C000131265 Holdings — LVIP American Century Select Mid Cap Managed Volatility Fund

All 219 reported holdings of LVIP American Century Select Mid Cap Managed Volatility Fund (C000131265) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Institutional US Government Money Market Fund5.26%$22.99M
Zimmer Biomet Holdings Inc1.89%$8.25M
Baker Hughes Co1.69%$7.39M
Henry Schein Inc1.51%$6.59M
Evergy Inc1.43%$6.24M
Commerce Bancshares Inc/MO1.43%$6.24M
Marsh & McLennan Cos Inc1.37%$5.99M
Labcorp Holdings Inc1.35%$5.88M
Xcel Energy Inc1.33%$5.83M
Packaging Corp of America1.29%$5.65M
Reinsurance Group of America Inc1.29%$5.64M
L3Harris Technologies Inc1.29%$5.63M
Bunzl PLC1.25%$5.46M
CSX Corp1.18%$5.16M
ONE Gas Inc1.17%$5.12M
Becton Dickinson & Co1.13%$4.96M
Enterprise Products Partners LP1.13%$4.94M
Realty Income Corp1.10%$4.82M
Northern Trust Corp1.09%$4.74M
MSC Industrial Direct Co Inc1.08%$4.73M
Willis Towers Watson PLC1.08%$4.72M
Equity Residential1.06%$4.65M
GE HealthCare Technologies Inc1.06%$4.64M
Prosperity Bancshares Inc1.04%$4.57M
Diamondback Energy Inc0.97%$4.23M
Kenvue Inc0.95%$4.17M
US Bancorp0.94%$4.09M
Kimberly-Clark Corp0.93%$4.08M
Truist Financial Corp0.91%$3.97M
F5 Inc0.87%$3.80M
Teradyne Inc0.87%$3.79M
Phillips 660.83%$3.63M
Koninklijke Ahold Delhaize NV0.82%$3.59M
Allstate Corp/The0.80%$3.50M
Eversource Energy0.79%$3.43M
Hilton Worldwide Holdings Inc0.78%$3.41M
Norfolk Southern Corp0.78%$3.39M
Northwestern Energy Group Inc0.77%$3.38M
Infineon Technologies AG0.77%$3.38M
Quest Diagnostics Inc0.77%$3.37M
Universal Health Services Inc0.77%$3.37M
Medtronic PLC0.77%$3.36M
Duke Energy Corp0.77%$3.34M
IQVIA Holdings Inc0.76%$3.31M
Howmet Aerospace Inc0.72%$3.14M
Amdocs Ltd0.70%$3.07M
PulteGroup Inc0.69%$3.02M
Vertiv Holdings Co0.68%$2.96M
Cognizant Technology Solutions Corp0.68%$2.96M
Spire Inc0.67%$2.92M
A O Smith Corp0.66%$2.91M
American Tower Corp0.65%$2.86M
PPL Corp0.65%$2.85M
Akamai Technologies Inc0.65%$2.83M
Ventas Inc0.63%$2.77M
Reliance Inc0.61%$2.68M
Public Storage0.61%$2.65M
Cencora Inc0.60%$2.62M
Cummins Inc0.59%$2.59M
Envista Holdings Corp0.59%$2.58M
Healthpeak Properties Inc0.59%$2.56M
Amrize Ltd0.58%$2.55M
Ameriprise Financial Inc0.58%$2.52M
PPG Industries Inc0.58%$2.52M
SLB Ltd0.58%$2.52M
Royal Caribbean Cruises Ltd0.56%$2.47M
Timken Co/The0.55%$2.42M
Sensata Technologies Holding PLC0.55%$2.38M
Coterra Energy Inc0.54%$2.36M
Heineken NV0.53%$2.33M
Daikin Industries Ltd0.52%$2.27M
First Hawaiian Inc0.52%$2.26M
T Rowe Price Group Inc0.52%$2.25M
NXP Semiconductors NV0.52%$2.25M
Cloudflare Inc0.51%$2.25M
HP Inc0.51%$2.25M
Owens Corning0.51%$2.23M
CDW Corp/DE0.49%$2.13M
Quanta Services Inc0.48%$2.11M
Republic Services Inc0.47%$2.07M
Oshkosh Corp0.47%$2.06M
Mondelez International Inc0.47%$2.04M
EQT Corp0.44%$1.94M
Westamerica BanCorp0.43%$1.89M
Masco Corp0.43%$1.89M
Gentex Corp0.43%$1.86M
Ralliant Corp0.42%$1.85M
Sysco Corp0.42%$1.85M
BorgWarner Inc0.42%$1.85M
Alnylam Pharmaceuticals Inc0.42%$1.84M
Monolithic Power Systems Inc0.41%$1.81M
ONEOK Inc0.41%$1.78M
Targa Resources Corp0.41%$1.78M
Sunbelt Rentals Holdings Inc0.40%$1.76M
Fortive Corp0.40%$1.76M
Southwest Airlines Co0.40%$1.75M
Waters Corp0.39%$1.70M
Dexcom Inc0.38%$1.64M
PACCAR Inc0.37%$1.63M
Cie Generale des Etablissements Michelin SCA0.37%$1.61M
Mohawk Industries Inc0.37%$1.61M
Pernod Ricard SA0.36%$1.58M
Publicis Groupe SA0.36%$1.57M
Toro Co/The0.36%$1.55M
Sodexo SA0.34%$1.48M
Fastenal Co0.34%$1.48M
Henkel AG & Co KGaA0.34%$1.47M
Tractor Supply Co0.34%$1.47M
CareTrust REIT Inc0.33%$1.46M
VICI Properties Inc0.33%$1.46M
Raymond James Financial Inc0.33%$1.44M
Burlington Stores Inc0.32%$1.41M
Hanover Insurance Group Inc/The0.32%$1.40M
Agree Realty Corp0.32%$1.38M
Insulet Corp0.31%$1.36M
Vontier Corp0.31%$1.35M
Hexcel Corp0.30%$1.33M
Regency Centers Corp0.30%$1.31M
Insmed Inc0.30%$1.29M
Carvana Co0.29%$1.27M
Natera Inc0.29%$1.25M
TE Connectivity PLC0.29%$1.25M
Target Corp0.28%$1.24M
West Pharmaceutical Services Inc0.28%$1.23M
Corpay Inc0.28%$1.23M
Vulcan Materials Co0.28%$1.22M
Casey's General Stores Inc0.28%$1.22M
Datadog Inc0.28%$1.21M
Stanley Black & Decker Inc0.28%$1.21M
ROBLOX Corp0.28%$1.20M
EMCOR Group Inc0.27%$1.19M
Vistra Corp0.27%$1.18M
LPL Financial Holdings Inc0.26%$1.14M
IDEX Corp0.26%$1.14M
Clorox Co/The0.25%$1.10M
Essex Property Trust Inc0.24%$1.07M
Iron Mountain Inc0.24%$1.06M
Bio-Techne Corp0.23%$1.01M
Dover Corp0.22%$957.83K
Fair Isaac Corp0.22%$947.98K
Bank of New York Mellon Corp/The0.22%$940.50K
Lattice Semiconductor Corp0.21%$919.81K
Axon Enterprise Inc0.20%$886.33K
XPO Inc0.20%$859.91K
WESCO International Inc0.19%$840.01K
HEICO Corp0.19%$839.33K
Samsara Inc0.19%$835.73K
Curtiss-Wright Corp0.19%$824.84K
Johnson Controls International plc0.18%$803.51K
Viking Therapeutics Inc0.18%$792.12K
Rocket Lab Corp0.18%$791.45K
Toast Inc0.18%$785.57K
Cadence Design Systems Inc0.18%$781.93K
Spotify Technology SA0.18%$778.77K
Magnum Ice Cream Co NV/The0.17%$728.74K
Permian Resources Corp0.17%$725.90K
On Holding AG0.16%$710.51K
Twilio Inc0.16%$706.73K
Okta Inc0.16%$704.14K
Viking Holdings Ltd0.16%$701.59K
Expand Energy Corp0.15%$674.49K
Crane Co0.14%$628.94K
NU Holdings Ltd/Cayman Islands0.14%$622.87K
Flutter Entertainment PLC0.14%$604.67K
CACI International Inc0.14%$599.34K
Expedia Group Inc0.13%$588.77K
Structure Therapeutics Inc0.13%$573.97K
Coupang Inc0.12%$545.05K
Zscaler Inc0.12%$514.30K
Affirm Holdings Inc0.12%$512.22K
Snowflake Inc0.12%$510.37K
ON Semiconductor Corp0.12%$505.58K
TopBuild Corp0.12%$505.17K
Reddit Inc0.11%$473.83K
Hubbell Inc0.10%$458.84K
Ciena Corp0.10%$455.01K
Everpure Inc0.10%$452.13K
IDEXX Laboratories Inc0.10%$443.33K
Tapestry Inc0.10%$417.12K
HubSpot Inc0.09%$408.38K
Cameco Corp0.09%$398.49K
Coherent Corp0.08%$371.13K
Chipotle Mexican Grill Inc0.08%$351.53K
Colgate-Palmolive Co0.08%$335.81K
Capstone Copper Corp0.08%$334.00K
Astera Labs Inc0.07%$323.10K
MSCI Inc0.07%$311.55K
Sprouts Farmers Market Inc0.07%$309.91K
Reckitt Benckiser Group PLC0.07%$306.41K
DoorDash Inc0.07%$295.19K
ABM Industries Inc0.06%$272.91K
Bright Horizons Family Solutions Inc0.05%$204.91K
MP Materials Corp0.05%$202.64K
Church & Dwight Co Inc0.04%$170.59K
Wingstop Inc0.03%$124.29K
Duolingo Inc0.02%$108.03K
Chicago Mercantile Exchange0.02%$66.16K
Bank of America NA0.01%$46.01K
Goldman Sachs & Co. LLC0.01%$43.83K
Citibank NA0.01%$24.54K
Goldman Sachs & Co. LLC0.01%$23.09K
Ubs AG0.01%$23.22K
Morgan Stanley & Co. LLC0.00%$21.57K
Morgan Stanley & Co. LLC0.00%$3.55K
Bank of America NA0.00%$880
Bank of America NA0.00%$587
JPMorgan Chase Bank NA0.00%$44
Bank of America NA-0.00%$-634
Bank of America NA-0.00%$-565
Bank of America NA-0.00%$-312
Chicago Mercantile Exchange-0.00%$-763
Chicago Mercantile Exchange-0.00%$-1.72K
ICE Futures Europe - Financial Products Division-0.00%$-3.21K
Chicago Mercantile Exchange-0.00%$-4.22K
JPMorgan Chase Bank NA-0.00%$-6.09K
Osaka Exchange-0.00%$-6.24K
Eurex Deutschland-0.00%$-20.45K
Chicago Mercantile Exchange-0.01%$-54.97K
Chicago Mercantile Exchange-0.01%$-59.01K

C000131265 overview: performance, fees, allocation and SEC filings