C000088786 Holdings — Columbia Variable Portfolio - Dividend Opportunity Fund

All 91 reported holdings of Columbia Variable Portfolio - Dividend Opportunity Fund (C000088786) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Cisco Systems Inc3.38%$34.43M
JPMorgan Chase & Co3.14%$31.95M
Exxon Mobil Corp3.09%$31.50M
Johnson & Johnson2.88%$29.28M
Goldman Sachs Group Inc/The2.52%$25.69M
AbbVie Inc2.27%$23.08M
Philip Morris International Inc2.19%$22.27M
International Business Machines Corp2.15%$21.93M
Merck & Co Inc2.01%$20.50M
Chevron Corp1.88%$19.15M
Bank of America Corp1.85%$18.86M
Citigroup Inc1.81%$18.47M
Texas Instruments Inc1.62%$16.54M
CVS Health Corp1.62%$16.53M
Stanley Black & Decker Inc1.60%$16.30M
American Financial Group Inc/OH1.55%$15.80M
Corning Inc1.49%$15.15M
Simon Property Group Inc1.45%$14.78M
US Bancorp1.44%$14.64M
United Parcel Service Inc1.43%$14.57M
Seagate Technology Holdings PLC1.32%$13.41M
Verizon Communications Inc1.29%$13.11M
PepsiCo Inc1.29%$13.09M
Ford Motor Co1.26%$12.83M
Watsco Inc1.24%$12.67M
Kinder Morgan Inc1.24%$12.63M
Lockheed Martin Corp1.19%$12.07M
Wells Fargo & Co1.18%$12.05M
Hp Enterprise Co.1.15%$11.76M
AT&T Inc1.14%$11.63M
Home Depot Inc/The1.14%$11.60M
Digital Realty Trust Inc1.13%$11.49M
Valero Energy Corp1.12%$11.43M
UDR Inc1.10%$11.21M
Darden Restaurants Inc1.10%$11.19M
UGI Corp1.10%$11.16M
Skyworks Solutions Inc1.09%$11.07M
Pfizer Inc1.06%$10.82M
UnitedHealth Group Inc1.06%$10.81M
Medtronic PLC1.05%$10.71M
Best Buy Co Inc0.99%$10.12M
Altria Group Inc0.98%$9.99M
Coca-Cola Co/The0.98%$9.96M
Columbia Short Term Cash Fund0.98%$9.94M
MetLife Inc0.97%$9.91M
International Paper Co0.95%$9.64M
3M Co0.91%$9.31M
Gap Inc/The0.89%$9.11M
Target Corp0.89%$9.06M
Procter & Gamble Co/The0.88%$8.99M
Bunge Global SA0.88%$8.97M
Eastman Chemical Co0.87%$8.89M
Broadcom Inc0.85%$8.61M
PACCAR Inc0.84%$8.60M
CME Group Inc0.84%$8.57M
Hewlett Packard Enterprise Co0.84%$8.53M
Tyson Foods Inc0.83%$8.50M
Invesco Ltd0.81%$8.25M
Starbucks Corp0.80%$8.18M
Southwest Airlines Co0.80%$8.12M
Truist Financial Corp0.79%$8.07M
Anglogold Ashanti Plc0.77%$7.80M
Bristol-Myers Squibb Co0.75%$7.65M
DTE Energy Co0.73%$7.48M
Comcast Corp0.71%$7.26M
Welltower Op LLC0.71%$7.24M
Blackstone Inc0.70%$7.17M
Amgen Inc0.69%$7.03M
Xcel Energy Inc0.68%$6.96M
RTX Corp0.67%$6.83M
Southern Co.0.67%$6.81M
Nutrien Ltd0.67%$6.79M
American Electric Power Co Inc0.63%$6.40M
Microchip Technology, Inc.0.62%$6.31M
Ares Management Corp.0.60%$6.10M
Starwood Property Trust Inc0.54%$5.54M
OneMain Holdings Inc0.52%$5.33M
Union Pacific Corp0.52%$5.28M
Albemarle Corp.0.51%$5.22M
Alphabet, Inc.0.51%$5.17M
Nextera Energy, Inc.0.50%$5.13M
MSC Industrial Direct Co Inc0.50%$5.11M
Ppl Corporation0.48%$4.92M
Southern Co/The0.46%$4.66M
NextEra Energy Inc0.40%$4.07M
Boeing Co/the0.40%$4.06M
Apollo Global Management0.38%$3.89M
Welltower Inc0.36%$3.68M
Microchip Technology Inc0.36%$3.68M
Johnson Controls International plc0.35%$3.55M
Conagra Brands Inc0.24%$2.45M

C000088786 overview: performance, fees, allocation and SEC filings