C000088771 Holdings — Columbia Variable Portfolio - Mid Cap Value Fund

All 51 reported holdings of Columbia Variable Portfolio - Mid Cap Value Fund (C000088771) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Marathon Petroleum Corp3.51%$10.18M
Entergy Corp2.89%$8.37M
ITT Inc2.75%$7.98M
AMETEK Inc2.66%$7.71M
Ameren Corp2.60%$7.55M
Popular Inc2.53%$7.34M
Voya Financial Inc2.51%$7.27M
Welltower Inc2.49%$7.21M
Southwest Airlines Co2.44%$7.08M
US Foods Holding Corp2.43%$7.05M
Smurfit Westrock PLC2.37%$6.86M
Devon Energy Corp2.36%$6.85M
ON Semiconductor Corp2.36%$6.85M
ATI Inc2.31%$6.70M
Hanover Insurance Group Inc/The2.26%$6.54M
Ingersoll Rand Inc2.24%$6.49M
Quest Diagnostics Inc2.22%$6.45M
Regions Financial Corp2.22%$6.43M
DR Horton Inc2.21%$6.39M
First Industrial Realty Trust Inc2.17%$6.29M
Trane Technologies PLC2.14%$6.20M
Hyatt Hotels Corp2.13%$6.16M
Take-Two Interactive Software Inc2.12%$6.13M
Capital One Financial Corp2.09%$6.05M
Nexstar Media Group Inc1.94%$5.63M
Motorola Solutions Inc1.92%$5.55M
CACI International Inc1.86%$5.40M
Corning Inc1.85%$5.35M
Lamar Advertising Co1.80%$5.22M
Hasbro Inc1.80%$5.22M
PG&E Corp1.77%$5.13M
Freeport-McMoRan Inc1.75%$5.07M
Gaming and Leisure Properties Inc1.73%$5.00M
CDW Corp/DE1.70%$4.92M
Dynatrace Inc1.67%$4.83M
Teradyne Inc1.66%$4.81M
Agilent Technologies Inc1.64%$4.76M
Carlyle Group Inc/The1.61%$4.68M
Burlington Stores Inc1.58%$4.57M
Tyson Foods Inc1.55%$4.48M
Reinsurance Group of America Inc1.52%$4.41M
Tyler Technologies Inc1.51%$4.39M
Zimmer Biomet Holdings Inc1.45%$4.19M
O'Reilly Automotive Inc1.44%$4.18M
Dollar Tree Inc1.41%$4.08M
Humana Inc1.40%$4.06M
Centene Corp1.31%$3.78M
Chemours Co/The1.26%$3.65M
Global Payments Inc1.22%$3.55M
Columbia Short Term Cash Fund1.06%$3.08M
Kemper Corp0.56%$1.63M

C000088771 overview: performance, fees, allocation and SEC filings