C000055694 Holdings — Columbia Variable Portfolio - Dividend Opportunity Fund
All 90 reported holdings of Columbia Variable Portfolio - Dividend Opportunity Fund (C000055694) by percentage of net assets, from the fund's latest SEC N-PORT filing.
| Holding | % of net assets | Value (USD) |
|---|---|---|
| Exxon Mobil Corp | 4.28% | $41.11M |
| JPMorgan Chase & Co | 3.12% | $30.03M |
| Johnson & Johnson | 3.08% | $29.58M |
| Cisco Systems Inc | 2.59% | $24.92M |
| Chevron Corp | 2.59% | $24.87M |
| Goldman Sachs Group Inc/The | 2.48% | $23.86M |
| Philip Morris International Inc | 2.18% | $20.95M |
| AbbVie Inc | 2.15% | $20.66M |
| Merck & Co Inc | 2.05% | $19.72M |
| International Business Machines Corp | 2.02% | $19.42M |
| AT&T Inc | 1.82% | $17.48M |
| Bank of America Corp | 1.75% | $16.78M |
| Citigroup Inc | 1.74% | $16.72M |
| PepsiCo Inc | 1.66% | $15.98M |
| Lockheed Martin Corp | 1.57% | $15.11M |
| Verizon Communications Inc | 1.53% | $14.71M |
| Valero Energy Corp | 1.51% | $14.53M |
| American Financial Group Inc/OH | 1.50% | $14.42M |
| Kinder Morgan Inc | 1.43% | $13.75M |
| CME Group Inc | 1.42% | $13.67M |
| Home Depot Inc/The | 1.34% | $12.89M |
| US Bancorp | 1.31% | $12.61M |
| Wells Fargo & Co | 1.27% | $12.20M |
| Simon Property Group Inc | 1.24% | $11.96M |
| United Parcel Service Inc | 1.24% | $11.95M |
| Medtronic PLC | 1.23% | $11.86M |
| Comcast Corp | 1.23% | $11.78M |
| CVS Health Corp | 1.19% | $11.48M |
| Corning Inc | 1.19% | $11.42M |
| Digital Realty Trust Inc | 1.19% | $11.41M |
| UGI Corp | 1.15% | $11.05M |
| Bunge Global SA | 1.14% | $11.00M |
| Gap Inc/The | 1.12% | $10.80M |
| Texas Instruments Inc | 1.12% | $10.77M |
| Nutrien Ltd | 1.10% | $10.56M |
| Pfizer Inc | 1.08% | $10.42M |
| Darden Restaurants Inc | 1.02% | $9.82M |
| Coca-Cola Co/The | 1.01% | $9.71M |
| Conagra Brands Inc | 1.01% | $9.70M |
| Altria Group Inc | 1.00% | $9.65M |
| Best Buy Co Inc | 1.00% | $9.64M |
| Stanley Black & Decker Inc | 0.99% | $9.49M |
| Starwood Property Trust Inc | 0.94% | $9.07M |
| Procter & Gamble Co/The | 0.94% | $9.04M |
| UDR Inc | 0.92% | $8.82M |
| 3M Co | 0.91% | $8.74M |
| Union Pacific Corp | 0.91% | $8.73M |
| PACCAR Inc | 0.90% | $8.67M |
| MetLife Inc | 0.90% | $8.63M |
| Columbia Short Term Cash Fund | 0.86% | $8.23M |
| Bristol-Myers Squibb Co | 0.84% | $8.05M |
| Starbucks Corp | 0.80% | $7.68M |
| Seagate Technology Holdings PLC | 0.79% | $7.60M |
| Invesco Ltd | 0.79% | $7.60M |
| Tyson Foods Inc | 0.78% | $7.51M |
| Truist Financial Corp | 0.77% | $7.45M |
| DTE Energy Co | 0.77% | $7.38M |
| Broadcom Inc | 0.77% | $7.37M |
| International Paper Co | 0.76% | $7.35M |
| UnitedHealth Group Inc | 0.75% | $7.25M |
| Albemarle Corp. | 0.75% | $7.21M |
| Genuine Parts Co | 0.75% | $7.19M |
| Xcel Energy Inc | 0.75% | $7.18M |
| Amgen Inc | 0.75% | $7.18M |
| RTX Corp | 0.74% | $7.16M |
| Welltower Op LLC | 0.74% | $7.12M |
| Southern Co. | 0.73% | $7.04M |
| Target Corp | 0.73% | $7.02M |
| Ford Motor Co | 0.72% | $6.95M |
| Hp Enterprise Co. | 0.72% | $6.91M |
| American Electric Power Co Inc | 0.66% | $6.33M |
| Southwest Airlines Co | 0.63% | $6.08M |
| Coterra Energy Inc | 0.63% | $6.02M |
| Skyworks Solutions Inc | 0.62% | $5.96M |
| Hewlett Packard Enterprise Co | 0.61% | $5.86M |
| Blackstone Inc | 0.59% | $5.68M |
| Eastman Chemical Co | 0.56% | $5.34M |
| Nextera Energy, Inc. | 0.56% | $5.34M |
| Ppl Corporation | 0.54% | $5.15M |
| Southern Co/The | 0.52% | $5.02M |
| Microchip Technology, Inc. | 0.52% | $4.96M |
| NextEra Energy Inc | 0.47% | $4.53M |
| Johnson Controls International plc | 0.44% | $4.27M |
| Microchip Technology Inc | 0.43% | $4.09M |
| Boeing Co/the | 0.40% | $3.89M |
| Whirlpool Corp. | 0.40% | $3.84M |
| Apollo Global Management | 0.39% | $3.76M |
| Watsco Inc | 0.36% | $3.46M |
| Welltower Inc | 0.35% | $3.38M |
| Versant Media Group Inc | 0.05% | $473.56K |
C000055694 overview: performance, fees, allocation and SEC filings