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FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST

CIK: 0000837274 Equity
Report date: 2026-02-25
AUM $58M
Expense Ratio
Category Equity
State FL
Fiscal Year End
Inception Date
Manager
Latest Filing 2026-02-25

About this Fund

Franklin Templeton Variable Insurance Products Trust is a leading mutual fund company that specializes in providing a wide range of investment options to individuals and institutions seeking to grow their wealth through strategic asset management. As a trusted name in the investment industry, Franklin Templeton Variable Insurance Products Trust offers an extensive portfolio of mutual funds, including equity, debt, hybrid, and money market funds, each designed to cater to the diverse needs and risk tolerance of its investors. With a strong focus on wealth management, the company's investment approach is centered around creating long-term value for its clients, whether they are seeking capital appreciation, income generation, or a combination of both. Through its systematic investment plan (SIP) offerings, Franklin Templeton Variable Insurance Products Trust enables investors to invest a fixed amount of money at regular intervals, helping them to reduce timing risks and benefit from the power of compounding. The company's investor-centric approach is built on a foundation of transparency, flexibility, and reliability, which has earned the trust of millions of investors worldwide. By leveraging its global expertise and local market insights, Franklin Templeton Variable Insurance Products Trust is well-positioned to help its clients navigate the complexities of the investment landscape and achieve their financial goals. With a commitment to delivering exceptional investment results and customer service, the company has established itself as a preferred partner for investors seeking to create a diversified portfolio that aligns with their unique needs and objectives. Through its comprehensive suite of mutual funds and wealth management solutions, Franklin Templeton Variable Insurance Products Trust empowers investors to take control of their financial future, providing them with the tools and expertise necessary to make informed investment decisions and achieve long-term success. As a testament to its unwavering dedication to excellence, Franklin Templeton Variable Insurance Products Trust has garnered a reputation for being a trusted and reliable mutual fund company, with a proven track record of delivering strong investment performance and exceptional client service. By combining its extensive investment expertise with a deep understanding of the needs and aspirations of its clients, Franklin Templeton Variable Insurance Products Trust continues to set the standard for mutual fund and asset management companies, providing investors with a wide range of investment options and a commitment to helping them achieve their financial goals.

Holdings

From latest SEC N-PORT filing · US-listed stocks only

32 positions
# Security Name CUSIP Asset Type Weight % Value ($M) Quantity
1 GOOG Alphabet, Inc. Since 2026-05-10 02079K305 Equity (Common)
2.48%
$1.44 4,595
2 AMZN Amazon.com, Inc. Since 2026-05-10 023135106 Equity (Common)
1.24%
$0.72 3,105
3 APO Apollo Global Management, Inc. Since 2026-05-10 03769M304 Equity (Preferred)
1.99%
$1.15 15,265
4 AZN AstraZeneca plc Since 2026-05-10 046353108 Equity (Common)
1.64%
$0.95 10,345
5 BJ BJ's Wholesale Club Holdings, Inc. Since 2026-05-10 05550J101 Equity (Common)
0.60%
$0.35 3,891
6 BX Blackstone, Inc. Since 2026-05-10 09260D107 Equity (Common)
1.10%
$0.64 4,120
7 BLK BlackRock, Inc. Since 2026-05-10 09290D101 Equity (Common)
1.40%
$0.81 757
8 AVGO Broadcom, Inc. Since 2026-05-10 11135F101 Equity (Common)
0.84%
$0.48 1,399
9 CASY Casey's General Stores, Inc. Since 2026-05-10 147528103 Equity (Common)
0.91%
$0.53 957
10 CAT Caterpillar, Inc. Since 2026-05-10 149123101 Equity (Common)
1.25%
$0.72 1,263
11 CNP CenterPoint Energy, Inc. Since 2026-05-10 15189T107 Equity (Common)
0.99%
$0.57 14,943
12 CSCO Cisco Systems, Inc. Since 2026-05-10 17275R102 Equity (Common)
2.01%
$1.16 15,086
13 CTVA Corteva, Inc. Since 2026-05-10 22052L104 Equity (Common)
0.77%
$0.44 6,622
14 EMR Emerson Electric Co. Since 2026-05-10 291011104 Equity (Common)
0.34%
$0.20 1,499
15 EVRG Evergy, Inc. Since 2026-05-10 30034W106 Equity (Common)
1.02%
$0.59 8,145
16 GEHC GE HealthCare Technologies, Inc. Since 2026-05-10 36266G107 Equity (Common)
0.68%
$0.39 4,789
17 IR Ingersoll Rand, Inc. Since 2026-05-10 45687V106 Equity (Common)
0.99%
$0.57 7,239
18 ICE Intercontinental Exchange, Inc. Since 2026-05-10 45866F104 Equity (Common)
0.30%
$0.17 1,079
19 JPM JPMorgan Chase & Co. Since 2026-05-10 46625H100 Equity (Common)
4.55%
$2.64 8,182
20 MAA Mid-America Apartment Communities, Inc. Since 2026-05-10 59522J103 Equity (Common)
1.23%
$0.71 5,141
21 NEE NextEra Energy, Inc. Since 2026-05-10 65339F101 Equity (Common)
1.55%
$0.90 11,153
22 PM Philip Morris International, Inc. Since 2026-05-10 718172109 Equity (Common)
1.66%
$0.96 6,003
23 RSG Republic Services, Inc. Since 2026-05-10 760759100 Equity (Common)
0.23%
$0.13 620
24 SU Suncor Energy, Inc. Since 2026-05-10 867224107 Equity (Common)
1.01%
$0.58 13,174
25 TMUS T-Mobile US, Inc. Since 2026-05-10 872590104 Equity (Common)
1.39%
$0.81 3,974
26 TMO Thermo Fisher Scientific, Inc. Since 2026-05-10 883556102 Equity (Common)
1.52%
$0.88 1,519
27 URI United Rentals, Inc. Since 2026-05-10 911363109 Equity (Common)
0.98%
$0.57 703
28 VTR Ventas, Inc. Since 2026-05-10 92276F100 Equity (Common)
1.48%
$0.86 11,105
29 WMT Walmart, Inc. Since 2026-05-10 931142103 Equity (Common)
1.75%
$1.02 9,128
30 LIN Linde plc Since 2026-05-10 N/A Equity (Common)
1.31%
$0.76 1,787
31 MDT Medtronic plc Since 2026-05-10 N/A Equity (Common)
1.47%
$0.85 8,879
32 TEL TE Connectivity plc Since 2026-05-10 N/A Equity (Common)
1.00%
$0.58 2,559
Frequently Asked Questions — FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST
What type of mutual fund is FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST?
FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST is a SEC-registered Equity fund, with $58M in assets under management. Equity funds invest primarily in a diversified portfolio of stocks and equities, aiming for long-term capital appreciation. They carry higher market risk than bond or money market funds but historically offer stronger long-term returns. Equity mutual funds can be further classified as large-cap, mid-cap, small-cap, growth, value, or sector-specific depending on their investment mandate. As of its latest SEC N-PORT filing, FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST holds 32 portfolio positions, all detailed in the holdings table on this page.
What are FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's assets under management (AUM)?
FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST has $58M in assets under management (AUM) according to its most recent SEC N-PORT filing on StockSifting. AUM represents the total market value of all securities and other assets held by the fund as of the report date. A larger AUM generally signals a more established fund with greater institutional adoption, more trading liquidity, and potentially lower per-unit operational costs due to economies of scale. AUM changes daily as market prices fluctuate and as investors purchase or redeem fund shares — the figure shown here reflects the most recently available N-PORT disclosure, not the current real-time value. For the live figure, consult the fund's official website or its latest SEC EDGAR filing.
What are FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's top holdings?
According to FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's most recent SEC N-PORT filing, the fund's largest holdings by portfolio weight include Alphabet, Inc., Amazon.com, Inc., Apollo Global Management, Inc. , among others. The complete list of all 32 holdings — including CUSIP, asset type, portfolio weight percentage, dollar value, and share quantity — is available in the holdings table above. Holdings data is sourced directly from SEC EDGAR N-PORT filings and reflects the fund's positions as of the report date shown at the top of this page. Due to the 60-day SEC disclosure lag, these positions may differ from the fund's current portfolio. For the latest holdings before public release, refer to SEC EDGAR directly.
What is FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's expense ratio?
Expense ratio data for FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST is not currently available in StockSifting's database. The expense ratio is the annual fee charged by a mutual fund as a percentage of your investment, covering management fees and operational costs. It is one of the most important factors affecting net long-term returns — lower expense ratios allow more of a fund's gross performance to flow through to investors. For the most accurate and current expense ratio, refer to the fund's official prospectus or its SEC EDGAR filings. You can also contact us if you believe this data should be present.
Where can I find FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's SEC filings?
FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST is required to file monthly portfolio reports (Form N-PORT) with the U.S. Securities and Exchange Commission (SEC). Its SEC Central Index Key (CIK) is 0000837274. You can access all of FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's SEC filings — including N-PORT holdings disclosures, annual reports (Form N-CEN), and registration statements — directly on SEC EDGAR (CIK: 0000837274). N-PORT filings disclose the fund's complete portfolio holdings, fair value measurements, and certain risk metrics as of each filing period end date. StockSifting automatically parses these filings to populate the holdings table, AUM figures, and expense ratio displayed on this page, making the raw EDGAR data accessible without needing to download and parse XML files manually.
How current is FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST's holdings data on StockSifting?
Holdings data for FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST on StockSifting is sourced from its most recent SEC EDGAR N-PORT filing. Under SEC rules, registered investment companies must file N-PORT reports monthly, but these are made publicly available approximately 60 days after the reporting period end date. This means the holdings shown on this page reflect the fund's portfolio from roughly two months prior — not today's exact positions. The Report date displayed at the top of this page indicates exactly when the underlying data was current. If the fund has made significant portfolio changes since that date — responding to market events, earnings releases, or macro shifts — those changes will not be reflected here until the next N-PORT filing is released. For the most up-to-date holdings before the public disclosure window, refer to the fund's official website or SEC EDGAR directly. StockSifting is best used for fundamental research and historical portfolio analysis, not real-time trading decisions.