C000088776 Holdings — CTIVP - Victory Sycamore Established Value Fund

All 75 reported holdings of CTIVP - Victory Sycamore Established Value Fund (C000088776) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Labcorp Holdings Inc2.61%$10.92M
Columbia Short Term Cash Fund2.47%$10.33M
US Foods Holding Corp2.35%$9.83M
Molina Healthcare Inc2.12%$8.87M
Alliant Energy Corp2.10%$8.77M
Microchip Technology Inc1.99%$8.33M
Packaging Corp of America1.99%$8.32M
RPM International Inc1.93%$8.08M
Keysight Technologies Inc1.90%$7.95M
Truist Financial Corp1.87%$7.84M
Hubbell Inc1.86%$7.80M
Lowe's Cos Inc1.84%$7.67M
Carrier Global Corp1.80%$7.52M
CMS Energy Corp1.79%$7.47M
Revvity Inc1.72%$7.18M
Lamar Advertising Co1.71%$7.14M
Lincoln Electric Holdings Inc1.70%$7.12M
Camden Property Trust1.66%$6.94M
CSX Corp1.65%$6.91M
American Water Works Co Inc1.65%$6.88M
Hartford Insurance Group Inc/The1.57%$6.56M
Texas Roadhouse Inc1.54%$6.45M
Toro Co/The1.53%$6.40M
IDEX Corp1.52%$6.35M
Aramark1.52%$6.34M
Raymond James Financial Inc1.51%$6.29M
Knight-Swift Transportation Holdings Inc1.50%$6.26M
Hilton Worldwide Holdings Inc1.49%$6.21M
AptarGroup Inc1.49%$6.21M
DuPont de Nemours Inc1.47%$6.14M
Equity LifeStyle Properties Inc1.44%$6.03M
Quest Diagnostics Inc1.44%$6.02M
Regal Rexnord Corp1.44%$6.00M
BorgWarner Inc1.43%$6.00M
Crane Co1.39%$5.82M
Penske Automotive Group Inc1.38%$5.76M
Archer-Daniels-Midland Co1.37%$5.73M
StandardAero Inc1.36%$5.69M
Halliburton Co1.33%$5.58M
Williams-Sonoma Inc1.32%$5.50M
AutoZone Inc1.30%$5.45M
NNN REIT Inc1.27%$5.30M
F5 Inc1.25%$5.24M
Devon Energy Corp1.25%$5.21M
Steel Dynamics Inc1.23%$5.16M
Expand Energy Corp1.18%$4.92M
Xylem Inc/NY1.16%$4.85M
Okta Inc1.14%$4.78M
L3Harris Technologies Inc1.14%$4.77M
Amrize Ltd1.12%$4.70M
Republic Services Inc1.10%$4.58M
CACI International Inc1.09%$4.54M
Old Republic International Corp1.07%$4.48M
Akamai Technologies Inc1.07%$4.46M
SLB Ltd1.06%$4.42M
American Financial Group Inc/OH1.04%$4.35M
CH Robinson Worldwide Inc1.04%$4.35M
FTI Consulting Inc1.02%$4.25M
MKS Inc0.99%$4.14M
Baker Hughes Co0.97%$4.07M
CF Industries Holdings Inc0.93%$3.91M
Zebra Technologies Corp0.92%$3.84M
Centene Corp0.91%$3.81M
Chord Energy Corp0.84%$3.50M
CDW Corp/DE0.81%$3.39M
Trimble Inc0.76%$3.18M
AGCO Corp0.76%$3.16M
IPG Photonics Corp0.74%$3.07M
Coca-Cola Consolidated Inc0.71%$2.98M
API Group Corp0.46%$1.94M
LPL Financial Holdings Inc0.46%$1.92M
Expedia Group Inc0.45%$1.87M
Casey's General Stores Inc0.41%$1.70M
Aptiv PLC0.36%$1.49M
Landstar System Inc0.18%$744.52K

C000088776 overview: performance, fees, allocation and SEC filings