C000087813 Holdings — Variable Portfolio - Partners Small Cap Growth Fund

All 174 reported holdings of Variable Portfolio - Partners Small Cap Growth Fund (C000087813) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Guardant Health Inc1.80%$6.81M
Moog Inc1.78%$6.71M
Materion Corp1.76%$6.66M
Columbia Short Term Cash Fund1.65%$6.24M
Onto Innovation Inc1.62%$6.12M
Allegro MicroSystems Inc1.51%$5.70M
Glaukos Corp1.48%$5.60M
StoneX Group Inc1.44%$5.45M
JFrog Ltd1.43%$5.38M
Protagonist Therapeutics Inc1.38%$5.19M
Lattice Semiconductor Corp1.33%$5.02M
Alkermes PLC1.32%$4.98M
Installed Building Products Inc1.26%$4.75M
RadNet Inc1.24%$4.69M
Novanta Inc1.21%$4.55M
Cytokinetics Inc1.20%$4.53M
Madrigal Pharmaceuticals Inc1.15%$4.34M
VSE Corp1.14%$4.31M
Enpro Inc1.12%$4.21M
Boot Barn Holdings Inc1.11%$4.20M
Enova International Inc1.08%$4.09M
CSW Industrials Inc1.04%$3.93M
CECO Environmental Corp0.93%$3.50M
Cavco Industries Inc0.91%$3.45M
Houlihan Lokey Inc0.90%$3.39M
Cardinal Infrastructure Group Inc0.90%$3.38M
Graham Corp0.89%$3.36M
BrightSpring Health Services Inc0.89%$3.36M
Skyward Specialty Insurance Group Inc0.87%$3.29M
SiTime Corp0.87%$3.28M
ESCO Technologies Inc0.86%$3.26M
Rhythm Pharmaceuticals Inc0.85%$3.23M
Rambus Inc0.85%$3.22M
Mirum Pharmaceuticals Inc0.84%$3.17M
Vita Coco Co Inc/The0.84%$3.16M
SPX Technologies Inc0.83%$3.12M
Mirion Technologies Inc0.81%$3.06M
MYR Group Inc0.80%$3.04M
Limbach Holdings Inc0.77%$2.90M
Saia Inc0.75%$2.82M
PTC Therapeutics Inc0.74%$2.80M
Ensign Group Inc/The0.73%$2.77M
FormFactor Inc0.73%$2.75M
Modine Manufacturing Co0.72%$2.73M
Mercury Systems Inc0.72%$2.72M
Revolve Group Inc0.71%$2.67M
ServiceTitan Inc0.70%$2.66M
Advanced Energy Industries Inc0.68%$2.58M
Dave Inc0.66%$2.50M
Karman Holdings Inc0.66%$2.49M
Cogent Biosciences Inc0.66%$2.48M
Construction Partners Inc0.65%$2.46M
Brinker International Inc0.63%$2.39M
HealthEquity Inc0.62%$2.35M
Extreme Networks Inc0.62%$2.33M
MACOM Technology Solutions Holdings Inc0.61%$2.32M
Life Time Group Holdings Inc0.60%$2.28M
DigitalOcean Holdings Inc0.60%$2.27M
Ligand Pharmaceuticals Inc0.59%$2.24M
Dutch Bros Inc0.59%$2.23M
Ambiq Micro Inc0.59%$2.22M
Range Resources Corp0.58%$2.20M
Terreno Realty Corp0.58%$2.20M
Patrick Industries Inc0.58%$2.19M
Casella Waste Systems Inc0.58%$2.18M
Definium Therapeutics Inc0.57%$2.17M
Veeco Instruments Inc0.57%$2.16M
Franklin Electric Co Inc0.57%$2.16M
Sterling Infrastructure Inc0.57%$2.15M
Federal Signal Corp0.55%$2.09M
Plexus Corp0.55%$2.08M
Archrock Inc0.54%$2.04M
A10 Networks Inc0.54%$2.02M
Piper Sandler Cos0.54%$2.02M
Denali Therapeutics Inc0.53%$2.02M
Griffon Corp0.53%$2.00M
Kontoor Brands Inc0.53%$1.98M
TechnipFMC PLC0.51%$1.93M
FTAI Aviation Ltd0.51%$1.92M
Hawkins Inc0.51%$1.91M
Kodiak Gas Services Inc0.50%$1.90M
Flywire Corp0.50%$1.90M
LeMaitre Vascular Inc0.50%$1.90M
Applied Optoelectronics Inc0.50%$1.89M
Chefs' Warehouse Inc/The0.48%$1.83M
Lindblad Expeditions Holdings Inc0.48%$1.82M
nLight Inc0.48%$1.81M
Evercore Inc0.48%$1.81M
Simpson Manufacturing Co Inc0.48%$1.81M
Oscar Health Inc0.48%$1.80M
WisdomTree Inc0.47%$1.79M
Littelfuse Inc0.47%$1.78M
Loar Holdings Inc0.46%$1.75M
Apogee Therapeutics Inc0.46%$1.74M
RBC Bearings Inc0.46%$1.74M
Camtek Ltd/Israel0.46%$1.72M
Descartes Systems Group Inc/The0.43%$1.64M
Krystal Biotech Inc0.43%$1.64M
Vaxcyte Inc0.43%$1.64M
StepStone Group Inc0.43%$1.63M
Cava Group Inc0.43%$1.63M
Halozyme Therapeutics Inc0.43%$1.61M
OSI Systems Inc0.42%$1.60M
Everus Construction Group Inc0.42%$1.57M
Scholar Rock Holding Corp0.41%$1.56M
Firefly Aerospace Inc0.40%$1.51M
Watts Water Technologies Inc0.39%$1.47M
Dianthus Therapeutics Inc0.39%$1.47M
Praxis Precision Medicines Inc0.39%$1.46M
IES Holdings Inc0.38%$1.45M
Navitas Semiconductor Corp0.38%$1.43M
Proto Labs Inc0.38%$1.43M
Lantheus Holdings Inc0.37%$1.41M
Dycom Industries Inc0.37%$1.40M
Helios Technologies Inc0.37%$1.40M
Procore Technologies Inc0.37%$1.40M
CG oncology Inc0.37%$1.39M
Repligen Corp0.37%$1.38M
Remitly Global Inc0.36%$1.37M
Solaris Energy Infrastructure Inc0.36%$1.37M
Nextpower Inc0.36%$1.34M
Manhattan Associates Inc0.35%$1.33M
Timken Co/The0.35%$1.30M
Hamilton Lane Inc0.34%$1.29M
Ingevity Corp0.34%$1.29M
SailPoint Inc0.33%$1.26M
OneSpaWorld Holdings Ltd0.33%$1.26M
Dorman Products Inc0.33%$1.24M
Victory Capital Holdings Inc0.32%$1.22M
Solstice Advanced Materials Inc0.32%$1.20M
Argan Inc0.32%$1.19M
Spyre Therapeutics Inc0.32%$1.19M
Pennant Group Inc/The0.31%$1.18M
Herc Holdings Inc0.30%$1.15M
IRhythm Holdings Inc0.30%$1.15M
Itron Inc0.30%$1.13M
Encompass Health Corp0.30%$1.12M
PJT Partners Inc0.30%$1.11M
Knife River Corp0.28%$1.08M
Matador Resources Co0.28%$1.05M
10X Genomics Inc0.28%$1.04M
Crinetics Pharmaceuticals Inc0.28%$1.04M
Oceaneering International Inc0.28%$1.04M
Impinj Inc0.27%$1.03M
Figs Inc0.27%$1.02M
Ionis Pharmaceuticals Inc0.27%$1.02M
United States Lime & Minerals Inc0.26%$968.20K
Xenon Pharmaceuticals Inc0.25%$960.27K
TransMedics Group Inc0.25%$957.31K
Klaviyo Inc0.24%$921.48K
Beta Technologies Inc0.24%$912.15K
Braze Inc0.23%$870.29K
Solv Energy Inc0.23%$868.38K
York Space Systems Inc0.23%$864.29K
Joby Aviation Inc0.23%$863.54K
Applied Aerospace & Defense Inc0.23%$860.90K
Centuri Holdings Inc0.23%$854.01K
Axsome Therapeutics Inc0.22%$847.15K
Kura Sushi USA Inc0.22%$835.14K
Coastal Financial Corp/WA0.22%$828.66K
Kestra Medical Technologies Ltd0.21%$786.50K
Procept Biorobotics Corp0.19%$720.17K
Mineralys Therapeutics Inc0.18%$695.92K
Voyager Technologies Inc0.18%$673.90K
Uranium Energy Corp0.18%$672.75K
Five Below Inc0.17%$639.69K
Yesway Inc0.15%$565.50K
Kardigan Inc0.13%$501.23K
Hawkeye 360 Inc0.12%$442.78K
HeartFlow Inc0.10%$388.73K
Alamar Biosciences Inc0.10%$386.52K
X-Energy Inc0.08%$314.53K
Dpc Holdings Ltd0.08%$288.96K
Contra Blueprint Medic0.00%$2.54K

C000087813 overview: performance, fees, allocation and SEC filings