C000087794 Holdings — CTIVP - Morgan Stanley Advantage Fund

All 32 reported holdings of CTIVP - Morgan Stanley Advantage Fund (C000087794) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp11.43%$179.35M
Apple Inc7.77%$121.95M
Microsoft Corp6.65%$104.40M
Columbia Short Term Cash Fund6.47%$101.45M
Alphabet Inc6.43%$100.95M
Ascendis Pharma A/S5.18%$81.24M
Amazon.com Inc4.57%$71.72M
Comfort Systems USA Inc4.41%$69.25M
Broadcom Inc4.15%$65.10M
Howmet Aerospace Inc3.85%$60.45M
FTAI Aviation Ltd3.17%$49.67M
Eli Lilly & Co3.04%$47.75M
Meta Platforms Inc2.87%$44.95M
GE Vernova Inc2.77%$43.52M
Axon Enterprise Inc2.67%$41.86M
Tesla Inc2.12%$33.26M
Quanta Services Inc2.12%$33.23M
Parker-Hannifin Corp1.78%$27.99M
Taiwan Semiconductor Manufacturing Co Ltd1.66%$26.08M
Snowflake Inc1.58%$24.83M
Bank of America Corp1.58%$24.73M
Netflix Inc1.50%$23.48M
API Group Corp1.49%$23.39M
Ares Management Corp1.40%$21.89M
LPL Financial Holdings Inc1.39%$21.86M
ITT Inc1.25%$19.63M
Rocket Lab Corp1.24%$19.38M
Coherent Corp1.23%$19.24M
Vertiv Holdings Co1.16%$18.15M
Palantir Technologies Inc1.07%$16.79M
Marvell Technology Inc1.01%$15.78M
Cheniere Energy Inc0.99%$15.58M

C000087794 overview: performance, fees, allocation and SEC filings