C000186848 Holdings — Power Dividend Index VIT Fund

All 51 reported holdings of Power Dividend Index VIT Fund (C000186848) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Nrg Energy, Inc.2.41%$215.73K
Vistra Corp.2.28%$204.00K
Amcor PLC2.26%$202.36K
Abbvie, Inc.2.23%$199.30K
Citizens Financial Group, Inc.2.15%$192.20K
Fifth Third Bancorp2.13%$190.76K
Progressive Corp. (the)2.13%$190.71K
T. Rowe Price Group, Inc.2.13%$190.32K
M&t Bank Corp.2.12%$189.46K
US Bancorp2.12%$189.41K
Pnc Financial Services Group, Inc. (the)2.11%$188.60K
Regions Financial Corp.2.11%$188.27K
Cvs Health Corp.2.10%$188.07K
Huntington Bancshares, Inc.2.10%$187.58K
Keycorp2.09%$186.84K
State Street Corp.2.09%$186.73K
Fidelity Colchester Street Trust2.08%$186.02K
Bristol-Myers Squibb Company2.07%$184.67K
W. R. Berkley Corp.2.06%$184.37K
International Business Machines Corp.2.06%$183.91K
Expand Energy Corp.2.05%$183.47K
Tractor Supply Company2.05%$183.05K
Prudential Financial, Inc.2.04%$182.83K
Constellation Energy Corp.2.04%$182.55K
Comcast Corp.2.04%$182.48K
Target Corp.2.03%$181.81K
Unitedhealth Group, Inc.2.03%$181.63K
Kinder Morgan, Inc.2.00%$178.90K
Truist Financial Corp.2.00%$178.41K
Fidelity National Information Services, Inc.1.99%$177.76K
Fidelity National Financial, Inc.1.97%$176.52K
Restaurant Brands International, Inc.1.97%$176.49K
Principal Financial Group, Inc.1.97%$175.79K
Altria Group, Inc.1.96%$175.27K
Metlife, Inc.1.96%$175.06K
Kraft Heinz Company (the)1.96%$175.00K
Medtronic PLC1.94%$173.67K
Paychex, Inc.1.94%$173.26K
Oneok, Inc.1.91%$171.01K
Pfizer, Inc.1.87%$167.60K
Vici Properties, Inc.1.86%$166.52K
Phillips 661.85%$165.67K
Eog Resources, Inc.1.84%$164.76K
Verizon Communications, Inc.1.80%$160.68K
At&t, Inc.1.78%$158.91K
Hp, Inc.1.77%$158.32K
Chevron Corp.1.74%$155.65K
Cme Group, Inc.1.67%$149.06K
Crown Castle, Inc.1.62%$144.49K
Accenture PLC1.45%$130.04K

C000186848 overview: performance, fees, allocation and SEC filings