ISCSX Holdings — Vy® Columbia Contrarian Core Portfolio

All 80 reported holdings of Vy® Columbia Contrarian Core Portfolio (ISCSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.8.22%$6.25M
Apple, Inc.6.17%$4.70M
Microsoft Corp.5.24%$3.99M
Amazon.com, Inc.4.78%$3.63M
Alphabet, Inc.3.36%$2.56M
Broadcom, Inc.3.15%$2.39M
Alphabet, Inc.2.73%$2.08M
Eli Lilly & Company2.52%$1.91M
Micron Technology, Inc.2.45%$1.87M
Meta Platforms, Inc.2.34%$1.78M
Texas Instruments, Inc.1.97%$1.50M
Berkshire Hathaway, Inc.1.93%$1.46M
Te Connectivity PLC1.83%$1.39M
Visa, Inc.1.80%$1.37M
Applied Materials, Inc.1.74%$1.32M
Ebay, Inc.1.57%$1.19M
Morgan Stanley1.55%$1.18M
Lam Research Corp.1.51%$1.15M
Bank Of America Corp.1.40%$1.07M
Vertex Pharmaceuticals, Inc.1.34%$1.02M
Eaton Corp. PLC1.32%$1.01M
Charles Schwab Corp. (the)1.28%$974.83K
Chevron Corp.1.22%$927.43K
Palo Alto Networks, Inc.1.21%$922.12K
Boeing Company (the)1.15%$876.05K
Dte Energy Company1.14%$866.53K
Walt Disney Company (the)1.13%$862.01K
Equinix, Inc.1.12%$848.51K
Jp Morgan Chase & Company1.11%$846.80K
Dell Technologies, Inc.1.06%$807.26K
Walmart, Inc.1.05%$801.77K
Honeywell International, Inc.1.05%$797.08K
Honeywell Aerospace, Inc.1.03%$787.04K
Mastercard, Inc.1.02%$774.51K
Abbvie, Inc.1.00%$764.23K
Carrier Global Corp.0.94%$711.50K
Take-Two Interactive Software, Inc.0.93%$710.44K
Block, Inc.0.90%$683.54K
Netflix, Inc.0.89%$674.02K
Starbucks Corp.0.86%$655.45K
Synopsys, Inc.0.84%$641.00K
Thermo Fisher Scientific, Inc.0.83%$633.22K
Tesla, Inc.0.83%$633.00K
Okta, Inc.0.83%$631.22K
Blackrock Liquidity Funds0.82%$622.93K
Oracle Corp.0.77%$584.59K
Doordash, Inc.0.76%$581.45K
Danaher Corp.0.76%$580.01K
Illinois Tool Works, Inc.0.74%$565.55K
S&P Global, Inc.0.73%$558.35K
Unitedhealth Group, Inc.0.73%$553.20K
Conocophillips0.70%$531.86K
Marvell Technology, Inc.0.70%$530.24K
Pultegroup, Inc.0.67%$507.54K
Stryker Corp.0.66%$502.80K
Stanley Black & Decker, Inc.0.64%$489.71K
Cigna Group (the)0.62%$475.00K
International Flavors & Fragrances, Inc.0.61%$467.08K
Ge Vernova, Inc.0.60%$454.67K
Eog Resources, Inc.0.59%$451.33K
Wells Fargo & Company0.55%$421.96K
Waste Management, Inc.0.53%$404.97K
Public Service Enterprise Group, Inc.0.52%$397.36K
Paccar, Inc.0.52%$394.95K
Aon PLC0.52%$393.05K
Rtx Corp.0.48%$363.33K
Jacobs Solutions, Inc.0.46%$349.90K
Tapestry, Inc.0.43%$323.65K
Insmed, Inc.0.40%$302.37K
Intuitive Surgical, Inc.0.38%$288.32K
Space Exploration Technologies Corp.0.32%$242.79K
Waters Corp.0.30%$230.65K
Sherwin-Williams Company (the)0.30%$228.28K
Pepsico, Inc.0.29%$220.16K
Ingersoll Rand, Inc.0.25%$191.20K
Salesforce, Inc.0.25%$186.58K
Iqvia Holdings, Inc.0.23%$176.99K
Dexcom, Inc.0.22%$168.17K
Ge Aerospace0.13%$99.04K
Sino-Forest Corp.0.00%$0

ISCSX overview: performance, fees, allocation and SEC filings