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Columbia Variable Portfolio - Acorn International Fund (WSCAX) is an MF managed by Columbia Threadneedle. Its largest position is TAISEI CORP. (1801), representing 3.08% of fund assets.

Columbia Variable Portfolio - Acorn International Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
WSCAX
Type:
MF
Manager:
Columbia Threadneedle
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 68 holdings
Holding Weight Market Value Shares
-
TAISEI CORP.
3.08% $7,925,533.50 76,500
-
PRYSMIAN SPA
2.94% $7,568,693.75 64,092
-
NITERRA CO LTD
2.70% $6,940,711.11 147,200
-
KRAFTIA CORP
2.56% $6,580,825.58 108,800
-
BANK OF IRELAND GROUP PLC
2.55% $6,562,392.56 361,699
-
BE SEMICONDUCTOR INDUSTRIES NV
2.52% $6,481,720.46 30,261
-
GAZTRANSPORT ET TECHNIGAZ SA
2.49% $6,411,145.91 27,259
-
NOMURA REAL ESTATE HOLDINGS INC
2.33% $5,992,961.46 924,300
-
BABCOCK INTERNATIONAL GROUP PLC
2.15% $5,522,135.40 355,702
-
ENDEAVOUR MINING PLC
2.15% $5,520,386.79 91,625
-
COLUMBIA SHORT TERM CASH FUND
2.14% $5,496,998.85 5,499,199
-
FISHER AND PAYKEL HEALTHCARE CORPORATION LIMITED
2.01% $5,171,250.72 238,488
-
CAPCOM CO. LTD.
1.99% $5,105,474.10 241,600
-
HALMA PLC
1.98% $5,087,563.32 99,696
-
ASICS CORP
1.95% $5,022,139.61 186,800
-
OPEN HOUSE GROUP CO LTD
1.93% $4,967,109.70 77,500
-
CAREL INDUSTRIES SPA
1.85% $4,748,515.85 186,315
-
YELLOW CAKE PLC
1.81% $4,663,977.40 582,368
-
NIPPON SANSO HOLDINGS CORPORATION
1.81% $4,641,504.77 130,900
-
NATIONAL BANK OF GREECE SA
1.78% $4,577,687.03 296,331
-
Sunbelt Rentals Holdings, Inc.
1.69% $4,350,634.28 68,201
-
DISCO CORPORATION
1.66% $4,279,624.77 10,500
-
ALS LTD.
1.66% $4,263,760.74 290,455
-
SUNTORY BEVERAGE AND FOOD LIMITED
1.65% $4,252,959.74 150,600
-
KARDEX HOLDING AG
1.61% $4,144,241.70 13,774
-
SEKISUI CHEMICAL CO. LTD.
1.60% $4,109,865.23 244,800
-
ADDTECH AB
1.59% $4,098,988.73 119,452
-
KOKUSAI ELECTRIC CORP
1.58% $4,064,526.52 120,200
-
NISSIN FOODS CO LTD
1.57% $4,036,984.13 212,700
-
VAT GROUP AG
1.48% $3,810,425.51 6,108
-
SIMPLEX HOLDINGS INC
1.47% $3,791,901.27 737,600
-
MODEC INC
1.47% $3,777,097.92 39,900
-
VALMET OYJ
1.41% $3,620,159.91 126,519
-
OMRON CORP
1.39% $3,564,490.68 123,900
-
KONECRANES OYJ
1.35% $3,480,866.02 106,057
-
SANWA HOLDINGS CORP
1.35% $3,477,541.43 152,911
-
SILERGY CORP
1.32% $3,390,284.03 372,000
-
RENESAS ELECTRONICS CORPORATION
1.31% $3,371,287.06 235,800
-
GUNMA BANK LTD/THE
1.28% $3,293,104.01 247,100
-
ICG PLC
1.26% $3,227,729.56 157,379
-
VIRBAC SACA
1.23% $3,150,466.03 7,628
-
CONVATEC GROUP PLC
1.18% $3,043,128.34 1,055,016
-
KYORITSU MAINTENANCE CO LTD
1.18% $3,029,445.31 195,200
-
SAFESTORE HOLDINGS PLC
1.14% $2,922,655.40 348,008
-
INTERPARFUMS INC
1.11% $2,865,729.48 31,547
-
NEMETSCHEK SE
1.10% $2,825,141.61 37,739
-
MATSUKIYOCOCOKARA AND CO.
1.08% $2,783,764.85 174,900
-
CTS EVENTIM AG AND CO. KGAA
1.08% $2,767,290.53 47,247
-
BELIMO HOLDING AG
1.06% $2,732,880.75 3,365
-
RENK GROUP AG
1.04% $2,680,700.66 44,849
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