Portfolio of Investments
PORTFOLIO OF INVESTMENTS Columbia Variable Portfolio – Large Cap Index Fund, March 31, 2021 (Unaudited) (Percentages represent value of investments compared to net assets) Investments in securities Common Stocks 99.0% Common Stocks (continued) Issuer Shares Value ($) Issuer Shares Value ($) Communication Services 10.8% Wireless Telecommunication Services 0.2% Diversified Telecommunication Services 1.4% T-Mobile USA, Inc.(a) 27,145 3,400,997 AT&T, Inc. 331,396 10,031,357 Total Communication Services 170,702,229 Lumen Technologies, Inc. 45,873 612,404 Consumer Discretionary 12.3% Verizon Communications, Inc. 192,293 11,181,838 Auto Components 0.1% Total 21,825,599 Aptiv PLC(a) 12,549 1,730,507 Entertainment 2.1% BorgWarner, Inc. 11,102 514,689 Activision Blizzard, Inc. 36,005 3,348,465 Total 2,245,196 Electronic Arts, Inc. 13,363 1,808,949 Automobiles 1.9% Live Nation Entertainment, Inc.(a) 6,666 564,277 Ford Motor Co.(a) 181,592 2,224,502 Netflix, Inc.(a) 20,585 10,738,371 General Motors Co.(a) 58,920 3,385,543 Take-Two Interactive Software, Inc.(a) 5,354 946,052 Tesla Motors, Inc.(a) 35,679 23,831,075 Walt Disney Co. (The)(a) 84,356 15,565,369 Total 29,441,120 Total 32,971,483 Distributors 0.1% Interactive Media & Services 5.8% Genuine Parts Co. 6,715 776,187 Alphabet, Inc., Class A(a) 13,975 28,823,717 LKQ Corp.(a) 12,963 548,724 Alphabet, Inc., Class C(a) 13,392 27,703,093 Pool Corp.
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