C000087795 Holdings — CTIVP - Morgan Stanley Advantage Fund

All 36 reported holdings of CTIVP - Morgan Stanley Advantage Fund (C000087795) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp11.61%$201.87M
Alphabet Inc7.22%$125.45M
Columbia Short Term Cash Fund6.97%$121.19M
Apple Inc6.54%$113.63M
Broadcom Inc4.68%$81.34M
Eli Lilly & Co4.01%$69.74M
Comfort Systems USA Inc3.95%$68.75M
Ascendis Pharma A/S3.94%$68.51M
Microsoft Corp3.89%$67.65M
Axon Enterprise Inc3.88%$67.42M
Howmet Aerospace Inc3.25%$56.44M
GE Vernova Inc2.98%$51.73M
FTAI Aviation Ltd2.40%$41.79M
Snowflake Inc2.26%$39.33M
Meta Platforms Inc2.22%$38.60M
Taiwan Semiconductor Manufacturing Co Ltd2.12%$36.85M
Quanta Services Inc2.00%$34.75M
Visa Inc1.96%$34.11M
Advanced Micro Devices Inc1.87%$32.43M
Amazon.com Inc1.75%$30.35M
Arista Networks Inc1.71%$29.76M
Caterpillar Inc1.70%$29.54M
Morgan Stanley1.62%$28.24M
API Group Corp1.55%$26.87M
ServiceNow Inc1.44%$25.07M
Garmin Ltd1.34%$23.31M
ASML Holding NV1.32%$22.88M
CSX Corp1.29%$22.36M
Micron Technology Inc1.28%$22.24M
Gilead Sciences Inc1.23%$21.42M
Marriott International Inc/MD1.20%$20.95M
Cloudflare Inc1.18%$20.48M
ITT Inc1.17%$20.37M
Lam Research Corp1.08%$18.76M
Applied Materials Inc1.07%$18.57M
Ares Management Corp0.35%$6.06M

C000087795 overview: performance, fees, allocation and SEC filings