C000055683 Holdings — Columbia Variable Portfolio - Mid Cap Growth Fund

All 71 reported holdings of Columbia Variable Portfolio - Mid Cap Growth Fund (C000055683) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Take-Two Interactive Software Inc4.18%$22.80M
Kioxia Holdings Corp3.23%$17.61M
Snowflake Inc3.21%$17.50M
Datadog Inc3.03%$16.55M
Howmet Aerospace Inc3.02%$16.47M
Lattice Semiconductor Corp2.74%$14.97M
SharkNinja Inc2.54%$13.87M
Bloom Energy Corp2.33%$12.70M
Axon Enterprise Inc2.09%$11.43M
Targa Resources Corp2.09%$11.41M
Vistra Corp2.04%$11.13M
Hut 8 Corp2.03%$11.06M
Icon PLC2.02%$11.01M
XPO Inc1.89%$10.33M
Argenx SE1.86%$10.13M
Monolithic Power Systems Inc1.84%$10.06M
Astera Labs Inc1.81%$9.90M
Rocket Lab Corp1.79%$9.75M
Phillips 661.78%$9.71M
RBC Bearings Inc1.77%$9.64M
Royal Caribbean Cruises Ltd1.76%$9.63M
Sandisk Corp1.74%$9.50M
Casey's General Stores Inc1.67%$9.11M
Guardant Health Inc1.58%$8.63M
CoreWeave Inc1.58%$8.61M
Viking Holdings Ltd1.54%$8.40M
Applied Digital Corp1.52%$8.28M
Cava Group Inc1.50%$8.18M
Knight-Swift Transportation Holdings Inc1.45%$7.89M
Robinhood Markets Inc1.44%$7.85M
Wynn Resorts Ltd1.43%$7.78M
Cloudflare Inc1.39%$7.61M
Vulcan Materials Co1.32%$7.23M
Affirm Holdings Inc1.32%$7.20M
Liberty Media Corp-Liberty Formula One1.32%$7.20M
Columbia Short Term Cash Fund1.29%$7.04M
Five Below Inc1.24%$6.74M
Natera Inc1.20%$6.54M
DraftKings Inc1.09%$5.94M
Spotify Technology SA1.09%$5.93M
Hilton Worldwide Holdings Inc1.07%$5.84M
DoorDash Inc1.06%$5.81M
Madrigal Pharmaceuticals Inc1.02%$5.59M
Axsome Therapeutics Inc1.02%$5.54M
ATI Inc1.00%$5.46M
Ferguson Enterprises Inc0.99%$5.38M
Insmed Inc0.97%$5.28M
Tapestry Inc0.97%$5.27M
Lumentum Holdings Inc0.96%$5.25M
Repligen Corp0.87%$4.76M
Ross Stores Inc0.87%$4.73M
MongoDB Inc0.86%$4.69M
L3Harris Technologies Inc0.85%$4.63M
DigitalOcean Holdings Inc0.84%$4.60M
Coupang Inc0.83%$4.53M
Madison Square Garden Sports Corp0.80%$4.35M
Carpenter Technology Corp0.79%$4.29M
Unity Software Inc0.77%$4.18M
Reddit Inc0.75%$4.07M
Somnigroup International Inc0.74%$4.02M
Vertiv Holdings Co0.72%$3.95M
Cerebras Systems Inc0.72%$3.91M
Builders FirstSource Inc0.69%$3.79M
Live Nation Entertainment Inc0.67%$3.67M
Fervo Energy Co0.63%$3.44M
Expedia Group Inc0.62%$3.36M
Twilio Inc0.58%$3.17M
Innio NV0.49%$2.69M
RPM International Inc0.48%$2.63M
Glaukos Corp0.41%$2.26M
Arxis Inc0.28%$1.53M

C000055683 overview: performance, fees, allocation and SEC filings