Guggenheim > Rydex Variable Trust

NASDAQ-100 2x Strategy Fund

Inverse of a benchmark Underlying fund Index Fund
Series ID: S000003752
LEI: 549300LJ1KH6QGVD7G61
SEC CIK: 1064046
$91.10M Avg Monthly Net Assets
$136.99M Total Assets
$2.51M Total Liabilities
$134.48M Net Assets
NASDAQ-100 2x Strategy Fund is an Inverse of a benchmark in Rydex Variable Trust from Guggenheim, based in Maryland, United States of America. The fund has one share class and monthly net assets of $91.10M. On August 28th, 2024 it reported 111 holdings, the largest being J.P. MORGAN SECURITIES LLC (8.4%), Microsoft Corp (7.1%) and Apple Inc (7.0%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Ticker Monthly Returns (2 years)
Variable Annuity C000010421 Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 2425.65% (Max)-20.87% (Min)

Holdings

From latest NPORT-P, filed August 28th, 2024 for period ending June 30th, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
Adobe, Inc. (Adobe Inc) Long Equity-common US $2M 3K 1.38
Advanced Micro Devices, Inc. (Advanced Micro Devices Inc) Long Equity-common US $2M 12K 1.46
Airbnb, Inc. (Airbnb Inc) Long Equity-common US $501K 3K 0.37
Alphabet, Inc. (Alphabet Inc) Long Equity-common US $3M 17K 2.30
Alphabet, Inc. (Alphabet Inc) Long Equity-common US $3M 16K 2.22
Amazon.com, Inc. (Amazon.com Inc) Long Equity-common US $6M 30K 4.33
American Electric Power Company, Inc. (American Electric Power Co Inc) Long Equity-common US $346K 4K 0.26
Amgen, Inc. (Amgen Inc) Long Equity-common US $1M 4K 0.93
Analog Devices, Inc. (Analog Devices Inc) Long Equity-common US $847K 4K 0.63
ANSYS, Inc. (ANSYS Inc) Long Equity-common US $210K 653 0.16
Apple, Inc. (Apple Inc) Long Equity-common US $9M 44K 6.95
Applied Materials, Inc. (Applied Materials Inc) Long Equity-common US $1M 6K 1.09
ARM Holdings plc Long Equity-common GB $145K 884 0.11
ASML Holding N.V. (ASML Holding NV) Long Equity-common US $695K 680 0.52
AstraZeneca plc Long Equity-common GB $339K 4K 0.25
Atlassian Corp. Long Equity-common US $211K 1K 0.16
Autodesk, Inc. (Autodesk Inc) Long Equity-common US $399K 2K 0.30
Automatic Data Processing, Inc. (Automatic Data Processing Inc) Long Equity-common US $730K 3K 0.54
Baker Hughes Co. Long Equity-common US $262K 7K 0.20
Biogen, Inc. (Biogen Inc) Long Equity-common US $252K 1K 0.19
BofA Securities, Inc. Long Repurchase agreement US $9M 6.64
Booking Holdings, Inc. (Booking Holdings Inc) Long Equity-common US $1M 254 0.75
Broadcom, Inc. (Broadcom Inc) Long Equity-common US $6M 3K 4.14
Cadence Design Systems, Inc. (Cadence Design Systems Inc) Long Equity-common US $626K 2K 0.47
CDW Corp. (CDW Corp/DE) Long Equity-common US $225K 1K 0.17
Charter Communications, Inc. (Charter Communications Inc) Long Equity-common US $322K 1K 0.24
Cintas Corp. Long Equity-common US $531K 759 0.40
Cisco Systems, Inc. (Cisco Systems Inc) Long Equity-common US $1M 30K 1.06
Coca-Cola Europacific Partners plc Long Equity-common US $250K 3K 0.19
Cognizant Technology Solutions Corp. Long Equity-common US $253K 4K 0.19
Comcast Corp. Long Equity-common US $1M 29K 0.85
Constellation Energy Corp. Long Equity-common US $472K 2K 0.35
Copart, Inc. (Copart Inc) Long Equity-common US $390K 7K 0.29
CoStar Group, Inc. (CoStar Group Inc) Long Equity-common US $226K 3K 0.17
Costco Wholesale Corp. Long Equity-common US $3M 3K 2.10
Crowdstrike Holdings, Inc. (Crowdstrike Holdings Inc) Long Equity-common US $661K 2K 0.49
CSX Corp. Long Equity-common US $489K 15K 0.36
Datadog, Inc. (Datadog Inc) Long Equity-common US $299K 2K 0.22
Dexcom, Inc. (Dexcom Inc) Long Equity-common US $337K 3K 0.25
Diamondback Energy, Inc. (Diamondback Energy Inc) Long Equity-common US $267K 1K 0.20
Dollar Tree, Inc. (Dollar Tree Inc) Long Equity-common US $174K 2K 0.13
DoorDash, Inc. (DoorDash Inc) Long Equity-common US $310K 3K 0.23
Electronic Arts, Inc. (Electronic Arts Inc) Long Equity-common US $277K 2K 0.21
Exelon Corp. Long Equity-common US $259K 7K 0.19
Fastenal Co. Long Equity-common US $269K 4K 0.20
First American Government Obligations Fund - Class X (First American Funds) Long Short-term investment vehicle US $275K 275K 0.20
Fortinet, Inc. (Fortinet Inc) Long Equity-common US $344K 6K 0.26
GE HealthCare Technologies, Inc. (GE HealthCare Technologies Inc) Long Equity-common US $266K 3K 0.20
Gilead Sciences, Inc. (Gilead Sciences Inc) Long Equity-common US $639K 9K 0.48
GLOBALFOUNDRIES, Inc. (GLOBALFOUNDRIES Inc) Long Equity-common US $208K 4K 0.16
GRAIL, Inc. (GRAIL Inc) Long Equity-common US $3K 198.5 0.00
Honeywell International, Inc. (Honeywell International Inc) Long Equity-common US $1M 5K 0.77
IDEXX Laboratories, Inc. (IDEXX Laboratories Inc) Long Equity-common US $301K 617 0.22
Illumina, Inc. (Illumina Inc) Long Equity-common US $124K 1K 0.09
Intel Corp. Long Equity-common US $986K 32K 0.73
Intuit, Inc. (Intuit Inc) Long Equity-common US $1M 2K 1.02
Intuitive Surgical, Inc. (Intuitive Surgical Inc) Long Equity-common US $1M 3K 0.88
J.P. Morgan Securities LLC Long Repurchase agreement US $11M 8.43
Keurig Dr Pepper, Inc. (Keurig Dr Pepper Inc) Long Equity-common US $338K 10K 0.25
KLA Corp. Long Equity-common US $830K 1K 0.62
Kraft Heinz Co. (Kraft Heinz Co/The) Long Equity-common US $292K 9K 0.22
Lam Research Corp. Long Equity-common US $1M 977 0.77
Linde plc Long Equity-common US $2M 4K 1.17
Lululemon Athletica, Inc. (Lululemon Athletica Inc) Long Equity-common US $270K 903 0.20
Marriott International, Inc. (Marriott International Inc/MD) Long Equity-common US $516K 2K 0.38
Marvell Technology, Inc. (Marvell Technology Inc) Long Equity-common US $452K 6K 0.34
MercadoLibre, Inc. (MercadoLibre Inc) Long Equity-common US $623K 379 0.46
Meta Platforms, Inc. (Meta Platforms Inc) Long Equity-common US $5M 10K 3.78
Microchip Technology, Inc. (Microchip Technology Inc) Long Equity-common US $367K 4K 0.27
Micron Technology, Inc. (Micron Technology Inc) Long Equity-common US $1M 8K 0.81
Microsoft Corp. Long Equity-common US $10M 22K 7.15
Moderna, Inc. (Moderna Inc) Long Equity-common US $340K 3K 0.25
Mondelez International, Inc. (Mondelez International Inc) Long Equity-common US $656K 10K 0.49
MongoDB, Inc. (MongoDB Inc) Long Equity-common US $137K 548 0.10
Monster Beverage Corp. Long Equity-common US $389K 8K 0.29
NASDAQ-100 Index (Goldman Sachs International) Derivative-equity US $1M 0.84
NASDAQ-100 Index (Barclays Bank plc) Derivative-equity US $123K 0.09
NASDAQ-100 Index (BNP Paribas) Derivative-equity US $-23K -0.02
NASDAQ-100 Index Mini Futures Contracts (Chicago Mercantile Exchange) Derivative-equity US $-12K -0.01
Netflix, Inc. (Netflix Inc) Long Equity-common US $2M 3K 1.62
NVIDIA Corp. Long Equity-common US $9M 71K 6.54
NXP Semiconductor N.V. (NXP Semiconductors NV) Long Equity-common US $514K 2K 0.38
O'Reilly Automotive, Inc. (O'Reilly Automotive Inc) Long Equity-common US $465K 440 0.35
Old Dominion Freight Line, Inc. (Old Dominion Freight Line Inc) Long Equity-common US $287K 2K 0.21
ON Semiconductor Corp. Long Equity-common US $220K 3K 0.16
PACCAR, Inc. (PACCAR Inc) Long Equity-common US $403K 4K 0.30
Palo Alto Networks, Inc. (Palo Alto Networks Inc) Long Equity-common US $821K 2K 0.61
Paychex, Inc. (Paychex Inc) Long Equity-common US $319K 3K 0.24
PayPal Holdings, Inc. (PayPal Holdings Inc) Long Equity-common US $454K 8K 0.34
PDD Holdings, Inc. (PDD Holdings Inc) Long Equity-common KY $664K 5K 0.49
PepsiCo, Inc. (PepsiCo Inc) Long Equity-common US $2M 10K 1.26
QUALCOMM, Inc. (QUALCOMM Inc) Long Equity-common US $2M 8K 1.24
Regeneron Pharmaceuticals, Inc. (Regeneron Pharmaceuticals Inc) Long Equity-common US $851K 810 0.63
Roper Technologies, Inc. (Roper Technologies Inc) Long Equity-common US $451K 800 0.34
Ross Stores, Inc. (Ross Stores Inc) Long Equity-common US $364K 3K 0.27
Starbucks Corp. Long Equity-common US $659K 8K 0.49
Synopsys, Inc. (Synopsys Inc) Long Equity-common US $681K 1K 0.51
T-Mobile US, Inc. (T-Mobile US Inc) Long Equity-common US $2M 9K 1.15
Take-Two Interactive Software, Inc. Long Equity-common US $199K 1K 0.15
Tesla, Inc. (Tesla Inc) Long Equity-common US $3M 14K 2.06
Texas Instruments, Inc. (Texas Instruments Inc) Long Equity-common US $1M 7K 0.98
Trade Desk, Inc. (Trade Desk Inc/The) Long Equity-common US $325K 3K 0.24
U.S. Treasury Bills (TREASURY BILL) Long Debt US $3M 2.11
U.S. Treasury Bills (TREASURY BILL) Long Debt US $1M 0.81
Verisk Analytics, Inc. (Verisk Analytics Inc) Long Equity-common US $288K 1K 0.21
Vertex Pharmaceuticals, Inc. (Vertex Pharmaceuticals Inc) Long Equity-common US $904K 2K 0.67
Walgreens Boots Alliance, Inc. (Walgreens Boots Alliance Inc) Long Equity-common US $78K 6K 0.06
Warner Bros Discovery, Inc. (Warner Bros Discovery Inc) Long Equity-common US $136K 18K 0.10
Workday, Inc. (Workday Inc) Long Equity-common US $354K 2K 0.26
Xcel Energy, Inc. (Xcel Energy Inc) Long Equity-common US $222K 4K 0.16
Zscaler, Inc. (Zscaler Inc) Long Equity-common US $215K 1K 0.16

Address

Rydex Variable Trust
702 King Farm Blvd., Suite 200
Rockville
Maryland
20850
United States of America

Directors

Randall C. Barnes
Sandra G. Sponem
Ronald E. Toupin, Jr.
Angela Brock-Kyle
Thomas F. Lydon Jr.
Amy J. Lee
Ronald A. Nyberg

Transfer Agents

MUFG Investor Services (US), LLC

Pricing Services

ICE Data Services

Custodians

U.S. Bank N.A.

Shareholder Servicing Agents

MUFG Investor Services (US), LLC

Admins

MUFG Investor Services (US), LLC

Brokers

BOFA SECURITIES, INC.
BARCLAYS CAPITAL INC.
Instinet, LLC
BTIG, LLC