Variable Portfolio - Moderate Portfolio
Data updated: 2026-05-28
C000087822 — Variable Portfolio - Moderate Portfolio data: holdings, portfolio allocation, expenses, performance, cashflows, risk and SEC filings. United States Multi-Cap / All-Cap Blend / Core Equity · $13.12B AUM · 0.96% expense ratio · 11.5% 1-yr return. From SEC regulatory filings.
C000087822 Fund Overview
Variable Portfolio - Moderate Portfolio is a US mutual fund managed by Columbia Funds Variable Series Trust II, categorised as United States Multi-Cap / All-Cap Blend / Core Equity. ABC INVEST provides holdings, performance, costs, cashflows, risk data, prospectus documents and SEC filings, sourced from SEC filings.
- Type: US mutual fund
- Manager: Columbia Funds Variable Series Trust II
- Category: United States Multi-Cap / All-Cap Blend / Core Equity
- Assets under management: $13.12B
- 1-year return: 11.5%
- SEC CIK: 0001413032
- SEC series ID: S000028702
- Share class ID: C000087822
C000087822 Holdings
Top 10 holdings of Variable Portfolio - Moderate Portfolio by percentage of net assets, from the fund's latest SEC N-PORT filing.
| Holding | % of net assets |
|---|---|
| Ctivp - Amer Cent Diverse Bd Cls 1 | 11.45% |
| Vp - Partners Core Bd Fd Cl1 | 9.53% |
| Ctivp - Tcw Core Plus Bond Fd Cl1 | 8.31% |
| Columbia Vp Overseas Core-1 | 6.72% |
| Columbia Variable Portfolio - Corporate Bond Fund | 5.67% |
| Columbia Vp Intermed Bond Fd Cl 1 | 5.57% |
| Columbia Vp Sel Large Cap Eq Fd 1 | 5.46% |
| Columbia Short Term Cash Fund | 4.82% |
| Columbia VP - US Government Mortgage Fund | 4.06% |
| Columbia Variable Portfolio - Large Cap Growth Fund | 3.78% |
C000087822 Portfolio Allocation
Asset-class allocation of Variable Portfolio - Moderate Portfolio by percentage of net assets, from the latest SEC N-PORT filing.
| Asset class | Allocation |
|---|---|
| Equity | 94.3% |
| Cash & Equivalents | 4.8% |
C000087822 Performance
Total returns for C000087822 (as of 2026-08-01), from SEC filings.
| Period | Total return |
|---|---|
| YTD | -1.5% |
| 1 year | 11.5% |
| 3 years (annualised) | 9.5% |
| 5 years (annualised) | 4.2% |
C000087822 Risk Information
Risk metrics for C000087822, derived from monthly returns in SEC filings.
- 1-year volatility (annualised): 6.5%
C000087822 Costs and Fees
C000087822 costs about $96 per $10,000 invested per year in fund expenses.
- Net expense ratio: 0.96%
- Gross expense ratio: 0.96%
- Portfolio turnover: 9%
- Brokerage commissions: 0.00 bps of average net assets (SEC N-CEN)
C000087822 Cashflows
Over the 12 months to 2026-03, Variable Portfolio - Moderate Portfolio had net outflows of $1.64B, from monthly SEC N-PORT filings.
| Month | Net flow |
|---|---|
| 2026-03 | −$153.32M |
| 2026-02 | −$143.87M |
| 2026-01 | −$118.11M |
| 2025-12 | −$151.03M |
| 2025-11 | −$127.97M |
| 2025-10 | −$139.92M |
C000087822 Debt Constituents
No individual debt constituents are reported in Variable Portfolio - Moderate Portfolio's latest SEC N-PORT filing.
C000087822 Prospectus and SEC Filings
Official Variable Portfolio - Moderate Portfolio filings on SEC EDGAR — prospectus, portfolio holdings and annual reports.
Related Funds
Other United States Multi-Cap / All-Cap Blend / Core Equity funds tracked on ABC INVEST:
Data Sources
ABC INVEST compiles this page from public filings made to the U.S. Securities and Exchange Commission (SEC) through EDGAR: portfolio holdings and monthly cashflows from Form N-PORT, expenses and returns from fund prospectuses (Form 485BPOS) and the SEC DERA Risk/Return Summary data sets, annual data from Form N-CEN, and shareholder reports from Form N-CSR.