C000055695 Holdings — Columbia Variable Portfolio - Emerging Markets Fund

All 90 reported holdings of Columbia Variable Portfolio - Emerging Markets Fund (C000055695) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd14.49%$68.06M
Samsung Electronics Co Ltd6.91%$32.45M
SK hynix Inc4.76%$22.36M
Tencent Holdings Ltd4.44%$20.85M
Alibaba Group Holding Ltd3.51%$16.47M
NU Holdings Ltd/Cayman Islands2.64%$12.39M
Columbia Short Term Cash Fund2.40%$11.30M
Unimicron Technology Corp2.09%$9.83M
Capitec Bank Holdings Ltd2.02%$9.47M
Accton Technology Corp1.86%$8.72M
Anglogold Ashanti Plc1.79%$8.42M
Contemporary Amperex Technology Co Ltd1.73%$8.12M
Piraeus Bank SA1.66%$7.79M
MercadoLibre Inc1.66%$7.78M
Embraer SA1.50%$7.04M
Eurobank SA1.48%$6.97M
Bharti Airtel Ltd1.46%$6.85M
Ping An Insurance Group Co of China Ltd1.41%$6.63M
China Hongqiao Group Ltd1.27%$5.98M
Zijin Mining Group Co Ltd1.26%$5.94M
KB Financial Group Inc1.24%$5.83M
FirstRand Ltd1.16%$5.47M
Hanwha Aerospace Co Ltd1.15%$5.38M
Jentech Precision Industrial Co Ltd1.12%$5.28M
Delta Electronics Inc1.07%$5.05M
HD Hyundai Electric Co Ltd1.06%$5.00M
Sieyuan Electric Co Ltd1.04%$4.87M
China Resources Land Ltd1.04%$4.87M
MediaTek Inc1.00%$4.70M
Powszechna Kasa Oszczednosci Bank Polski SA0.99%$4.64M
Emaar Properties PJSC0.96%$4.51M
BBB Foods Inc0.90%$4.21M
ASPEED Technology Inc0.88%$4.14M
Doosan Co Ltd0.84%$3.93M
Coupang Inc0.83%$3.88M
Public Power Corp SA0.81%$3.82M
Elite Material Co Ltd0.78%$3.67M
BIM Birlesik Magazalar AS0.77%$3.64M
Vista Energy SAB de CV0.77%$3.61M
Atour Lifestyle Holdings Ltd0.75%$3.53M
WuXi XDC Cayman Inc0.75%$3.52M
Lite-On Technology Corp0.73%$3.42M
Aldar Properties PJSC0.72%$3.40M
Gold Circuit Electronics Ltd0.65%$3.05M
Futu Holdings Ltd0.64%$3.02M
Bharat Electronics Ltd0.64%$3.01M
Chroma ATE Inc0.62%$2.93M
Eastroc Beverage Group Co Ltd0.61%$2.85M
Phoenix Mills Ltd/The0.60%$2.82M
eMemory Technology Inc0.60%$2.81M
China Construction Bank Corp0.59%$2.77M
Eternal Ltd0.58%$2.74M
HD Hyundai Co Ltd0.56%$2.61M
Amer Sports Inc0.54%$2.53M
Samsung Electro-Mechanics Co. Ltd.0.52%$2.46M
CMOC Group Ltd0.50%$2.33M
National Bank of Greece SA0.50%$2.33M
Hansoh Pharmaceutical Group Co Ltd0.49%$2.28M
HD Hyundai Marine Solution Co Ltd0.48%$2.28M
360 ONE WAM Ltd0.47%$2.23M
Samsung Biologics Co Ltd0.47%$2.20M
Zijin Gold International Co Ltd0.46%$2.18M
Banco BTG Pactual SA0.45%$2.13M
ADNOC Drilling Co PJSC0.44%$2.08M
Valterra Platinum Ltd0.44%$2.07M
Dongfang Electric Corp Ltd0.38%$1.77M
NTPC Ltd0.35%$1.66M
Weichai Power Co Ltd0.34%$1.60M
Bajaj Finance Ltd0.33%$1.57M
Doosan Enerbility Co Ltd0.33%$1.56M
Eicher Motors Ltd0.33%$1.55M
Hong Kong Exchanges & Clearing Ltd0.32%$1.52M
Fuyao Glass Industry Group Co Ltd0.32%$1.52M
HD Hyundai Heavy Industries Co Ltd0.32%$1.50M
Petroleo Brasileiro SA - Petrobras0.31%$1.47M
Polycab India Ltd0.31%$1.45M
Bilibili Inc0.30%$1.43M
Sea Ltd0.30%$1.39M
Astor Transformator Enerji Turizm Insaat Ve Petrol Sanayi Ticaret AS0.29%$1.38M
Cholamandalam Investment and Finance Co Ltd0.29%$1.37M
Wuxi Biologics Cayman Inc0.29%$1.37M
HDFC Bank Ltd0.27%$1.25M
Vietnam Technological & Commercial Joint Stock Bank0.26%$1.24M
CITIC Securities Co Ltd0.25%$1.18M
Montage Technology Co Ltd0.24%$1.15M
Jumbo SA0.22%$1.04M
Larsen & Toubro Ltd0.20%$952.31K
New Horizon Health Ltd.0.00%$0
Untrade.c Animal Health0.00%$1
Detsky Mir PJSC0.00%$0

C000055695 overview: performance, fees, allocation and SEC filings