C000059820 Holdings — Neuberger Berman NVIT Multi Cap Opportunities Fund

All 119 reported holdings of Neuberger Berman NVIT Multi Cap Opportunities Fund (C000059820) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.8.01%$18.24M
Alphabet, Inc.6.87%$15.65M
Apple, Inc.6.24%$14.20M
Microsoft Corp.2.99%$6.80M
Bank Of America N.a.2.20%$5.00M
Bank of New York Mellon Corp. (The)1.94%$4.41M
Booking Holdings, Inc.1.90%$4.33M
Chevron Corp.1.88%$4.27M
Micron Technology, Inc.1.84%$4.19M
Meta Platforms, Inc.1.84%$4.19M
Lockheed Martin Corp.1.79%$4.08M
Citigroup, Inc.1.78%$4.06M
General Motors Co.1.72%$3.91M
McKesson Corp.1.69%$3.85M
ServiceNow, Inc.1.64%$3.74M
QUALCOMM, Inc.1.59%$3.62M
Amazon.com, Inc.1.52%$3.46M
Edwards Lifesciences Corp.1.50%$3.42M
VeriSign, Inc.1.42%$3.23M
Lowe's Cos., Inc.1.32%$3.01M
Travelers Cos., Inc. (The)1.30%$2.97M
Target Corp.1.30%$2.96M
Northern Trust Corp.1.29%$2.94M
Adobe, Inc.1.22%$2.77M
Regeneron Pharmaceuticals, Inc.1.15%$2.61M
Wells Fargo & Co.1.13%$2.58M
Phillips 661.08%$2.46M
Synopsys, Inc.1.07%$2.43M
Fortinet, Inc.1.07%$2.43M
Valero Energy Corp.1.05%$2.39M
Lam Research Corp.1.04%$2.38M
Costco Wholesale Corp.1.04%$2.36M
Huntington Ingalls Industries, Inc.1.03%$2.34M
Otis Worldwide Corp.0.97%$2.21M
Interactive Brokers Group, Inc.0.94%$2.15M
Waste Management, Inc.0.91%$2.07M
Archer-Daniels-Midland Co.0.82%$1.87M
Netflix, Inc.0.81%$1.83M
EMCOR Group, Inc.0.81%$1.83M
Tyson Foods, Inc.0.78%$1.78M
AutoZone, Inc.0.77%$1.76M
West Pharmaceutical Services, Inc.0.75%$1.71M
Incyte Corp.0.73%$1.67M
Public Service Enterprise Group, Inc.0.72%$1.63M
Broadcom, Inc.0.70%$1.60M
eBay, Inc.0.69%$1.56M
Northrop Grumman Corp.0.67%$1.52M
Landstar System, Inc.0.65%$1.49M
Prudential Financial, Inc.0.64%$1.46M
Masco Corp.0.62%$1.41M
Align Technology, Inc.0.61%$1.40M
Best Buy Co., Inc.0.60%$1.37M
Dropbox, Inc.0.60%$1.37M
Jabil, Inc.0.60%$1.36M
Stifel Financial Corp.0.59%$1.33M
TD SYNNEX Corp.0.58%$1.32M
GE HealthCare Technologies, Inc.0.56%$1.28M
Workday, Inc.0.56%$1.27M
NVR, Inc.0.56%$1.27M
Clorox Co. (The)0.55%$1.25M
MetLife, Inc.0.54%$1.23M
Crowdstrike Holdings, Inc.0.52%$1.19M
Williams-Sonoma, Inc.0.51%$1.15M
Argan, Inc.0.50%$1.13M
Everest Group Ltd.0.49%$1.12M
Las Vegas Sands Corp.0.49%$1.12M
Match Group, Inc.0.45%$1.03M
A O Smith Corp.0.45%$1.02M
Deckers Outdoor Corp.0.45%$1.01M
Maplebear, Inc.0.44%$1.00M
Rollins, Inc.0.44%$1.00M
Alexandria Real Estate Equities, Inc.0.44%$999.93K
Manhattan Associates, Inc.0.44%$992.94K
Domino's Pizza, Inc.0.43%$990.26K
Albemarle Corp.0.43%$980.95K
Southwest Airlines Co.0.43%$979.94K
Watsco, Inc.0.42%$967.68K
Salesforce, Inc.0.39%$895.08K
Evercore, Inc.0.38%$870.16K
FTI Consulting, Inc.0.37%$841.96K
Camden Property Trust0.37%$839.78K
Jefferies Financial Group, Inc.0.37%$831.26K
Centene Corp.0.35%$796.73K
Cf Secured LLC0.33%$756.53K
Neurocrine Biosciences, Inc.0.33%$749.34K
Smithfield Foods, Inc.0.32%$734.77K
Colgate-Palmolive Co.0.31%$716.19K
Ally Financial, Inc.0.31%$700.49K
Graco, Inc.0.30%$684.14K
Coupang, Inc.0.30%$678.02K
Reinsurance Group of America, Inc.0.29%$653.72K
Carvana Co.0.28%$646.05K
Estee Lauder Cos., Inc. (The)0.26%$602.94K
Trade Desk, Inc. (The)0.25%$565.46K
Lamb Weston Holdings, Inc.0.23%$525.33K
Atlassian Corp.0.22%$506.28K
Trex Co., Inc.0.22%$500.56K
Sprouts Farmers Market, Inc.0.22%$492.86K
JB Hunt Transport Services, Inc.0.21%$472.33K
DraftKings, Inc.0.18%$419.82K
Pegasystems, Inc.0.18%$406.36K
Autoliv, Inc.0.18%$403.39K
Ryder System, Inc.0.17%$384.04K
Roku, Inc.0.17%$382.93K
Nutanix, Inc.0.16%$358.89K
Five Below, Inc.0.15%$343.63K
Docusign, Inc.0.15%$335.24K
Snap, Inc.0.13%$304.51K
Mastercard, Inc.0.13%$301.29K
Comfort Systems USA, Inc.0.13%$288.21K
Pinterest, Inc.0.11%$247.57K
Cirrus Logic, Inc.0.11%$240.21K
Chime Financial, Inc.0.10%$235.08K
Powell Industries, Inc.0.10%$233.75K
SentinelOne, Inc.0.08%$177.27K
Vistra Corp.0.07%$168.97K
Zscaler, Inc.0.07%$167.23K
Wayfair, Inc.0.06%$126.43K
Zoom Communications, Inc.0.01%$13.18K

C000059820 overview: performance, fees, allocation and SEC filings