C000087785 Holdings — Variable Portfolio - Aggressive Portfolio

All 39 reported holdings of Variable Portfolio - Aggressive Portfolio (C000087785) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Columbia Vp Overseas Core-18.10%$217.89M
Columbia Vp Sel Large Cap Eq Fd 16.95%$187.11M
Columbia Variable Portfolio - Large Cap Growth Fund6.84%$184.05M
Ctivp - T Rowe Lrg Cap Val Cl16.25%$168.28M
Vp - Partners Intl Core Equity Fd Cl16.19%$166.48M
Vp - Partners Intl Value Fd 15.67%$152.68M
Columbia Vp Sel Large Cap Val Cl 15.52%$148.55M
Columbia Contrarian Core Cl I Mf5.38%$144.75M
Vp - Partners Intl Growth Fd 14.77%$128.30M
Ctivp - Westfield Select Large Cap Growth Fund4.46%$119.96M
Ctivp - Principal Large Cap Growth Fund4.27%$114.99M
Vp Partners Core Equity Fd Cl 14.17%$112.29M
Vp - Partners Core Bd Fd Cl13.81%$102.52M
Columbia Variable Portfolio - Corporate Bond Fund3.34%$89.84M
Ctivp - Amer Cent Diverse Bd Cls 12.98%$80.19M
Columbia Vp Disciplined Core Fd-12.86%$76.88M
Columbia Short Term Cash Fund2.49%$66.94M
Columbia VP - US Government Mortgage Fund2.42%$65.05M
Ctivp - Tcw Core Plus Bond Fd Cl12.04%$54.80M
Ctivp - Wellington Lg Cap Val Fd 11.93%$51.80M
Columbia Vp Emerging Markets Fun1.65%$44.42M
Columbia Vp Income Opportunities 10.94%$25.39M
Ctivp - Victory Sycamore Est Val Cl10.91%$24.52M
Ctivp - Westfield Mid Cap Grth Cl10.84%$22.71M
Columbia Variable Portfolio - Small Cap Value Fund0.84%$22.49M
Ctivp - Centersquare Real Es Cl10.76%$20.44M
Vp - Partners Sm Cap Gr0.75%$20.24M
Columbia Variable Portfolio - Small Company Growth Fund0.75%$20.11M
Vp - Partners Small Cap Value-10.73%$19.69M
Columbia Vp Em Bond Fund-10.48%$12.97M
Columbia Vp Commodity Strategy 10.23%$6.10M
Chicago Mercantile Exchange0.04%$1.19M
Chicago Board of Trade0.01%$275.10K
ICE Futures U.S., Inc.0.01%$167.83K
The Montreal Exchange/Bourse De Montreal0.00%$22.58K
Italian Derivatives Market0.00%$6.66K
Euronext Paris Matif-0.00%$-16.74K
Meff Financial Derivatives-0.00%$-66.39K
Eurex Deutschland-0.03%$-902.94K

C000087785 overview: performance, fees, allocation and SEC filings