C000084652 Holdings — Invesco V.I. Growth and Income Fund

All 76 reported holdings of Invesco V.I. Growth and Income Fund (C000084652) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Alphabet Inc.3.27%$42.53M
Amazon.com, Inc.3.15%$40.97M
Wells Fargo & Co.3.11%$40.41M
Bank of America Corp.2.86%$37.28M
Philip Morris International Inc.2.67%$34.71M
Microsoft Corp.2.57%$33.45M
Johnson Controls International PLC2.40%$31.17M
Citizens Financial Group, Inc.2.33%$30.35M
Microchip Technology Inc.2.19%$28.48M
NVIDIA Corp.2.17%$28.29M
Coherent Corp.2.03%$26.37M
US Foods Holding Corp.2.01%$26.13M
Merck & Co., Inc.1.99%$25.94M
Parker-Hannifin Corp.1.96%$25.45M
Invesco Private Prime Fund1.78%$23.10M
ConocoPhillips1.75%$22.73M
Lam Research Corp.1.73%$22.54M
CVS Health Corp.1.72%$22.39M
Johnson & Johnson1.68%$21.91M
Charles Schwab Corp. (The)1.65%$21.41M
UnitedHealth Group Inc.1.63%$21.26M
Walt Disney Co. (The)1.63%$21.15M
Cisco Systems, Inc.1.59%$20.72M
PNC Financial Services Group, Inc. (The)1.56%$20.27M
PPL Corp.1.52%$19.80M
Sysco Corp.1.52%$19.74M
CBRE Group, Inc.1.48%$19.31M
Willis Towers Watson PLC1.47%$19.13M
FedEx Corp.1.38%$17.98M
Invesco Treasury Portfolio1.37%$17.83M
Chevron Corp.1.37%$17.78M
NXP Semiconductors N.V.1.36%$17.71M
Estee Lauder Cos. Inc. (The)1.33%$17.33M
Starbucks Corp.1.27%$16.53M
Medtronic PLC1.23%$16.05M
Vertiv Holdings Co.1.23%$15.94M
Fortive Corp.1.17%$15.28M
General Motors Co.1.17%$15.21M
Meta Platforms, Inc.1.11%$14.45M
Ferguson Enterprises Inc.1.08%$14.09M
Emerson Electric Co.1.06%$13.74M
Sempra1.04%$13.55M
Sanofi1.03%$13.44M
Goldman Sachs Group, Inc. (The)1.02%$13.24M
Occidental Petroleum Corp.0.98%$12.76M
American International Group, Inc.0.98%$12.73M
KKR & Co. Inc.0.98%$12.72M
SLB Ltd.0.97%$12.68M
T-Mobile US, Inc.0.96%$12.49M
Becton, Dickinson and Co.0.96%$12.48M
Qnity Electronics, Inc.0.95%$12.32M
Sunbelt Rentals Holdings, Inc.0.94%$12.24M
Elevance Health, Inc.0.94%$12.20M
Bristol-Myers Squibb Co.0.93%$12.07M
Regeneron Pharmaceuticals, Inc.0.92%$11.96M
Corteva, Inc.0.87%$11.33M
American Electric Power Co., Inc.0.87%$11.26M
PPG Industries, Inc.0.86%$11.17M
Dollar General Corp.0.86%$11.16M
Shell PLC0.85%$11.03M
Capital One Financial Corp.0.84%$10.97M
RTX Corp.0.84%$10.96M
Thermo Fisher Scientific Inc.0.84%$10.87M
Exxon Mobil Corp.0.80%$10.41M
Invesco Government & Agency Portfolio0.74%$9.60M
Alexandria Real Estate Equities, Inc.0.74%$9.58M
DuPont de Nemours, Inc.0.74%$9.57M
Broadcom Inc.0.72%$9.40M
Booking Holdings Inc.0.72%$9.40M
IQVIA Holdings Inc.0.71%$9.21M
Textron Inc.0.70%$9.16M
Invesco Private Government Fund0.68%$8.83M
FirstEnergy Corp.0.64%$8.31M
FedEx Freight Holding Co., Inc.0.62%$8.05M
Cognizant Technology Solutions Corp.0.56%$7.26M

C000084652 overview: performance, fees, allocation and SEC filings