CV

Columbia Variable Portfolio - Balanced Fund

Mutual Fund
Columbia Funds Variable Series Trust II
Last update 2025-06-23 78 Stocks (9 new)
Value $887.00 Mil Turnover 8 %
Countries:
Columbia Variable Portfolio - ... Top Holdings of 2025-03-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
MSFT
Microsoft Corp
173,903
65,281.4
+2.28%
7.360
+0.16%
0.000
+39.39%
+21.87%
3,803,232.7
Software
AAPL
Apple Inc
248,488
55,196.6
0%
6.220
0%
0.000
+6.76%
-15.93%
3,136,822.2
Hardware
NVDA
NVIDIA Corp
486,056
52,678.8
0%
5.940
0%
0.000
+70.47%
+28.85%
4,219,047.4
Semiconductors
AMZN
Amazon.com Inc
185,777
35,345.9
-17.75%
3.990
-0.92%
0.000
+29.70%
+2.05%
2,376,789.0
Retail - Cyclical
IEFA
iShares Core MSCI EAFE ETF
355,182
26,869.5
0%
3.030
0%
0.020
+11.77%
+19.85%
141,636.2
 
META
Meta Platforms Inc
45,940
26,478.0
0%
2.990
0%
0.000
+39.98%
+19.99%
1,763,574.3
Interactive Media
LLY
Eli Lilly and Co
24,701
20,400.8
+10.72%
2.300
+0.22%
0.000
-9.16%
-0.99%
683,625.7
Drug Manufacturers
JPM
JPMorgan Chase & Co
78,908
19,356.1
0%
2.180
0%
0.000
+25.58%
+22.90%
797,130.5
Banks
GOOGL
Alphabet Inc
110,661
17,112.6
-3.44%
1.930
-0.08%
0.000
+21.59%
-2.79%
2,232,079.4
Interactive Media
CVX
Chevron Corp
101,959
17,056.7
+4.14%
1.920
+0.08%
0.010
+11.14%
+6.96%
262,224.4
Oil & Gas

Columbia Variable Portfolio - Balanced Fund's Historical Top Holdings Breakdowns

Columbia Variable Portfolio - Balanced Fund's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
ZBH
Zimmer Biomet Holdings Inc
2025-03-31
New Buy
New Buy
+1.32%
98.98 ($106.98) 113.18
$94.90
-11.29%
New holding
103,740
103,740
ADSK
Autodesk Inc
2025-03-31
Sold Out
Sold Out
-1.13%
246.93 ($284.41) 311.36
$292.16
2.72%
Sold Out
0
-36,488
EA
Electronic Arts Inc
2025-03-31
New Buy
New Buy
+1.04%
116.53 ($135.03) 146.29
$149.83
10.96%
New holding
63,666
63,666
SYY
Sysco Corp
2025-03-31
Sold Out
Sold Out
-0.97%
70 ($73.3) 77.13
$77.91
6.29%
Sold Out
0
-120,423
AMZN
Amazon.com Inc
2025-03-31
Reduce
Reduce
-0.92%
190.26 ($217) 242.06
$223.88
3.17%
Reduce -17.75%
185,777
-40,098
MDLZ
Mondelez International Inc
2025-03-31
Sold Out
Sold Out
-0.84%
56.12 ($61.63) 68.15
$69.80
13.26%
Sold Out
0
-134,177
CNQ
Canadian Natural Resources Ltd
2025-03-31
Sold Out
Sold Out
-0.68%
26.72 ($30.31) 32.74
$31.02
2.34%
Sold Out
0
-210,861
DELL
Dell Technologies Inc
2025-03-31
New Buy
New Buy
+0.64%
90.34 ($105.78) 124.66
$123.88
17.11%
New holding
61,796
61,796
TPR
Tapestry Inc
2025-03-31
Reduce
Reduce
-0.64%
65.63 ($75.68) 89.21
$102.16
34.99%
Reduce -61.78%
57,574
-93,075
ETN
Eaton Corp PLC
2025-03-31
New Buy
New Buy
+0.62%
271.83 ($311.37) 371.23
$380.72
22.27%
New holding
20,086
20,086

Columbia Variable Portfolio - Balanced Fund Total Holding History ($B)

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Columbia Variable Portfolio - Balanced Fund's Asset Allocation

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Columbia Variable Portfolio - Balanced Fund Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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