C000168421 Holdings — Victory RS Small Cap Growth Equity VIP Series

All 109 reported holdings of Victory RS Small Cap Growth Equity VIP Series (C000168421) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Fabrinet2.86%$1.54M
Applied Industrial Technologies, Inc.1.94%$1.04M
Varonis Systems, Inc.1.89%$1.01M
Spx Technologies, Inc.1.78%$959.13K
Primoris Services Corporation1.71%$916.57K
Q2 Holdings, Inc.1.68%$903.14K
Macom Technology Solutions Holdings, Inc.1.66%$891.26K
Wintrust Financial Corporation1.61%$867.86K
Wisdomtree, Inc.1.58%$849.32K
Mirion Technologies, Inc.1.49%$799.84K
Guardant Health, Inc.1.48%$793.61K
Adaptive Biotechnologies Corp1.46%$782.18K
Payoneer Global Inc1.40%$750.49K
Mueller Water Products, Inc.1.38%$742.84K
Balchem Corporation1.37%$735.50K
Onespaworld Holdings Ltd1.35%$727.72K
FTAI Aviation Ltd,1.35%$723.60K
Firstcash Holdings, Inc.1.32%$710.84K
Nextracker Inc1.31%$705.72K
Honest Company Inc1.29%$694.02K
Esco Technologies Inc.1.28%$688.81K
Five Below, Inc.1.28%$687.38K
Aci Worldwide, Inc.1.25%$670.75K
Euronet Worldwide, Inc.1.18%$635.65K
Freshworks Inc1.17%$630.69K
Semtech Corporation1.17%$629.70K
Wingstop Inc.1.17%$629.70K
Box, Inc.1.17%$627.02K
Powell Industries, Inc.1.16%$625.04K
Tecnoglass Inc.1.16%$623.52K
Servicetitan, Inc.1.15%$618.43K
Hinge Health Inc1.15%$617.69K
Radnet, Inc.1.12%$599.26K
Ascendis Pharma A/s1.11%$595.47K
Chart Industries, Inc.1.09%$584.51K
Universal Technical Institute, Inc.1.07%$577.15K
Credo Technology Group Holding Ltd1.07%$576.84K
Natural Grocers by Vitamin Cottage Inc1.06%$567.63K
Matador Resources Company1.04%$558.32K
Novanta Inc.1.02%$550.53K
Phreesia Inc0.97%$520.82K
Warby Parker, Inc.0.96%$518.43K
Vericel Corporation0.95%$508.13K
Moog Inc.0.94%$506.72K
Clearwater Analytics Holdings, Inc.0.94%$503.51K
Healthequity, Inc.0.90%$482.94K
Life360, Inc.0.89%$476.32K
Bridgebio Pharma, Inc.0.86%$462.03K
Casella Waste Systems, Inc.0.85%$454.60K
The Cheesecake Factory Incorporated0.84%$450.21K
Archrock Inc.0.83%$446.44K
Confluent, Inc.0.83%$444.25K
Arcellx Inc0.82%$443.17K
Twist Bioscience Corp0.81%$434.86K
Itron, Inc.0.80%$427.80K
Champion Homes, Inc.0.79%$422.62K
Ultragenyx Pharmaceutical Inc0.78%$417.41K
Invesco Government & Agency Portfolio0.77%$412.02K
Hsbc US Government Money Market Fund0.77%$412.02K
MSILF Government Portfolio0.77%$412.02K
Goldman Sachs Financial Square Government Fund0.77%$412.02K
Klaviyo Inc0.76%$409.34K
Palomar Holdings, Inc.0.76%$406.60K
Revolution Medicines Inc0.75%$404.69K
AnaptysBio Inc0.75%$400.49K
AvePoint Inc0.74%$395.47K
Aerovironment, Inc.0.73%$393.23K
Waystar Holding Corp0.73%$392.97K
Avient Corporation0.72%$388.37K
Glaukos Corporation0.71%$383.21K
GitLab Inc0.71%$382.53K
The Simply Good Foods Company0.70%$373.71K
Zurn Elkay Water Solutions Corporation0.69%$372.28K
Disc Medicine Inc0.69%$368.07K
The Vita Coco Company, Inc.0.68%$366.78K
Apogee Therapeutics Inc0.68%$364.81K
Commvault Systems, Inc.0.68%$364.35K
Irhythm Technologies, Inc.0.67%$360.27K
Braze Inc0.67%$359.96K
Korn Ferry0.66%$353.45K
Halozyme Therapeutics, Inc.0.65%$350.09K
Procept Biorobotics Corp0.64%$344.45K
SI-BONE Inc0.63%$340.27K
TWFG Inc0.61%$325.85K
Ollie's Bargain Outlet Holdings, Inc.0.60%$321.54K
Bitdeer Technologies Group0.59%$316.50K
IONQ Inc0.54%$291.77K
Permian Resources Corporation0.54%$291.06K
Badger Meter, Inc.0.54%$289.04K
Aaon, Inc.0.54%$288.36K
Appfolio, Inc.0.53%$283.70K
Viridian Therapeutics Inc0.52%$280.16K
Watts Water Technologies, Inc.0.51%$272.94K
National Storage Affiliates Trust0.50%$270.32K
Hims & Hers Health, Inc.0.50%$269.69K
Krystal Biotech Inc0.49%$261.17K
Lantheus Holdings, Inc.0.46%$248.04K
Merit Medical Systems, Inc.0.40%$216.87K
Crinetics Pharmaceuticals Inc0.40%$216.28K
Vaxcyte Inc0.40%$216.19K
Cyberark Software Ltd.0.40%$215.65K
Merus NV0.40%$213.03K
Paylocity Holding Corporation0.39%$211.99K
MoonLake Immunotherapeutics0.39%$210.51K
Spyre Therapeutics Inc0.38%$205.01K
Titan America SA0.37%$196.85K
Janux Therapeutics Inc0.28%$153.01K
Inspire Medical Systems Inc0.22%$119.39K
Walker & Dunlop, Inc.0.21%$112.06K

C000168421 overview: performance, fees, allocation and SEC filings