C000059818 Holdings — NVIT Multi-Manager Mid Cap Value Fund

All 83 reported holdings of NVIT Multi-Manager Mid Cap Value Fund (C000059818) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Cf Secured LLC3.26%$15.50M
Labcorp Holdings, Inc.2.60%$12.34M
US Foods Holding Corp.2.34%$11.12M
Molina Healthcare, Inc.2.11%$10.02M
Bank Of America N.a.2.10%$10.00M
Alliant Energy Corp.2.09%$9.93M
Packaging Corp. of America1.99%$9.44M
Microchip Technology, Inc.1.98%$9.43M
RPM International, Inc.1.91%$9.09M
Keysight Technologies, Inc.1.88%$8.93M
Truist Financial Corp.1.87%$8.87M
Hubbell, Inc.1.85%$8.82M
Lowe's Cos., Inc.1.83%$8.69M
Carrier Global Corp.1.79%$8.49M
CMS Energy Corp.1.77%$8.42M
Revvity, Inc.1.71%$8.13M
Lamar Advertising Co.1.70%$8.09M
Lincoln Electric Holdings, Inc.1.69%$8.04M
Camden Property Trust1.65%$7.84M
CSX Corp.1.65%$7.82M
American Water Works Co., Inc.1.64%$7.78M
Hartford Insurance Group, Inc. (The)1.58%$7.50M
Texas Roadhouse, Inc.1.54%$7.31M
IDEX Corp.1.53%$7.26M
Toro Co. (The)1.52%$7.24M
Raymond James Financial, Inc.1.52%$7.23M
Aramark1.51%$7.17M
Knight-Swift Transportation Holdings, Inc.1.48%$7.05M
Hilton Worldwide Holdings, Inc.1.48%$7.03M
AptarGroup, Inc.1.48%$7.03M
DuPont de Nemours, Inc.1.47%$6.97M
Equity LifeStyle Properties, Inc.1.43%$6.80M
Quest Diagnostics, Inc.1.43%$6.80M
BorgWarner, Inc.1.43%$6.79M
Regal Rexnord Corp.1.43%$6.79M
Crane Co.1.39%$6.59M
Penske Automotive Group, Inc.1.37%$6.50M
Archer-Daniels-Midland Co.1.35%$6.43M
StandardAero, Inc.1.35%$6.42M
Halliburton Co.1.33%$6.32M
Williams-Sonoma, Inc.1.31%$6.23M
AutoZone, Inc.1.29%$6.15M
NNN REIT, Inc.1.26%$6.00M
F5, Inc.1.25%$5.94M
Devon Energy Corp.1.23%$5.85M
Steel Dynamics, Inc.1.22%$5.82M
Expand Energy Corp.1.17%$5.56M
Xylem, Inc.1.15%$5.48M
L3Harris Technologies, Inc.1.14%$5.40M
Okta, Inc.1.14%$5.40M
Amrize Ltd.1.11%$5.28M
Republic Services, Inc.1.09%$5.17M
CACI International, Inc.1.09%$5.16M
Old Republic International Corp.1.06%$5.04M
Akamai Technologies, Inc.1.06%$5.02M
Pershing LLC1.05%$5.00M
SLB Ltd.1.05%$5.00M
CH Robinson Worldwide, Inc.1.04%$4.93M
American Financial Group, Inc.1.03%$4.89M
FTI Consulting, Inc.1.00%$4.77M
MKS, Inc.0.98%$4.67M
Baker Hughes Co.0.97%$4.61M
CF Industries Holdings, Inc.0.93%$4.41M
Zebra Technologies Corp.0.91%$4.32M
Centene Corp.0.91%$4.31M
Chord Energy Corp.0.83%$3.96M
CDW Corp.0.80%$3.83M
Trimble, Inc.0.76%$3.60M
AGCO Corp.0.75%$3.58M
IPG Photonics Corp.0.73%$3.47M
Coca-Cola Consolidated, Inc.0.71%$3.36M
Cantor Fitzgeral & Co.0.63%$3.00M
API Group Corp.0.46%$2.19M
LPL Financial Holdings, Inc.0.45%$2.15M
Expedia Group, Inc.0.44%$2.11M
Metropolitan Life Insurance Company0.42%$2.00M
Casey's General Stores, Inc.0.40%$1.92M
Aptiv plc0.35%$1.68M
Invesco Govt And Agcy Lex0.19%$900.00K
Tfdxx Lex Blackrock Fed Fund0.19%$900.00K
Ms Govt US Lex0.19%$900.00K
Landstar System, Inc.0.18%$847.92K
Rbc US Govt Money Mkt Fund0.15%$700.00K

C000059818 overview: performance, fees, allocation and SEC filings