Basic Stats
Portfolio Value $ 235,074,190
Current Positions 35
Latest Holdings, Performance, AUM (from 13F, 13D)

VARIABLE INSURANCE PRODUCTS FUND IV - Consumer Staples Portfolio Initial Class has disclosed 35 total holdings in their latest SEC filings. Most recent portfolio value is calculated to be $ 235,074,190 USD. Actual Assets Under Management (AUM) is this value plus cash (which is not disclosed). VARIABLE INSURANCE PRODUCTS FUND IV - Consumer Staples Portfolio Initial Class’s top holdings are The Coca-Cola Company (US:KO) , The Procter & Gamble Company (US:PG) , Keurig Dr Pepper Inc. (US:KDP) , Walmart Inc. (US:WMT) , and Fidelity Securities Lending Cash Central Fund (US:US31635A3032) .

Top Increases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
16.92 16.92 7.7448 7.6226
0.19 19.04 8.7139 1.3969
0.10 4.70 2.1531 1.1932
0.30 6.42 2.9375 0.9244
0.09 7.39 3.3804 0.8367
0.09 8.66 3.9645 0.5723
0.11 2.31 1.0558 0.5436
0.02 1.11 0.5088 0.5088
0.01 7.23 3.3073 0.4718
0.75 0.88 0.4031 0.4031
Top Decreases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.08 5.43 2.4865 -0.8230
0.05 3.22 1.4757 -0.8045
0.07 7.24 3.3122 -0.7779
0.16 25.76 11.7883 -0.6866
0.06 10.28 4.7065 -0.4698
0.03 5.43 2.4844 -0.4161
0.38 7.74 3.5409 -0.3940
0.43 30.23 13.8336 -0.3296
0.06 3.06 1.4010 -0.3012
0.04 5.33 2.4414 -0.2232
13F and Fund Filings

This form was filed on 2025-08-22 for the reporting period 2025-06-30. Click the link icon to see the full transaction history.

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2022-07-28: Important Note - We have changed the treatment of the Δ Portfolio % column in this table. Previously, we were reporting it as the percent change in the portfolio allocation. We are now reporting it as the raw change in the portfolio allocation (still reported as a percent). In formula terms, we were previously reporting it as 100 * (current allocation - prior allocation ) / prior allocation. We are now reporting it as (current allocation - prior allocation).
Security Type Avg Share Price Shares
(MM)
ΔShares
(%)
ΔShares
(%)
Value
($MM)
Portfolio
(%)
ΔPortfolio
(%)
KO / The Coca-Cola Company 0.43 -6.13 30.23 -7.27 13.8336 -0.3296
PG / The Procter & Gamble Company 0.16 -4.04 25.76 -10.29 11.7883 -0.6866
KDP / Keurig Dr Pepper Inc. 0.70 -1.60 23.00 -4.94 10.5241 0.0140
WMT / Walmart Inc. 0.19 1.51 19.04 13.06 8.7139 1.3969
US31635A3032 / Fidelity Securities Lending Cash Central Fund 16.92 5,914.99 16.92 5,922.06 7.7448 7.6226
STZ / Constellation Brands, Inc. 0.06 -2.62 10.28 -13.68 4.7065 -0.4698
EL / The Estée Lauder Companies Inc. 0.11 -16.62 9.08 2.07 4.1543 0.2903
TGT / Target Corporation 0.09 17.38 8.66 10.95 3.9645 0.5723
ENR / Energizer Holdings, Inc. 0.38 26.79 7.74 -14.56 3.5409 -0.3940
CH1300646267 / Bunge Global SA 0.09 20.10 7.39 26.17 3.3804 0.8367
SJM / The J. M. Smucker Company 0.07 -7.30 7.24 -23.12 3.3122 -0.7779
COST / Costco Wholesale Corporation 0.01 5.80 7.23 10.74 3.3073 0.4718
ACI / Albertsons Companies, Inc. 0.30 41.62 6.42 38.53 2.9375 0.9244
MDLZ / Mondelez International, Inc. 0.08 -28.24 5.43 -28.66 2.4865 -0.8230
SAM / The Boston Beer Company, Inc. 0.03 1.79 5.43 -18.68 2.4844 -0.4161
PEP / PepsiCo, Inc. 0.04 -1.22 5.33 -13.01 2.4414 -0.2232
DGE N / Diageo plc 0.19 3.58 4.81 -0.06 2.2007 0.1102
BTI / British American Tobacco p.l.c. - Depositary Receipt (Common Stock) 0.10 86.14 4.70 112.95 2.1531 1.1932
THS / TreeHouse Foods, Inc. 0.23 56.74 4.47 12.35 2.0452 0.3171
LW / Lamb Weston Holdings, Inc. 0.07 -4.52 3.72 -7.12 1.7026 -0.0378
KVUE / Kenvue Inc. 0.17 -4.22 3.51 -16.42 1.6081 -0.2182
MNST / Monster Beverage Corporation 0.05 -42.60 3.22 -38.56 1.4757 -0.8045
ADM / Archer-Daniels-Midland Company 0.06 -28.92 3.06 -21.85 1.4010 -0.3012
REYN / Reynolds Consumer Products Inc. 0.11 118.02 2.31 95.76 1.0558 0.5436
FRPT / Freshpet, Inc. 0.03 31.61 1.73 7.54 0.7900 0.0926
NOMD / Nomad Foods Limited 0.09 42.02 1.46 22.83 0.6675 0.1514
DAR / Darling Ingredients Inc. 0.03 68.48 1.18 104.88 0.5383 0.2885
GO / Grocery Outlet Holding Corp. 0.09 49.18 1.13 32.51 0.5190 0.1472
KR / The Kroger Co. 0.02 1.11 0.5088 0.5088
JUUL LABS INC CLASS A P/P / EC (N/A) 0.75 0.88 0.4031 0.4031
BFB / Brown-Forman Corp. - Class B 0.03 -6.64 0.76 -25.95 0.3461 -0.0978
PM / Philip Morris International Inc. 0.00 -41.37 0.65 -32.74 0.2953 -0.1214
CLX / The Clorox Company 0.00 -21.74 0.43 -36.19 0.1978 -0.0965
US31635A1051 / Fidelity Cash Central Fund 0.40 -46.16 0.40 -46.13 0.1817 -0.1387
CAG / Conagra Brands, Inc. 0.02 -34.98 0.38 -50.13 0.1724 -0.1556