C000055689 Holdings — Columbia Variable Portfolio - Select Smaller-Cap Value Fund

All 58 reported holdings of Columbia Variable Portfolio - Select Smaller-Cap Value Fund (C000055689) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Viavi Solutions Inc3.75%$4.20M
MACOM Technology Solutions Holdings Inc3.40%$3.82M
Portland General Electric Co3.14%$3.52M
Popular Inc3.07%$3.44M
Primoris Services Corp3.02%$3.38M
Axos Financial Inc2.98%$3.34M
ATI Inc2.82%$3.16M
Outfront Media Inc2.81%$3.15M
Atmus Filtration Technologies Inc2.51%$2.82M
Stock Yards Bancorp Inc2.51%$2.81M
Kontoor Brands Inc2.47%$2.77M
Kratos Defense & Security Solutions Inc2.35%$2.63M
Atlantic Union Bankshares Corp2.31%$2.60M
Zurn Elkay Water Solutions Corp2.28%$2.56M
CNO Financial Group Inc2.27%$2.55M
LivaNova PLC2.22%$2.49M
PBF Energy Inc2.21%$2.48M
Columbia Banking System Inc2.20%$2.46M
Knight-Swift Transportation Holdings Inc2.18%$2.45M
Chemours Co/The2.17%$2.43M
Regal Rexnord Corp2.00%$2.25M
Sabra Health Care REIT Inc1.98%$2.22M
Texas Roadhouse Inc1.94%$2.17M
Patterson-UTI Energy Inc1.82%$2.05M
Tenet Healthcare Corp1.82%$2.04M
Extreme Networks Inc1.78%$2.00M
Primo Brands Corp1.77%$1.98M
Seacoast Banking Corp of Florida1.76%$1.98M
Murphy Oil Corp1.74%$1.95M
Ligand Pharmaceuticals Inc1.69%$1.90M
Kulicke & Soffa Industries Inc1.66%$1.86M
Hanover Insurance Group Inc/The1.65%$1.86M
KB Home1.55%$1.74M
Radian Group Inc1.55%$1.74M
Visteon Corp1.54%$1.73M
Columbia Short Term Cash Fund1.54%$1.72M
Minerals Technologies Inc1.41%$1.58M
Lazard Inc1.39%$1.56M
OceanFirst Financial Corp1.36%$1.52M
Skyward Specialty Insurance Group Inc1.32%$1.48M
SM Energy Co1.32%$1.48M
First Industrial Realty Trust Inc1.21%$1.36M
Syndax Pharmaceuticals Inc1.17%$1.31M
Cytokinetics Inc1.09%$1.23M
Gaming and Leisure Properties Inc1.05%$1.18M
O-I Glass Inc1.01%$1.14M
Crane NXT Co0.99%$1.11M
Nomad Foods Ltd0.97%$1.09M
Triumph Financial Inc0.90%$1.01M
Kemper Corp0.79%$880.40K
Integer Holdings Corp0.74%$833.98K
Utz Brands Inc0.73%$823.80K
HNI Corp0.71%$793.21K
CONMED Corp0.65%$726.90K
Six Flags Entertainment Corp0.56%$623.88K
Alight Inc0.16%$182.23K
Omniab, Inc.0.00%$0
Omniab, Inc.0.00%$0

C000055689 overview: performance, fees, allocation and SEC filings