C000130710 Holdings — Global Atlantic BlackRock Global Allocation Managed Risk Portfolio

All 34 reported holdings of Global Atlantic BlackRock Global Allocation Managed Risk Portfolio (C000130710) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Blackrock Variable Series Funds, Inc.22.10%$27.27M
iShares Trust12.24%$15.11M
iShares Trust9.71%$11.99M
iShares Trust7.38%$9.11M
iShares Trust3.71%$4.58M
Ishares Inc3.45%$4.26M
Dreyfus Government Cash Management Funds3.34%$4.12M
iShares Trust3.27%$4.04M
iShares Trust3.00%$3.70M
iShares Trust2.90%$3.57M
iShares Trust2.51%$3.10M
iShares Trust2.49%$3.07M
iShares Trust2.45%$3.03M
iShares Trust2.45%$3.02M
iShares Trust2.03%$2.51M
iShares Trust1.96%$2.42M
iShares Trust1.95%$2.40M
iShares Trust1.90%$2.35M
iShares Trust1.54%$1.90M
iShares Trust1.52%$1.87M
Ishares Inc1.44%$1.78M
iShares Trust1.02%$1.26M
iShares Trust1.01%$1.25M
iShares Trust0.98%$1.21M
iShares Trust0.98%$1.21M
Ishares Inc0.97%$1.19M
Ishares Inc0.96%$1.18M
Fidelity Colchester Street Trust0.57%$702.65K
Chicago Mercantile Exchange Inc.0.02%$26.39K
Chicago Mercantile Exchange Inc.-0.00%$-1.26K
Ice Futures U.s., Inc.-0.00%$-1.85K
Chicago Mercantile Exchange Inc.-0.01%$-10.89K
Chicago Mercantile Exchange Inc.-0.01%$-13.99K
Ice Futures U.s., Inc.-0.03%$-31.86K

C000130710 overview: performance, fees, allocation and SEC filings