C000223681 Holdings — LVIP SSGA Nasdaq-100 Index Fund

All 103 reported holdings of LVIP SSGA Nasdaq-100 Index Fund (C000223681) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.58%$12.10M
Apple Inc7.54%$10.64M
Microsoft Corp5.56%$7.85M
Amazon.com Inc4.52%$6.38M
Tesla Inc3.76%$5.30M
Meta Platforms Inc3.42%$4.82M
Walmart Inc3.40%$4.79M
Alphabet Inc3.39%$4.78M
Alphabet Inc3.16%$4.45M
Broadcom Inc2.97%$4.19M
Costco Wholesale Corp2.47%$3.48M
Netflix Inc2.27%$3.20M
Micron Technology Inc2.13%$3.00M
Palantir Technologies Inc1.87%$2.64M
Advanced Micro Devices Inc1.85%$2.61M
Cisco Systems Inc1.71%$2.42M
Applied Materials Inc1.52%$2.14M
Lam Research Corp1.49%$2.10M
T-Mobile US Inc1.29%$1.82M
Linde PLC1.28%$1.81M
Intel Corp1.23%$1.74M
State Street Global Advisors1.19%$1.68M
PepsiCo Inc1.19%$1.67M
KLA Corp1.08%$1.53M
Amgen Inc1.06%$1.49M
Texas Instruments Inc0.99%$1.39M
Gilead Sciences Inc0.97%$1.36M
Intuitive Surgical Inc0.91%$1.29M
Analog Devices Inc0.87%$1.23M
Shopify Inc0.81%$1.14M
Honeywell International Inc0.80%$1.13M
QUALCOMM Inc0.77%$1.08M
Booking Holdings Inc0.75%$1.05M
Palo Alto Networks Inc0.73%$1.03M
AppLovin Corp0.68%$965.55K
Intuit Inc0.67%$942.59K
ASML Holding NV0.65%$914.01K
Vertex Pharmaceuticals Inc0.63%$893.53K
Comcast Corp0.58%$812.15K
Starbucks Corp0.57%$803.53K
Constellation Energy Corp0.57%$798.10K
Adobe Inc0.55%$781.02K
Crowdstrike Holdings Inc0.55%$772.62K
Western Digital Corp0.51%$723.02K
MercadoLibre Inc0.49%$691.61K
Marriott International Inc/MD0.48%$683.25K
Marvell Technology Inc0.48%$673.54K
Seagate Technology Holdings PLC0.48%$673.44K
Automatic Data Processing Inc0.46%$648.14K
Regeneron Pharmaceuticals Inc0.45%$629.70K
O'Reilly Automotive Inc0.44%$614.60K
Cadence Design Systems Inc0.43%$604.65K
CSX Corp0.43%$602.94K
Synopsys Inc0.42%$598.68K
Mondelez International Inc0.42%$586.66K
Monster Beverage Corp0.40%$558.38K
Ross Stores Inc0.39%$555.66K
American Electric Power Co Inc0.39%$552.24K
PDD Holdings Inc0.38%$538.28K
Warner Bros Discovery Inc0.38%$536.71K
Cintas Corp0.38%$536.17K
DoorDash Inc0.34%$481.23K
Fortinet Inc0.34%$479.37K
PACCAR Inc0.34%$478.52K
Baker Hughes Co0.34%$475.15K
Diamondback Energy Inc0.31%$439.88K
Airbnb Inc0.30%$423.67K
Monolithic Power Systems Inc0.30%$423.13K
Fastenal Co0.30%$420.15K
Electronic Arts Inc0.29%$402.24K
Autodesk Inc0.28%$400.28K
NXP Semiconductors NV0.28%$390.77K
Xcel Energy Inc0.28%$390.69K
Exelon Corp0.28%$390.64K
Ferrovial SE0.26%$368.96K
IDEXX Laboratories Inc0.25%$353.99K
Alnylam Pharmaceuticals Inc0.24%$344.77K
PayPal Holdings Inc0.23%$328.28K
Coca-Cola Europacific Partners PLC0.23%$327.68K
Old Dominion Freight Line Inc0.23%$322.21K
Thomson Reuters Corp0.22%$315.74K
Strategy Inc0.22%$309.00K
Datadog Inc0.21%$303.03K
Take-Two Interactive Software Inc0.20%$287.76K
Roper Technologies Inc0.20%$286.98K
Keurig Dr Pepper Inc0.20%$282.15K
Microchip Technology Inc0.20%$275.43K
Insmed Inc0.19%$275.04K
Axon Enterprise Inc0.19%$264.16K
Paychex Inc0.19%$261.53K
GE HealthCare Technologies Inc0.18%$255.75K
Copart Inc0.18%$253.48K
Cognizant Technology Solutions Corp0.17%$233.56K
Workday Inc0.15%$218.27K
Charter Communications Inc0.15%$215.45K
Kraft Heinz Co/The0.15%$209.97K
Verisk Analytics Inc0.15%$208.54K
Dexcom Inc0.14%$193.17K
Zscaler Inc0.13%$176.48K
ARM Holdings PLC0.12%$165.05K
CoStar Group Inc0.10%$134.86K
Atlassian Corp0.06%$90.43K
Chicago Mercantile Exchange-0.03%$-44.42K

C000223681 overview: performance, fees, allocation and SEC filings