C000182233 Holdings — MainStay VP Indexed Bond Portfolio

All 630 reported holdings of MainStay VP Indexed Bond Portfolio (C000182233) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Gnma1.60%$3.80M
Gnma1.52%$3.61M
United States of America1.49%$3.56M
United States of America1.47%$3.51M
United States of America1.32%$3.15M
Bank of America Corp.1.29%$3.06M
United States of America1.27%$3.02M
United States of America1.25%$2.98M
United Mexican States1.08%$2.57M
iShares iBoxx $ Investment Grade Corporate Bond ETF1.00%$2.37M
United States of America0.99%$2.37M
United States of America0.97%$2.31M
United States of America0.97%$2.30M
United States of America0.96%$2.29M
United States of America0.96%$2.28M
United States of America0.95%$2.26M
United States of America0.92%$2.20M
United States of America0.89%$2.11M
Oracle Corp.0.87%$2.08M
Fnma0.85%$2.03M
United States of America0.83%$1.96M
Fhlmc0.80%$1.91M
Fnma0.78%$1.85M
United States of America0.76%$1.80M
FHLMC Pool0.73%$1.74M
United States of America0.71%$1.70M
Fnma0.71%$1.69M
FHLMC Pool0.70%$1.67M
United States of America0.70%$1.66M
United States of America0.69%$1.64M
Fnma0.67%$1.60M
FHLMC Pool0.66%$1.57M
Fnma0.66%$1.57M
Fnma0.65%$1.55M
United States of America0.65%$1.55M
Fnma0.65%$1.54M
United States of America0.65%$1.54M
United States of America0.63%$1.51M
United States of America0.63%$1.50M
United States of America0.61%$1.44M
United States of America0.59%$1.41M
United States of America0.59%$1.41M
Fnma0.58%$1.37M
Fnma0.57%$1.35M
Fnma0.57%$1.35M
Morgan Stanley0.56%$1.34M
United States of America0.56%$1.33M
United States of America0.55%$1.32M
Fnma0.54%$1.29M
Fnma0.54%$1.28M
Lloyds Banking Group plc0.53%$1.25M
United States of America0.52%$1.24M
Fnma0.51%$1.22M
United States of America0.51%$1.21M
Province of Ontario Canada0.50%$1.18M
Gnma0.47%$1.13M
FNMA or FHLMC0.47%$1.12M
FNMA or FHLMC0.47%$1.12M
United States of America0.47%$1.12M
Fnma0.46%$1.10M
United States of America0.46%$1.09M
Citigroup, Inc.0.46%$1.09M
United States of America0.45%$1.07M
Fnma0.44%$1.05M
Ffcb0.44%$1.05M
FHLMC Pool0.43%$1.01M
United States of America0.41%$975.19K
Fnma0.39%$923.36K
United States of America0.38%$907.45K
United States of America0.38%$898.21K
United States of America0.37%$881.15K
Xcel Energy, Inc.0.37%$875.19K
State Street Corp.0.36%$851.28K
Fnma0.36%$850.97K
United States of America0.36%$848.54K
JPMorgan Chase & Co.0.35%$833.43K
MetLife, Inc.0.34%$809.07K
United States of America0.34%$805.38K
Province of Quebec Canada0.34%$802.43K
United States of America0.33%$782.98K
United States of America0.32%$757.71K
Republic of Panama0.31%$744.17K
Burlington Northern Santa Fe LLC0.31%$738.78K
United States of America0.31%$732.47K
United States of America0.30%$715.89K
United States of America0.30%$710.47K
United States of America0.30%$709.68K
Fnma0.30%$709.81K
Goldman Sachs Group, Inc. (The)0.29%$687.25K
United States of America0.29%$684.09K
Apple, Inc.0.29%$682.98K
United States of America0.28%$670.39K
United States of America0.28%$665.27K
United States of America0.27%$650.93K
Republic of the Philippines0.26%$618.75K
Comcast Corp.0.26%$615.20K
United States of America0.26%$609.26K
United States of America0.25%$600.31K
HSBC Holdings plc0.25%$591.27K
Kinder Morgan, Inc.0.25%$587.31K
United States of America0.24%$579.85K
United States of America0.24%$574.32K
United States of America0.24%$567.92K
Anheuser-Busch InBev Worldwide, Inc.0.24%$565.95K
Japan Bank for International Cooperation0.24%$561.77K
Fnma0.24%$560.53K
Wells Fargo & Co.0.23%$554.68K
Boeing Co. (The)0.23%$551.59K
Fnma0.23%$551.34K
JPMorgan Chase & Co.0.23%$548.62K
European Investment Bank0.22%$527.86K
Wells Fargo & Co.0.22%$515.76K
Suzano International Finance BV0.22%$514.29K
United States of America0.21%$507.93K
United States of America0.21%$506.80K
United States of America0.21%$505.57K
Amazon.com, Inc.0.21%$503.13K
United States of America0.21%$502.70K
Verizon Communications, Inc.0.21%$502.41K
United States of America0.21%$500.25K
Mosaic Co. (The)0.21%$500.14K
Enterprise Products Operating LLC0.21%$497.23K
Fnma0.20%$485.71K
United States of America0.20%$476.65K
DuPont de Nemours, Inc.0.20%$469.17K
United States of America0.19%$459.41K
United States of America0.19%$457.59K
United States of America0.19%$456.17K
International Business Machines Corp.0.19%$451.94K
Consolidated Edison Co. of New York, Inc.0.19%$445.21K
Fnma0.19%$443.63K
Fnma0.19%$440.69K
United States of America0.18%$427.87K
AT&T, Inc.0.18%$427.34K
NVIDIA Corp.0.18%$425.32K
T-Mobile USA, Inc.0.18%$418.16K
Morgan Stanley0.18%$417.01K
Equinor ASA0.17%$414.82K
United States of America0.17%$414.09K
Goldman Sachs Group, Inc. (The)0.17%$410.01K
Broadcom, Inc.0.17%$409.65K
Berkshire Hathaway Finance Corp.0.17%$403.68K
United Parcel Service, Inc.0.17%$401.02K
Fnma0.16%$390.91K
American International Group, Inc.0.16%$389.83K
United States of America0.16%$388.14K
United States of America0.16%$377.67K
United States of America0.16%$377.46K
Fnma0.16%$377.25K
Pfizer, Inc.0.16%$376.38K
United States of America0.16%$375.66K
Bank of America Corp.0.16%$372.62K
United States of America0.15%$368.72K
Charter Communications Operating LLC0.15%$366.78K
Fnma0.15%$352.70K
Virginia Electric and Power Co.0.15%$352.06K
Caterpillar, Inc.0.15%$350.73K
United States of America0.15%$348.54K
United Mexican States0.14%$344.88K
MidAmerican Energy Co.0.14%$338.89K
Johnson & Johnson0.14%$337.79K
AbbVie, Inc.0.14%$333.85K
Deutsche Telekom International Finance BV0.14%$332.08K
Paramount Global0.14%$332.02K
HSBC Holdings plc0.14%$330.19K
Walmart, Inc.0.14%$324.19K
Northrop Grumman Systems Corp.0.14%$322.37K
Dell International LLC0.13%$320.24K
GlaxoSmithKline Capital, Inc.0.13%$318.57K
Laboratory Corp. of America Holdings0.13%$318.10K
Sherwin-Williams Co. (The)0.13%$317.88K
Republic Services, Inc.0.13%$317.49K
United States of America0.13%$314.20K
Southern Co. (The)0.13%$313.92K
Canadian National Railway Co.0.13%$313.64K
Waste Management, Inc.0.13%$312.66K
Sysco Corp.0.13%$311.77K
JPMorgan Chase & Co.0.13%$311.52K
BP Capital Markets America, Inc.0.13%$311.45K
Aetna, Inc.0.13%$310.89K
CVS Health Corp.0.13%$310.33K
United States of America0.13%$309.75K
Entergy Louisiana LLC0.13%$309.41K
United States of America0.13%$306.53K
Duke Energy Carolinas LLC0.13%$303.73K
United States of America0.13%$302.51K
United States of America0.13%$302.02K
Abbott Laboratories0.12%$295.28K
Nutrien Ltd.0.12%$294.58K
Citigroup Commercial Mortgage Trust0.12%$293.59K
United States of America0.12%$292.29K
AstraZeneca plc0.12%$292.32K
Applied Materials, Inc.0.12%$291.79K
CFCRE Commercial Mortgage Trust0.12%$290.72K
GS Mortgage Securities Trust0.12%$289.26K
Fnma0.12%$288.37K
Citigroup Commercial Mortgage Trust0.12%$287.90K
Allstate Corp. (The)0.12%$287.68K
CSAIL Commercial Mortgage Trust0.12%$283.64K
Fhlmc0.12%$283.42K
Elevance Health, Inc.0.12%$283.31K
Wells Fargo Commercial Mortgage Trust0.12%$283.21K
Intel Corp.0.12%$282.35K
Fnma0.12%$282.50K
United States of America0.12%$280.42K
UnitedHealth Group, Inc.0.12%$278.72K
CenterPoint Energy Houston Electric LLC0.12%$277.14K
Barclays plc0.11%$273.65K
Fhlmc0.11%$272.48K
United States of America0.11%$272.35K
Clorox Co. (The)0.11%$272.49K
Gnma0.11%$271.94K
RTX Corp.0.11%$271.00K
Stryker Corp.0.11%$271.06K
Procter & Gamble Co. (The)0.11%$270.73K
Eaton Corp.0.11%$270.46K
Kimberly-Clark Corp.0.11%$270.14K
NiSource, Inc.0.11%$270.18K
LYB International Finance II BV0.11%$269.50K
ERP Operating LP0.11%$268.53K
Ecolab, Inc.0.11%$267.98K
Shell International Finance BV0.11%$266.59K
Fnma0.11%$262.17K
Gnma0.11%$260.80K
United States of America0.11%$258.13K
Boeing Co. (The)0.11%$250.60K
United States of America0.11%$250.51K
Fnma0.10%$245.47K
Enbridge, Inc.0.10%$243.75K
Enterprise Products Operating LLC0.10%$242.86K
Sempra0.10%$239.86K
Microsoft Corp.0.10%$237.85K
Kinder Morgan, Inc.0.10%$237.84K
Starbucks Corp.0.10%$236.96K
Phillips 66 Co.0.10%$234.57K
Gnma0.10%$233.69K
United States of America0.10%$233.58K
Southern California Edison Co.0.10%$232.25K
Home Depot, Inc. (The)0.10%$229.12K
General Motors Financial Co., Inc.0.10%$228.70K
Citigroup, Inc.0.10%$228.52K
Cooperatieve Rabobank UA0.10%$227.10K
Simon Property Group LP0.10%$226.68K
Fnma0.09%$224.12K
Merck & Co., Inc.0.09%$221.62K
Ohio Power Co.0.09%$220.16K
ConocoPhillips Co.0.09%$218.78K
Gilead Sciences, Inc.0.09%$215.54K
Oracle Corp.0.09%$214.20K
DTE Electric Co.0.09%$213.68K
Microsoft Corp.0.09%$212.92K
Bank of America Corp.0.09%$212.61K
Gnma0.09%$211.72K
Fnma0.09%$211.19K
AvalonBay Communities, Inc.0.09%$210.01K
United States of America0.09%$208.00K
Fhlmc0.09%$207.74K
Kroger Co. (The)0.09%$204.81K
Gnma0.09%$204.61K
Fnma0.09%$204.43K
United States of America0.09%$204.35K
Kraft Heinz Foods Co.0.09%$203.56K
United States of America0.08%$202.11K
Fnma0.08%$201.61K
EOG Resources, Inc.0.08%$201.53K
Medtronic, Inc.0.08%$200.72K
United States of America0.08%$200.70K
United States of America0.08%$197.35K
Fhlmc0.08%$196.08K
Visa, Inc.0.08%$195.66K
NVIDIA Corp.0.08%$194.47K
United States of America0.08%$194.32K
Dell International LLC0.08%$193.18K
Fifth Third Bancorp0.08%$192.14K
Fhlmc0.08%$191.98K
Exxon Mobil Corp.0.08%$191.60K
AT&T, Inc.0.08%$190.90K
United States of America0.08%$184.82K
Abbott Laboratories0.08%$184.88K
AbbVie, Inc.0.08%$184.34K
United States of America0.08%$183.40K
Energy Transfer LP0.08%$180.68K
Gnma0.08%$180.10K
United States of America0.07%$177.11K
Gnma0.07%$177.04K
Fnma0.07%$176.64K
Fnma0.07%$176.38K
Nomura Holdings, Inc.0.07%$176.08K
Coca-Cola Co. (The)0.07%$176.12K
Cigna Group (The)0.07%$174.23K
Citigroup, Inc.0.07%$171.22K
Target Corp.0.07%$169.94K
Warnermedia Holdings, Inc.0.07%$168.14K
Fnma0.07%$167.97K
Union Pacific Corp.0.07%$163.76K
Walt Disney Co. (The)0.07%$163.05K
Deere & Co.0.07%$161.17K
Fnma0.07%$160.29K
AT&T, Inc.0.07%$159.42K
Vodafone Group plc0.07%$158.53K
Commonwealth Edison Co.0.07%$158.60K
CFCRE Commercial Mortgage Trust0.07%$158.24K
Public Service Electric and Gas Co.0.07%$158.14K
Capital One Financial Corp.0.07%$156.47K
Amgen, Inc.0.07%$156.19K
United States of America0.07%$155.13K
Lowe's Cos., Inc.0.07%$155.08K
Gnma0.07%$154.73K
United States of America0.06%$153.39K
United States of America0.06%$152.56K
Hess Corp.0.06%$150.03K
Florida Power & Light Co.0.06%$150.03K
Gnma0.06%$148.97K
Alibaba Group Holding Ltd.0.06%$147.96K
HCA, Inc.0.06%$147.55K
Gnma0.06%$146.96K
Tyson Foods, Inc.0.06%$146.75K
General Motors Financial Co., Inc.0.06%$146.05K
Gnma0.06%$145.38K
United States of America0.06%$144.92K
Fhlmc0.06%$144.60K
Realty Income Corp.0.06%$143.90K
United States of America0.06%$143.18K
Fhlmc0.06%$142.25K
Fhlmc0.06%$141.89K
Gnma0.06%$140.76K
TransCanada PipeLines Ltd.0.06%$140.39K
Canadian Natural Resources Ltd.0.06%$139.67K
Gnma0.06%$139.35K
Fhlmc0.06%$137.71K
Barrick North America Finance LLC0.06%$137.13K
Fhlmc0.06%$136.92K
Telefonica Emisiones SA0.06%$136.36K
Fhlmc0.06%$135.96K
Eli Lilly & Co.0.06%$134.92K
Gnma0.06%$134.89K
Fnma0.06%$134.65K
Mplx LP0.05%$130.11K
Gnma0.05%$129.68K
Norfolk Southern Corp.0.05%$129.77K
General Motors Financial Co., Inc.0.05%$129.72K
Dow Chemical Co. (The)0.05%$128.75K
Prudential Financial, Inc.0.05%$128.19K
Constellation Brands, Inc.0.05%$127.12K
AerCap Ireland Capital DAC0.05%$125.43K
American Tower Corp.0.05%$124.77K
Gnma0.05%$123.00K
Fhlmc0.05%$122.60K
Fnma0.05%$121.74K
3M Co.0.05%$119.92K
Gnma0.05%$119.63K
Lockheed Martin Corp.0.05%$119.23K
Fnma0.05%$118.98K
CSX Corp.0.05%$118.06K
QUALCOMM, Inc.0.05%$117.31K
Fnma0.05%$116.60K
Discovery Communications LLC0.05%$115.25K
Fhlmc0.05%$114.91K
Kinder Morgan, Inc.0.05%$111.79K
Newmont Corp.0.05%$111.98K
PPL Electric Utilities Corp.0.05%$111.01K
Verizon Communications, Inc.0.05%$110.28K
Gnma0.05%$109.92K
Fnma0.05%$108.97K
Fhlmc0.05%$108.22K
Fhlmc0.05%$107.51K
Prudential Financial, Inc.0.04%$106.84K
KLA Corp.0.04%$104.33K
Fhlmc0.04%$104.25K
Charter Communications Operating LLC0.04%$102.83K
Fnma0.04%$102.77K
Fhlmc0.04%$102.55K
Fnma0.04%$101.90K
Fnma0.04%$101.46K
Fhlmc0.04%$101.04K
Fhlmc0.04%$100.24K
Unilever Capital Corp.0.04%$99.09K
Fnma0.04%$98.12K
Intel Corp.0.04%$97.06K
Gnma0.04%$97.07K
Fnma0.04%$96.80K
Fnma0.04%$95.82K
Fnma0.04%$95.52K
General Mills, Inc.0.04%$95.11K
Keurig Dr Pepper, Inc.0.04%$94.80K
PayPal Holdings, Inc.0.04%$94.76K
Fnma0.04%$94.48K
Fnma0.04%$94.59K
Fnma0.04%$93.93K
Duke Energy Corp.0.04%$93.94K
Fhlmc0.04%$94.05K
Newmont Corp.0.04%$93.10K
Fiserv, Inc.0.04%$92.82K
AEP Texas, Inc.0.04%$92.81K
Parker-Hannifin Corp.0.04%$92.25K
Gnma0.04%$91.98K
FHLMC Pool0.04%$91.61K
Duke Energy Corp.0.04%$89.95K
Fnma0.04%$89.46K
Fnma0.04%$89.06K
Fhlmc0.04%$88.66K
Gnma0.04%$88.09K
General Electric Co.0.04%$87.91K
Johnson Controls International plc0.04%$87.75K
Fnma0.04%$87.70K
Fhlmc0.04%$86.24K
Fnma0.04%$85.80K
Fox Corp.0.04%$84.75K
Fnma0.04%$84.09K
Fnma0.03%$82.90K
T-Mobile USA, Inc.0.03%$82.71K
Mylan, Inc.0.03%$82.19K
Molson Coors Beverage Co.0.03%$81.96K
NIKE, Inc.0.03%$81.09K
Fhlmc0.03%$81.02K
Fnma0.03%$80.20K
Fhlmc0.03%$79.71K
Fnma0.03%$79.28K
ONEOK, Inc.0.03%$79.38K
BP Capital Markets America, Inc.0.03%$78.94K
Fidelity National Information Services, Inc.0.03%$78.52K
HCA, Inc.0.03%$78.60K
Fnma0.03%$78.15K
Fnma0.03%$76.40K
Fnma0.03%$76.16K
Boston Scientific Corp.0.03%$76.18K
Nxp Bv0.03%$75.90K
Morgan Stanley0.03%$75.70K
Fhlmc0.03%$75.27K
RTX Corp.0.03%$75.22K
Gnma0.03%$74.92K
General Motors Co.0.03%$74.45K
FedEx Corp.0.03%$73.98K
Gnma0.03%$74.15K
McDonald's Corp.0.03%$73.49K
Gnma0.03%$73.68K
Fnma0.03%$72.25K
Fnma0.03%$71.59K
Fhlmc0.03%$71.75K
GS Mortgage Securities Trust0.03%$70.71K
Fhlmc0.03%$70.82K
Fhlmc0.03%$70.40K
Fhlmc0.03%$70.28K
Gnma0.03%$70.08K
Fnma0.03%$69.76K
Fnma0.03%$69.53K
Gnma0.03%$69.53K
Dell International LLC0.03%$69.61K
Crown Castle, Inc.0.03%$67.65K
Verizon Communications, Inc.0.03%$67.12K
FedEx Corp.0.03%$66.36K
Fnma0.03%$66.21K
Fnma0.03%$66.17K
Fnma0.03%$65.95K
Fhlmc0.03%$63.41K
Fnma0.03%$63.15K
Fhlmc0.03%$62.79K
Fhlmc0.03%$62.78K
Fnma0.03%$61.21K
Fhlmc0.03%$61.08K
Fnma0.03%$60.86K
Fhlmc0.03%$60.21K
Bristol-Myers Squibb Co.0.03%$59.59K
Gnma0.03%$59.59K
Fhlmc0.03%$59.56K
Union Pacific Corp.0.02%$58.43K
Oracle Corp.0.02%$58.07K
Fnma0.02%$57.84K
Morgan Stanley0.02%$57.66K
Fhlmc0.02%$57.16K
Fnma0.02%$56.88K
Fnma0.02%$56.76K
Fhlmc0.02%$54.42K
Fnma0.02%$53.24K
Gnma0.02%$52.99K
Gnma0.02%$52.12K
Gnma0.02%$49.57K
Allergan Funding SCS0.02%$49.39K
Dow Chemical Co. (The)0.02%$48.97K
Gnma0.02%$48.04K
CVS Health Corp.0.02%$47.91K
Williams Cos., Inc. (The)0.02%$47.22K
Fnma0.02%$46.40K
Fhlmc0.02%$46.27K
Gnma0.02%$44.89K
Fnma0.02%$45.08K
Gnma0.02%$45.12K
Fhlmc0.02%$44.77K
Fhlmc0.02%$44.25K
Salesforce, Inc.0.02%$43.69K
Fhlmc0.02%$42.76K
HP, Inc.0.02%$42.96K
Fnma0.02%$42.65K
Fnma0.02%$42.27K
Gnma0.02%$42.03K
Fnma0.02%$41.92K
Fnma0.02%$41.54K
Fnma0.02%$40.37K
Fnma0.02%$40.27K
Fhlmc0.02%$40.03K

C000182233 overview: performance, fees, allocation and SEC filings