C000055677 Holdings — Columbia Variable Portfolio - Large Cap Growth Fund

All 55 reported holdings of Columbia Variable Portfolio - Large Cap Growth Fund (C000055677) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp13.30%$372.02M
Apple Inc7.63%$213.44M
Alphabet Inc5.60%$156.70M
Broadcom Inc5.24%$146.55M
Microsoft Corp4.78%$133.65M
Eli Lilly & Co3.98%$111.37M
Meta Platforms Inc3.60%$100.71M
Advanced Micro Devices Inc2.98%$83.28M
Palo Alto Networks Inc2.70%$75.40M
Visa Inc2.69%$75.25M
Amazon.com Inc2.53%$70.84M
Crowdstrike Holdings Inc2.45%$68.47M
Micron Technology Inc2.43%$67.83M
Costco Wholesale Corp2.00%$55.88M
Arista Networks Inc1.66%$46.47M
Western Digital Corp1.63%$45.49M
TJX Cos Inc/The1.59%$44.60M
Vertiv Holdings Co1.57%$43.80M
Equinix Inc1.49%$41.72M
MasTec Inc1.32%$36.99M
Bank of America Corp1.28%$35.87M
Bloom Energy Corp1.21%$33.82M
Hilton Worldwide Holdings Inc1.18%$33.08M
Royal Caribbean Cruises Ltd1.08%$30.32M
Expedia Group Inc1.07%$30.02M
Tesla Inc1.07%$29.86M
Citigroup Inc1.07%$29.83M
Applied Materials Inc1.06%$29.72M
Uber Technologies Inc1.06%$29.62M
Generac Holdings Inc1.02%$28.64M
Vertex Pharmaceuticals Inc1.01%$28.23M
Insmed Inc0.95%$26.56M
TKO Group Holdings Inc0.91%$25.48M
ServiceNow Inc0.91%$25.32M
Illumina Inc0.88%$24.65M
Snowflake Inc0.87%$24.37M
Guardant Health Inc0.84%$23.42M
Amphenol Corp0.77%$21.66M
Eaton Corp PLC0.77%$21.52M
Intuitive Surgical Inc0.77%$21.42M
DraftKings Inc0.76%$21.31M
Goldman Sachs Group Inc/The0.74%$20.68M
General Dynamics Corp0.74%$20.64M
Colgate-Palmolive Co0.74%$20.57M
United Rentals Inc0.72%$20.27M
Revolution Medicines Inc0.72%$20.09M
Karman Holdings Inc0.67%$18.62M
Symbotic Inc0.66%$18.42M
Cintas Corp0.65%$18.17M
Alphabet Inc0.52%$14.65M
Argenx SE0.52%$14.51M
Columbia Short Term Cash Fund0.49%$13.60M
Palantir Technologies Inc0.45%$12.70M
Arxis Inc0.36%$10.00M
Space Exploration Technologies Corp0.32%$9.07M

C000055677 overview: performance, fees, allocation and SEC filings