C000219767 Holdings — Guardian Select Mid Cap Core VIP Fund

All 203 reported holdings of Guardian Select Mid Cap Core VIP Fund (C000219767) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Carpenter Technology Corp1.94%$3.39M
XPO Inc1.85%$3.25M
MACOM Technology Solutions Holdings Inc1.79%$3.13M
WESCO International Inc1.61%$2.83M
Twilio Inc1.57%$2.76M
Fixed Income Clearing Corp.1.50%$2.62M
Kirby Corp1.31%$2.30M
TD SYNNEX Corp1.30%$2.28M
ITT Inc1.21%$2.12M
Entegris Inc1.19%$2.09M
Comfort Systems USA Inc1.19%$2.08M
Woodward Inc1.15%$2.01M
Flowserve Corp1.14%$2.00M
MKS Inc1.10%$1.93M
Reinsurance Group of America Inc1.10%$1.92M
nVent Electric PLC1.07%$1.87M
Crane Co1.04%$1.82M
Howmet Aerospace Inc1.00%$1.76M
Reliance Inc1.00%$1.75M
Landstar System Inc0.99%$1.73M
Western Digital Corp0.92%$1.62M
Toll Brothers Inc0.89%$1.57M
RBC Bearings Inc0.87%$1.52M
HEICO Corp0.87%$1.52M
Somnigroup International Inc0.86%$1.51M
Burlington Stores Inc0.86%$1.51M
Flex Ltd0.84%$1.47M
East West Bancorp Inc0.83%$1.46M
Okta Inc0.83%$1.46M
Simpson Manufacturing Co Inc0.82%$1.44M
Elanco Animal Health Inc0.79%$1.38M
SLM Corp0.78%$1.37M
Wintrust Financial Corp0.76%$1.33M
Esab Corp0.76%$1.33M
Roivant Sciences Ltd0.75%$1.31M
CACI International Inc0.74%$1.30M
Permian Resources Corp0.73%$1.27M
Service Corp International/US0.72%$1.26M
Talen Energy Corp0.72%$1.26M
Rambus Inc0.70%$1.22M
Rubrik Inc0.70%$1.22M
Aramark0.69%$1.22M
Pinnacle Financial Partners Inc0.69%$1.20M
US Foods Holding Corp0.68%$1.20M
Illumina Inc0.68%$1.20M
American Financial Group Inc/OH0.68%$1.19M
Jazz Pharmaceuticals PLC0.67%$1.18M
RPM International Inc0.66%$1.16M
Hancock Whitney Corp0.66%$1.15M
Lundin Mining Corp0.65%$1.13M
Voya Financial Inc0.65%$1.13M
Crown Holdings Inc0.64%$1.13M
Postal Realty Trust Inc0.64%$1.12M
Baldwin Insurance Group Inc/The0.64%$1.11M
Carlisle Cos Inc0.63%$1.11M
Ovintiv Inc0.63%$1.11M
EMCOR Group Inc0.63%$1.10M
Ventas Inc0.63%$1.10M
TTM Technologies Inc0.62%$1.09M
Eagle Materials Inc0.61%$1.06M
HF Sinclair Corp0.59%$1.03M
FNB Corp/PA0.58%$1.02M
Watsco Inc0.57%$991.82K
Brink's Co/The0.56%$980.43K
UMB Financial Corp0.56%$975.76K
Repligen Corp0.55%$968.72K
Five Below Inc0.55%$968.53K
Dutch Bros Inc0.55%$967.07K
Jones Lang LaSalle Inc0.55%$963.94K
DigitalOcean Holdings Inc0.55%$954.74K
Popular Inc0.54%$950.27K
Nextpower Inc0.54%$942.40K
Urban Edge Properties0.53%$936.71K
EastGroup Properties Inc0.53%$933.66K
Performance Food Group Co0.53%$921.71K
Outfront Media Inc0.52%$906.17K
Evercore Inc0.51%$900.04K
Allegro MicroSystems Inc0.50%$874.78K
WillScot Holdings Corp0.50%$868.83K
Allison Transmission Holdings Inc0.49%$855.25K
Western Alliance Bancorp0.48%$848.72K
Antero Resources Corp0.48%$842.90K
Unum Group0.48%$839.56K
Brinker International Inc0.48%$834.29K
10X Genomics Inc0.48%$833.89K
Targa Resources Corp0.47%$823.99K
Assurant Inc0.47%$821.43K
Terreno Realty Corp0.47%$820.64K
Acuity Inc0.46%$809.82K
Wingstop Inc0.46%$800.11K
Eastern Bankshares Inc0.45%$793.28K
Marex Group PLC0.45%$793.14K
Ralph Lauren Corp0.45%$789.17K
Weatherford International PLC0.44%$765.53K
First Horizon Corp0.43%$761.76K
Roku Inc0.43%$761.01K
Four Corners Property Trust Inc0.43%$760.80K
Sartorius Stedim Biotech0.43%$758.03K
CareTrust REIT Inc0.43%$750.51K
Coherent Corp0.43%$745.94K
Corebridge Financial Inc0.42%$729.98K
UGI Corp0.41%$722.89K
West Pharmaceutical Services Inc0.41%$718.00K
OGE Energy Corp0.40%$707.27K
Aptiv PLC0.40%$699.67K
Gen Digital Inc0.40%$696.27K
Raymond James Financial Inc0.39%$683.53K
Amer Sports Inc0.39%$675.28K
BJ's Wholesale Club Holdings Inc0.39%$675.17K
Abercrombie & Fitch Co0.38%$672.19K
Samsara Inc0.38%$664.49K
Veracyte Inc0.37%$651.90K
Privia Health Group Inc0.37%$641.45K
Louisiana-Pacific Corp0.36%$636.60K
New York Times Co/The0.36%$627.93K
Viatris Inc0.36%$627.26K
Coeur Mining Inc0.36%$625.84K
Core & Main Inc0.35%$618.08K
Carlyle Group Inc/The0.35%$617.46K
Aritzia Inc0.35%$616.63K
Meritage Homes Corp0.35%$608.33K
NMI Holdings Inc0.35%$606.45K
CubeSmart0.35%$605.26K
Liberty Energy Inc0.34%$599.36K
Royalty Pharma PLC0.34%$590.42K
Lindblad Expeditions Holdings Inc0.33%$586.09K
Avient Corp0.33%$581.45K
Bath & Body Works Inc0.33%$575.29K
Invitation Homes Inc0.32%$568.85K
Moderna Inc0.32%$560.24K
Legend Biotech Corp0.32%$555.36K
Pinterest Inc0.31%$538.35K
Bio-Techne Corp0.30%$529.88K
Tenet Healthcare Corp0.30%$523.82K
Knight-Swift Transportation Holdings Inc0.30%$523.29K
Bob's Discount Furniture Inc0.30%$518.66K
Ormat Technologies Inc0.29%$515.53K
National Fuel Gas Co0.29%$513.68K
Plains All American Pipeline LP0.29%$511.16K
Nova Ltd0.29%$506.02K
Curtiss-Wright Corp0.29%$500.12K
Alignment Healthcare Inc0.28%$495.25K
Sun Communities Inc0.28%$490.43K
Darling Ingredients Inc0.28%$489.12K
Southwest Gas Holdings Inc0.28%$488.98K
Compass Inc0.28%$486.79K
KBR Inc0.28%$483.07K
Selective Insurance Group Inc0.28%$481.85K
Dover Corp0.27%$477.72K
Caris Life Sciences Inc0.27%$477.58K
Coca-Cola Consolidated Inc0.27%$471.95K
United Therapeutics Corp0.27%$471.39K
Macerich Co/The0.27%$470.55K
Patria Investments Ltd0.27%$466.36K
Wynn Resorts Ltd0.26%$462.44K
FirstCash Holdings Inc0.26%$462.49K
Portland General Electric Co0.26%$458.90K
Westlake Corp0.26%$456.91K
Amundi SA0.26%$450.11K
Ollie's Bargain Outlet Holdings Inc0.25%$446.37K
Sprouts Farmers Market Inc0.25%$441.59K
Etsy Inc0.24%$424.71K
Nutanix Inc0.23%$406.76K
Gap Inc/The0.23%$405.86K
Blue Owl Capital Inc0.23%$405.44K
BrightSpring Health Services Inc0.23%$396.12K
Planet Fitness Inc0.22%$393.99K
Owens Corning0.21%$362.43K
Pinnacle West Capital Corp0.20%$353.10K
Camden Property Trust0.20%$350.34K
Noble Corp PLC0.19%$341.37K
Birkenstock Holding Plc0.19%$340.37K
Ciena Corp0.19%$330.15K
Trex Co Inc0.19%$324.26K
Century Aluminum Co0.18%$313.97K
Maplebear Inc0.17%$295.98K
VF Corp0.16%$277.51K
Warner Music Group Corp0.15%$264.93K
Skyworks Solutions Inc0.14%$251.13K
Ingredion Inc0.14%$250.13K
Douglas Emmett Inc0.14%$246.62K
Albertsons Cos Inc0.13%$234.92K
National Healthcare Properties Inc0.12%$213.89K
Celsius Holdings Inc0.12%$212.31K
IDACORP Inc0.12%$201.68K
Cognex Corp0.11%$195.53K
Northern Oil & Gas Inc0.11%$195.37K
Armstrong World Industries Inc0.11%$192.50K
Nexstar Media Group Inc0.11%$191.63K
Sirius XM Holdings Inc0.10%$168.67K
elf Beauty Inc0.09%$150.29K
LCI Industries0.07%$130.34K
Neurocrine Biosciences Inc0.07%$114.60K
United States Treasury0.06%$109.76K
Post Holdings Inc0.05%$83.05K
Forgent Power Solutions Inc0.05%$81.56K
Madison Air Solutions Corp0.03%$58.50K
Everpure Inc0.02%$41.29K
StandardAero Inc0.02%$30.21K
Pilgrim's Pride Corp0.02%$29.12K
Arxis Inc0.01%$17.99K
Chicago Mercantile Exchange0.01%$14.90K
Dpc Holdings Ltd0.01%$14.72K

C000219767 overview: performance, fees, allocation and SEC filings