C000223158 Holdings — LVIP Nomura SMID Cap Core Fund

All 119 reported holdings of LVIP Nomura SMID Cap Core Fund (C000223158) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Coherent Corp2.67%$17.16M
Casey's General Stores Inc2.27%$14.56M
Semtech Corp2.13%$13.68M
East West Bancorp Inc2.12%$13.61M
MACOM Technology Solutions Holdings Inc2.02%$12.96M
Permian Resources Corp1.94%$12.47M
Liberty Energy Inc1.58%$10.16M
Insmed Inc1.57%$10.07M
WESCO International Inc1.50%$9.66M
Axis Capital Holdings Ltd1.48%$9.52M
Webster Financial Corp1.46%$9.41M
Kirby Corp1.44%$9.28M
Reliance Inc1.40%$8.97M
Reinsurance Group of America Inc1.37%$8.83M
Lincoln Electric Holdings Inc1.32%$8.48M
Arcosa Inc1.29%$8.29M
Southstate Bank Corp.1.26%$8.13M
Minerals Technologies Inc1.26%$8.10M
Ally Financial Inc1.26%$8.10M
Dick's Sporting Goods Inc1.26%$8.08M
Stifel Financial Corp1.26%$8.07M
Expand Energy Corp1.23%$7.92M
State Street Global Advisors1.22%$7.87M
Ligand Pharmaceuticals Inc1.22%$7.81M
Old National Bancorp/IN1.19%$7.68M
BJ's Wholesale Club Holdings Inc1.19%$7.66M
Clean Harbors Inc1.19%$7.66M
Spire Inc1.19%$7.63M
Silicon Laboratories Inc1.17%$7.55M
First Industrial Realty Trust Inc1.16%$7.46M
Axsome Therapeutics Inc1.12%$7.23M
Guidewire Software Inc1.12%$7.21M
WSFS Financial Corp1.11%$7.13M
Zions Bancorp NA1.09%$7.00M
Federal Signal Corp1.09%$6.99M
IMAX Corp1.07%$6.90M
Brixmor Property Group Inc1.07%$6.87M
Camden Property Trust1.04%$6.71M
Zurn Elkay Water Solutions Corp1.03%$6.60M
Evercore Inc1.03%$6.60M
Regal Rexnord Corp1.01%$6.48M
Neurocrine Biosciences Inc0.99%$6.33M
Black Hills Corp0.97%$6.23M
Texas Roadhouse Inc0.96%$6.15M
BorgWarner Inc0.95%$6.10M
ExlService Holdings Inc0.94%$6.04M
Hamilton Lane Inc0.91%$5.88M
Jones Lang LaSalle Inc0.91%$5.87M
Kite Realty Group Trust0.91%$5.83M
Halozyme Therapeutics Inc0.90%$5.76M
Knight-Swift Transportation Holdings Inc0.89%$5.70M
Aramark0.86%$5.55M
Encompass Health Corp0.85%$5.47M
Applied Industrial Technologies Inc0.84%$5.41M
Natera Inc0.84%$5.40M
Supernus Pharmaceuticals Inc0.84%$5.38M
Carpenter Technology Corp0.82%$5.30M
Kaiser Aluminum Corp0.82%$5.25M
Graco Inc0.81%$5.24M
Quanta Services Inc0.80%$5.17M
Toll Brothers Inc0.77%$4.96M
Life Time Group Holdings Inc0.75%$4.83M
Tetra Tech Inc0.74%$4.79M
YETI Holdings Inc0.73%$4.72M
Healthpeak Properties Inc0.70%$4.49M
Essent Group Ltd0.69%$4.42M
API Group Corp0.69%$4.41M
XPO Inc0.68%$4.40M
Repligen Corp0.67%$4.33M
Omnicom Group Inc0.66%$4.25M
Astera Labs Inc0.65%$4.18M
Brinker International Inc0.65%$4.16M
Gates Industrial Corp PLC0.64%$4.14M
SPX Technologies Inc0.63%$4.07M
Glaukos Corp0.63%$4.06M
Boise Cascade Co0.62%$3.97M
UL Solutions Inc0.61%$3.90M
Lantheus Holdings Inc0.59%$3.78M
Bio-Techne Corp0.57%$3.69M
Dynatrace Inc0.57%$3.65M
KBR Inc0.55%$3.56M
Q2 Holdings Inc0.55%$3.56M
TransMedics Group Inc0.54%$3.50M
Casella Waste Systems Inc0.54%$3.49M
Procore Technologies Inc0.54%$3.46M
Steven Madden Ltd0.54%$3.46M
ABM Industries Inc0.53%$3.40M
WillScot Holdings Corp0.51%$3.25M
MKS Inc0.48%$3.08M
Nexstar Media Group Inc0.47%$3.04M
Kadant Inc0.46%$2.98M
FTAI Aviation Ltd0.45%$2.90M
Varonis Systems Inc0.45%$2.89M
International Seaways Inc0.45%$2.87M
Carlisle Cos Inc0.45%$2.87M
Taylor Morrison Home Corp0.41%$2.64M
PTC Inc0.41%$2.61M
La-Z-Boy Inc0.39%$2.51M
Trex Co Inc0.39%$2.49M
Saia Inc0.36%$2.33M
Box Inc0.36%$2.31M
nVent Electric PLC0.34%$2.21M
Yelp Inc0.34%$2.21M
KB Home0.34%$2.15M
Workiva Inc0.33%$2.14M
ASGN Inc0.33%$2.11M
Tecnoglass Inc0.26%$1.68M
Malibu Boats Inc0.25%$1.63M
Bloom Energy Corp0.23%$1.50M
Rubrik Inc0.23%$1.45M
Inspire Medical Systems Inc0.21%$1.37M
Kratos Defense & Security Solutions Inc0.21%$1.35M
Dycom Industries Inc0.19%$1.21M
Ultragenyx Pharmaceutical Inc0.19%$1.20M
Atkore Inc0.14%$886.24K
SPS Commerce Inc0.11%$716.31K
Contra Blueprint Medic0.00%$20.45K
Omniab, Inc.0.00%$0
Omniab, Inc.0.00%$0

C000223158 overview: performance, fees, allocation and SEC filings