COLUMBIA FUNDS VARIABLE INSURANCE TRUST
About this Fund
COLUMBIA FUNDS VARIABLE INSURANCE TRUST is a renowned mutual fund company that specializes in providing a diverse range of investment solutions to meet the unique needs of its clients. As a leading player in the asset management industry, the company offers a broad spectrum of mutual funds, including equity, debt, and hybrid funds, each carefully designed to cater to distinct investor preferences and risk tolerance levels. By leveraging its expertise in wealth management, COLUMBIA FUNDS VARIABLE INSURANCE TRUST enables investors to create a personalized portfolio that aligns with their long-term financial goals, whether it's capital appreciation, income generation, or a combination of both. The company's investor-focused approach is centered on providing exceptional service, transparency, and flexibility, allowing individuals to invest through various channels, including Systematic Investment Plans (SIP), which facilitate disciplined and regular investing. With a strong commitment to delivering outstanding performance and value to its investors, COLUMBIA FUNDS VARIABLE INSURANCE TRUST has established itself as a trusted partner in the investment community. The company's experienced team of investment professionals employs a rigorous research-driven process to identify attractive opportunities and construct well-diversified portfolios that balance risk and potential returns. By combining a deep understanding of the markets with a customer-centric approach, COLUMBIA FUNDS VARIABLE INSURANCE TRUST has built a loyal client base that appreciates the company's dedication to helping them achieve their financial aspirations. As a result, investors have come to trust COLUMBIA FUNDS VARIABLE INSURANCE TRUST for its ability to navigate complex market conditions, adapt to changing investor needs, and consistently deliver strong investment outcomes. Through its comprehensive suite of mutual funds and wealth management solutions, the company empowers investors to take control of their financial futures, making informed decisions that align with their values, risk tolerance, and investment objectives. By choosing COLUMBIA FUNDS VARIABLE INSURANCE TRUST, investors can tap into the company's extensive expertise and resources, gaining access to a wide range of investment strategies and opportunities that can help them build a brighter financial future.
Holdings
From latest SEC N-PORT filing · US-listed stocks only
| # | Security Name | CUSIP | Asset Type | Weight % | Value ($M) | Quantity |
|---|---|---|---|---|---|---|
| 1 | ABBV ABBVIE INC Since 2026-05-10 | 00287YBX6 | Debt |
0.05%
|
$0.11 | 113,000 |
| 2 | ABBV ABBVIE INC Since 2026-05-10 | 00287YDS5 | Debt |
0.19%
|
$0.42 | 411,000 |
| 3 | AAP ADVANCE AUTO PARTS Since 2026-05-10 | 00751YAK2 | Debt |
0.02%
|
$0.04 | 44,000 |
| 4 | AAP ADVANCE AUTO PARTS Since 2026-05-10 | 00751YAL0 | Debt |
0.05%
|
$0.12 | 115,000 |
| 5 | ATI ATI INC Since 2026-05-10 | 01741RAH5 | Debt |
0.01%
|
$0.03 | 31,000 |
| 6 | ATI ATI INC Since 2026-05-10 | 01741RAL6 | Debt |
0.01%
|
$0.02 | 16,000 |
| 7 | ATI ATI INC Since 2026-05-10 | 01741RAM4 | Debt |
0.03%
|
$0.06 | 63,000 |
| 8 | ALLY ALLY FINANCIAL INC Since 2026-05-10 | 02005NBS8 | Debt |
0.02%
|
$0.05 | 48,000 |
| 9 | ALLY ALLY FINANCIAL INC Since 2026-05-10 | 02005NBY5 | Debt |
0.01%
|
$0.02 | 23,000 |
| 10 | ABG ASBURY AUTOMOTIVE GROUP Since 2026-05-10 | 043436AX2 | Debt |
0.02%
|
$0.04 | 44,000 |
| 11 | ASH ASHLAND INC Since 2026-05-10 | 04433LAA0 | Debt |
0.06%
|
$0.14 | 156,000 |
| 12 | AVGO BROADCOM INC Since 2026-05-10 | 11135FBQ3 | Debt |
0.09%
|
$0.21 | 246,000 |
| 13 | CACI CACI INTERNATIONAL INC Since 2026-05-10 | 127190AE6 | Debt |
0.05%
|
$0.10 | 98,000 |
| 14 | GTLS CHART INDUSTRIES INC Since 2026-05-10 | 16115QAF7 | Debt |
0.02%
|
$0.04 | 37,000 |
| 15 | C CITIGROUP INC Since 2026-05-10 | 172967QF1 | Debt |
0.34%
|
$0.76 | 755,000 |
| 16 | CLF CLEVELAND-CLIFFS INC Since 2026-05-10 | 185899AP6 | Debt |
0.01%
|
$0.01 | 15,000 |
| 17 | CLF CLEVELAND-CLIFFS INC Since 2026-05-10 | 185899AQ4 | Debt |
0.01%
|
$0.03 | 29,000 |
| 18 | CLF CLEVELAND-CLIFFS INC Since 2026-05-10 | 185899AR2 | Debt |
0.01%
|
$0.02 | 16,000 |
| 19 | CRK COMSTOCK RESOURCES INC Since 2026-05-10 | 205768AT1 | Debt |
0.01%
|
$0.02 | 16,000 |
| 20 | CRK COMSTOCK RESOURCES INC Since 2026-05-10 | 205768AU8 | Debt |
0.01%
|
$0.03 | 32,000 |
| 21 | STZ CONSTELLATION BRANDS INC Since 2026-05-10 | 21036PBE7 | Debt |
0.06%
|
$0.12 | 130,000 |
| 22 | CSTM CONSTELLIUM SE Since 2026-05-10 | 21039CAA2 | Debt |
0.04%
|
$0.09 | 88,000 |
| 23 | CSTM CONSTELLIUM SE Since 2026-05-10 | 21039CAB0 | Debt |
0.06%
|
$0.12 | 127,000 |
| 24 | CSTM CONSTELLIUM SE Since 2026-05-10 | 21039CAD6 | Debt |
0.05%
|
$0.10 | 97,000 |
| 25 | DAR DARLING INGREDIENTS INC Since 2026-05-10 | 237266AH4 | Debt |
0.03%
|
$0.07 | 70,000 |
| 26 | DVA DAVITA INC Since 2026-05-10 | 23918KAY4 | Debt |
0.03%
|
$0.07 | 70,000 |
| 27 | EIX EDISON INTERNATIONAL Since 2026-05-10 | 281020AY3 | Debt |
0.10%
|
$0.23 | 226,000 |
| 28 | ESI ELEMENT SOLUTIONS INC Since 2026-05-10 | 28618MAA4 | Debt |
0.04%
|
$0.09 | 96,000 |
| 29 | ENB ENBRIDGE INC Since 2026-05-10 | 29250NCA1 | Debt |
0.11%
|
$0.24 | 240,000 |
| 30 | ENTG ENTEGRIS INC Since 2026-05-10 | 29365BAA1 | Debt |
0.03%
|
$0.08 | 76,000 |
| 31 | ENTG ENTEGRIS INC Since 2026-05-10 | 29365BAB9 | Debt |
0.07%
|
$0.15 | 152,000 |
| 32 | META META PLATFORMS INC Since 2026-05-10 | 30303M8Y1 | Debt |
0.09%
|
$0.19 | 201,000 |
| 33 | META META PLATFORMS INC Since 2026-05-10 | 30303MAE2 | Debt |
0.11%
|
$0.23 | 242,000 |
| 34 | GFL GFL ENVIRONMENTAL INC Since 2026-05-10 | 36168QAL8 | Debt |
0.02%
|
$0.06 | 56,000 |
| 35 | GFL GFL ENVIRONMENTAL INC Since 2026-05-10 | 36168QAQ7 | Debt |
0.05%
|
$0.10 | 96,000 |
| 36 | GTN-A GRAY MEDIA INC Since 2026-05-10 | 389375AN6 | Debt |
0.02%
|
$0.06 | 53,000 |
| 37 | GTN-A GRAY MEDIA INC Since 2026-05-10 | 389375AP1 | Debt |
0.03%
|
$0.07 | 66,000 |
| 38 | GPI GROUP 1 AUTOMOTIVE INC Since 2026-05-10 | 398905AN9 | Debt |
0.01%
|
$0.02 | 21,000 |
| 39 | GPI GROUP 1 AUTOMOTIVE INC Since 2026-05-10 | 398905AQ2 | Debt |
0.01%
|
$0.02 | 22,000 |
| 40 | HQY HEALTHEQUITY INC Since 2026-05-10 | 42226AAA5 | Debt |
0.04%
|
$0.08 | 80,000 |
| 41 | HBM HUDBAY MINERALS INC Since 2026-05-10 | 443628AH5 | Debt |
0.07%
|
$0.14 | 143,000 |
| 42 | HBM HUDBAY MINERALS INC Since 2026-05-10 | 443628AJ1 | Debt |
0.02%
|
$0.04 | 36,000 |
| 43 | JPM JPMORGAN CHASE & CO Since 2026-05-10 | 46647PCR5 | Debt |
0.21%
|
$0.47 | 525,000 |
| 44 | JPM JPMORGAN CHASE & CO Since 2026-05-10 | 46647PEJ1 | Debt |
0.18%
|
$0.40 | 389,000 |
| 45 | JPM JPMORGAN CHASE & CO Since 2026-05-10 | 46647PEQ5 | Debt |
0.01%
|
$0.02 | 20,000 |
| 46 | JPM JPMORGAN CHASE & CO Since 2026-05-10 | 46647PEV4 | Debt |
0.03%
|
$0.08 | 74,000 |
| 47 | KGS KODIAK GAS SERVICES LLC Since 2026-05-10 | 50012LAC8 | Debt |
0.01%
|
$0.03 | 28,000 |
| 48 | KGS KODIAK GAS SERVICES LLC Since 2026-05-10 | 50012LAD6 | Debt |
0.04%
|
$0.08 | 77,000 |
| 49 | KGS KODIAK GAS SERVICES LLC Since 2026-05-10 | 50012LAE4 | Debt |
0.02%
|
$0.04 | 43,000 |
| 50 | BBWI BATH & BODY WORKS INC Since 2026-05-10 | 501797AL8 | Debt |
0.02%
|
$0.05 | 46,000 |
| 51 | LAD LITHIA MOTORS INC Since 2026-05-10 | 536797AF0 | Debt |
0.01%
|
$0.03 | 30,000 |
| 52 | NRG NRG ENERGY INC Since 2026-05-10 | 629377CE0 | Debt |
0.01%
|
$0.03 | 28,000 |
| 53 | NRG NRG ENERGY INC Since 2026-05-10 | 629377CH3 | Debt |
0.03%
|
$0.06 | 57,000 |
| 54 | NRG NRG ENERGY INC Since 2026-05-10 | 629377CW0 | Debt |
0.03%
|
$0.06 | 59,000 |
| 55 | NRG NRG ENERGY INC Since 2026-05-10 | 629377CX8 | Debt |
0.04%
|
$0.08 | 76,000 |
| 56 | NRG NRG ENERGY INC Since 2026-05-10 | 629377CY6 | Debt |
0.04%
|
$0.09 | 88,000 |
| 57 | NRG NRG ENERGY INC Since 2026-05-10 | 629377DC3 | Debt |
0.04%
|
$0.09 | 86,000 |
| 58 | NRG NRG ENERGY INC Since 2026-05-10 | 629377DD1 | Debt |
0.04%
|
$0.09 | 86,000 |
| 59 | NBR NABORS INDUSTRIES INC Since 2026-05-10 | 62957HAP0 | Debt |
0.04%
|
$0.10 | 94,000 |
| 60 | NBR NABORS INDUSTRIES INC Since 2026-05-10 | 62957HAQ8 | Debt |
0.05%
|
$0.11 | 114,000 |
| 61 | NBR NABORS INDUSTRIES INC Since 2026-05-10 | 62957HAR6 | Debt |
0.02%
|
$0.05 | 55,000 |
| 62 | NWL NEWELL BRANDS INC Since 2026-05-10 | 651229BE5 | Debt |
0.04%
|
$0.10 | 101,000 |
| 63 | NWL NEWELL BRANDS INC Since 2026-05-10 | 651229BF2 | Debt |
0.03%
|
$0.07 | 74,000 |
| 64 | NWL NEWELL BRANDS INC Since 2026-05-10 | 651229BG0 | Debt |
0.01%
|
$0.01 | 12,000 |
| 65 | PENN PENN ENTERTAINMENT INC Since 2026-05-10 | 707569AV1 | Debt |
0.05%
|
$0.12 | 128,000 |
| 66 | POST POST HOLDINGS INC Since 2026-05-10 | 737446AQ7 | Debt |
0.01%
|
$0.03 | 28,000 |
| 67 | POST POST HOLDINGS INC Since 2026-05-10 | 737446AR5 | Debt |
0.09%
|
$0.19 | 204,000 |
| 68 | POST POST HOLDINGS INC Since 2026-05-10 | 737446AU8 | Debt |
0.03%
|
$0.06 | 56,000 |
| 69 | POST POST HOLDINGS INC Since 2026-05-10 | 737446AY0 | Debt |
0.02%
|
$0.04 | 37,000 |
| 70 | SVC SERVICE PROPERTIES TRUST Since 2026-05-10 | 81761LAC6 | Debt |
0.02%
|
$0.04 | 42,000 |
| 71 | SVC SERVICE PROPERTIES TRUST Since 2026-05-10 | 81761LAD4 | Debt |
0.02%
|
$0.04 | 35,000 |
| 72 | SLGN SILGAN HOLDINGS INC Since 2026-05-10 | 827048AW9 | Debt |
0.05%
|
$0.12 | 120,000 |
| 73 | SNAP SNAP INC Since 2026-05-10 | 83304AAL0 | Debt |
0.11%
|
$0.25 | 239,000 |
| 74 | SNAP SNAP INC Since 2026-05-10 | 83304AAM8 | Debt |
0.06%
|
$0.14 | 132,000 |
| 75 | XYZ BLOCK INC Since 2026-05-10 | 852234AN3 | Debt |
0.07%
|
$0.16 | 157,000 |
| 76 | XYZ BLOCK INC Since 2026-05-10 | 852234AP8 | Debt |
0.01%
|
$0.03 | 31,000 |
| 77 | XYZ BLOCK INC Since 2026-05-10 | 852234AS2 | Debt |
0.05%
|
$0.11 | 103,000 |
| 78 | XYZ BLOCK INC Since 2026-05-10 | 852234AT0 | Debt |
0.03%
|
$0.07 | 73,000 |
| 79 | XYZ BLOCK INC Since 2026-05-10 | 852234AU7 | Debt |
0.03%
|
$0.06 | 57,000 |
| 80 | PRMB Primo Brands Corporation Since 2026-05-10 | 89678QAD8 | LON |
0.09%
|
$0.20 | 198,995 |
| 81 | TSN TYSON FOODS INC Since 2026-05-10 | 902494BC6 | Debt |
0.29%
|
$0.65 | 650,000 |
| 82 | UCTT Ultra Clean Holdings Inc Since 2026-05-10 | 90385YAG6 | LON |
0.04%
|
$0.09 | 88,037 |
| 83 | MTN VAIL RESORTS INC Since 2026-05-10 | 91879QAP4 | Debt |
0.02%
|
$0.05 | 48,000 |
| 84 | VZ VERIZON COMMUNICATIONS Since 2026-05-10 | 92343VGJ7 | Debt |
0.43%
|
$0.95 | 1,039,000 |
| 85 | VST VISTRA CORP Since 2026-05-10 | 92840VAF9 | Debt |
0.01%
|
$0.02 | 24,000 |
| 86 | WFC WELLS FARGO & COMPANY Since 2026-05-10 | 95000U3W1 | Debt |
0.05%
|
$0.10 | 100,000 |
| 87 | WEX WEX INC Since 2026-05-10 | 96208TAD6 | Debt |
0.04%
|
$0.10 | 97,000 |
| 88 | WWW WOLVERINE WORLD WIDE Since 2026-05-10 | 978097AG8 | Debt |
0.05%
|
$0.11 | 119,000 |
| 89 | YUM YUM! BRANDS INC Since 2026-05-10 | 988498AR2 | Debt |
0.02%
|
$0.05 | 53,000 |
| 90 | CZR Caesars Entertainment Inc Since 2026-05-10 | 12768EAG1 | LON |
0.18%
|
$0.41 | 409,548 |
| 91 | AMRX AMNEAL PHARMACEUTICALS LLC Since 2026-05-10 | 03167DAR5 | LON |
0.04%
|
$0.10 | 95,927 |
| 92 | TNL TRAVEL + LEISURE CO Since 2026-05-10 | — | LON |
0.07%
|
$0.15 | 149,625 |