C000084642 Holdings — Invesco V.I. Comstock Fund

All 85 reported holdings of Invesco V.I. Comstock Fund (C000084642) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Alphabet Inc.3.78%$57.90M
Bank of America Corp.3.39%$51.88M
Cisco Systems, Inc.3.06%$46.78M
Invesco Private Prime Fund2.62%$40.03M
Wells Fargo & Co.2.56%$39.13M
CVS Health Corp.2.49%$38.11M
Merck & Co., Inc.2.27%$34.70M
Microsoft Corp.2.25%$34.41M
State Street Corp.2.01%$30.71M
Chevron Corp.1.90%$29.09M
Caterpillar Inc.1.89%$28.84M
Philip Morris International Inc.1.84%$28.14M
Intel Corp.1.82%$27.83M
Sempra1.81%$27.74M
Eaton Corp. PLC1.80%$27.61M
Huntington Bancshares Inc.1.78%$27.21M
NXP Semiconductors N.V.1.76%$26.97M
Emerson Electric Co.1.74%$26.68M
UnitedHealth Group Inc.1.73%$26.49M
Elevance Health, Inc.1.72%$26.25M
Citigroup Inc.1.70%$25.97M
Johnson Controls International PLC1.59%$24.32M
Reckitt Benckiser Group PLC1.52%$23.19M
Micron Technology, Inc.1.50%$22.94M
Fifth Third Bancorp1.50%$22.94M
FedEx Corp.1.45%$22.23M
International Paper Co.1.41%$21.59M
Dominion Energy, Inc.1.41%$21.54M
Textron Inc.1.37%$20.94M
Suncor Energy Inc.1.35%$20.71M
American International Group, Inc.1.34%$20.56M
ConocoPhillips1.33%$20.42M
Citizens Financial Group, Inc.1.33%$20.34M
International Flavors & Fragrances Inc.1.28%$19.55M
TransUnion1.25%$19.13M
Westinghouse Air Brake Technologies Corp.1.21%$18.57M
Devon Energy Corp.1.21%$18.52M
Sanofi1.18%$18.13M
Clorox Co. (The)1.18%$18.10M
Invesco Treasury Portfolio1.18%$18.00M
NIKE, Inc.1.14%$17.38M
Anheuser-Busch InBev S.A./N.V.1.13%$17.29M
Domino's Pizza, Inc.1.10%$16.79M
Meta Platforms, Inc.1.06%$16.18M
Invesco Private Government Fund1.03%$15.84M
Restaurant Brands International Inc.1.03%$15.77M
Coca-Cola Co. (The)1.02%$15.64M
MetLife, Inc.1.01%$15.53M
Walt Disney Co. (The)1.00%$15.28M
Regeneron Pharmaceuticals, Inc.0.97%$14.90M
Johnson & Johnson0.96%$14.74M
M&T Bank Corp.0.94%$14.45M
Icon PLC0.94%$14.43M
AstraZeneca PLC0.92%$14.03M
Evergy, Inc.0.89%$13.64M
eBay Inc.0.89%$13.58M
Cognizant Technology Solutions Corp.0.87%$13.28M
Novo Nordisk A/S0.83%$12.72M
Allstate Corp. (The)0.81%$12.40M
Medtronic PLC0.78%$12.00M
Tenaris S.A.0.73%$11.23M
QUALCOMM Inc.0.73%$11.20M
Starbucks Corp.0.72%$11.06M
F5, Inc.0.71%$10.88M
Becton, Dickinson and Co.0.69%$10.57M
Capital One Financial Corp.0.65%$10.01M
IQVIA Holdings Inc.0.65%$9.97M
Humana Inc.0.64%$9.85M
Invitation Homes Inc.0.64%$9.85M
SBA Communications Corp.0.64%$9.85M
Invesco Government & Agency Portfolio0.63%$9.69M
Occidental Petroleum Corp.0.61%$9.27M
EQT Corp.0.54%$8.30M
GE HealthCare Technologies Inc.0.54%$8.24M
Exxon Mobil Corp.0.53%$8.12M
Booking Holdings Inc.0.50%$7.63M
Charter Communications, Inc.0.49%$7.49M
Zoetis Inc.0.40%$6.17M
Universal Music Group N.V.0.35%$5.41M
FedEx Freight Holding Co., Inc.0.35%$5.36M
Goldman Sachs Group, Inc. (The)0.32%$4.95M
Bp PLC0.30%$4.54M
Boston Scientific Corp.0.29%$4.51M
Fair Isaac Corp.0.05%$771.83K

C000084642 overview: performance, fees, allocation and SEC filings