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Columbia Variable Portfolio - Acorn Fund (WUSAX) is an MF managed by Columbia Threadneedle. Its largest position is SPX Technologies, Inc. (SPXC), representing 2.48% of fund assets.

Columbia Variable Portfolio - Acorn Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
WUSAX
Type:
MF
Manager:
Columbia Threadneedle
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 96 holdings
Holding Weight Market Value Shares
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SPX Technologies, Inc.
2.48% $10,758,571.46 53,809
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INSMED Inc
2.45% $10,619,806.40 64,945
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CELESTICA INC
2.15% $9,335,438.56 33,142
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Churchill Downs Inc
2.15% $9,301,088.03 103,541
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Carlyle Group Inc.
2.04% $8,824,835.91 182,369
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CURTISS WRIGHT CORP
1.99% $8,618,892.48 12,654
-
VIAVI SOLUTIONS INC.
1.96% $8,516,684.80 255,910
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STERLING INFRASTRUCTURE, INC.
1.95% $8,449,223.42 20,746
-
GCM Grosvenor Inc.
1.90% $8,242,084.20 841,029
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InterDigital, Inc.
1.89% $8,188,428.00 27,114
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MASTEC INC
1.87% $8,103,987.12 25,188
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VSE CORP
1.84% $7,982,491.60 43,289
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COHERENT CORP.
1.83% $7,935,966.15 33,315
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MODINE MANUFACTURING CO
1.82% $7,890,844.52 36,412
-
CAVCO INDUSTRIES, INC.
1.79% $7,748,155.71 15,999
-
Bloom Energy Corp
1.73% $7,485,145.05 55,245
-
Wingstop Inc.
1.66% $7,214,938.29 46,557
-
ESAB Corp
1.60% $6,917,569.56 71,566
-
Dorman Products, Inc.
1.59% $6,909,153.80 66,205
-
STATE STREET SPDR S&P BIOTECH
1.57% $6,818,227.40 53,380
-
HEALTHEQUITY, INC.
1.56% $6,783,711.18 81,174
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BJ's Wholesale Club Holdings, Inc.
1.53% $6,638,035.32 67,446
-
GLAUKOS Corp
1.49% $6,474,026.44 60,134
-
StoneX Group Inc.
1.48% $6,409,497.45 79,473
-
TOPBUILD CORP
1.44% $6,242,601.00 17,770
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SEMTECH CORP
1.43% $6,200,255.82 80,638
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WD 40 CO
1.32% $5,739,687.36 28,144
-
WESTERN ALLIANCE BANCORPORATION
1.32% $5,715,256.95 80,667
-
Marvell Technology, Inc.
1.31% $5,657,240.75 57,115
-
Alignment Healthcare, Inc.
1.26% $5,480,577.66 311,043
-
COLUMBIA SHORT TERM CASH FUND
1.25% $5,423,359.62 5,425,530
-
AeroVironment Inc
1.25% $5,397,046.20 29,484
-
Guardant Health, Inc.
1.24% $5,383,970.19 58,287
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e.l.f. Beauty, Inc.
1.20% $5,192,398.09 85,669
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FTAI Aviation Ltd.
1.19% $5,174,645.00 21,121
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PARSONS CORP
1.17% $5,069,607.79 93,587
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AXON ENTERPRISE, INC.
1.16% $5,040,220.92 11,868
-
Dynatrace, Inc.
1.14% $4,944,078.08 133,696
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SharkNinja, Inc.
1.12% $4,876,059.60 46,044
-
Knight-Swift Transportation Holdings Inc.
1.12% $4,841,268.82 84,079
-
BridgeBio Pharma, Inc.
1.02% $4,433,767.56 59,706
-
ASTRONICS CORP
1.01% $4,357,402.27 65,299
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APPLIED INDUSTRIAL TECHNOLOGIES INC
1.00% $4,342,492.44 16,367
-
Encompass Health Corp
0.99% $4,282,914.21 44,277
-
RYAN SPECIALTY HOLDINGS, INC.
0.96% $4,165,506.66 123,459
-
Pennant Group, Inc.
0.95% $4,097,304.48 134,426
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DEVON ENERGY CORP/DE
0.94% $4,075,064.56 80,983
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iRhythm Holdings, Inc.
0.89% $3,857,955.78 32,689
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EQT Corp
0.88% $3,807,263.00 59,825
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Sprouts Farmers Market, Inc.
0.84% $3,660,435.54 47,458
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