C000256355 Holdings — Victory Pioneer Equity Income VCT Portfolio

All 56 reported holdings of Victory Pioneer Equity Income VCT Portfolio (C000256355) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Exxon Mobil Corporation5.25%$3.85M
JPMorgan Chase & Co.3.61%$2.65M
Conocophillips3.54%$2.60M
Bank Of America Corporation3.46%$2.54M
Cisco Systems, Inc.3.17%$2.32M
Johnson & Johnson3.15%$2.31M
Northern Trust Corporation2.96%$2.17M
United Parcel Service, Inc.2.94%$2.16M
State Street Corporation2.90%$2.13M
Honeywell International Incorporation2.85%$2.09M
Comcast Corporation2.82%$2.06M
Morgan Stanley2.69%$1.97M
Coterra Energy Inc.2.57%$1.88M
3m Company2.49%$1.82M
Sanofi SA2.47%$1.81M
Wells Fargo & Company2.45%$1.80M
The Walt Disney Company2.43%$1.78M
Medtronic Public Limited Company2.33%$1.71M
Lowe's Companies, Inc.2.27%$1.67M
Bristol-Myers Squibb Company2.23%$1.64M
Cms Energy Corporation2.23%$1.63M
Duke Energy Corporation1.99%$1.46M
Ford Motor Company1.98%$1.45M
Truist Financial Corporation1.97%$1.44M
The Tjx Companies, Inc.1.88%$1.38M
International Business Machines Corporation1.83%$1.34M
American International Group, Inc.1.80%$1.32M
Target Corporation1.74%$1.28M
Texas Instruments Incorporated1.65%$1.21M
LyondellBasell Industries N.V.1.50%$1.10M
Zimmer Biomet Holdings, Inc.1.46%$1.07M
Verizon Communications Inc.1.33%$974.88K
The Hershey Company1.28%$941.53K
Union Pacific Corporation1.27%$932.39K
Pepsico, Inc.1.26%$920.71K
The Kraft Heinz Company1.17%$861.12K
Deere & Company1.09%$801.01K
United States of America1.09%$798.39K
Molson Coors Beverage Company1.03%$754.24K
Accenture Public Limited Company0.97%$712.26K
Mondelez International, Inc.0.97%$707.76K
Owens Corning0.95%$699.21K
Qualcomm Incorporated0.91%$666.44K
Rockwell Automation, Inc.0.82%$600.77K
Netapp, Inc.0.70%$514.82K
Nike, Inc.0.67%$487.90K
Ppg Industries, Inc.0.66%$483.53K
Carrier Global Corporation0.64%$469.06K
John B. Sanfilippo & Son, Inc.0.64%$465.67K
Hp Inc.0.55%$404.06K
Abbvie Inc.0.52%$383.00K
Labcorp Holdings Inc.0.50%$367.66K
Expand Energy Corporation0.50%$366.12K
Avalonbay Communities, Inc.0.49%$361.00K
Phillips 660.34%$250.13K
Versant Media Group, Inc.0.11%$81.63K

C000256355 overview: performance, fees, allocation and SEC filings