Titelia

Holdings of AVIP AB Mid Cap Core Portfolio

AuguStar Variable Insurance Products Fund Inc ·613 declared positions · as of Mar 31, 2026

Original filing · Net assets 98.6M $ · Ten largest lines: 7.5 % of the equity sleeve

Sector breakdown

  • Industrials 8.8 %
  • Technology 6.9 %
  • Financials 4.6 %
  • Health care 4.2 %
  • Consumer discretionary 4.1 %
  • Energy 3.7 %
  • Materials 2.6 %
  • Utilities 2.4 %
  • Consumer staples 1.8 %
  • Real estate 1.4 %
  • Communication 1.1 %
  • Funds 0.1 %
  • Unattributed 58.4 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 93.5 %
  • KY 1.5 %
  • GB 1.4 %
  • BM 0.7 %
  • IL 0.6 %
  • IE 0.4 %
  • NL 0.4 %
  • CA 0.4 %
  • CH 0.3 %
  • PR 0.2 %
  • LU 0.2 %
  • DK 0.1 %
  • Other countries 0.2 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US58491.7M $93.49 %
2KY61.5M $1.55 %
3GB21.4M $1.45 %
4BM4661.5K $0.67 %
5IL2547.3K $0.56 %
6IE3436.3K $0.44 %
7NL2408K $0.42 %
8CA3359.1K $0.37 %
9CH1304.3K $0.31 %
10PR1233.9K $0.24 %
11LU1217.2K $0.22 %
12DK1131.5K $0.13 %

Positions

RankCompanySharesValueWeight
1TechnipFMC PLC 18,1681.3M $1.27 %
2Comfort Systems USA Inc 709977.7K $0.99 %
3Stifel Financial Corp 9,552706.1K $0.72 %
4IDACORP Inc 4,567652.9K $0.66 %
5US Foods Holding Corp 6,997645.2K $0.65 %
6Rocket Lab Corp 10,041644.8K $0.65 %
7Insmed Inc 3,915640.2K $0.65 %
8Ciena Corp 1,587616.1K $0.62 %
9BorgWarner Inc 11,239609.8K $0.62 %
10Reliance Inc 1,981602.1K $0.61 %
11FormFactor Inc 6,064588.1K $0.60 %
12Jones Lang LaSalle Inc 1,894576.4K $0.58 %
13Hasbro Inc 6,141574.8K $0.58 %
14Tenet Healthcare Corp 2,998565.8K $0.57 %
15Kirby Corp 4,174554.6K $0.56 %
16F5 Inc 1,906551.5K $0.56 %
17Oshkosh Corp 3,678541.4K $0.55 %
18BJ's Wholesale Club Holdings Inc 5,448536.2K $0.54 %
19Fabrinet 1,028536.1K $0.54 %
20CH Robinson Worldwide Inc 3,217534.2K $0.54 %
21Dollar Tree Inc 4,748520K $0.53 %
22Invesco Ltd 21,241515.9K $0.52 %
23TD SYNNEX Corp 3,050514.6K $0.52 %
24ON Semiconductor Corp 8,204508K $0.52 %
25Nextpower Inc 4,191505.2K $0.51 %
26Hanover Insurance Group Inc/The 2,838492K $0.50 %
27Burlington Stores Inc 1,496486.8K $0.49 %
28Regal Rexnord Corp 2,591485.2K $0.49 %
29Globus Medical Inc 5,560479K $0.49 %
30DigitalOcean Holdings Inc 5,541475.3K $0.48 %
31Lattice Semiconductor Corp 5,122475.1K $0.48 %
32Matador Resources Co 7,520475.1K $0.48 %
33First Citizens BancShares Inc/NC 247465.5K $0.47 %
34AST SpaceMobile Inc 5,522457.6K $0.46 %
35HA Sustainable Infrastructure Capital Inc 12,402455.8K $0.46 %
36American Financial Group Inc/OH 3,524450.1K $0.46 %
37Murphy USA Inc 898443.6K $0.45 %
38Avnet Inc 7,020432.6K $0.44 %
39BWX Technologies Inc 2,104430.2K $0.44 %
40Bio-Techne Corp 8,144425.6K $0.43 %
41Teradyne Inc 1,434425.1K $0.43 %
42SharkNinja Inc 3,979421.4K $0.43 %
43CACI International Inc 773420.4K $0.43 %
44Cava Group Inc 5,170418.3K $0.42 %
45Coherent Corp 1,755418.1K $0.42 %
46Laureate Education Inc 11,996417.9K $0.42 %
47Curtiss-Wright Corp 613417.5K $0.42 %
48Viking Holdings Ltd 5,682417.5K $0.42 %
49Bloom Energy Corp 3,069415.8K $0.42 %
50RPM International Inc 4,169414.4K $0.42 %
51Magnolia Oil & Gas Corp 13,100413.6K $0.42 %
52Envista Holdings Corp 16,206411.1K $0.42 %
53Crane NXT Co 10,063408.5K $0.41 %
54Amer Sports Inc 12,395408K $0.41 %
55Knight-Swift Transportation Holdings Inc 7,013403.8K $0.41 %
56Procore Technologies Inc 7,084403.8K $0.41 %
57FirstCash Holdings Inc 2,129400.3K $0.41 %
58GXO Logistics Inc 7,715400K $0.41 %
59ITT Inc 2,080396.3K $0.40 %
60Plexus Corp 1,955396K $0.40 %
61Terex Corp 6,540386.5K $0.39 %
62GATX Corp 2,257385.4K $0.39 %
63UMB Financial Corp 3,404383.9K $0.39 %
64Albemarle Corp 2,109378.6K $0.38 %
65Integer Holdings Corp 4,210370.5K $0.38 %
66RBC Bearings Inc 682370.4K $0.38 %
67Corning Inc 2,720369.8K $0.38 %
68COPT Defense Properties 12,082369.7K $0.37 %
69Granite Construction Inc 3,082369.5K $0.37 %
70Guardant Health Inc 3,995369K $0.37 %
71Neurocrine Biosciences Inc 2,786367K $0.37 %
72ONE Gas Inc 4,228364.2K $0.37 %
73Saia Inc 1,022359K $0.36 %
74Credo Technology Group Holding Ltd 3,820358.6K $0.36 %
75Texas Capital Bancshares Inc 3,778358.5K $0.36 %
76MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 1,607356.9K $0.36 %
77WaFd Inc 11,360356.7K $0.36 %
78Semtech Corp 4,533348.5K $0.35 %
79Hexcel Corp 4,306348.5K $0.35 %
80TKO Group Holdings Inc 1,712345.2K $0.35 %
81Crane Co 1,999341.8K $0.35 %
82JBT Marel Corp 2,634336.8K $0.34 %
83ArcBest Corp 3,411335.5K $0.34 %
84Kratos Defense & Security Solutions, Inc. 4,737334K $0.34 %
85Glaukos Corp 3,096333.3K $0.34 %
86FTI Consulting Inc 1,879332.2K $0.34 %
87Vertiv Holdings Co 1,320330.8K $0.34 %
88Universal Display Corp 3,600330K $0.33 %
89Samsara Inc 10,387329.2K $0.33 %
90BrightSpring Health Services Inc 7,709328.5K $0.33 %
91ADT Inc 49,965328.3K $0.33 %
92WillScot Holdings Corp 18,882327.8K $0.33 %
93Pentair PLC 3,748326.5K $0.33 %
94Nova Ltd 750325.7K $0.33 %
95Frontdoor Inc 6,135324.3K $0.33 %
96Encompass Health Corp 3,345323.6K $0.33 %
97Boise Cascade Co 4,263323.3K $0.33 %
98Robert Half Inc 12,710322.8K $0.33 %
99Zurn Elkay Water Solutions Corp 7,187322.3K $0.33 %
100Applied Industrial Technologies Inc 1,214322.1K $0.33 %