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Variable Insurance Products Fund VI

CIK: 0001999801 Equity
Report date: 2026-02-24
AUM $15M
Expense Ratio
Category Equity
State DE
Fiscal Year End
Inception Date
Manager
Latest Filing 2026-02-24

About this Fund

Variable Insurance Products Fund VI is a renowned mutual fund company that specializes in providing a wide range of investment solutions to cater to the diverse needs of its clients, offering a comprehensive suite of asset management services designed to help investors achieve their long-term financial goals. With a strong focus on wealth management, the company offers an array of mutual fund products, including equity, debt, hybrid, and money market funds, allowing investors to create a well-diversified portfolio that aligns with their risk tolerance and investment objectives. By providing a systematic investment plan, or SIP, investors can take advantage of a disciplined approach to investing, making it easier to accumulate wealth over time. Variable Insurance Products Fund VI's investment approach is centered around a rigorous research process, combining both qualitative and quantitative analysis to identify attractive investment opportunities, with a keen emphasis on risk management to ensure that investors' assets are protected. The company's experienced team of investment professionals works closely with clients to understand their unique needs and goals, providing personalized service and tailored advice to help them navigate the complexities of the investment landscape. With a long history of delivering strong investment performance, Variable Insurance Products Fund VI has established itself as a trusted partner for investors seeking to grow their wealth, its commitment to transparency, accountability, and fiduciary responsibility earning the trust of a loyal client base. By leveraging its expertise in asset management and wealth management, Variable Insurance Products Fund VI empowers investors to make informed decisions about their investment portfolios, providing them with the tools and resources needed to achieve financial success. The company's extensive range of mutual fund offerings, combined with its dedication to exceptional client service, has solidified its position as a leading player in the investment management industry, making it an attractive choice for investors seeking a reliable and experienced partner to help them achieve their financial aspirations. Through its unwavering commitment to investment excellence and client satisfaction, Variable Insurance Products Fund VI continues to build lasting relationships with its investors, founded on trust, integrity, and a deep understanding of the importance of long-term wealth creation.

Holdings

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

236 positions
# Security Name CUSIP Asset Type Weight % Value ($M) Quantity
1 SGI SOMNIGROUP INTERNATIONAL INC Since 2026-05-10 88023U101 Equity (Common)
0.06%
$0.01 92
2 OWL BLUE OWL CAPITAL INC Since 2026-05-10 09581B103 Equity (Common)
0.03%
$0.01 311
3 SN SHARKNINJA INC Since 2026-05-10 N/A Equity (Common)
0.01%
$0.00 18
4 HOLX HOLOGIC INC Since 2026-05-10 436440101 Equity (Common)
0.12%
$0.02 241
5 COHR COHERENT CORP Since 2026-05-10 19247G107 Equity (Common)
0.02%
$0.00 20
6 PEN PENUMBRA INC Since 2026-05-10 70975L107 Equity (Common)
0.04%
$0.01 17
7 CRBG COREBRIDGE FINANCIAL INC Since 2026-05-10 21871X109 Equity (Common)
0.06%
$0.01 276
8 HLI HOULIHAN LOKEY Since 2026-05-10 441593100 Equity (Common)
0.05%
$0.01 43
9 EXEL EXELIXIS INC Since 2026-05-10 30161Q104 Equity (Common)
0.03%
$0.01 107
10 NET CLOUDFLARE INC Since 2026-05-10 18915M107 Equity (Common)
0.05%
$0.01 36
11 WSO-B WATSCO INC Since 2026-05-10 942622200 Equity (Common)
0.04%
$0.01 19
12 MTSI MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC Since 2026-05-10 55405Y100 Equity (Common)
0.02%
$0.00 16
13 UNM UNUM GROUP Since 2026-05-10 91529Y106 Equity (Common)
0.04%
$0.01 70
14 ARW ARROW ELECTRONICS INC Since 2026-05-10 042735100 Equity (Common)
0.01%
$0.00 20
15 ALK ALASKA AIR GROUP INC Since 2026-05-10 011659109 Equity (Common)
0.05%
$0.01 145
16 MKL MARKEL GROUP INC Since 2026-05-10 570535104 Equity (Common)
0.09%
$0.01 6
17 JHG JANUS HENDERSON GROUP PLC Since 2026-05-10 N/A Equity (Common)
0.01%
$0.00 39
18 DOCU DOCUSIGN INC Since 2026-05-10 256163106 Equity (Common)
0.02%
$0.00 49
19 FBIN FORTUNE BRANDS INNOVATIONS INC Since 2026-05-10 34964C106 Equity (Common)
0.03%
$0.00 75
20 AMGN AMGEN INC Since 2026-05-10 031162100 Equity (Common)
0.41%
$0.06 188
21 HALO HALOZYME THERAPEUTICS INC Since 2026-05-10 40637H109 Equity (Common)
0.01%
$0.00 15
22 ABBV ABBVIE INC Since 2026-05-10 00287Y109 Equity (Common)
0.83%
$0.12 538
23 AAPL APPLE INC Since 2026-05-10 037833100 Equity (Common)
6.86%
$1.02 3,745
24 BRX BRIXMOR PROPERTY GROUP INC Since 2026-05-10 11120U105 Equity (Common)
0.02%
$0.00 141
25 ARMK ARAMARK Since 2026-05-10 03852U106 Equity (Common)
0.02%
$0.00 100
26 DBX DROPBOX INC Since 2026-05-10 26210C104 Equity (Common)
0.02%
$0.00 112
27 RGLD ROYAL GOLD INC Since 2026-05-10 780287108 Equity (Common)
0.09%
$0.01 63
28 STZ CONSTELLATION BRANDS INC Since 2026-05-10 21036P108 Equity (Common)
0.15%
$0.02 159
29 AMD ADVANCED MICRO DEVICES INC Since 2026-05-10 007903107 Equity (Common)
0.63%
$0.09 440
30 AMZN AMAZON.COM INC Since 2026-05-10 023135106 Equity (Common)
4.02%
$0.60 2,588
31 TW TRADEWEB MARKETS INC Since 2026-05-10 892672106 Equity (Common)
0.06%
$0.01 77
32 HOOD ROBINHOOD MARKETS INC Since 2026-05-10 770700102 Equity (Common)
0.20%
$0.03 259
33 CLF CLEVELAND-CLIFFS INC Since 2026-05-10 185899101 Equity (Common)
0.01%
$0.00 134
34 EXPD EXPEDITORS INTERNATIONAL OF WASHINGTON INC Since 2026-05-10 302130109 Equity (Common)
0.20%
$0.03 201
35 AFRM AFFIRM HOLDINGS INC Since 2026-05-10 00827B106 Equity (Common)
0.01%
$0.00 29
36 LITE LUMENTUM HOLDINGS INC Since 2026-05-10 55024U109 Equity (Common)
0.02%
$0.00 8
37 RIVN RIVIAN AUTOMOTIVE INC Since 2026-05-10 76954A103 Equity (Common)
0.02%
$0.00 114
38 V VISA INC Since 2026-05-10 92826C839 Equity (Common)
1.29%
$0.19 545
39 KNSL KINSALE CAPITAL GROUP INC Since 2026-05-10 49714P108 Equity (Common)
0.01%
$0.00 3
40 ROKU ROKU INC Since 2026-05-10 77543R102 Equity (Common)
0.02%
$0.00 28
41 ADBE ADOBE INC Since 2026-05-10 00724F101 Equity (Common)
0.42%
$0.06 180
42 AYI ACUITY INC Since 2026-05-10 00508Y102 Equity (Common)
0.04%
$0.01 15
43 SUI SUN COMMUNITIES INC Since 2026-05-10 866674104 Equity (Common)
0.07%
$0.01 82
44 ITT ITT INC Since 2026-05-10 45073V108 Equity (Common)
0.05%
$0.01 47
45 PVH PVH CORP Since 2026-05-10 693656100 Equity (Common)
0.01%
$0.00 31
46 META META PLATFORMS INC Since 2026-05-10 30303M102 Equity (Common)
2.56%
$0.38 577
47 CVNA CARVANA CO Since 2026-05-10 146869102 Equity (Common)
0.14%
$0.02 48
48 IEX IDEX CORPORATION Since 2026-05-10 45167R104 Equity (Common)
0.16%
$0.02 130
49 NNN NNN REIT INC Since 2026-05-10 637417106 Equity (Common)
0.04%
$0.01 138
50 NEE NEXTERA ENERGY INC Since 2026-05-10 65339F101 Equity (Common)
0.44%
$0.07 823
51 INTU INTUIT INC Since 2026-05-10 461202103 Equity (Common)
0.40%
$0.06 90
52 HON HONEYWELL INTERNATIONAL INC Since 2026-05-10 438516106 Equity (Common)
0.50%
$0.07 383
53 EVR EVERCORE INC Since 2026-05-10 29977A105 Equity (Common)
0.04%
$0.01 19
54 CUBE CUBESMART Since 2026-05-10 229663109 Equity (Common)
0.04%
$0.01 148
55 PLTR PALANTIR TECHNOLOGIES INC Since 2026-05-10 69608A108 Equity (Common)
0.72%
$0.11 602
56 FLUT FLUTTER ENTERTAINMENT PLC Since 2026-05-10 N/A Equity (Common)
0.08%
$0.01 54
57 LYFT LYFT INC Since 2026-05-10 55087P104 Equity (Common)
0.01%
$0.00 57
58 CRWD CROWDSTRIKE HOLDINGS INC Since 2026-05-10 22788C105 Equity (Common)
0.29%
$0.04 91
59 FR FIRST INDUSTRIAL REALTY TRUST INC Since 2026-05-10 32054K103 Equity (Common)
0.02%
$0.00 49
60 TORO TORO CO Since 2026-05-10 891092108 Equity (Common)
0.03%
$0.00 50
61 FLEX FLEX LTD Since 2026-05-10 N/A Equity (Common)
0.05%
$0.01 122
62 SAIA SAIA INC Since 2026-05-10 78709Y105 Equity (Common)
0.02%
$0.00 11
63 AR ANTERO RESOURCES CORPORATION Since 2026-05-10 03674X106 Equity (Common)
0.04%
$0.01 166
64 BMRN BIOMARIN PHARMACEUTICAL INC Since 2026-05-10 09061G101 Equity (Common)
0.05%
$0.01 114
65 ILMN ILLUMINA INC Since 2026-05-10 452327109 Equity (Common)
0.04%
$0.01 43
66 MDT MEDTRONIC PLC Since 2026-05-10 N/A Equity (Common)
0.50%
$0.07 771
67 MUSA MURPHY USA INC Since 2026-05-10 626755102 Equity (Common)
0.02%
$0.00 8
68 RS RELIANCE INC Since 2026-05-10 759509102 Equity (Common)
0.07%
$0.01 36
69 CZR CAESARS ENTERTAINMENT INC Since 2026-05-10 12769G100 Equity (Common)
0.02%
$0.00 123
70 HQY HEALTHEQUITY INC Since 2026-05-10 42226A107 Equity (Common)
0.02%
$0.00 33
71 GIS GENERAL MILLS INC Since 2026-05-10 370334104 Equity (Common)
0.33%
$0.05 1,038
72 VRT VERTIV HOLDINGS CO Since 2026-05-10 92537N108 Equity (Common)
0.07%
$0.01 64
73 AVTR AVANTOR INC Since 2026-05-10 05352A100 Equity (Common)
0.03%
$0.00 350
74 PCTY PAYLOCITY HOLDING CORPORATION Since 2026-05-10 70438V106 Equity (Common)
0.02%
$0.00 19
75 AVAV AEROVIRONMENT INC Since 2026-05-10 008073108 Equity (Common)
0.01%
$0.00 6
76 WBD WARNER BROS DISCOVERY INC Since 2026-05-10 934423104 Equity (Common)
0.14%
$0.02 734
77 RPRX ROYALTY PHARMA PLC Since 2026-05-10 N/A Equity (Common)
0.03%
$0.01 129
78 CCK CROWN HOLDINGS INC Since 2026-05-10 228368106 Equity (Common)
0.05%
$0.01 71
79 ACM AECOM Since 2026-05-10 00766T100 Equity (Common)
0.03%
$0.00 44
80 PII POLARIS INC Since 2026-05-10 731068102 Equity (Common)
0.02%
$0.00 45
81 CROX CROCS INC Since 2026-05-10 227046109 Equity (Common)
0.02%
$0.00 31
82 CLH CLEAN HARBORS INC Since 2026-05-10 184496107 Equity (Common)
0.02%
$0.00 13
83 RARE ULTRAGENYX PHARMACEUTICAL INC Since 2026-05-10 90400D108 Equity (Common)
0.01%
$0.00 79
84 ED CONSOLIDATED EDISON INC Since 2026-05-10 209115104 Equity (Common)
0.32%
$0.05 476
85 CAVA CAVA GROUP INC Since 2026-05-10 148929102 Equity (Common)
0.02%
$0.00 54
86 AMKR AMKOR TECHNOLOGY INC Since 2026-05-10 031652100 Equity (Common)
0.03%
$0.01 127
87 MET METLIFE INC Since 2026-05-10 59156R108 Equity (Common)
0.35%
$0.05 650
88 MTDR MATADOR RESOURCES COMPANY Since 2026-05-10 576485205 Equity (Common)
0.02%
$0.00 64
89 QRVO QORVO INC Since 2026-05-10 74736K101 Equity (Common)
0.02%
$0.00 32
90 TSLA TESLA INC Since 2026-05-10 88160R101 Equity (Common)
2.18%
$0.32 721
91 CACI CACI INTERNATIONAL INC Since 2026-05-10 127190304 Equity (Common)
0.01%
$0.00 3
92 TXT TEXTRON INC Since 2026-05-10 883203101 Equity (Common)
0.14%
$0.02 247
93 ZS ZSCALER INC Since 2026-05-10 98980G102 Equity (Common)
0.03%
$0.00 19
94 HUBS HUBSPOT INC Since 2026-05-10 443573100 Equity (Common)
0.03%
$0.00 11
95 SNOW SNOWFLAKE INC Since 2026-05-10 833445109 Equity (Common)
0.05%
$0.01 34
96 MRVL MARVELL TECHNOLOGY INC Since 2026-05-10 573874104 Equity (Common)
0.04%
$0.01 75
97 ADT ADT INC Since 2026-05-10 00090Q103 Equity (Common)
0.02%
$0.00 342
98 FTI TECHNIPFMC PLC Since 2026-05-10 N/A Equity (Common)
0.03%
$0.01 111
99 TEL TE CONNECTIVITY PLC Since 2026-05-10 N/A Equity (Common)
0.36%
$0.05 237
100 OKTA OKTA INC Since 2026-05-10 679295105 Equity (Common)
0.02%
$0.00 34
101 WMT WALMART INC Since 2026-05-10 931142103 Equity (Common)
1.12%
$0.17 1,488
102 MKSI MKS INC Since 2026-05-10 55306N104 Equity (Common)
0.06%
$0.01 60
103 EQR EQUITY RESIDENTIAL Since 2026-05-10 29476L107 Equity (Common)
0.28%
$0.04 652
104 PATH UIPATH INC Since 2026-05-10 90364P105 Equity (Common)
0.01%
$0.00 74
105 BWXT BWX TECHNOLOGIES INC Since 2026-05-10 05605H100 Equity (Common)
0.03%
$0.00 24
106 AIT APPLIED INDUSTRIAL TECHNOLOGIES INC Since 2026-05-10 03820C105 Equity (Common)
0.02%
$0.00 10
107 VIK VIKING HOLDINGS LTD Since 2026-05-10 N/A Equity (Common)
0.07%
$0.01 151
108 ROL ROLLINS INC Since 2026-05-10 775711104 Equity (Common)
0.19%
$0.03 475
109 MLI MUELLER INDUSTRIES INC Since 2026-05-10 624756102 Equity (Common)
0.02%
$0.00 25
110 GMED GLOBUS MEDICAL INC Since 2026-05-10 379577208 Equity (Common)
0.03%
$0.01 57
111 FIVE FIVE BELOW INC Since 2026-05-10 33829M101 Equity (Common)
0.01%
$0.00 11
112 ATI ATI INC Since 2026-05-10 01741R102 Equity (Common)
0.01%
$0.00 18
113 RVMD REVOLUTION MEDICINES INC Since 2026-05-10 76155X100 Equity (Common)
0.02%
$0.00 33
114 JEF JEFFERIES FINANCIAL GROUP INC Since 2026-05-10 47233W109 Equity (Common)
0.04%
$0.01 95
115 DUOL DUOLINGO INC Since 2026-05-10 26603R106 Equity (Common)
0.02%
$0.00 17
116 MTN VAIL RESORTS INC Since 2026-05-10 91879Q109 Equity (Common)
0.02%
$0.00 22
117 CASY CASEY'S GENERAL STORES INC Since 2026-05-10 147528103 Equity (Common)
0.02%
$0.00 6
118 ROP ROPER TECHNOLOGIES INC Since 2026-05-10 776696106 Equity (Common)
0.29%
$0.04 96
119 NBIX NEUROCRINE BIOSCIENCES INC Since 2026-05-10 64125C109 Equity (Common)
0.03%
$0.00 30
120 NTNX NUTANIX INC Since 2026-05-10 67059N108 Equity (Common)
0.01%
$0.00 16
121 TXRH TEXAS ROADHOUSE INC Since 2026-05-10 882681109 Equity (Common)
0.06%
$0.01 57
122 WWD WOODWARD INC Since 2026-05-10 980745103 Equity (Common)
0.04%
$0.01 21
123 R RYDER SYSTEM INC Since 2026-05-10 783549108 Equity (Common)
0.02%
$0.00 17
124 ATR APTARGROUP INC Since 2026-05-10 038336103 Equity (Common)
0.06%
$0.01 67
125 TOST TOAST INC Since 2026-05-10 888787108 Equity (Common)
0.04%
$0.01 152
126 AWI ARMSTRONG WORLD INDUSTRIES INC Since 2026-05-10 04247X102 Equity (Common)
0.02%
$0.00 16
127 WCC WESCO INTERNATIONAL INC Since 2026-05-10 95082P105 Equity (Common)
0.01%
$0.00 7
128 GE GE AEROSPACE Since 2026-05-10 369604301 Equity (Common)
0.80%
$0.12 387
129 AVGO BROADCOM INC Since 2026-05-10 11135F101 Equity (Common)
2.79%
$0.41 1,198
130 ENPH ENPHASE ENERGY INC Since 2026-05-10 29355A107 Equity (Common)
0.01%
$0.00 41
131 PAG PENSKE AUTOMOTIVE GROUP INC Since 2026-05-10 70959W103 Equity (Common)
0.06%
$0.01 58
132 NVT NVENT ELECTRIC PLC Since 2026-05-10 N/A Equity (Common)
0.05%
$0.01 76
133 TPG TPG INC Since 2026-05-10 872657101 Equity (Common)
0.02%
$0.00 47
134 CAT CATERPILLAR INC Since 2026-05-10 149123101 Equity (Common)
0.73%
$0.11 190
135 GXO GXO LOGISTICS INC Since 2026-05-10 36262G101 Equity (Common)
0.03%
$0.01 88
136 LPLA LPL FINANCIAL HOLDINGS INC Since 2026-05-10 50212V100 Equity (Common)
0.03%
$0.01 14
137 ROIV ROIVANT SCIENCES LTD Since 2026-05-10 N/A Equity (Common)
0.03%
$0.00 193
138 KD KYNDRYL HOLDINGS INC Since 2026-05-10 50155Q100 Equity (Common)
0.02%
$0.00 111
139 PLNT PLANET FITNESS INC Since 2026-05-10 72703H101 Equity (Common)
0.02%
$0.00 23
140 RITM RITHM CAPITAL CORP Since 2026-05-10 64828T201 Equity (Common)
0.02%
$0.00 207
141 CHWY CHEWY INC Since 2026-05-10 16679L109 Equity (Common)
0.03%
$0.01 140
142 MDB MONGODB INC Since 2026-05-10 60937P106 Equity (Common)
0.01%
$0.00 4
143 COIN COINBASE GLOBAL INC Since 2026-05-10 19260Q107 Equity (Common)
0.11%
$0.02 71
144 ISRG INTUITIVE SURGICAL INC Since 2026-05-10 46120E602 Equity (Common)
0.44%
$0.07 115
145 CRH CRH PLC Since 2026-05-10 N/A Equity (Common)
0.36%
$0.05 429
146 FNF FIDELITY NATIONAL FINANCIAL INC Since 2026-05-10 31620R303 Equity (Common)
0.03%
$0.00 80
147 GFS GLOBALFOUNDRIES INC Since 2026-05-10 N/A Equity (Common)
0.03%
$0.00 121
148 VZ VERIZON COMMUNICATIONS INC Since 2026-05-10 92343V104 Equity (Common)
0.59%
$0.09 2,152
149 BURL BURLINGTON STORES INC Since 2026-05-10 122017106 Equity (Common)
0.04%
$0.01 18
150 PM PHILIP MORRIS INTERNATIONAL INC Since 2026-05-10 718172109 Equity (Common)
0.61%
$0.09 567
151 LECO LINCOLN ELECTRIC HOLDINGS INC Since 2026-05-10 533900106 Equity (Common)
0.03%
$0.01 21
152 CRM SALESFORCE INC Since 2026-05-10 79466L302 Equity (Common)
0.55%
$0.08 308
153 MAT MATTEL INC Since 2026-05-10 577081102 Equity (Common)
0.01%
$0.00 107
154 AGNC AGNC INVESTMENT CORP Since 2026-05-10 00123Q104 Equity (Common)
0.04%
$0.01 539
155 XRAY DENTSPLY SIRONA INC Since 2026-05-10 24906P109 Equity (Common)
0.02%
$0.00 271
156 TRU TRANSUNION Since 2026-05-10 89400J107 Equity (Common)
0.04%
$0.01 75
157 AMH AMERICAN HOMES 4 RENT Since 2026-05-10 02665T306 Equity (Common)
0.07%
$0.01 332
158 FN FABRINET Since 2026-05-10 N/A Equity (Common)
0.02%
$0.00 7
159 GLPI GAMING AND LEISURE PROPERTIES INC Since 2026-05-10 36467J108 Equity (Common)
0.09%
$0.01 303
160 FTAI FTAI AVIATION LTD Since 2026-05-10 N/A Equity (Common)
0.02%
$0.00 18
161 PINS PINTEREST INC Since 2026-05-10 72352L106 Equity (Common)
0.05%
$0.01 262
162 DKNG DRAFTKINGS INC Since 2026-05-10 26142V105 Equity (Common)
0.03%
$0.00 114
163 BAM BROOKFIELD ASSET MANAGEMENT LTD Since 2026-05-10 113004105 Equity (Common)
0.09%
$0.01 255
164 HXL HEXCEL CORPORATION Since 2026-05-10 428291108 Equity (Common)
0.02%
$0.00 48
165 ALLY ALLY FINANCIAL INC Since 2026-05-10 02005N100 Equity (Common)
0.05%
$0.01 172
166 AU ANGLOGOLD ASHANTI PLC Since 2026-05-10 N/A Equity (Common)
0.04%
$0.01 77
167 BLD TOPBUILD CORP Since 2026-05-10 89055F103 Equity (Common)
0.02%
$0.00 8
168 RNR RENAISSANCERE HOLDINGS LTD Since 2026-05-10 N/A Equity (Common)
0.03%
$0.00 16
169 PEGA PEGASYSTEMS INC Since 2026-05-10 705573103 Equity (Common)
0.01%
$0.00 37
170 PANW PALO ALTO NETWORKS INC Since 2026-05-10 697435105 Equity (Common)
0.34%
$0.05 273
171 NTRA NATERA INC Since 2026-05-10 632307104 Equity (Common)
0.03%
$0.01 20
172 LAD LITHIA MOTORS INC Since 2026-05-10 536797103 Equity (Common)
0.04%
$0.01 16
173 S SENTINELONE INC Since 2026-05-10 81730H109 Equity (Common)
0.01%
$0.00 86
174 VOYA VOYA FINANCIAL INC Since 2026-05-10 929089100 Equity (Common)
0.02%
$0.00 33
175 RKT ROCKET COMPANIES INC Since 2026-05-10 77311W101 Equity (Common)
0.02%
$0.00 174
176 DOCS DOXIMITY INC Since 2026-05-10 26622P107 Equity (Common)
0.01%
$0.00 25
177 MP MP MATERIALS CORP Since 2026-05-10 553368101 Equity (Common)
0.01%
$0.00 44
178 ANET ARISTA NETWORKS INC Since 2026-05-10 040413205 Equity (Common)
0.34%
$0.05 386
179 NFLX NETFLIX INC Since 2026-05-10 64110L106 Equity (Common)
0.82%
$0.12 1,296
180 ALNY ALNYLAM PHARMACEUTICALS INC Since 2026-05-10 02043Q107 Equity (Common)
0.03%
$0.01 12
181 TWLO TWILIO INC Since 2026-05-10 90138F102 Equity (Common)
0.03%
$0.00 31
182 PCOR PROCORE TECHNOLOGIES INC Since 2026-05-10 74275K108 Equity (Common)
0.01%
$0.00 14
183 SLGN SILGAN HOLDINGS INC Since 2026-05-10 827048109 Equity (Common)
0.02%
$0.00 72
184 VVV VALVOLINE INC Since 2026-05-10 92047W101 Equity (Common)
0.01%
$0.00 55
185 MU MICRON TECHNOLOGY INC Since 2026-05-10 595112103 Equity (Common)
0.58%
$0.09 302
186 NLY ANNALY CAPITAL MANAGEMENT INC Since 2026-05-10 035710839 Equity (Common)
0.06%
$0.01 408
187 ELS EQUITY LIFESTYLE PROPERTIES INC Since 2026-05-10 29472R108 Equity (Common)
0.07%
$0.01 168
188 STWD STARWOOD PROPERTY TRUST INC Since 2026-05-10 85571B105 Equity (Common)
0.02%
$0.00 197
189 ECL ECOLAB INC Since 2026-05-10 278865100 Equity (Common)
0.40%
$0.06 228
190 LOAR LOAR HOLDINGS INC Since 2026-05-10 53947R105 Equity (Common)
0.02%
$0.00 44
191 APPF APPFOLIO INC Since 2026-05-10 03783C100 Equity (Common)
0.01%
$0.00 9
192 CAI CARIS LIFE SCIENCES INC Since 2026-05-10 142152107 Equity (Common)
0.01%
$0.00 61
193 ZM ZOOM COMMUNICATIONS INC Since 2026-05-10 98980L101 Equity (Common)
0.05%
$0.01 90
194 PAYX PAYCHEX INC Since 2026-05-10 704326107 Equity (Common)
0.31%
$0.05 412
195 XPO XPO INC Since 2026-05-10 983793100 Equity (Common)
0.04%
$0.01 41
196 ZG ZILLOW GROUP INC Since 2026-05-10 98954M101 Equity (Common)
0.01%
$0.00 32
197 BAC BANK OF AMERICA CORPORATION Since 2026-05-10 060505104 Equity (Common)
0.91%
$0.14 2,458
198 GGG GRACO INC Since 2026-05-10 384109104 Equity (Common)
0.08%
$0.01 142
199 EGP EASTGROUP PROPERTIES INC Since 2026-05-10 277276101 Equity (Common)
0.02%
$0.00 15
200 RDDT REDDIT INC Since 2026-05-10 75734B100 Equity (Common)
0.02%
$0.00 13
201 OHI OMEGA HEALTHCARE INVESTORS INC Since 2026-05-10 681936100 Equity (Common)
0.03%
$0.00 92
202 EQH EQUITABLE HOLDINGS INC Since 2026-05-10 29452E101 Equity (Common)
0.07%
$0.01 219
203 AS AMER SPORTS INC Since 2026-05-10 N/A Equity (Common)
0.02%
$0.00 63
204 GILD GILEAD SCIENCES INC Since 2026-05-10 375558103 Equity (Common)
0.44%
$0.07 535
205 RPM RPM INTERNATIONAL INC Since 2026-05-10 749685103 Equity (Common)
0.05%
$0.01 77
206 RBA RB GLOBAL INC Since 2026-05-10 74935Q107 Equity (Common)
0.03%
$0.00 39
207 IOT SAMSARA INC Since 2026-05-10 79589L106 Equity (Common)
0.01%
$0.00 45
208 MO ALTRIA GROUP INC Since 2026-05-10 02209S103 Equity (Common)
0.42%
$0.06 1,078
209 DRS LEONARDO DRS INC Since 2026-05-10 52661A108 Equity (Common)
0.02%
$0.00 72
210 DT DYNATRACE INC Since 2026-05-10 268150109 Equity (Common)
0.03%
$0.01 110
211 MHK MOHAWK INDUSTRIES INC Since 2026-05-10 608190104 Equity (Common)
0.03%
$0.00 36
212 HLT HILTON WORLDWIDE HOLDINGS INC Since 2026-05-10 43300A203 Equity (Common)
0.39%
$0.06 201
213 FITB FIFTH THIRD BANCORP Since 2026-05-10 316773100 Equity (Common)
0.34%
$0.05 1,081
214 COR CENCORA INC Since 2026-05-10 03073E105 Equity (Common)
0.36%
$0.05 159
215 EWBC EAST WEST BANCORP INC Since 2026-05-10 27579R104 Equity (Common)
0.06%
$0.01 81
216 DOX AMDOCS LIMITED Since 2026-05-10 N/A Equity (Common)
0.05%
$0.01 92
217 OVV OVINTIV INC Since 2026-05-10 69047Q102 Equity (Common)
0.09%
$0.01 352
218 BIO-B BIO-RAD LABORATORIES INC Since 2026-05-10 090572207 Equity (Common)
0.03%
$0.01 16
219 BWA BORGWARNER INC Since 2026-05-10 099724106 Equity (Common)
0.04%
$0.01 135
220 KMX CARMAX INC Since 2026-05-10 143130102 Equity (Common)
0.03%
$0.01 118
221 CSCO CISCO SYSTEMS INC Since 2026-05-10 17275R102 Equity (Common)
0.69%
$0.10 1,327
222 JAZZ JAZZ PHARMACEUTICALS PLC Since 2026-05-10 N/A Equity (Common)
0.01%
$0.00 10
223 SNDR SCHNEIDER NATIONAL INC Since 2026-05-10 80689H102 Equity (Common)
0.02%
$0.00 111
224 IONS IONIS PHARMACEUTICALS INC Since 2026-05-10 462222100 Equity (Common)
0.02%
$0.00 34
225 RSG REPUBLIC SERVICES INC Since 2026-05-10 760759100 Equity (Common)
0.35%
$0.05 244
226 GWRE GUIDEWIRE SOFTWARE INC Since 2026-05-10 40171V100 Equity (Common)
0.03%
$0.00 22
227 LIN LINDE PLC Since 2026-05-10 N/A Equity (Common)
0.62%
$0.09 217
228 GOOG ALPHABET INC Since 2026-05-10 02079K305 Equity (Common)
4.97%
$0.74 2,359
229 ONTO ONTO INNOVATION INC Since 2026-05-10 683344105 Equity (Common)
0.04%
$0.01 41
230 UBER UBER TECHNOLOGIES INC Since 2026-05-10 90353T100 Equity (Common)
0.42%
$0.06 763
231 LNG CHENIERE ENERGY INC Since 2026-05-10 16411R208 Equity (Common)
0.09%
$0.01 67
232 CPNG COUPANG INC Since 2026-05-10 22266T109 Equity (Common)
0.03%
$0.01 214
233 SOFI SOFI TECHNOLOGIES INC Since 2026-05-10 83406F102 Equity (Common)
0.01%
$0.00 84
234 ENTG ENTEGRIS INC Since 2026-05-10 29362U104 Equity (Common)
0.05%
$0.01 89
235 DTM DT MIDSTREAM INC Since 2026-05-10 23345M107 Equity (Common)
0.05%
$0.01 58
236 ALV AUTOLIV INC Since 2026-05-10 052800109 Equity (Common)
0.01%
$0.00 13
Frequently Asked Questions — Variable Insurance Products Fund VI
What type of mutual fund is Variable Insurance Products Fund VI?
Variable Insurance Products Fund VI is a SEC-registered Equity fund, with $15M 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, Variable Insurance Products Fund VI holds 236 portfolio positions, all detailed in the holdings table on this page.
What are Variable Insurance Products Fund VI's assets under management (AUM)?
Variable Insurance Products Fund VI has $15M 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 Variable Insurance Products Fund VI's top holdings?
According to Variable Insurance Products Fund VI's most recent SEC N-PORT filing, the fund's largest holdings by portfolio weight include SOMNIGROUP INTERNATIONAL INC, BLUE OWL CAPITAL INC, SHARKNINJA INC , among others. The complete list of all 236 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 Variable Insurance Products Fund VI's expense ratio?
Expense ratio data for Variable Insurance Products Fund VI 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 Variable Insurance Products Fund VI's SEC filings?
Variable Insurance Products Fund VI 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 0001999801. You can access all of Variable Insurance Products Fund VI's SEC filings — including N-PORT holdings disclosures, annual reports (Form N-CEN), and registration statements — directly on SEC EDGAR (CIK: 0001999801). 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 Variable Insurance Products Fund VI's holdings data on StockSifting?
Holdings data for Variable Insurance Products Fund VI 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.