.75M
Boeing Co/The1.86%$42.36M
Citigroup Inc1.78%$40.39M
Duke Energy Corp1.71%$38.91M
American Express Co1.71%$38.86M
Union Pacific Corp1.70%$38.59M
Chubb Ltd1.69%$38.43M
Marriott International Inc/MD1.66%$37.69M
ConocoPhillips1.59%$36.14M
Nasdaq Inc1.59%$36.10M
NXP Semiconductors NV1.52%$34.64M
General Dynamics Corp1.52%$34.61M
Prologis Inc1.49%$33.98M
Texas Instruments Inc1.49%$33.93M
Lowe's Cos Inc1.47%$33.39M
Marsh & McLennan Cos Inc1.43%$32.55M
Aon PLC1.42%$32.40M
Dominion Energy Inc1.42%$32.37M
PNC Financial Services Group Inc/The1.37%$31.15M
Southern Co/The1.33%$30.32M
AbbVie Inc1.29%$29.37M
Eaton Corp PLC1.28%$29.10M
Wells Fargo & Co1.24%$28.26M
Xcel Energy Inc1.23%$27.98M
Chevron Corp1.23%$27.91M
Blackrock Inc1.20%$27.28M
PACCAR Inc1.16%$26.37M
Abbott Laboratories1.06%$24.20M
PG&E Corp1.06%$24.14M
KKR & Co Inc1.06%$24.08M
Honeywell International Inc1.01%$22.92M
Honeywell Aerospace Inc0.99%$22.63M
Humana Inc0.99%$22.50M
Illinois Tool Works Inc0.97%$21.99M
Elevance Health Inc0.96%$21.73M
Caterpillar Inc0.95%$21.54M
Crh PLC0.94%$21.36M
PepsiCo Inc0.88%$20.01M
Kimberly-Clark Corp0.86%$19.59M
Alphabet Inc0.85%$19.30M
Philip Morris International Inc0.81%$18.52M
Freddie Mac Discount Nt0.81%$18.44M
Equifax Inc0.78%$17.74M
Northrop Grumman Corp0.76%$17.40M
NextEra Energy Inc0.69%$15.60M
EOG Resources Inc0.68%$15.50M
Coca-Cola Europacific Partners PLC0.66%$14.98M
Pfizer Inc0.64%$14.67M
WW Grainger Inc0.60%$13.76M
Seagate Technology Holdings PLC0.51%$11.54M
American Electric Power Co Inc0.49%$11.09M
Medline Inc0.47%$10.61M
Reckitt Benckiser Group PLC0.46%$10.54M
Salesforce Inc0.39%$8.77M
Ares Management Corp0.34%$7.64M
Trane Technologies PLC0.30%$6.81M
Kenvue Inc0.24%$5.48M
Accenture PLC0.12%$2.76M
State Street Institutional US Government Money Market Fund0.00%$11.81K

C000043858 overview: performance, fees, allocation and SEC filings