C000087833 Holdings — CTIVP - Oppenheimer International Growth Fund

All 96 reported holdings of CTIVP - Oppenheimer International Growth Fund (C000087833) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding NV4.91%$69.48M
Taiwan Semiconductor Manufacturing Co Ltd3.74%$52.94M
Murata Manufacturing Co Ltd2.87%$40.69M
SK hynix Inc2.86%$40.54M
Sumitomo Mitsui Financial Group Inc2.42%$34.21M
AIA Group Ltd2.06%$29.14M
ABB Ltd1.98%$28.10M
Prysmian SpA1.96%$27.79M
Fujikura Ltd1.94%$27.54M
Banco Bilbao Vizcaya Argentaria SA1.93%$27.37M
Keyence Corp1.92%$27.20M
Safran SA1.83%$25.86M
Columbia Short Term Cash Fund1.79%$25.37M
TotalEnergies SE1.71%$24.18M
Argenx SE1.69%$23.93M
Sandoz Group AG1.67%$23.71M
ORIX Corp1.63%$23.06M
Antofagasta PLC1.61%$22.76M
Teva Pharmaceutical Industries Ltd1.59%$22.53M
Fast Retailing Co Ltd1.57%$22.18M
Galderma Group AG1.51%$21.36M
Diploma PLC1.51%$21.35M
Iberdrola SA1.51%$21.32M
Halma PLC1.49%$21.08M
Barclays PLC1.46%$20.74M
AstraZeneca PLC1.40%$19.83M
Enel SpA1.40%$19.76M
UniCredit SpA1.36%$19.20M
Taiwan Semiconductor Manufacturing Co Ltd1.32%$18.75M
Hitachi Ltd1.31%$18.59M
Prosus NV1.28%$18.14M
Mitsubishi Electric Corp1.23%$17.43M
Credicorp Ltd1.23%$17.40M
Accton Technology Corp1.21%$17.07M
Sse PLC1.20%$16.95M
IHI Corp1.17%$16.58M
Canadian Natural Resources Ltd1.17%$16.56M
Ucb SA1.17%$16.53M
Singapore Telecommunications Ltd1.16%$16.50M
London Stock Exchange Group PLC1.14%$16.15M
Hong Kong Exchanges & Clearing Ltd1.07%$15.21M
Anglo American PLC1.07%$15.19M
Ferrari NV1.04%$14.71M
Sumitomo Electric Industries Ltd1.02%$14.40M
Itau Unibanco Holding SA1.01%$14.36M
Asics Corp1.01%$14.28M
Embraer SA0.91%$12.85M
Ibiden Co Ltd0.82%$11.63M
Chugai Pharmaceutical Co Ltd0.82%$11.55M
Lundin Gold Inc0.80%$11.33M
Vinci SA0.69%$9.80M
Compass Group PLC0.69%$9.76M
Infineon Technologies AG0.68%$9.58M
BAE Systems PLC0.65%$9.26M
Air Liquide SA0.61%$8.65M
Lonza Group AG0.60%$8.55M
Tokyo Electron Ltd0.60%$8.44M
Alimentation Couche-Tard Inc0.59%$8.33M
Merck KGaA0.58%$8.23M
Industria de Diseno Textil SA0.58%$8.22M
Shin-Etsu Chemical Co Ltd0.58%$8.18M
Dollarama Inc0.57%$8.03M
NU Holdings Ltd/Cayman Islands0.53%$7.58M
L'Oreal SA0.53%$7.54M
National Grid PLC0.53%$7.44M
Roche Holding AG0.50%$7.07M
Daikin Industries Ltd0.49%$6.91M
Schneider Electric SE0.48%$6.82M
VAT Group AG0.48%$6.75M
Atlas Copco AB0.47%$6.73M
Hoya Corp0.47%$6.69M
Sgs SA0.46%$6.48M
LVMH Moet Hennessy Louis Vuitton SE0.46%$6.47M
CapitaLand Ascendas REIT0.44%$6.24M
Alcon AG0.41%$5.80M
Universal Music Group NV0.40%$5.71M
Jardine Matheson Holdings Ltd0.39%$5.53M
Experian PLC0.38%$5.42M
Amadeus IT Group SA0.38%$5.36M
Sap SE0.37%$5.27M
Hermes International SCA0.37%$5.24M
Terumo Corp0.36%$5.12M
Sage Group PLC/The0.35%$5.00M
adidas AG0.32%$4.53M
Coloplast A/S0.32%$4.49M
Dassault Systemes SE0.28%$3.99M
Obic Co Ltd0.27%$3.78M
Capcom Co Ltd0.26%$3.73M
Kone Oyj0.23%$3.27M
Wolters Kluwer NV0.22%$3.06M
Tencent Holdings Ltd0.21%$3.04M
MonotaRO Co Ltd0.18%$2.60M
Nomura Research Institute Ltd0.17%$2.44M
Cochlear Ltd0.16%$2.34M
Santos Ltd0.16%$2.32M
State Street Bank & Trust Co.0.00%$-2

C000087833 overview: performance, fees, allocation and SEC filings