Columbia Funds Complex > Columbia Funds Variable Insurance Trust

Columbia Variable Portfolio - Contrarian Core Fund

Underlying fund
Series ID: S000036673
LEI: 3BTR2QYKBNU753GJ6097
SEC CIK: 815425
$1.35B Avg Monthly Net Assets
$1.48B Total Assets
$105K Total Liabilities
$1.48B Net Assets
Columbia Variable Portfolio - Contrarian Core Fund is an Underlying fund in Columbia Funds Variable Insurance Trust from Columbia Funds Complex, based in Massachusetts, United States of America. The fund has two share classes and monthly net assets of $1.35B. On August 27th, 2024 it reported 77 holdings, the largest being MICROSOFT CORP (7.5%), APPLE INC (7.2%) and NVIDIA CORP (7.2%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Ticker Monthly Returns (2 years)
Class 1 C000112074 Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 249.81% (Max)-9.57% (Min)
Class 2 C000112075 Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 249.79% (Max)-9.58% (Min)

Holdings

From latest NPORT-P, filed August 27th, 2024 for period ending June 30th, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
Abbott Laboratories Long Equity-common US $12M 112K 0.79
AbbVie Inc Long Equity-common US $22M 130K 1.51
Accenture PLC Long Equity-common IE $4M 13K 0.26
Adobe Inc Long Equity-common US $8M 14K 0.53
Advanced Micro Devices Inc Long Equity-common US $10M 61K 0.67
Alphabet Inc Long Equity-common US $38M 210K 2.58
Alphabet Inc Long Equity-common US $33M 179K 2.23
Amazon.com Inc Long Equity-common US $72M 371K 4.84
American Express Co (AMERICAN EXPRESS COMPANY) Long Equity-common US $8M 35K 0.55
American Tower Corp Long Equity-common US $18M 92K 1.21
Anthem Inc (ELEVANCE HEALTH INC) Long Equity-common US $27M 51K 1.85
Aon PLC Long Equity-common IE $16M 53K 1.05
Apple Inc Long Equity-common US $106M 505K 7.19
Autodesk Inc Long Equity-common US $13M 52K 0.87
Avery Dennison Corp Long Equity-common US $6M 26K 0.39
Bank of America Corp Long Equity-common US $22M 545K 1.47
Becton Dickinson & Co (BECTON DICKINSON AND COMPANY) Long Equity-common US $13M 54K 0.86
Berkshire Hathaway Inc Long Equity-common US $4M 11K 0.29
Biogen Inc Long Equity-common US $14M 62K 0.97
BioMarin Pharmaceutical Inc (BIOMARIN PHARMACEUTICAL INC.) Long Equity-common US $9M 115K 0.64
BlackRock Inc Long Equity-common US $20M 25K 1.33
Boston Scientific Corp Long Equity-common US $14M 183K 0.95
Canadian Natural Resources Ltd Long Equity-common CA $16M 448K 1.08
Charles Schwab Corp/The Long Equity-common US $12M 166K 0.83
Chevron Corp Long Equity-common US $25M 161K 1.70
COLUMBIA SHORT TERM CASH FUND Long Short-term investment vehicle US $23M 23M 1.56
Coty Inc Long Equity-common US $9M 905K 0.61
DTE Energy Co (DTE ENERGY COMPANY) Long Equity-common US $11M 100K 0.75
eBay Inc Long Equity-common US $20M 381K 1.38
Eli Lilly & Co (ELI LILLY AND COMPANY) Long Equity-common US $22M 24K 1.45
Emerson Electric Co Long Equity-common US $12M 105K 0.78
Entegris Inc Long Equity-common US $9M 68K 0.62
EOG Resources Inc Long Equity-common US $14M 110K 0.94
GE Vernova Inc Long Equity-common US $2M 14K 0.16
General Electric Co Long Equity-common US $7M 46K 0.50
Honeywell International Inc Long Equity-common US $26M 122K 1.77
International Business Machines Corp Long Equity-common US $10M 60K 0.70
Intuit Inc (INTUIT INC.) Long Equity-common US $17M 26K 1.14
IQVIA Holdings Inc Long Equity-common US $4M 21K 0.30
JPMorgan Chase & Co Long Equity-common US $26M 129K 1.76
L3Harris Technologies Inc Long Equity-common US $5M 21K 0.31
Lam Research Corp (LAM RSRCH CORP) Long Equity-common US $21M 20K 1.41
Marvell Technology Inc Long Equity-common US $7M 103K 0.48
Mastercard Inc Long Equity-common US $19M 44K 1.30
Meta Platforms Inc Long Equity-common US $51M 102K 3.47
Microsoft Corp Long Equity-common US $111M 248K 7.50
Mondelez International Inc Long Equity-common US $4M 64K 0.28
Newmont Corp (NEWMONT CORPORATION) Long Equity-common US $17M 404K 1.14
NIKE Inc Long Equity-common US $8M 110K 0.56
NVIDIA Corp Long Equity-common US $106M 857K 7.16
ON Semiconductor Corp Long Equity-common US $13M 194K 0.90
Palo Alto Networks Inc Long Equity-common US $9M 27K 0.62
Parker-Hannifin Corp (PARKER HANNIFIN CORPORATION) Long Equity-common US $7M 15K 0.50
Pfizer Inc Long Equity-common US $12M 414K 0.78
Pinterest Inc Long Equity-common US $14M 309K 0.92
Procter & Gamble Co/The Long Equity-common US $19M 116K 1.30
Public Service Enterprise Group Inc (PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED) Long Equity-common US $12M 167K 0.83
QUALCOMM Inc Long Equity-common US $12M 59K 0.79
Raytheon Technologies Corp (RTX CORP) Long Equity-common US $20M 200K 1.36
S&P Global Inc Long Equity-common US $11M 25K 0.76
Sherwin-Williams Co/The (SHERWIN-WILLIAMS COMPANY (THE)) Long Equity-common US $10M 35K 0.71
Square Inc (BLOCK INC) Long Equity-common US $10M 157K 0.69
Sysco Corp Long Equity-common US $19M 262K 1.27
T-Mobile US Inc Long Equity-common US $16M 93K 1.11
Take-Two Interactive Software Inc (TAKE-TWO INTERACTIVE SOFTWARE INC.) Long Equity-common US $20M 127K 1.33
Tapestry Inc Long Equity-common US $9M 215K 0.62
TE Connectivity Ltd Long Equity-common CH $21M 141K 1.43
Tesla Inc (TESLA INC (PRE-REINCORPORATION)) Long Equity-common US $6M 33K 0.44
Thermo Fisher Scientific Inc Long Equity-common US $24M 43K 1.59
Uber Technologies Inc Long Equity-common US $15M 202K 0.99
Union Pacific Corp (UNION PACIFIC CORPORATION) Long Equity-common US $9M 41K 0.63
United Airlines Holdings Inc Long Equity-common US $6M 123K 0.40
United Parcel Service Inc Long Equity-common US $8M 55K 0.51
Vertex Pharmaceuticals Inc (VERTEX PHARM INC) Long Equity-common US $12M 26K 0.81
Visa Inc Long Equity-common US $23M 86K 1.53
Walmart Inc Long Equity-common US $19M 284K 1.30
Wells Fargo & Co (WELLS FARGO & COMPANY) Long Equity-common US $17M 282K 1.13

Address

Columbia Funds Variable Insurance Trust
290 Congress Street
Boston
Massachusetts
02210
United States of America

Directors

Yeager, Sandra
Beckman, Daniel J.
Paglia, Catherine James
Gallagher, Brian J.
Flynn, Patricia M.
Carlton, Pamela G.
Blatz, Kathleen
Batejan, George S.
Trunow, Natalie A.
Darragh, Olive
Connaughton, J. Kevin
Moffett, David M.
Lukitsh, Nancy T.
Hacker, Douglas A.
Carrig, Janet Langford

Transfer Agents

Columbia Management Investment Services Corp.
SS&C Global Investor & Distribution Solutions, Inc.

Pricing Services

REFINITIV US LLC
IHS Markit Ltd.
Bloomberg Finance L.P.
PricingDirect Inc.
ICE Data Pricing and Reference Data, LLC

Custodians

JPMORGAN CHASE BANK, N.A.
BANCO NACIONAL DE MEXICO, S.A.
BNP PARIBAS SECURITIES SERVICES S.C.A.
BNP PARIBAS SECURITIES SERVICES S.C.A.
BNP PARIBAS SECURITIES SERVICES S.C.A.
CACEIS BANK SPAIN, S.A.U.
DBS BANK LTD
DEUTSCHE BANK AG
DEUTSCHE BANK AG
EUROCLEAR BANK S.A.
EUROCLEAR BANK S.A.
FIRSTRAND BANK LIMITED
J.P. MORGAN BANK LUXEMBOURG S.A.
J.P. MORGAN BANK LUXEMBOURG S.A.
J.P. MORGAN BANK LUXEMBOURG S.A.
J.P. MORGAN BANK LUXEMBOURG S.A.
J.P. MORGAN S.A. DTVM
JPMORGAN CHASE BANK, N.A.
JPMORGAN CHASE BANK, N.A.
JPMORGAN CHASE BANK, N.A.
JPMORGAN CHASE BANK, N.A.
MIZUHO BANK, LTD.
PT BANK HSBC INDONESIA
ROYAL BANK OF CANADA
THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED
UNICREDIT BANK AUSTRIA AG

Shareholder Servicing Agents

Columbia Management Investment Services Corp.
SS&C Global Investor & Distribution Solutions, Inc.

Admins

Columbia Management Investment Advisers, LLC

Brokers

Goldman Sachs
Virtu Americas LLC
Morgan Stanley
Wells Fargo
JPMorgan
UBS
Citi
Barclays
Jefferies LLC
BMO Capital Markets Corp.