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Columbia VP Select Mid Cap Value 1
Release date as of 2022-05-31. Data on page is subject to change.
Snapshot Ratings & Risk Portfolio Nuts & Bolts
  Morningstar Report
Overall Morningstar
Rating™
What is this?
As of 2022-05-31
Out of 393
Mid-Cap Value Funds
Morningstar®
Style Box™
What is this?
As of 2022-05-31
Total Fund Assets ($ Mil)
311.69
View Historical Morningstar Star Ratings and Definitions
  Investment Objective & Strategy  
The investment seeks to provide shareholders with long-term growth of capital.
Under normal circumstances, the fund invests at least 80% of its net assets (including the amount of any borrowings for investment purposes) in equity securities of medium-sized companies. It may invest up to 25% of its net assets in foreign investments. The fund normally invests in common stocks and also may invest in real estate investment trusts. It may from time to time emphasize one or more sectors in selecting its investments, including the financial services sector.
  Morningstar Category: Mid-Cap Value
Some mid-cap value portfolios focus on medium-size companies while others land here because they own a mix of small-, mid-, and large-cap stocks. All look for U.S. stocks that are less expensive or growing more slowly than the market. Stocks in the middle 20% of the capitalization of the U.S. equity market are defined as mid-cap. Value is defined based on low valuations (low price ratios and high dividend yields) and slow growth (low growth rates for earnings, sales, book value, and cash flow). 
  Investment Risks
Mid Cap Funds: The securities of companies with market capitalizations below $10 billion may be more volatile and less liquid than the securities of larger companies.
  Portfolio Profile
Asset Allocation
% of Net Assets
Bullet U.S. Stocks U.S. Stocks 96.2
Bullet Non-U.S. Stocks Non-U.S. Stocks 2.4
Bullet Bonds Bonds 0.0
Bullet Cash Cash 1.5
Bullet Other Other 0.0
Asset Allocation Rescaled Graph
Data through 2022-05-31
Morningstar Equity Sectors
% of Stocks
Cyclical 41.25
Basic Materials 6.52
Consumer Cyclical 8.34
Financial Services 16.87
Real Estate 9.52
Sensitive 38.90
Communication Services 5.75
Energy 8.25
Industrials 13.60
Technology 11.30
Defensive 19.86
Consumer Defensive 5.17
Healthcare 8.81
Utilities 5.88
Data through 2022-05-31
Holding Status
Total Number of Stock Holdings 50
Total Number of Bond Holdings 0
% of Net Assets in Top 10 Holdings 28.98
Turnover % (as of 2021-12-31) 32.00
30 Day SEC Yield % ---
Top Holdings
Sector P/E % of Net
Assets
Marathon Petroleum Corp 24.01 4.17
Devon Energy Corp 14.00 3.96
Ameren Corp 24.41 3.45
First Industrial Realty Trust Inc --- 2.72
Welltower OP LLC --- 2.71
AMETEK Inc 27.11 2.54
Popular Inc --- 2.37
Reinsurance Group of America Inc 20.70 2.36
Ingersoll Rand Inc 36.84 2.35
Nexstar Media Group Inc Class A 8.53 2.35
Data through 2022-05-31
  Principal Risks   
Foreign Securities, Loss of Money, Not FDIC Insured, Value Investing, Active Management, Issuer, Market/Market Volatility, Industry and Sector Investing, Portfolio Diversification, Mid-Cap, Real Estate/REIT Sector
Show Risk Definitions
  Other Information
Inception Date: 2010-05-03
Portfolio Manager(s)
Kari L. Montanus   (2018-05-01)
Kari Montanus is a portfolio manager on the Columbia Focused Value Team at Columbia Threadneedle Investments. Ms. Montanus joined one of the Columbia Threadneedle Investments legacy firms in 2003. Previously, she worked for Goldman Sachs & Co. as a vice president of investment research. Prior to that, she was an associate analyst of equity research for Morgan Stanley Dean Witter & Co. and for Morgan Stanley & Company in their Tokyo, Japan office. Ms. Montanus received a B.A. in international relations from Stanford University and an MBA in finance from The Wharton School, University of Pennsylvania.
Jonas Patrikson   (2014-06-25)
Jonas Patrikson is a portfolio manager for Columbia Threadneedle Investments. Mr. Patrikson joined one of the Columbia Threadneedle Investments legacy firms in 2004. Previously, Mr. Patrikson served as a senior research analyst at Nordberg Capital and as an investment manager in Sweden working for SIF and Svenska Kreditforsakrings AB. He has been a member of the investment community since 1990. Mr. Patrikson holds a B.A. in Finance and Accounting from University of Linkoping, Sweden. In addition, he holds the Chartered Financial Analyst® designation and is a member of the CFA Society of Portland.
Investment Advisor(s)
Columbia Mgmt Investment Advisers, LLC
Issuer
Columbia Threadneedle
Subadvisor(s)
---
Show Data Definitions

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