VPMIDG Holdings — ProFund VP Mid-Cap Growth

All 243 reported holdings of ProFund VP Mid-Cap Growth (VPMIDG) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
TechnipFMC PLC1.71%$263.25K
Casey'S General Stores Inc.1.65%$254.02K
United Therapeutics Corporation1.56%$240.16K
Curtiss-Wright Corp.1.54%$236.35K
Flex Ltd.1.47%$226.43K
XPO Inc1.40%$214.59K
Woodward Inc.1.31%$200.79K
Royal Gold, Inc.1.26%$194.18K
ATI Inc1.21%$185.90K
Mastec, Inc.1.21%$185.64K
Carpenter Technology Corporation1.20%$184.86K
NVent Electric PLC1.17%$179.55K
Twilio Inc1.17%$179.42K
BWX Technologies Inc.1.15%$175.86K
Fabrinet1.14%$175.75K
Everpure Inc.1.13%$174.23K
RB Global Inc1.09%$167.64K
RBC Bearings Inc1.05%$161.31K
Tenet Healthcare Corporation1.02%$156.06K
ITT Inc1.01%$154.33K
API Group Corp0.95%$146.24K
Somnigroup International Inc.0.95%$145.99K
Talen Energy Corporation0.89%$137.27K
MACOM Technology Solutions Holdings Inc.0.88%$134.80K
The New York Times Company0.83%$127.19K
Okta Inc.0.82%$125.54K
Neurocrine Biosciences Inc0.81%$124.36K
Kratos Defense & Security Solutions, Inc.0.80%$122.48K
Penumbra Inc.0.79%$121.17K
Guidewire Software Inc0.78%$119.65K
Five Below Inc0.77%$118.35K
Sterling Infrastructure Inc0.77%$117.70K
Hecla Mining Company0.77%$117.52K
Burlington Stores Inc.0.76%$116.16K
Advanced Energy Industries, Inc.0.75%$114.56K
CACI International Inc.0.74%$113.12K
Elanco Animal Health Inc0.73%$111.90K
Nextpower Inc.0.71%$109.58K
Ensign Group Inc0.71%$109.21K
Jazz Pharmaceuticals PLC0.70%$108.14K
Exelixis, Inc.0.68%$104.78K
Dynatrace Inc0.68%$103.88K
MKS Inc.0.67%$103.18K
Texas Roadhouse Inc0.67%$102.72K
Coca-Cola Consolidated Inc0.67%$102.20K
Medpace Holdings Inc.0.66%$101.80K
Illumina Inc0.62%$95.65K
Dycom Industries, Inc.0.62%$95.55K
TTM Technologies Inc0.62%$94.79K
SPX Technologies, Inc.0.61%$93.77K
DT Midstream Inc0.60%$92.79K
Topbuild Corporation0.60%$92.39K
Encompass Health Corporation0.60%$91.60K
Globus Med Inc0.59%$90.21K
Lincoln Electric Holdings Inc.0.57%$87.93K
Flowserve Corporation0.57%$87.84K
Chart Industries Inc0.57%$87.25K
Rambus Inc.0.57%$87.06K
Mueller Industries Inc.0.54%$83.43K
Arrowhead Pharmaceuticals Inc0.54%$82.58K
Moog Inc.0.51%$78.43K
Caretrust Reit Inc0.50%$77.04K
Watts Water Technologies Inc.0.49%$74.89K
W. P. Carey Inc0.48%$74.21K
Tetra Tech Inc0.48%$73.88K
InterDigital, Inc.0.48%$73.39K
Affiliated Managers Group, Inc.0.48%$73.33K
First Industrial Realty Trust, Inc.0.47%$72.14K
Sitime Corporation0.47%$71.83K
Halozyme Therapeutics Inc0.47%$71.48K
Kinsale Capital Group Inc0.46%$71.07K
Antero Midstream Corporation0.46%$71.04K
Lattice Semiconductor Corporation0.46%$70.50K
East West Bancorp Inc0.46%$70.46K
Clean Harbors, Inc.0.45%$69.68K
Pinterest Inc0.45%$68.72K
Firstcash Holdings Inc0.45%$68.62K
Roivant Sciences Ltd0.44%$68.14K
Evercore Inc.0.44%$67.46K
Graco Inc0.44%$67.30K
Healthequity Inc0.44%$67.19K
Entegris Inc0.44%$67.06K
Omega Healthcare Investors, Inc.0.43%$65.77K
TransUnion0.42%$65.11K
Ormat Technologies Inc.0.42%$64.02K
Renaissancere Holdings Ltd.0.41%$63.61K
UL Solutions Inc.0.41%$62.40K
Lamar Advertising Company0.41%$62.19K
Donaldson Co Inc0.40%$61.79K
Solstice Advanced Materials Inc.0.39%$60.32K
EnerSys0.39%$60.28K
Valaris Ltd.0.39%$59.41K
Stifel Financial Corporation0.38%$58.32K
Biomarin Pharmaceutical Inc.0.38%$58.18K
Planet Fitness Inc.0.38%$58.09K
Equity Lifestyle Properties Inc0.38%$57.99K
Nutanix Inc0.38%$57.97K
Hexcel Corporation0.38%$57.86K
Eastgroup Properties, Inc.0.37%$57.56K
Service Corporation International0.37%$57.34K
Churchill Downs Inc0.37%$56.05K
Carlisle Companies Inc.0.36%$55.38K
AeroVironment, Inc.0.36%$54.73K
Acuity Inc.0.36%$54.64K
Celsius Holdings Inc.0.35%$53.33K
Gaming and Leisure Properties Inc0.35%$53.16K
Ollies Bargain Outlet Holdings Inc.0.35%$53.11K
Aaon Inc0.34%$52.71K
Docusign Inc0.34%$52.67K
National Fuel Gas Company0.34%$52.05K
Advanced Drainage System Inc0.34%$51.84K
Applied Industrial Technologies Inc.0.34%$51.47K
Dick's Sporting Goods, Inc.0.32%$49.77K
RPM International Inc.0.32%$49.00K
American Healthcare REIT Inc.0.31%$48.01K
Equitable Holdings Inc0.31%$47.43K
Newmarket Corporation0.30%$46.79K
Onto Innovation Inc.0.30%$46.14K
Carlyle Group Inc0.30%$46.02K
Manhattan Associates Inc0.30%$45.66K
Sabra Health Care REIT, Inc.0.30%$45.61K
Aecom0.30%$45.38K
ExlService Holdings Inc.0.29%$44.97K
Boyd Gaming Corporation0.29%$44.71K
Old Republic International Corporation0.29%$44.45K
Valmont Industries, Inc.0.29%$44.35K
Grand Canyon Education Inc0.29%$44.21K
Paylocity Holding Corporation0.29%$44.19K
Primerica, Inc.0.29%$43.83K
Masimo Corporation0.28%$43.76K
Autoliv Inc.0.27%$42.06K
Travel Plus Leisure Co0.27%$41.93K
Cytokinetics Inc0.27%$40.93K
Cullen/Frost Bankers, Inc.0.27%$40.71K
Hims & Hers Health Inc0.26%$40.67K
Wingstop Inc0.26%$40.60K
Chewy Inc0.26%$40.58K
SEI Investments Co0.26%$40.49K
Valvoline Inc0.26%$40.28K
Oshkosh Corporation0.26%$40.19K
Crane Co.0.26%$40.19K
Option Care Health Inc0.26%$40.16K
Agpxx0.26%$39.73K
STAG Industrial, Inc.0.26%$39.52K
Cirrus Logic, Inc.0.26%$39.48K
Federated Hermes Inc0.26%$39.41K
Houlihan Lokey Inc.0.25%$38.92K
Hyatt Hotels Corporation0.25%$38.68K
Core & Main Inc0.25%$38.53K
Agree Realty Corp0.25%$38.29K
Brixmor Property Group Inc0.25%$38.19K
Cognex Corp0.25%$38.11K
Idacorp Inc0.25%$37.74K
Dropbox Inc0.24%$37.28K
Pegasystems Inc0.24%$36.52K
AppFolio Inc.0.24%$36.14K
MP Materials Corp0.23%$36.05K
CubeSmart (Maryland)0.23%$35.37K
Vicor Corp0.22%$34.45K
Silicon Laboratories, Inc.0.22%$34.14K
UiPath Inc.0.22%$34.01K
MSA Safety Inc.0.22%$33.94K
Dutch Bros Inc0.22%$33.89K
Littelfuse Inc.0.22%$33.60K
GATX Corporation0.22%$33.29K
American Financial Group, Inc.0.22%$33.20K
Simpson Manufacturing Co Inc.0.21%$32.95K
LivaNova PLC0.21%$32.67K
Lantheus Holdings Inc0.21%$32.62K
NNN REIT Inc0.21%$32.24K
Repligen Corporation0.21%$32.16K
CAVA Group Inc.0.21%$31.79K
Sotera Health Company0.20%$31.42K
Kirby Corp0.20%$31.23K
Bentley Systems Incorporated0.20%$30.98K
Wyndham Hotels & Resorts Inc0.20%$30.54K
Qualys Inc0.19%$29.52K
WEX Inc0.19%$29.38K
Doximity Inc0.19%$29.29K
Brinks Company0.19%$28.71K
Eagle Materials Inc.0.19%$28.61K
StandardAero Inc.0.19%$28.59K
Sprouts Farmers Markets Inc0.18%$28.23K
MGIC Investment Corp.0.18%$27.61K
Nexstar Media Group Inc0.17%$26.76K
Weatherford International Plc0.17%$26.67K
Bio-Rad Laboratories, Inc.0.17%$26.48K
Genpact Ltd.0.17%$26.04K
Duolingo Inc0.17%$25.43K
Fortune Brands Innovations Inc0.16%$25.10K
The Hanover Insurance Group, Inc.0.16%$24.96K
Chemed Corporation0.16%$24.55K
Ryan Specialty Holdings Inc0.16%$23.89K
Allegro MicroSystems Inc0.15%$23.17K
Amkor Technology, Inc.0.15%$23.15K
ESAB Corp.0.15%$22.72K
E L F Beauty Inc0.15%$22.55K
TXNM Energy Inc.0.14%$22.10K
SLM Corp.0.14%$22.07K
Hilton Grand Vacations Inc0.14%$21.99K
Essent Group Ltd.0.14%$21.97K
Spire Inc0.14%$21.64K
Vail Resorts, Inc.0.14%$21.30K
Vontier Corporation0.14%$20.75K
Hamilton Lane Inc0.13%$20.68K
FTI Consulting, Inc.0.13%$20.33K
Bruker Corporation0.13%$19.90K
Block(H&R)Inc0.13%$19.65K
Commvault Systems Inc.0.13%$19.63K
Belden Inc.0.13%$19.52K
Texas Capital Bancshares, Inc.0.13%$19.45K
Novanta Inc0.12%$18.78K
Warner Music Group Corporation0.12%$18.70K
EPR Properties0.12%$18.59K
Shift4 Payments Inc0.12%$18.06K
Parsons Corporation0.12%$18.04K
Gentex Corp0.12%$17.98K
Morningstar Inc0.12%$17.92K
Maximus Inc0.12%$17.69K
Knife River Corp.0.11%$17.39K
Mattel, Inc.0.11%$16.97K
Universal Display Corp.0.11%$16.77K
NorthWestern Energy Group Inc0.11%$16.75K
MSC Industrial Direct Co Inc.0.11%$16.70K
Crocs Inc0.11%$16.44K
Avis Budget Group Inc.0.11%$16.19K
Abercrombie & Fitch Co0.11%$16.17K
International Bancshares Corp0.10%$16.08K
Exponent Inc0.10%$15.92K
Graham Holdings Co0.10%$15.86K
Yeti Holdings Inc0.10%$15.77K
BILL Holdings Inc0.10%$15.51K
Dolby Laboratories Inc.0.10%$15.44K
First Financial Bankshares Inc0.10%$15.14K
Haemonetics Corp0.10%$14.77K
COPT Defense Properties0.09%$13.62K
Marzetti Co.0.09%$13.28K
Choice Hotels International, Inc.0.08%$11.90K
National Storage Affiliates Trust0.07%$10.49K
Capri Holdings Ltd.0.06%$9.46K
Crane NXT Co0.05%$8.12K
BellRing Intermediate Holdings Inc.0.05%$7.27K
Blackbaud Inc0.04%$6.49K

VPMIDG overview: performance, fees, allocation and SEC filings