C000101966 Holdings — VT Small Cap Growth Fund

All 86 reported holdings of VT Small Cap Growth Fund (C000101966) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Modine Manufacturing Co2.40%$8.04M
Allspring Government Money Mar2.39%$8.01M
Semtech Corp2.34%$7.84M
Construction Partners Inc2.26%$7.56M
Ligand Pharmaceuticals Inc2.19%$7.35M
Legence Corp2.13%$7.14M
BrightSpring Health Services Inc2.13%$7.12M
Glaukos Corp2.12%$7.10M
Casella Waste Systems Inc2.11%$7.06M
Guardant Health Inc2.09%$7.00M
Xometry Inc2.06%$6.90M
Fabrinet2.04%$6.84M
Carpenter Technology Corp1.97%$6.59M
Mercury Systems Inc1.94%$6.51M
Chefs' Warehouse Inc/The1.89%$6.32M
Argan Inc1.88%$6.31M
Viavi Solutions Inc1.80%$6.03M
DigitalOcean Holdings Inc1.78%$5.96M
CECO Environmental Corp1.77%$5.92M
JFrog Ltd1.75%$5.88M
Talen Energy Corp1.75%$5.87M
Bloom Energy Corp1.57%$5.27M
Applied Industrial Technologies Inc1.56%$5.22M
Novanta Inc1.55%$5.20M
Ascendis Pharma A/S1.55%$5.19M
AAR Corp1.53%$5.12M
Liberty Live Holdings Inc1.51%$5.04M
RBC Bearings Inc1.50%$5.02M
Twist Bioscience Corp1.45%$4.86M
HealthEquity Inc1.37%$4.59M
Sanmina Corp1.37%$4.58M
RadNet Inc1.33%$4.45M
Saia Inc1.32%$4.41M
Ensign Group Inc/The1.28%$4.28M
Skyward Specialty Insurance Group Inc1.26%$4.22M
Plexus Corp1.26%$4.22M
Mirion Technologies Inc1.22%$4.10M
IRhythm Holdings Inc1.22%$4.08M
Alignment Healthcare Inc1.20%$4.03M
Dave Inc1.17%$3.91M
Miami International Holdings Inc1.15%$3.86M
Kirby Corp1.15%$3.86M
ATI Inc1.12%$3.74M
Tarsus Pharmaceuticals Inc1.09%$3.67M
Arcosa Inc1.07%$3.58M
PriceSmart Inc1.05%$3.52M
Graham Corp0.98%$3.27M
Castle Biosciences Inc0.93%$3.13M
Vericel Corp0.93%$3.12M
Taylor Morrison Home Corp0.92%$3.09M
Marex Group PLC0.87%$2.93M
SiteOne Landscape Supply Inc0.86%$2.89M
Advanced Energy Industries Inc0.78%$2.62M
Power Integrations Inc0.78%$2.60M
Armstrong World Industries Inc0.77%$2.58M
Impinj Inc0.77%$2.56M
Madrigal Pharmaceuticals Inc0.70%$2.36M
Piper Sandler Cos0.70%$2.34M
Repligen Corp0.69%$2.32M
MaxLinear Inc0.67%$2.26M
Stride Inc0.66%$2.23M
Ultra Clean Holdings Inc0.66%$2.20M
Ethos Technologies Inc0.64%$2.14M
Wyndham Hotels & Resorts Inc0.64%$2.13M
Helios Technologies Inc0.61%$2.05M
Hut 8 Corp0.61%$2.04M
Krystal Biotech Inc0.59%$1.97M
SiTime Corp0.57%$1.92M
American Superconductor Corp0.57%$1.91M
ESCO Technologies Inc0.57%$1.90M
Cipher Digital Inc0.55%$1.83M
Wingstop Inc0.54%$1.82M
OPENLANE Inc0.54%$1.80M
Core Scientific Inc0.54%$1.80M
Amprius Technologies Inc0.53%$1.77M
StoneX Group Inc0.52%$1.75M
Xenon Pharmaceuticals Inc0.52%$1.75M
Frequency Electronics Inc0.50%$1.68M
Riot Platforms Inc0.48%$1.61M
Kodiak Gas Services Inc0.46%$1.56M
Applied Optoelectronics Inc0.44%$1.47M
ServiceTitan Inc0.42%$1.42M
Axcelis Technologies Inc0.28%$928.30K
Novanta, Inc. Pipe Deal Funded0.27%$900.76K
York Space Systems Inc0.22%$726.73K
AXT Inc0.15%$503.62K

C000101966 overview: performance, fees, allocation and SEC filings