C000055696 Holdings — CTIVP - MFS Blended Research Core Equity Fund

All 116 reported holdings of CTIVP - MFS Blended Research Core Equity Fund (C000055696) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.49%$174.68M
Apple Inc7.18%$147.82M
Microsoft Corp4.86%$100.02M
Amazon.com Inc3.70%$76.11M
Broadcom Inc3.18%$65.38M
Alphabet Inc2.88%$59.23M
Alphabet Inc2.41%$49.68M
Meta Platforms Inc2.15%$44.14M
Lowe's Cos Inc1.97%$40.46M
McDonald's Corp1.66%$34.06M
American Express Co1.65%$34.04M
AbbVie Inc1.59%$32.62M
Wells Fargo & Co1.56%$32.02M
Mastercard Inc1.45%$29.81M
Visa Inc1.26%$26.02M
NextEra Energy Inc1.21%$24.90M
Deere & Co1.09%$22.47M
ConocoPhillips1.05%$21.55M
Walmart Inc1.00%$20.64M
Southern Co/The1.00%$20.53M
JPMorgan Chase & Co0.99%$20.45M
Progressive Corp/The0.95%$19.57M
Walt Disney Co/The0.94%$19.35M
Regeneron Pharmaceuticals Inc0.90%$18.42M
Bank of America Corp0.89%$18.30M
Mondelez International Inc0.89%$18.30M
Baker Hughes Co0.88%$18.15M
Arthur J Gallagher & Co0.88%$18.14M
Eli Lilly & Co0.88%$18.03M
Northrop Grumman Corp0.87%$17.82M
Eaton Corp PLC0.84%$17.36M
Morgan Stanley0.83%$17.12M
Intuit Inc0.83%$17.02M
NXP Semiconductors NV0.80%$16.44M
Procter & Gamble Co/The0.79%$16.29M
Trane Technologies PLC0.75%$15.52M
Stryker Corp0.74%$15.23M
Oracle Corp0.72%$14.79M
Gilead Sciences Inc0.72%$14.79M
Caterpillar Inc0.71%$14.62M
Keysight Technologies Inc0.71%$14.51M
T-Mobile US Inc0.66%$13.58M
Analog Devices Inc0.64%$13.19M
Tesla Inc0.64%$13.07M
UnitedHealth Group Inc0.63%$12.94M
Coca-Cola Co/The0.63%$12.93M
Netflix Inc0.63%$12.88M
Linde PLC0.62%$12.71M
Medtronic PLC0.60%$12.25M
Howmet Aerospace Inc0.59%$12.17M
TJX Cos Inc/The0.58%$11.97M
Goldman Sachs Group Inc/The0.57%$11.75M
Parker-Hannifin Corp0.57%$11.66M
Advanced Micro Devices Inc0.57%$11.66M
Chubb Ltd0.56%$11.43M
KLA Corp0.54%$11.21M
Packaging Corp of America0.54%$11.20M
Entergy Corp0.54%$11.05M
CSX Corp0.54%$11.02M
Cencora Inc0.53%$10.92M
Quest Diagnostics Inc0.52%$10.67M
Vulcan Materials Co0.51%$10.59M
SLB Ltd0.50%$10.37M
Blackstone Inc0.50%$10.35M
Booking Holdings Inc0.50%$10.22M
AutoZone Inc0.49%$10.12M
Valero Energy Corp0.47%$9.73M
Old Dominion Freight Line Inc0.47%$9.65M
Welltower Inc0.47%$9.60M
Amphenol Corp0.46%$9.56M
Edwards Lifesciences Corp0.46%$9.53M
Ulta Beauty Inc0.46%$9.48M
TechnipFMC PLC0.45%$9.35M
Pentair PLC0.43%$8.90M
United Rentals Inc0.43%$8.89M
Ball Corp0.43%$8.86M
Mettler-Toledo International Inc0.42%$8.70M
Steris PLC0.42%$8.65M
US Foods Holding Corp0.41%$8.38M
Prologis Inc0.41%$8.36M
Tradeweb Markets Inc0.40%$8.30M
ASML Holding NV0.40%$8.21M
Western Digital Corp0.40%$8.18M
PTC Inc0.39%$8.08M
Charles Schwab Corp/The0.39%$8.02M
Republic Services Inc0.38%$7.92M
Equity LifeStyle Properties Inc0.37%$7.70M
Vertex Pharmaceuticals Inc0.37%$7.68M
PulteGroup Inc0.37%$7.58M
EQT Corp0.37%$7.53M
Westinghouse Air Brake Technologies Corp0.36%$7.39M
Micron Technology Inc0.34%$6.95M
Dollar Tree Inc0.33%$6.83M
Canadian Natural Resources Ltd0.33%$6.79M
Booz Allen Hamilton Holding Corp0.32%$6.65M
Encompass Health Corp0.32%$6.62M
Public Storage0.31%$6.34M
Airbnb Inc0.31%$6.31M
Cisco Systems Inc0.30%$6.20M
TE Connectivity PLC0.30%$6.18M
General Electric Co0.29%$5.96M
Otis Worldwide Corp0.29%$5.95M
Columbia Short Term Cash Fund0.29%$5.90M
Martin Marietta Materials Inc0.28%$5.83M
Tractor Supply Co0.27%$5.56M
O'Reilly Automotive Inc0.27%$5.47M
Ingersoll Rand Inc0.27%$5.46M
Veeva Systems Inc0.25%$5.23M
Boston Scientific Corp0.23%$4.64M
US Bancorp0.22%$4.58M
ServiceNow Inc0.21%$4.40M
DoorDash Inc0.20%$4.16M
Marriott International Inc/MD0.19%$3.93M
Carrier Global Corp0.18%$3.76M
Chipotle Mexican Grill Inc0.17%$3.49M
Emerson Electric Co0.07%$1.39M

C000055696 overview: performance, fees, allocation and SEC filings