C000097669 Holdings — Columbia Variable Portfolio - Seligman Global Technology Fund

All 72 reported holdings of Columbia Variable Portfolio - Seligman Global Technology Fund (C000097669) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Bloom Energy Corp10.50%$60.48M
Lam Research Corp7.47%$43.07M
Columbia Short Term Cash Fund4.58%$26.42M
Broadcom Inc4.46%$25.70M
Marvell Technology Inc4.40%$25.38M
NVIDIA Corp4.06%$23.37M
Alphabet Inc3.43%$19.74M
Western Digital Corp3.30%$19.03M
Applied Materials Inc2.95%$16.98M
Apple Inc2.81%$16.21M
Microsoft Corp2.22%$12.80M
Arista Networks Inc2.09%$12.07M
GoDaddy Inc2.04%$11.75M
Pinterest Inc1.92%$11.06M
Taiwan Semiconductor Manufacturing Co Ltd1.89%$10.88M
Visa Inc1.87%$10.78M
Teradyne Inc1.83%$10.55M
Lyft Inc1.69%$9.71M
Synaptics Inc1.63%$9.40M
NXP Semiconductors NV1.61%$9.27M
Hewlett Packard Enterprise Co1.52%$8.78M
Match Group Inc1.45%$8.36M
Alphabet Inc1.45%$8.35M
Gen Digital Inc1.38%$7.95M
Trimble Inc1.27%$7.32M
NetApp Inc1.27%$7.31M
Tenable Holdings Inc1.14%$6.59M
Global Payments Inc1.14%$6.57M
Amphenol Corp1.09%$6.29M
Synopsys Inc1.08%$6.20M
Palo Alto Networks Inc1.07%$6.17M
Advanced Energy Industries Inc1.03%$5.95M
Cisco Systems Inc0.94%$5.42M
Semtech Corp0.93%$5.34M
Adeia Inc0.92%$5.31M
Salesforce Inc0.91%$5.23M
QUALCOMM Inc0.88%$5.09M
Rigaku Holdings Corp0.85%$4.92M
Oracle Corp0.83%$4.77M
Airbnb Inc0.80%$4.62M
Amazon.com Inc0.78%$4.50M
ON Semiconductor Corp0.73%$4.22M
Meta Platforms Inc0.71%$4.12M
Block Inc0.62%$3.58M
Atlassian Corp0.57%$3.30M
Wix.com Ltd0.55%$3.16M
American Electric Power Co Inc0.54%$3.12M
Docusign Inc0.53%$3.07M
F5 Inc0.52%$3.01M
ServiceNow Inc0.52%$3.00M
Lattice Semiconductor Corp0.44%$2.56M
Coherent Corp0.42%$2.41M
Commvault Systems Inc0.42%$2.41M
BILL Holdings Inc0.40%$2.33M
Check Point Software Technologies Ltd0.40%$2.29M
Dropbox Inc0.40%$2.29M
RingCentral Inc0.37%$2.15M
eBay Inc0.36%$2.08M
Coursera Inc0.32%$1.84M
Intuit Inc0.32%$1.82M
TripAdvisor Inc0.31%$1.79M
Klarna Group PLC0.31%$1.79M
Forgent Power Solutions Inc0.17%$1.01M
TeamViewer SE0.13%$772.16K
Grab Holdings Ltd0.11%$642.86K
Take-Two Interactive Software Inc0.10%$579.95K
Fiverr International Ltd0.10%$575.46K
DoubleDown Interactive Co Ltd0.09%$518.02K
HubSpot Inc0.07%$421.60K
X-Energy Inc0.03%$165.18K
NYSE American Options.-0.00%$-22.32K
CBOE Global Markets, Inc.-0.03%$-187.86K

C000097669 overview: performance, fees, allocation and SEC filings