C000055683 Holdings — Columbia Variable Portfolio - Mid Cap Growth Fund

All 70 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)
Vertiv Holdings Co4.92%$21.98M
Howmet Aerospace Inc3.34%$14.93M
Cloudflare Inc3.10%$13.87M
Take-Two Interactive Software Inc2.95%$13.17M
Cardinal Health Inc2.57%$11.48M
Casey's General Stores Inc2.50%$11.18M
Comfort Systems USA Inc2.43%$10.88M
Tapestry Inc2.19%$9.79M
Targa Resources Corp2.19%$9.78M
Carpenter Technology Corp2.07%$9.27M
RBC Bearings Inc2.02%$9.03M
Vistra Corp2.01%$8.97M
Lumentum Holdings Inc1.99%$8.90M
SharkNinja Inc1.97%$8.82M
Hut 8 Corp1.97%$8.81M
Royal Caribbean Cruises Ltd1.89%$8.46M
Monolithic Power Systems Inc1.88%$8.41M
Columbia Short Term Cash Fund1.84%$8.21M
Datadog Inc1.83%$8.20M
Kioxia Holdings Corp1.82%$8.15M
L3Harris Technologies Inc1.80%$8.05M
Cava Group Inc1.74%$7.77M
Argenx SE1.64%$7.35M
Gap Inc/The1.61%$7.18M
Viking Holdings Ltd1.56%$6.98M
Ross Stores Inc1.56%$6.96M
Roku Inc1.53%$6.86M
Dexcom Inc1.52%$6.81M
XPO Inc1.49%$6.64M
IDEXX Laboratories Inc1.45%$6.49M
Hilton Worldwide Holdings Inc1.39%$6.23M
Phillips 661.34%$5.99M
Spotify Technology SA1.31%$5.88M
DoorDash Inc1.31%$5.87M
SiteOne Landscape Supply Inc1.25%$5.57M
Wynn Resorts Ltd1.21%$5.41M
Axon Enterprise Inc1.20%$5.36M
Insmed Inc1.20%$5.35M
TKO Group Holdings Inc1.16%$5.17M
Celsius Holdings Inc1.12%$5.02M
Sandisk Corp/DE1.09%$4.88M
FTAI Aviation Ltd1.06%$4.72M
Quanta Services Inc1.02%$4.57M
Karman Holdings Inc1.01%$4.51M
Rocket Lab Corp1.01%$4.50M
Microchip Technology Inc1.00%$4.47M
Woodward Inc0.98%$4.37M
BWX Technologies Inc0.95%$4.26M
LPL Financial Holdings Inc0.92%$4.12M
TechnipFMC PLC0.92%$4.10M
Bloom Energy Corp0.91%$4.06M
AeroVironment Inc0.90%$4.02M
Natera Inc0.89%$3.97M
Guardant Health Inc0.89%$3.96M
ROBLOX Corp0.87%$3.91M
Ascendis Pharma A/S0.85%$3.80M
Ferguson Enterprises Inc0.81%$3.61M
RPM International Inc0.81%$3.60M
MongoDB Inc0.77%$3.46M
Live Nation Entertainment Inc0.76%$3.39M
Veeva Systems Inc0.75%$3.35M
DigitalOcean Holdings Inc0.72%$3.20M
Reddit Inc0.69%$3.08M
Expedia Group Inc0.65%$2.90M
Guidewire Software Inc0.52%$2.32M
ATI Inc0.51%$2.29M
DraftKings Inc0.51%$2.28M
Rocket Cos Inc0.51%$2.27M
Ingersoll Rand Inc0.49%$2.20M
Kratos Defense & Security Solutions Inc0.38%$1.70M

C000055683 overview: performance, fees, allocation and SEC filings