C000059814 Holdings — NVIT Multi-Manager Mid Cap Growth Fund

All 72 reported holdings of NVIT Multi-Manager Mid Cap Growth Fund (C000059814) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Bank Of America N.a.3.53%$14.00M
Comfort Systems USA, Inc.3.37%$13.37M
Carpenter Technology Corp.2.47%$9.80M
RBC Bearings, Inc.2.28%$9.04M
Modine Manufacturing Co.2.27%$9.00M
Liberty Live Holdings, Inc.2.23%$8.84M
Curtiss-Wright Corp.2.20%$8.71M
Construction Partners, Inc.2.20%$8.71M
Bloom Energy Corp.2.16%$8.58M
Viavi Solutions, Inc.2.11%$8.37M
Insmed, Inc.2.09%$8.27M
Jones Lang LaSalle, Inc.2.02%$8.01M
Casella Waste Systems, Inc.2.02%$7.99M
IRhythm Holdings, Inc.1.98%$7.83M
TKO Group Holdings, Inc.1.86%$7.38M
Teva Pharmaceutical Industries Ltd.1.85%$7.32M
Guidewire Software, Inc.1.84%$7.29M
Guardant Health, Inc.1.83%$7.24M
Viking Holdings Ltd.1.73%$6.86M
Burlington Stores, Inc.1.70%$6.72M
Hyatt Hotels Corp.1.68%$6.67M
Fabrinet1.67%$6.63M
Cf Secured LLC1.67%$6.63M
Argan, Inc.1.65%$6.53M
RB Global, Inc.1.59%$6.30M
Miami International Holdings, Inc.1.57%$6.21M
Affirm Holdings, Inc.1.56%$6.18M
Talen Energy Corp.1.56%$6.17M
Novanta, Inc.1.55%$6.16M
Celestica, Inc.1.53%$6.06M
UL Solutions, Inc.1.51%$5.97M
Entegris, Inc.1.50%$5.96M
Mercury Systems, Inc.1.49%$5.89M
Dutch Bros, Inc.1.48%$5.88M
Glaukos Corp.1.48%$5.87M
Applied Industrial Technologies, Inc.1.47%$5.83M
Ascendis Pharma A/S1.46%$5.78M
Cava Group, Inc.1.36%$5.39M
Natera, Inc.1.36%$5.39M
RadNet, Inc.1.36%$5.39M
Teledyne Technologies, Inc.1.34%$5.30M
Twilio, Inc.1.32%$5.24M
ATI, Inc.1.24%$4.90M
Tenet Healthcare Corp.1.23%$4.88M
Monolithic Power Systems, Inc.1.22%$4.84M
Credo Technology Group Holding Ltd.1.19%$4.71M
MongoDB, Inc.1.14%$4.54M
Saia, Inc.1.14%$4.52M
SiteOne Landscape Supply, Inc.1.14%$4.50M
Encompass Health Corp.1.12%$4.43M
Elanco Animal Health, Inc.1.08%$4.29M
BrightSpring Health Services, Inc.1.06%$4.19M
MercadoLibre, Inc.1.04%$4.13M
Neurocrine Biosciences, Inc.1.04%$4.11M
Repligen Corp.1.01%$4.02M
XPO, Inc.1.01%$3.99M
Xometry, Inc.1.00%$3.95M
SharkNinja, Inc.1.00%$3.95M
Taylor Morrison Home Corp.0.89%$3.52M
Bridgebio Pharma, Inc.0.87%$3.43M
Chewy, Inc.0.79%$3.14M
Vericel Corp.0.77%$3.04M
DigitalOcean Holdings, Inc.0.77%$3.03M
Bio-Techne Corp.0.75%$2.96M
Twist Bioscience Corp.0.69%$2.75M
Kratos Defense & Security Solutions, Inc.0.69%$2.74M
York Space Systems, Inc.0.68%$2.71M
Alignment Healthcare, Inc.0.68%$2.70M
Impinj, Inc.0.66%$2.62M
Power Solutions International, Inc.0.64%$2.53M
Tyler Technologies, Inc.0.61%$2.40M
Xenon Pharmaceuticals, Inc.0.48%$1.91M

C000059814 overview: performance, fees, allocation and SEC filings