Basic Stats
Portfolio Value $ 75,268,885
Current Positions 37
Latest Holdings, Performance, AUM (from 13F, 13D)

VIRTUS VARIABLE INSURANCE TRUST - Virtus Rampart Enhanced Core Equity Series Class A has disclosed 37 total holdings in their latest SEC filings. Most recent portfolio value is calculated to be $ 75,268,885 USD. Actual Assets Under Management (AUM) is this value plus cash (which is not disclosed). VIRTUS VARIABLE INSURANCE TRUST - Virtus Rampart Enhanced Core Equity Series Class A’s top holdings are Broadcom Inc. (US:AVGO) , Fortis Inc. (US:FTS) , Zurich Insurance Group AG - Depositary Receipt (Common Stock) (US:ZURVY) , The PNC Financial Services Group, Inc. (US:PNC) , and BAE Systems plc - Depositary Receipt (Common Stock) (US:BAESY) .

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 %
0.02 1.92 2.5180 2.5180
0.02 1.92 2.5178 2.5178
0.02 4.33 5.6796 2.0801
0.00 2.21 2.8951 0.9310
0.03 3.08 4.0465 0.6809
0.01 1.12 1.4720 0.6053
0.00 2.17 2.8551 0.5740
0.02 1.53 2.0145 0.5721
0.00 1.15 1.5149 0.2803
0.00 1.07 1.4047 0.2652
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 %
0.02 2.98 3.9072 -0.8070
0.01 2.33 3.0544 -0.7102
0.01 1.85 2.4246 -0.4180
0.03 2.01 2.6424 -0.3907
0.01 1.44 1.8957 -0.3505
0.01 1.61 2.1101 -0.3078
0.01 1.84 2.4166 -0.2951
0.03 2.73 3.5858 -0.2822
0.03 1.56 2.0546 -0.2637
0.10 3.67 4.8148 -0.2559
13F and Fund Filings

This form was filed on 2025-08-26 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
(%)
AVGO / Broadcom Inc. 0.02 -4.46 4.33 57.31 5.6796 2.0801
FTS / Fortis Inc. 0.08 -5.39 3.76 -0.92 4.9334 -0.0305
ZURVY / Zurich Insurance Group AG - Depositary Receipt (Common Stock) 0.10 -5.78 3.67 -5.34 4.8148 -0.2559
PNC / The PNC Financial Services Group, Inc. 0.02 -6.45 3.21 -0.77 4.2099 -0.0196
BAESY / BAE Systems plc - Depositary Receipt (Common Stock) 0.03 -6.20 3.08 19.88 4.0465 0.6809
ABBV / AbbVie Inc. 0.02 -6.74 2.98 -17.38 3.9072 -0.8070
IBM / International Business Machines Corporation 0.01 -15.09 2.77 0.69 3.6367 0.0352
SO / The Southern Company 0.03 -7.47 2.73 -7.58 3.5858 -0.2822
KO / The Coca-Cola Company 0.04 -5.94 2.52 -7.07 3.3128 -0.2413
WMT / Walmart Inc. 0.03 -6.27 2.46 4.42 3.2273 0.1457
WSO / Watsco, Inc. 0.01 -6.91 2.33 -19.12 3.0544 -0.7102
LIN / Linde plc 0.00 45.83 2.21 47.00 2.8951 0.9310
MSFT / Microsoft Corporation 0.00 -5.84 2.17 24.80 2.8551 0.5740
LAMR / Lamar Advertising Company 0.02 -5.78 2.16 0.51 2.8328 0.0230
TROW / T. Rowe Price Group, Inc. 0.02 -6.74 2.16 -2.04 2.8316 -0.0498
CSCO / Cisco Systems, Inc. 0.03 -22.76 2.01 -13.16 2.6424 -0.3907
MDT / Medtronic plc 0.02 1.92 2.5180 2.5180
BK / The Bank of New York Mellon Corporation 0.02 1.92 2.5178 2.5178
KMB / Kimberly-Clark Corporation 0.01 -6.20 1.85 -14.97 2.4246 -0.4180
PAYX / Paychex, Inc. 0.01 -5.78 1.84 -11.15 2.4166 -0.2951
SNA / Snap-on Incorporated 0.01 -5.78 1.61 -12.99 2.1101 -0.3078
FAST / Fastenal Company 0.04 87.98 1.58 1.81 2.0731 0.0432
TTE / TotalEnergies SE - Depositary Receipt (Common Stock) 0.03 -6.91 1.56 -11.69 2.0546 -0.2637
TJX / The TJX Companies, Inc. 0.01 -6.51 1.56 -5.17 2.0482 -0.1057
APH / Amphenol Corporation 0.02 -7.53 1.53 39.20 2.0145 0.5721
BR / Broadridge Financial Solutions, Inc. 0.01 -6.66 1.53 -6.48 2.0111 -0.1318
VZ / Verizon Communications Inc. 0.03 -6.06 1.51 -10.36 1.9777 -0.2222
MMC / Marsh & McLennan Companies, Inc. 0.01 -6.10 1.44 -15.91 1.8957 -0.3505
GILD / Gilead Sciences, Inc. 0.01 -5.77 1.44 -6.73 1.8921 -0.1308
CMPGY / Compass Group PLC - Depositary Receipt (Common Stock) 0.04 -5.90 1.42 -2.28 1.8609 -0.0368
GTY / Getty Realty Corp. 0.05 25.34 1.36 11.13 1.7831 0.1833
PG / The Procter & Gamble Company 0.01 -5.98 1.33 -12.13 1.7415 -0.2337
TT / Trane Technologies plc 0.00 -5.79 1.15 22.27 1.5149 0.2803
JNJ / Johnson & Johnson 0.01 83.82 1.12 69.34 1.4720 0.6053
ETN / Eaton Corporation plc 0.00 -6.43 1.07 22.87 1.4047 0.2652
TXN / Texas Instruments Incorporated 0.01 -5.94 1.06 8.70 1.3951 0.1154
PRU / Prudential Financial, Inc. 0.01 -5.77 0.94 -9.31 1.2279 -0.1223