C000169898 Holdings — Guardian Mid Cap Traditional Growth VIP Fund

All 80 reported holdings of Guardian Mid Cap Traditional Growth VIP Fund (C000169898) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Flex Ltd5.36%$2.12M
Ferguson Enterprises Inc3.45%$1.36M
ON Semiconductor Corp3.21%$1.27M
JB Hunt Transport Services Inc2.89%$1.14M
Revvity Inc2.85%$1.13M
Teledyne Technologies Inc2.70%$1.07M
LPL Financial Holdings Inc2.68%$1.06M
DoorDash Inc2.60%$1.03M
Aramark2.50%$986.08K
API Group Corp2.45%$969.22K
NXP Semiconductors NV2.42%$954.66K
Alliant Energy Corp2.41%$949.96K
KLA Corp2.37%$934.70K
Sensata Technologies Holding PLC2.27%$897.32K
Waters Corp2.02%$795.83K
Liberty Media Corp-Liberty Formula One2.01%$793.85K
Gildan Activewear Inc1.92%$757.23K
WEX Inc1.87%$738.47K
Ameren Corp1.77%$698.70K
Constellation Software Inc/Canada1.71%$675.85K
Ingersoll Rand Inc1.70%$673.06K
Ryanair Holdings PLC1.70%$672.11K
Teleflex Inc1.68%$665.11K
Corteva Inc1.63%$644.49K
RB Global Inc1.62%$641.06K
DTE Energy Co1.49%$588.91K
Canadian Pacific Kansas City Ltd1.46%$574.75K
Fixed Income Clearing Corp.1.37%$540.58K
Argenx SE1.33%$525.12K
PTC Inc1.30%$514.09K
Cimpress PLC1.29%$510.13K
Boston Scientific Corp1.23%$486.68K
TFI International Inc1.19%$470.19K
Clean Harbors Inc1.10%$435.88K
Wayfair Inc1.10%$435.30K
Illumina Inc0.96%$378.56K
TE Connectivity PLC0.96%$377.21K
ICU Medical Inc0.86%$339.53K
CDW Corp/DE0.84%$330.79K
Burlington Stores Inc0.84%$330.11K
Rentokil Initial PLC0.82%$322.86K
Cooper Cos Inc/The0.82%$322.69K
StandardAero Inc0.80%$314.47K
Revolution Medicines Inc0.80%$314.07K
CarMax Inc0.79%$313.11K
Steris PLC0.78%$306.59K
Globus Medical Inc0.77%$303.64K
AppLovin Corp0.72%$283.38K
Veralto Corp0.70%$278.01K
Willis Towers Watson PLC0.70%$277.31K
Vaxcyte Inc0.69%$270.89K
CoStar Group Inc0.69%$270.48K
FirstService Corp0.67%$264.32K
TransUnion0.67%$263.82K
UL Solutions Inc0.65%$257.60K
Bridgebio Pharma Inc0.63%$248.39K
Cboe Global Markets Inc0.60%$236.85K
Lamar Advertising Co0.59%$231.79K
Charles Schwab Corp/The0.58%$229.94K
SPX Technologies Inc0.56%$221.63K
Madrigal Pharmaceuticals Inc0.56%$221.22K
Lantheus Holdings Inc0.56%$219.33K
Ascendis Pharma A/S0.54%$212.31K
Broadridge Financial Solutions Inc0.53%$207.62K
Medline Inc0.52%$205.76K
Praxis Precision Medicines Inc0.52%$204.89K
CAE Inc0.51%$201.86K
Verisk Analytics Inc0.51%$200.18K
Dynatrace Inc0.51%$199.88K
Dollar Tree Inc0.47%$184.81K
ONEOK Inc0.45%$177.53K
Innio NV0.43%$171.37K
Glaukos Corp0.43%$168.41K
Descartes Systems Group Inc/The0.41%$161.26K
Rentokil Initial PLC0.38%$151.30K
Entain PLC0.38%$151.22K
Arxis Inc0.38%$148.16K
Ziff Davis Inc0.37%$146.48K
Topicus.com Inc0.29%$116.42K
Liberty Media Corp-Liberty Formula One0.27%$107.50K

C000169898 overview: performance, fees, allocation and SEC filings