Columbia Variable Portfolio - Small Cap Value Fund
COLUMBIA FUNDS VARIABLE INSURANCE TRUST

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
WALKER & DUNLOP 0 53,890 53,890 0.60% $2.39M
CBIZ INC 0 82,300 82,300 0.55% $2.21M
DOUGLAS EMMETT INC REIT 0 234,190 234,190 0.55% $2.21M
STEPAN CO 0 38,010 38,010 0.47% $1.90M
FUBOTV INC -A 0 164,961 164,961 0.39% $1.56M
ICF INTERNATIONAL INC 0 23,300 23,300 0.38% $1.52M
UTZ BRANDS INC A 0 141,560 141,560 0.28% $1.12M
COTY INC-CL A 0 408,760 408,760 0.21% $821.61K
HUDSON PACIFIC PROPERTIES INC 0 124,460 124,460 0.18% $735.56K
COMMERCE.COM INC 0 253,450 253,450 0.17% $676.71K
VERRA MOBILITY CORP 0 38,689 38,689 0.14% $552.87K
ATOSSA THERAPEUTICS INC 0 37,883 37,883 0.05% $199.26K
FUTUREFUEL CORP 0 11,363 11,363 0.01% $43.75K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MOOG INC-CLASS A 17,868 0 -17,868 0.00% -$4.35M
POTLATCHDELTIC CORP REIT 65,397 0 -65,397 0.00% -$2.60M
TWO HBRS INVT CORP 202,030 0 -202,030 0.00% -$2.12M
AZENTA INC 62,770 0 -62,770 0.00% -$2.09M
ASTRONICS CORP 36,220 0 -36,220 0.00% -$1.96M
STEVEN MADDEN LTD 39,293 0 -39,293 0.00% -$1.64M
SAVERS VALUE VILLAGE INC 161,790 0 -161,790 0.00% -$1.51M
SUN COUNTRY HOLD 100,938 0 -100,938 0.00% -$1.45M
MALIBU BOATS INC CL A 48,145 0 -48,145 0.00% -$1.36M
ENHABIT INC 132,200 0 -132,200 0.00% -$1.22M
CENTRAL PACIFIC FINANCIAL CORP 38,799 0 -38,799 0.00% -$1.21M
ICHOR HOLDINGS LTD 60,990 0 -60,990 0.00% -$1.12M
PEAKSTONE REALTY 66,126 0 -66,126 0.00% -$948.91K
Ardmore Shipping Services (Ireland) Limited 85,650 0 -85,650 0.00% -$907.03K
FIRST COMTY CORP 30,471 0 -30,471 0.00% -$903.47K
AMERICAN PUBLIC EDUCATION INC 23,258 0 -23,258 0.00% -$879.15K
CABLE ONE INC 7,384 0 -7,384 0.00% -$833.28K
IBOTTA INC-CL A 29,576 0 -29,576 0.00% -$672.26K
UNIVERSAL HEALTH REALTY TRUST 14,681 0 -14,681 0.00% -$575.64K
EXPENSIFY INC-A 284,471 0 -284,471 0.00% -$429.55K
ATOSSA THERAPEUTICS INC 581,355 0 -581,355 0.00% -$343.00K
VIVID SEATS INC-CL A 44,405 0 -44,405 0.00% -$320.16K
OLYMPIC STEEL INC 3,186 0 -3,186 0.00% -$136.31K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
UFP INDUSTRIES INC 42,156 48,476 6,320 1.12% $627.31K
RAYONIER INC REIT 95,768 209,919 114,151 1.08% $2.26M
ADVANCE AUTO PARTS INC 52,157 71,477 19,320 0.94% $1.72M
POLARIS INC 52,473 64,333 11,860 0.88% $187.23K
CUSHMAN and WAKEFIELD LTD 252,460 284,610 32,150 0.87% -$598.01K
PENNYMAC FINANCIAL SERVICES INC 29,440 39,520 10,080 0.86% -$427.32K
F&G ANNUITIES 104,119 136,019 31,900 0.86% $231.93K
STONEX GROUP INC 26,079 38,218 12,139 0.77% $601.39K
CHEMOURS CO/ THE 120,270 136,623 16,353 0.75% $1.59M
KILROY REALTY CORP 81,170 100,590 19,420 0.71% -$195.68K
RLJ LODGING TRUST 346,589 369,500 22,911 0.69% $159.60K
EURONET WORLDWIDE INC 37,918 38,518 600 0.64% -$329.50K
ASGN INC 58,345 64,895 6,550 0.63% -$298.39K
ATLAS ENERGY SOLUTIONS INC 156,500 183,870 27,370 0.60% $938.14K
NEPTUNE INSURANCE HOLDINGS INC 63,825 93,062 29,237 0.56% $390.03K
SIMPLY GOOD FOODS CO 102,940 153,860 50,920 0.55% $140.86K
FLYWIRE CORP-VOT 162,860 182,930 20,070 0.53% -$176.79K
SAFEHOLD INC 19,826 147,690 127,864 0.50% $1.73M
DOUBLEVERIFY HOLDINGS INC 162,940 202,620 39,680 0.48% $60.86K
PAYONEER GLOBAL INC 391,737 394,297 2,560 0.48% -$297.11K
RYERSON HOLDING CORP 53,528 81,446 27,918 0.46% $484.14K
ASTRANA HEALTH INC 48,490 64,140 15,650 0.39% $369.68K
METHODE ELECTRONICS INC 110,329 283,808 173,479 0.39% $834.04K
EDGEWELL PERSONAL CARE CO 58,810 72,046 13,236 0.38% $534.75K
RING ENERGY INC 769,062 992,752 223,690 0.38% $849.83K
COLUMBIA SHORT TERM CASH FUND 1,237,047 1,399,040 161,994 0.35% $161.81K
GROCERY OUTLET HOLDING CORP 160,590 197,640 37,050 0.35% -$228.60K
HEARTLAND EXPRESS INC 120,574 131,824 11,250 0.34% $282.19K
WABASH NATIONAL CORP 128,250 152,810 24,560 0.33% $207.86K
COMMUNITY HEALTHCARE TR INC 72,072 73,420 1,348 0.29% -$16.78K
ARMADA HOFFLER PROPERTIES INC 195,840 211,830 15,990 0.29% -$131.40K
ENERGY RECOVERY INC 70,917 104,847 33,930 0.26% $99.14K
SECURITY NATL FINL CORP CL A 100,584 107,997 7,413 0.26% $117.55K
ETHAN ALLEN INTERIORS INC 34,638 43,738 9,100 0.24% $182.48K
EMBECTA CORP 90,413 103,293 12,880 0.23% -$161.00K
HOOKER FURNISHINGS CORP 65,063 65,826 763 0.21% $113.28K
ONEWATER MARINE CL A 17,986 88,431 70,445 0.21% $641.06K
DOUGLAS ELLIMAN INC 290,358 487,398 197,040 0.20% $111.18K
ALIGHT INC-CL A 868,977 1,336,697 467,720 0.19% -$915.61K
ACCO BRANDS CORP 171,620 232,730 61,110 0.17% $58.05K
Magnachip Semiconductor Corporation 222,594 235,318 12,724 0.16% $91.28K
QUANTERIX CORP 124,315 163,435 39,120 0.14% -$215.35K
AMERICAS CAR MART INC 27,640 39,900 12,260 0.13% -$190.26K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NATL FUEL GAS CO 53,595 53,215 -380 1.25% $709.27K
KIRBY CORP 37,738 36,938 -800 1.23% $750.35K
LITTELFUSE INC 13,510 13,140 -370 1.11% $1.04M
PBF ENERGY INC CL A 95,030 92,930 -2,100 1.11% $1.85M
JOHN BEAN TECHNOLOGIES CORP 35,230 34,430 -800 1.10% -$905.54K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 78,130 76,330 -1,800 1.10% $310.44K
MERITAGE HOMES CORP 71,870 69,870 -2,000 1.08% -$408.29K
KITE REALTY GROUP TRUST 174,030 170,230 -3,800 1.04% $7.65K
ESSENT GROUP LTD 71,253 69,753 -1,500 1.02% -$555.79K
SCORPIO TANKERS INC 59,880 51,940 -7,940 0.97% $834.14K
BANKUNITED INC 86,152 84,252 -1,900 0.95% -$34.97K
GATES INDUSTRIAL CORP PLC 165,330 161,730 -3,600 0.91% $107.08K
ANDERSONS INC 52,967 50,664 -2,303 0.91% $820.41K
PACS GROUP INC 111,001 109,301 -1,700 0.88% -$750.58K
APELLIS PHARMACEUTICALS INC 88,458 86,558 -1,900 0.87% $1.26M
KINETIK HOLDINGS INC 72,497 70,897 -1,600 0.86% $818.61K
ARCBEST CORP 35,760 34,860 -900 0.86% $775.80K
VONTIER CORP W/I 98,150 96,050 -2,100 0.85% -$242.32K
CORPORATE OFFICE PROPERTIES TR 113,810 111,310 -2,500 0.85% $242.17K
TELEFLEX INC 28,900 28,200 -700 0.84% -$153.95K
MINERALS TECHNOLOGIES INC 46,460 45,360 -1,100 0.80% $385.19K
BANC OF CALIFORNIA INC 186,660 182,560 -4,100 0.80% -$391.27K
CENTERRA GOLD IN 190,410 176,250 -14,160 0.78% $393.27K
DELEK US HOLDINGS INC 81,010 69,140 -11,870 0.78% $713.38K
TOREX GOLD RESOU 76,614 67,344 -9,270 0.77% -$567.34K
NATIONAL VISION HOLDINGS INC 118,453 115,753 -2,700 0.75% -$60.45K
WASHINGTON FEDERAL INC 96,973 94,773 -2,200 0.74% -$130.17K
VISTEON CORP 33,285 32,585 -700 0.74% -$196.58K
KORN FERRY 48,070 46,970 -1,100 0.74% -$216.82K
Americold Realty Trust Inc 287,975 249,655 -38,320 0.72% -$842.31K
MACERICH COMPANY 154,250 149,550 -4,700 0.71% -$20.96K
VISHAY INTERTECHNOLOGY INC 192,370 154,680 -37,690 0.70% -$3.20K
GREENBRIER COS 53,306 52,106 -1,200 0.69% $251.86K
TALOS ENERGY INC 219,106 172,756 -46,350 0.68% $308.09K
ARMOUR RESIDENTIAL REIT INC 162,780 159,180 -3,600 0.66% -$224.46K
THERMON GROUP HOLDINGS INC 53,662 52,462 -1,200 0.66% $650.00K
NEWMARK GROUP INC CL A 180,052 176,052 -4,000 0.66% -$483.08K
WESTERN UNION CO 308,860 302,060 -6,800 0.66% -$238.50K
WERNER ENTERPRISES INC 88,130 86,230 -1,900 0.63% -$108.76K
GREIF INC-CL A 38,531 37,631 -900 0.63% -$84.64K
ECOVYST INC 199,300 194,900 -4,400 0.63% $567.22K
HIGHWOODS PROPERTIES INC 118,620 116,020 -2,600 0.62% -$578.78K
CENTURY COMMUNITIES INC 43,881 42,581 -1,300 0.61% -$161.04K
HILLTOP HOLDINGS 77,020 68,150 -8,870 0.61% -$172.93K
ROGERS CORP 22,750 22,250 -500 0.60% $304.88K
TOWNE BANK 71,017 69,417 -1,600 0.58% -$32.57K
Banco Latinoamericano de Comercio Exterior SA, Class E 45,781 44,781 -1,000 0.57% $245.58K
AMERICAN ASSETS TRUST INC 125,437 122,737 -2,700 0.56% -$114.93K
NEOGEN CORP 354,550 239,373 -115,177 0.56% -$254.53K
HORACE MANN EDUCATORS CORP 52,214 51,014 -1,200 0.54% -$233.96K
SOUTHERN FIRST BANCSHARES INC 41,236 39,736 -1,500 0.54% $41.13K
PARK H&R INC 208,240 203,640 -4,600 0.54% -$33.86K
DYNEX CAPITAL 169,870 166,070 -3,800 0.53% -$260.83K
Dole Public Limited Company 149,890 146,590 -3,300 0.52% -$152.08K
BRUKER CORP 58,110 56,810 -1,300 0.51% -$685.58K
COSTAMARE INC 122,805 120,105 -2,700 0.51% $90.68K
HEALTHCARE SERVS 111,550 109,050 -2,500 0.51% -$109.96K
MOVADO GROUP INC 83,479 81,579 -1,900 0.50% $270.82K
EVERTEC INC 74,936 70,386 -4,550 0.50% -$193.60K
ALASKA AIR GROUP INC 54,530 53,330 -1,200 0.49% -$781.38K
CARTERS INC 55,450 54,150 -1,300 0.48% $138.16K
ACADIA HEALTHCARE CO INC 83,780 81,980 -1,800 0.48% $728.67K
BOSTON BEER COMPANY CL A 8,351 8,251 -100 0.48% $271.50K
NATURAL GAS SERVICES GROUP 78,104 50,002 -28,102 0.47% -$741.12K
HNI CORP 57,173 55,873 -1,300 0.47% -$537.95K
EMPIRE STATE REALTY TRUST INC CL A 355,520 347,420 -8,100 0.45% -$511.41K
Pagseguro Digital Ltd., Class A 177,240 173,340 -3,900 0.43% $28.27K
FORESTAR GROUP INC 70,270 68,670 -1,600 0.42% -$52.46K
TETRA TECHNOLOGIES INC 225,468 196,058 -29,410 0.42% -$442.22K
GREENLIGHT CAPITAL RE LTD A 98,773 96,599 -2,174 0.42% $230.09K
PROPETRO HOLDING CORP 117,872 115,272 -2,600 0.42% $540.11K
MARTEN TRANSPORT LTD 128,950 126,050 -2,900 0.41% $187.59K
GOLD.COM INC 41,760 40,860 -900 0.41% $215.74K
GREEN PLAINS INC 118,970 99,060 -19,910 0.41% $463.63K
ANNEXON INC 296,821 290,321 -6,500 0.40% $118.34K
W&T OFFSHORE INC 476,586 466,086 -10,500 0.40% $812.52K
iShares Trust RUSSELL 2000 VALUE ETF 11,330 8,360 -2,970 0.40% -$468.14K
BRANDYWINE RLTY 693,260 582,250 -111,010 0.39% -$446.42K
GENTHERM INC 57,173 55,973 -1,200 0.39% -$524.45K
MYERS INDUSTRIES 87,470 73,140 -14,330 0.39% -$88.33K
SHOALS TECHNOLOGIES GROUP INC 240,670 235,370 -5,300 0.39% -$496.96K
CAVCO INDUSTRIES INC 3,218 3,118 -100 0.38% -$390.99K
CNB FINL CORP/PA 52,240 51,040 -1,200 0.37% $111.00K
PIEDMONT REALTY TRUST INC 227,632 222,632 -5,000 0.37% -$435.76K
YETI HOLDINGS INC 40,694 39,794 -900 0.36% -$341.39K
TIMKENSTEEL CORP 89,878 87,878 -2,000 0.36% -$106.38K
SANFILIPPO (JOHN B) and SON INC. 18,290 17,951 -339 0.36% $132.78K
CRITEO SA-SPON ADR DEPOSITARY RECEIPT 81,210 79,410 -1,800 0.36% -$249.92K
RADIANT LOGISTICS INC 205,721 200,721 -5,000 0.35% $112.87K
WESTERN NEW ENGLAND BANCORP INC 111,733 105,873 -5,860 0.34% -$41.13K
Global Indemnity Group LLC 55,321 50,221 -5,100 0.34% -$203.60K
ARDENT HEALTH PA 162,664 159,064 -3,600 0.34% -$74.74K
MITEK SYSTEMS INC 103,028 100,728 -2,300 0.34% $272.88K
ALERUS FINANCIAL CORP 58,195 56,995 -1,200 0.34% $40.80K
RGC RESOURCES INC 64,260 60,560 -3,700 0.33% -$33.39K
BANK OF MARIN BA 53,196 51,896 -1,300 0.33% -$53.53K
WINNEBAGO INDUSTRIES INC 43,640 42,740 -900 0.33% -$443.78K
WEBTOON ENTERTAINMENT INC 145,386 142,186 -3,200 0.33% -$587.69K
HAMILTON BEACH BRANDS HOLDING CO CLASS A 71,837 67,796 -4,041 0.32% $103.02K
ANI PHARMACEUTICALS INC 17,089 16,689 -400 0.32% -$65.62K
HELEN OF TROY LTD 104,510 88,530 -15,980 0.32% -$944.23K
LEGACY HOUSING CORP 63,794 62,394 -1,400 0.32% $29.45K
CHATHAM LODGING TRUST 163,040 159,440 -3,600 0.31% $144.49K
KOPPERS HOLDINGS 32,930 32,130 -800 0.31% $351.04K
INFINITY NATURAL RESOURCES INC 71,920 70,320 -1,600 0.31% $178.95K
NANO DIMENSION LTD 738,571 722,271 -16,300 0.31% $90.46K
COMPASS MINERALS INTL INC 53,580 52,380 -1,200 0.31% $170.76K
TELADOC HEALTH INC 228,080 222,980 -5,100 0.30% -$381.32K
SAFE BULKERS INC 192,965 188,765 -4,200 0.30% $264.79K
FULGENT GENETICS INC 75,852 74,252 -1,600 0.30% -$812.03K
PASON SYSTEMS INC COMMON STOCK 137,039 123,949 -13,090 0.29% -$17.41K
FERROGLOBE PLC 290,699 284,299 -6,400 0.29% -$177.53K
AMPCO-PITTSBURGH 177,949 173,949 -4,000 0.29% $220.47K
ORCHID ISLAND CAPITAL INC 168,370 164,670 -3,700 0.29% -$54.63K
IBEX LTD 42,446 41,546 -900 0.28% -$506.32K
DESIGNER BRANDS INC 199,167 194,767 -4,400 0.28% -$371.59K
MGP INGREDIENTS INC 75,676 58,486 -17,190 0.27% -$763.37K
INTEST CORP 80,948 77,842 -3,106 0.27% $457.86K
AVANOS MEDICAL INC 74,610 72,910 -1,700 0.26% $183.60K
SHORE BANCSHARES INC 55,870 54,670 -1,200 0.26% $33.45K
CERTARA INC 180,590 176,590 -4,000 0.25% -$584.43K
FOX FACTORY HOLDING CORP 60,810 59,410 -1,400 0.24% -$62.57K
VIEMED HEALTHCARE INC 108,420 106,020 -2,400 0.24% $170.88K
FIRST FOUNDATION INC/OLD 166,974 161,474 -5,500 0.24% -$75.86K
TWIN DISC INC 65,438 62,846 -2,592 0.24% -$144.42K
FRONTVIEW REIT INC 74,567 60,390 -14,177 0.23% -$166.38K
MAYVILLE ENGINEERING CO INC 53,100 51,900 -1,200 0.23% -$62.43K
OMEGA FLEX INC 30,705 30,005 -700 0.23% $27.40K
SAUL CENTERS INC 37,977 28,216 -9,761 0.23% -$278.14K
OXFORD INDUSTRIES 24,370 23,870 -500 0.23% $85.78K
VISHAY PRECISION GROUP INC 35,006 21,126 -13,880 0.23% -$430.44K
ZUMIEZ INC 41,410 41,310 -100 0.23% -$163.30K
COGNYTE SOFTWARE LTD 114,909 112,409 -2,500 0.23% -$169.63K
BEAZER HOMES USA INC 47,150 46,150 -1,000 0.22% -$67.80K
MVB FINANCIAL CORP 35,891 35,691 -200 0.22% -$40.86K
NORTHRIM BANCORP INC 39,620 38,720 -900 0.22% -$168.37K
BANDWIDTH INC-A 49,760 48,660 -1,100 0.22% $98.33K
TAYLOR DEVICES INC 15,670 15,170 -500 0.22% -$51.38K
COSTAMARE BULKERS HOLDINGS LTD 57,234 55,834 -1,400 0.22% -$18.22K
CODEXIS INC 509,760 498,560 -11,200 0.20% -$18.26K
BLUELINX HOLDINGS INC 14,929 14,629 -300 0.20% -$124.49K
LIFETIME BRANDS INC 140,087 136,727 -3,360 0.20% $231.47K
FIRSTSUN CAPITAL BANCORP 20,852 20,452 -400 0.19% -$39.09K
INOGEN INC 123,430 120,630 -2,800 0.19% -$83.96K
FOSSIL INC 230,133 171,493 -58,640 0.18% -$126.17K
RIVERVIEW BANCRP 143,520 133,780 -9,740 0.18% $15.32K
ASPEN AEROGELS INC 213,130 206,330 -6,800 0.18% $102.49K
PROVIDENT FNL HL 46,761 42,761 -4,000 0.17% -$54.66K
TRUBRIDGE INC 44,565 43,565 -1,000 0.16% -$345.76K
STITCH FIX INC-A 192,887 188,687 -4,200 0.16% -$388.10K
HONEST CO INC (THE) 214,881 210,081 -4,800 0.15% $63.25K
HURCO INC 41,667 40,067 -1,600 0.15% -$54.37K
GRID DYNAMICS HOLDINGS INC 104,730 102,430 -2,300 0.15% -$361.86K
MAGNERA CORP 62,233 60,833 -1,400 0.14% -$363.69K
DMC GLOBAL INC 112,933 110,433 -2,500 0.14% -$180.17K
AIRGAIN INC 110,023 104,423 -5,600 0.14% $127.63K
UNIVERSAL ELECTRONICS INC 133,441 129,529 -3,912 0.13% $51.94K
CLEARWATER PAPER CORP 33,904 33,204 -700 0.12% -$112.46K
COMPASS Pathways PLC, ADR 85,850 83,950 -1,900 0.12% -$128.12K
CULP INC 141,244 141,144 -100 0.10% -$116.09K
GAIA INC CL A 142,133 137,233 -4,900 0.10% -$135.81K
KINDERCARE LEARNING COS INC 308,693 165,993 -142,700 0.09% -$968.37K
GRAFTECH INTERNATIONAL LTD 53,089 51,889 -1,200 0.09% -$471.60K
Valens Semiconductor Ltd 226,980 221,980 -5,000 0.06% -$71.47K
PLAYSTUDIOS INC A 494,287 482,487 -11,800 0.06% -$95.65K
BRILLIANT EARTH GROUP INC-A 123,228 119,628 -3,600 0.04% -$56.54K
UPLAND SOFTWARE INC 205,954 201,054 -4,900 0.03% -$160.61K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
VIZSLA SILVER CO 380,511 380,511 0 0.32% -$823.78K
LUNA INNOVATIONS INC 439,777 439,777 0 0.12% -$21.99K
EDUCATIONAL DEVELOPMENT CORP 73,074 73,074 0 0.02% -$4.38K

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.