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Form NPORT-P COLUMBIA FUNDS VARIABLE For: Mar 31

May 25, 2022 9:35 AM EDT

  
    NPORT-P
    false
    
      
      
        
          0000815425
          XXXXXXXX
        
      
      
      
      
        S000058873
        C000206840
        C000193050
      
      
      
    
  
  
    
      Columbia Funds Variable Insurance Trust
      811-05199
      0000815425
      549300293M2AM3RU8K52
      290 Congress Street
      Boston
      
      02110
      800-345-6611
      Variable Portfolio - Managed Risk Fund
      S000058873
      5493000NU3UCELGL7232
      2022-12-31
      2022-03-31
      N
    
    
      277752145.500000000000
      16284702.650000000000
      261467442.850000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      15855757.810000000000
      0.000000000000
      0.000000000000
      0.100000000000
      
        
          USD
          
          
        
        
          SGD
          
          
        
        
          SEK
          
          
        
        
          NOK
          
          
        
        
          JPY
          
          
        
        
          EUR
          
          
        
        
          CHF
          
          
        
        
          CAD
          
          
        
        
          AUD
          
          
        
        
          GBP
          
          
        
      
      
      
      N
      
        
          
          
        
        
          
            
            
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
          
        
        
        
        
      
      
      
      
      
    
    
      
        UMBS
        N/A
        UMBS  15YR TBA(REG B)
        01F020448
        
          
        
        1540000.000000000000
        PA
        USD
        1495845.320000000000
        0.5720962058
        Long
        ABS-MBS
        USGA
        US
        
        N
        
        2
        
          2037-04-18
          Fixed
          2.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        UMBS
        N/A
        UMBS  15YR TBA(REG B)
        01F022444
        
          
          
        
        1895000.000000000000
        PA
        USD
        1873089.060000000000
        0.7163756373
        Long
        ABS-MBS
        USGA
        US
        
        N
        
        2
        
          2037-04-18
          Fixed
          2.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        UMBS
        N/A
        UMBS  30YR TBA(REG A)
        01F022642
        
          
        
        5940000.000000000000
        PA
        USD
        5674556.250000000000
        2.1702725923
        Long
        ABS-MBS
        USGA
        US
        
        N
        
        2
        
          2052-04-13
          Fixed
          2.500000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        UMBS
        N/A
        UMBS  30YR TBA(REG A)
        01F030645
        
          
          
        
        6600000.000000000000
        PA
        USD
        6463004.590000000000
        2.4718200169
        Long
        ABS-MBS
        USGA
        US
        
        N
        
        2
        
          2052-04-13
          Fixed
          3.000000000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        VP - PARTNERS CORE BD FD CL1
        N/A
        VP - PARTNERS CORE BD FD CL1
        19766E129
        
          
        
        3168005.279000000000
        NS
        USD
        33169015.270000000000
        12.6857152495
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        VP PARTNERS CORE EQUITY FD CL 1
        N/A
        CTIVP-MFS BLENDED RESEARCH EQ CL1
        19766E236
        
          
        
        1544393.595000000000
        NS
        USD
        52941812.440000000000
        20.2479558690
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        COLUMBIA VP OVERSEAS CORE-1
        N/A
        COLUMBIA VP - OVERSEAS CORE FD CL1
        19766E418
        
          
          
        
        1530939.467000000000
        NS
        USD
        21448461.930000000000
        8.2031099919
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        COLUMBIA VP DISCIPLINED CORE FD-1
        N/A
        COLUMBIA VP DISCIPLINED CORE FD -1
        19766E814
        
          
          
        
        188745.425000000000
        NS
        USD
        15816866.620000000000
        6.0492681030
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        COLUMBIA VP INTERMED BOND FD CL 1
        N/A
        COLUMBIA VP - INTER BD FD CLASS 1
        19766E871
        
          
        
        3214405.655000000000
        NS
        USD
        30890438.340000000000
        11.8142580213
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        COLUMBIA SHORT TERM CASH FUND
        N/A
        COLUMBIA SHORT TERM CASH FUND
        19766H239
        
          
        
        18159369.378000000000
        NS
        USD
        18152105.640000000000
        6.9423961324
        Long
        STIV
        CORP
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        COLUMBIA VP SEL LARGE CAP EQ FD 1
        N/A
        COLUMBIA VP SEL LARGE CAP EQ FD 1
        19766L495
        
          
        
        901637.211000000000
        NS
        USD
        15751602.080000000000
        6.0243072362
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        CTIVP - ALLSPRING SHORT DURATION GOVT
        N/A
        CTIVP - WF SHORT DUR GOV CL1
        19766L636
        
          
          
        
        1131011.533000000000
        NS
        USD
        10801160.140000000000
        4.1309770816
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        VP - PARTNERS INTL CORE EQUITY FD CL1
        N/A
        CTIVPSM AQR INT CORE EQ FD CL1
        19766L727
        
          
          
        
        1947102.162000000000
        NS
        USD
        23696233.310000000000
        9.0627854282
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        VP - PARTNERS SMALL CAP VALUE-1
        N/A
        COLUMBIA VP-PART SM CAP VAL FD CL
        19766L776
        
          
          
        
        181656.902000000000
        NS
        USD
        6588695.840000000000
        2.5198914894
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        VP - PARTNERS SM CAP GR
        N/A
        VP - PARTNERS SM CAP GR
        19766L792
        
          
          
        
        199579.515000000000
        NS
        USD
        6602090.360000000000
        2.5250143146
        Long
        EC
        RF
        US
        
        N
        
        N/A
        
          N
          N
          N
        
      
      
        iShares Core U.S. Aggregate Bond ETF
        549300F7VSXTKBGHJE47
        iShares Core U.S. Aggregate Bond ETF
        464287226
        
          
          
          
        
        5750.000000000000
        NS
        USD
        615825.000000000000
        0.2355264553
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        iShares iBoxx $ Investment Grade Corporate Bond ETF
        549300FYCXFXG8POR355
        iShares iBoxx $ Investment Grade Corporate Bond ETF
        464287242
        
          
          
          
        
        49220.000000000000
        NS
        USD
        5952666.800000000000
        2.2766378617
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        iShares MSCI EAFE ETF
        549300O0XO3KDQV68404
        iShares MSCI EAFE ETF
        464287465
        
          
          
          
        
        10000.000000000000
        NS
        USD
        736000.000000000000
        0.2814882006
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        iShares Core S&P Mid-Cap ETF
        549300ODQWH5PC0IUZ78
        iShares Core S&P Mid-Cap ETF
        464287507
        
          
          
          
        
        12500.000000000000
        NS
        USD
        3354250.000000000000
        1.2828557022
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Vanguard Total Bond Market ETF
        N/A
        Vanguard Total Bond Market ETF
        921937835
        
          
          
          
        
        5000.000000000000
        NS
        USD
        397700.000000000000
        0.1521030671
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        VANGUARD INTERMEDIATE-TERM CORPORATE BOND ETF
        N/A
        Vanguard Intermediate-Term Corporate Bond ETF
        92206C870
        
          
          
          
        
        89000.000000000000
        NS
        USD
        7657560.000000000000
        2.9286858496
        Long
        EC
        RF
        US
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Barclays
        AC28XWWI3WIBK2824319
        US DOLLARS
        000000000
        
          
        
        -1375000.000000000000
        OU
        Notional Amount
        N/A
        2263.250000000000
        0.0008655953
        N/A
        DFE
        CORP
        XX
        N
        
        2
        
          
            
              Barclays
              AC28XWWI3WIBK2824319
            
            1375000.000000000000000
            EUR
            1524435.000000000000000
            USD
            2022-04-28
            2263.250000000000
          
        
        
          N
          N
          N
        
      
      
        Barclays
        AC28XWWI3WIBK2824319
        US DOLLARS
        000000000
        
          
        
        -1175000.000000000000
        OU
        Notional Amount
        N/A
        -9782.580000000000
        -0.0037414142
        N/A
        DFE
        CORP
        XX
        N
        
        2
        
          
            
              Barclays
              AC28XWWI3WIBK2824319
            
            1175000.000000000000000
            EUR
            1290982.370000000111759
            USD
            2022-04-28
            -9782.580000000000
          
        
        
          N
          N
          N
        
      
      
        Barclays
        AC28XWWI3WIBK2824319
        US DOLLARS
        000000000
        
          
        
        -900000.000000000000
        OU
        Notional Amount
        N/A
        4186.520000000000
        0.0016011630
        N/A
        DFE
        CORP
        GB
        N
        
        2
        
          
            
              Barclays
              AC28XWWI3WIBK2824319
            
            900000.000000000000000
            GBP
            1186291.520000000018626
            USD
            2022-04-28
            4186.520000000000
          
        
        
          N
          N
          N
        
      
      
        Barclays
        AC28XWWI3WIBK2824319
        EURO COUNTRIES
        000000000
        
          
        
        800000.000000000000
        OU
        Notional Amount
        N/A
        6877.440000000000
        0.0026303237
        N/A
        DFE
        CORP
        XX
        N
        
        2
        
          
            
              Barclays
              AC28XWWI3WIBK2824319
            
            878749.760000000009313
            USD
            800000.000000000000000
            EUR
            2022-04-28
            6877.440000000000
          
        
        
          N
          N
          N
        
      
      
        Barclays
        AC28XWWI3WIBK2824319
        BRITISH POUND
        000000000
        
          
        
        800000.000000000000
        OU
        Notional Amount
        N/A
        5809.520000000000
        0.0022218904
        N/A
        DFE
        CORP
        GB
        N
        
        2
        
          
            
              Barclays
              AC28XWWI3WIBK2824319
            
            1044950.479999999981374
            USD
            800000.000000000000000
            GBP
            2022-04-28
            5809.520000000000
          
        
        
          N
          N
          N
        
      
      
        Citi
        MBNUM2BPBDO7JBLYG310
        US DOLLARS
        000000000
        
          
        
        -2250000.000000000000
        OU
        Notional Amount
        N/A
        -2233.890000000000
        -0.0008543664
        N/A
        DFE
        CORP
        CH
        N
        
        2
        
          
            
              Citi
              MBNUM2BPBDO7JBLYG310
            
            2250000.000000000000000
            CHF
            2434682.870000000111759
            USD
            2022-04-28
            -2233.890000000000
          
        
        
          N
          N
          N
        
      
      
        Citi
        MBNUM2BPBDO7JBLYG310
        US DOLLARS
        000000000
        
          
        
        -350000000.000000000000
        OU
        Notional Amount
        N/A
        149843.530000000000
        0.0573086761
        N/A
        DFE
        CORP
        JP
        N
        
        2
        
          
            
              Citi
              MBNUM2BPBDO7JBLYG310
            
            350000000.000000000000000
            JPY
            3026176.430000000167638
            USD
            2022-04-28
            149843.530000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        SPX US 12/15/23 P3700
        000000000
        
          
        
        61.000000000000
        NC
        USD
        1335595.000000000000
        0.5108073822
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Put
            Purchased
            
              
                S&P 500
                SPX000009
              
            
            100.000000000000000
            3700.000000000000
            USD
            2023-12-15
            XXXX
            -81832.540000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        SPX US 12/15/23 P3800
        000000000
        
          
        
        41.000000000000
        NC
        USD
        982975.000000000000
        0.3759454674
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Put
            Purchased
            
              
                S&P 500
                SPX000009
              
            
            100.000000000000000
            3800.000000000000
            USD
            2023-12-15
            XXXX
            -36724.990000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        S&P500 EMINI JUN 22
        000000000
        
          
          
        
        113.000000000000
        NC
        USD
        1689892.260000000000
        0.6463107764
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                S&P500 EMINI JUN 22
                S&P500 EMINI JUN 22
                
                  
                  
                
              
            
            2022-06-17
            23908845.240000000000
            USD
            1689892.260000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        S&P500 EMINI JUN 22
        000000000
        
          
          
        
        -66.000000000000
        NC
        USD
        -861901.180000000000
        -0.3296399623
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                S&P500 EMINI JUN 22
                S&P500 EMINI JUN 22
                
                  
                  
                
              
            
            2022-06-17
            -14089573.820000000000
            USD
            -861901.180000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        US 5YR NOTE JUN 22
        000000000
        
          
          
        
        50.000000000000
        NC
        USD
        -122027.500000000000
        -0.0466702465
        N/A
        DIR
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                US 5YR NOTE JUN 22
                US 5YR NOTE JUN 22
                
                  
                  
                
              
            
            2022-06-30
            5856402.500000000000
            USD
            -122027.500000000000
          
        
        
          N
          N
          N
        
      
      
        HSBC
        CYYGQCGNHMHPSMRL3R97
        NORWAY KRONA
        000000000
        
          
        
        6000000.000000000000
        OU
        Notional Amount
        N/A
        14369.020000000000
        0.0054955293
        N/A
        DFE
        CORP
        NO
        N
        
        2
        
          
            
              HSBC
              CYYGQCGNHMHPSMRL3R97
            
            666943.599999999976717
            USD
            6000000.000000000000000
            NOK
            2022-04-28
            14369.020000000000
          
        
        
          N
          N
          N
        
      
      
        HSBC
        CYYGQCGNHMHPSMRL3R97
        NORWAY KRONA
        000000000
        
          
        
        6000000.000000000000
        OU
        Notional Amount
        N/A
        -2035.320000000000
        -0.0007784220
        N/A
        DFE
        CORP
        NO
        N
        
        2
        
          
            
              HSBC
              CYYGQCGNHMHPSMRL3R97
            
            683347.949999999953434
            USD
            6000000.000000000000000
            NOK
            2022-04-28
            -2035.320000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        OMXS30 INDEX APR 22
        000000000
        
          
          
          
        
        -79.000000000000
        NC
        
        2295.230000000000
        0.0008778263
        N/A
        DE
        CORP
        SE
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                OMXS30 INDEX APR 22
                OMXS30 INDEX APR 22
                
                  
                  
                
              
            
            2022-04-13
            -16493348.120000000000
            SEK
            2295.230000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        MSCI SING IX ETS APR 22
        000000000
        
          
          
          
        
        -10.000000000000
        NC
        
        -3874.700000000000
        -0.0014819053
        N/A
        DE
        CORP
        SG
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                MSCI SING IX ETS APR 22
                MSCI SING IX ETS APR 22
                
                  
                  
                
              
            
            2022-04-28
            -329614.430000000000
            SGD
            -3874.700000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        RUSSELL 2000 EMINI CME JUN 22
        000000000
        
          
          
        
        -15.000000000000
        NC
        USD
        -29459.700000000000
        -0.0112670624
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                RUSSELL 2000 EMINI CME JUN 22
                RUSSELL 2000 EMINI CME JUN 22
                
                  
                  
                
              
            
            2022-06-17
            -1520340.300000000000
            USD
            -29459.700000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        TOPIX INDEX JUN 22
        000000000
        
          
          
        
        -9.000000000000
        NC
        
        -92671.720000000000
        -0.0354429290
        N/A
        DE
        CORP
        JP
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                TOPIX INDEX JUN 22
                TOPIX INDEX JUN 22
                
                  
                  
                
              
            
            2022-06-09
            -164141000.000000000000
            JPY
            -92671.720000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        US 2YR NOTE JUN 22
        000000000
        
          
          
        
        6.000000000000
        NC
        USD
        -11448.290000000000
        -0.0043784763
        N/A
        DIR
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                US 2YR NOTE JUN 22
                US 2YR NOTE JUN 22
                
                  
                  
                
              
            
            2022-06-30
            1282979.550000000000
            USD
            -11448.290000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        US 10YR NOTE JUN 22
        000000000
        
          
          
        
        37.000000000000
        NC
        USD
        -109148.430000000000
        -0.0417445586
        N/A
        DIR
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                US 10YR NOTE JUN 22
                US 10YR NOTE JUN 22
                
                  
                  
                
              
            
            2022-06-21
            4655523.430000000000
            USD
            -109148.430000000000
          
        
        
          N
          N
          N
        
      
      
        UBS
        T6FIZBDPKLYJKFCRVK44
        US DOLLARS
        000000000
        
          
        
        -1300000.000000000000
        OU
        Notional Amount
        N/A
        -35250.800000000000
        -0.0134819080
        N/A
        DFE
        CORP
        AU
        N
        
        2
        
          
            
              UBS
              T6FIZBDPKLYJKFCRVK44
            
            1300000.000000000000000
            AUD
            937820.000000000000000
            USD
            2022-04-28
            -35250.800000000000
          
        
        
          N
          N
          N
        
      
      
        UBS
        T6FIZBDPKLYJKFCRVK44
        AUSTRALIA DOLLAR
        000000000
        
          
        
        1300000.000000000000
        OU
        Notional Amount
        N/A
        19728.800000000000
        0.0075454136
        N/A
        DFE
        CORP
        AU
        N
        
        2
        
          
            
              UBS
              T6FIZBDPKLYJKFCRVK44
            
            953342.000000000000000
            USD
            1300000.000000000000000
            AUD
            2022-04-28
            19728.800000000000
          
        
        
          N
          N
          N
        
      
      
        UBS
        T6FIZBDPKLYJKFCRVK44
        CANADIAN DOLLAR
        000000000
        
          
        
        2000000.000000000000
        OU
        Notional Amount
        N/A
        38554.550000000000
        0.0147454496
        N/A
        DFE
        CORP
        CA
        N
        
        2
        
          
            
              UBS
              T6FIZBDPKLYJKFCRVK44
            
            1561058.989999999990687
            USD
            2000000.000000000000000
            CAD
            2022-04-28
            38554.550000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        US LONG BOND JUN 22
        000000000
        
          
          
        
        14.000000000000
        NC
        USD
        -53979.970000000000
        -0.0206450063
        N/A
        DIR
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                US LONG BOND JUN 22
                US LONG BOND JUN 22
                
                  
                  
                
              
            
            2022-06-21
            2154854.970000000000
            USD
            -53979.970000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        EURO STOXX 50 JUN 22
        000000000
        
          
          
          
        
        -103.000000000000
        NC
        
        -167385.310000000000
        -0.0640176491
        N/A
        DE
        CORP
        DE
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                EURO STOXX 50 JUN 22
                EURO STOXX 50 JUN 22
                
                  
                  
                
              
            
            2022-06-17
            -3786072.690000000000
            EUR
            -167385.310000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        US ULTRA T-BOND JUN 22
        000000000
        
          
          
        
        13.000000000000
        NC
        USD
        -69510.380000000000
        -0.0265847171
        N/A
        DIR
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Long
            
              
                US ULTRA T-BOND JUN 22
                US ULTRA T-BOND JUN 22
                
                  
                  
                
              
            
            2022-06-21
            2372135.380000000000
            USD
            -69510.380000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        SPI 200 JUN 22
        000000000
        
          
          
        
        -8.000000000000
        NC
        
        -47134.750000000000
        -0.0180270054
        N/A
        DE
        CORP
        AU
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                SPI 200 JUN 22
                SPI 200 JUN 22
                
                  
                  
                
              
            
            2022-06-16
            -1432638.810000000000
            AUD
            -47134.750000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        FTSE 100 INDEX JUN 22
        000000000
        
          
          
          
        
        -14.000000000000
        NC
        
        -56099.430000000000
        -0.0214556082
        N/A
        DE
        CORP
        GB
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Short
            
              
                FTSE 100 INDEX JUN 22
                FTSE 100 INDEX JUN 22
                
                  
                  
                
              
            
            2022-06-17
            -1005430.140000000000
            GBP
            -56099.430000000000
          
        
        
          N
          N
          N
        
      
      
        JPMorgan
        ZBUT11V806EZRVTWT807
        SPX US 12/15/23 P3600
        000000000
        
          
        
        43.000000000000
        NC
        USD
        855700.000000000000
        0.3272682789
        N/A
        DE
        CORP
        US
        
        N
        
        1
        
          
            
              JPMorgan
              ZBUT11V806EZRVTWT807
            
            Put
            Purchased
            
              
                S&P 500
                SPX000009
              
            
            100.000000000000000
            3600.000000000000
            USD
            2023-12-15
            XXXX
            -142398.540000000000
          
        
        
          N
          N
          N
        
      
      
        Morgan Stanley
        9R7GPTSO7KV3UQJZQ078
        ICE: (CDX.NA.IG.38.V1)
        000000000
        
          
        
        -6000000.000000000000
        OU
        Notional Amount
        USD
        96262.140000000000
        0.0368161095
        N/A
        DCR
        CORP
        US
        
        N
        
        2
        
          
            
              Morgan Stanley
              9R7GPTSO7KV3UQJZQ078
            
            
              
                CDS: (CDX.NA.IG.38.V1)
                DJIG38050
              
            
            Y
            
            CDS: (CDX.NA.IG.38.V1)
            2027-06-20
            86603.040000000000
            USD
            0.000000000000
            USD
            -6000000.000000000000
            USD
            11492.430000000000
          
        
        
          N
          N
          N
        
      
    
    
      
      
    
    
      2022-04-26
      Columbia Funds Variable Insurance Trust
      Martha Skinner
      Martha Skinner
      Assistant Treasurer
    
  
  XXXX



Portfolio of Investments
Variable Portfolio – Managed Risk Fund, March 31, 2022 (Unaudited)
(Percentages represent value of investments compared to net assets)
Investments in securities
Equity Funds 54.6%
  Shares Value ($)
International 17.3%
Columbia Variable Portfolio – Overseas Core Fund, Class 1 Shares(a) 1,530,940 21,448,462
Variable Portfolio – Partners International Core Equity Fund, Class 1 Shares(a) 1,947,102 23,696,233
Total 45,144,695
U.S. Large Cap 32.3%
Columbia Variable Portfolio – Disciplined Core Fund, Class 1 Shares(a),(b) 188,493 15,795,713
Columbia Variable Portfolio – Select Large Cap Equity Fund, Class 1 Shares(a),(b) 900,226 15,726,940
Variable Portfolio – Partners Core Equity Fund, Class 1 Shares(a),(b) 1,541,395 52,839,022
Total 84,361,675
U.S. Small Cap 5.0%
Variable Portfolio – Partners Small Cap Growth Fund, Class 1 Shares(a),(b) 199,395 6,595,986
Variable Portfolio – Partners Small Cap Value Fund, Class 1 Shares(a),(b) 181,518 6,583,671
Total 13,179,657
Total Equity Funds
(Cost $114,311,499)
142,686,027
Exchange-Traded Equity Funds 1.6%
International Mid Large Cap 0.3%
iShares MSCI EAFE ETF 10,000 736,000
U.S. Mid Cap 1.3%
iShares Core S&P Mid-Cap ETF 12,500 3,354,250
Total Exchange-Traded Equity Funds
(Cost $4,089,200)
4,090,250
Exchange-Traded Fixed Income Funds 5.6%
Investment Grade 5.6%
iShares Core U.S. Aggregate Bond ETF 5,750 615,825
iShares iBoxx $ Investment Grade Corporate Bond ETF 49,220 5,952,667
Vanguard Intermediate-Term Corporate Bond ETF 89,000 7,657,560
Vanguard Total Bond Market ETF 5,000 397,700
Total 14,623,752
Total Exchange-Traded Fixed Income Funds
(Cost $15,081,645)
14,623,752
Fixed Income Funds 28.7%
  Shares Value ($)
Investment Grade 28.7%
Columbia Variable Portfolio – Intermediate Bond Fund, Class 1 Shares(a) 3,214,406 30,890,438
CTIVP® – Allspring Short Duration Government Fund, Class 1 Shares(a) 1,131,011 10,801,160
Variable Portfolio – Partners Core Bond Fund, Class 1 Shares(a) 3,168,005 33,169,015
Total 74,860,613
Total Fixed Income Funds
(Cost $79,847,269)
74,860,613
    
Residential Mortgage-Backed Securities - Agency 5.9%
Issuer Coupon
Rate
  Principal
Amount ($)
Value ($)
Uniform Mortgage-Backed Security TBA(c)
04/18/2037 2.000%   1,540,000 1,495,845
04/18/2037-
04/13/2052
2.500%   7,835,000 7,547,645
04/13/2052 3.000%   6,600,000 6,463,005
Total Residential Mortgage-Backed Securities - Agency
(Cost $15,840,516)
15,506,495
    
Options Purchased Puts 1.2%
        Value ($)
(Cost $3,435,226) 3,174,270
    
Money Market Funds 6.9%
  Shares Value ($)
Columbia Short-Term Cash Fund, 0.308%(a),(d) 18,159,369 18,152,106
Total Money Market Funds
(Cost $18,153,658)
18,152,106
Total Investments in Securities
(Cost: $250,759,013)
273,093,513
Other Assets & Liabilities, Net   (11,822,799)
Net Assets 261,270,714
Variable Portfolio – Managed Risk Fund  | First Quarter Report 2022
1

Portfolio of Investments   (continued)
Variable Portfolio – Managed Risk Fund, March 31, 2022 (Unaudited)
At March 31, 2022, securities and/or cash totaling $3,868,873 were pledged as collateral.
Investments in derivatives
Forward foreign currency exchange contracts
Currency to
be sold
Currency to
be purchased
Counterparty Settlement
date
Unrealized
appreciation ($)
Unrealized
depreciation ($)
1,375,000 EUR 1,524,435 USD Barclays 04/28/2022 2,263
1,175,000 EUR 1,290,982 USD Barclays 04/28/2022 (9,783)
900,000 GBP 1,186,292 USD Barclays 04/28/2022 4,187
878,750 USD 800,000 EUR Barclays 04/28/2022 6,877
1,044,950 USD 800,000 GBP Barclays 04/28/2022 5,810
2,250,000 CHF 2,434,683 USD Citi 04/28/2022 (2,234)
350,000,000 JPY 3,026,176 USD Citi 04/28/2022 149,844
666,944 USD 6,000,000 NOK HSBC 04/28/2022 14,369
683,348 USD 6,000,000 NOK HSBC 04/28/2022 (2,035)
1,300,000 AUD 937,820 USD UBS 04/28/2022 (35,251)
953,342 USD 1,300,000 AUD UBS 04/28/2022 19,729
1,561,059 USD 2,000,000 CAD UBS 04/28/2022 38,555
Total       241,634 (49,303)
    
Long futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
S&P 500 Index E-mini 119 06/2022 USD 26,957,963 1,683,602
U.S. Long Bond 14 06/2022 USD 2,100,875 (53,980)
U.S. Treasury 10-Year Note 37 06/2022 USD 4,546,375 (109,148)
U.S. Treasury 2-Year Note 6 06/2022 USD 1,271,531 (11,448)
U.S. Treasury 5-Year Note 50 06/2022 USD 5,734,375 (122,028)
U.S. Ultra Treasury Bond 13 06/2022 USD 2,302,625 (69,510)
Total         1,683,602 (366,114)
    
Short futures contracts
Description Number of
contracts
Expiration
date
Trading
currency
Notional
amount
Value/Unrealized
appreciation ($)
Value/Unrealized
depreciation ($)
EURO STOXX 50 Index (103) 06/2022 EUR (3,937,690) (167,385)
FTSE 100 Index (14) 06/2022 GBP (1,048,040) (56,099)
MSCI Singapore Index (10) 04/2022 SGD (334,850) (3,875)
OMXS30 Index (79) 04/2022 SEK (16,471,500) 2,295
Russell 2000 Index E-mini (15) 06/2022 USD (1,549,800) (29,460)
S&P 500 Index E-mini (66) 06/2022 USD (14,951,475) (861,901)
SPI 200 Index (8) 06/2022 AUD (1,495,800) (47,135)
TOPIX Index (9) 06/2022 JPY (175,185,000) (92,672)
Total         2,295 (1,258,527)
    
Put option contracts purchased
Description Counterparty Trading
currency
Notional
amount
Number of
contracts
Exercise
price/Rate
Expiration
date
Cost ($) Value ($)
S&P 500 Index JPMorgan USD 27,635,501 61 3,700.00 12/15/2023 1,417,427 1,335,595
S&P 500 Index JPMorgan USD 18,574,681 41 3,800.00 12/15/2023 1,019,700 982,975
S&P 500 Index JPMorgan USD 19,480,763 43 3,600.00 12/15/2023 998,099 855,700
Total             3,435,226 3,174,270
    
2 Variable Portfolio – Managed Risk Fund  | First Quarter Report 2022

Portfolio of Investments   (continued)
Variable Portfolio – Managed Risk Fund, March 31, 2022 (Unaudited)
Cleared credit default swap contracts - sell protection
Reference
entity
Counterparty Maturity
date
Receive
fixed
rate
(%)
Payment
frequency
Implied
credit
spread
(%)*
Notional
currency
Notional
amount
Value
($)
Upfront
payments
($)
Upfront
receipts
($)
Unrealized
appreciation
($)
Unrealized
depreciation
($)
Markit CDX North America Investment Grade Index, Series 38 Morgan Stanley 06/20/2027 1.000 Quarterly 0.667 USD 6,000,000 11,492 11,492
* Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
Notes to Portfolio of Investments
(a) As defined in the Investment Company Act of 1940, as amended, an affiliated company is one in which the Fund owns 5% or more of the company’s outstanding voting securities, or a company which is under common ownership or control with the Fund. The value of the holdings and transactions in these affiliated companies during the period ended March 31, 2022 are as follows:
    
Affiliated issuers Beginning
of period($)
Purchases($) Sales($) Net change in
unrealized
appreciation
(depreciation)($)
End of
period($)
Capital gain
distributions($)
Realized gain
(loss)($)
Dividends —
affiliated
issuers ($)
End of
period shares
Columbia Short-Term Cash Fund, 0.308%
  21,607,090 20,533,449 (23,988,445) 12 18,152,106 (3,141) 6,274 18,159,369
Columbia Variable Portfolio – Disciplined Core Fund, Class 1 Shares
  16,957,287 71,239 (211,727) (1,021,086) 15,795,713 99,388 188,493
Columbia Variable Portfolio – Intermediate Bond Fund, Class 1 Shares
  33,016,381 576,838 (534,735) (2,168,046) 30,890,438 (69,999) 3,214,406
Columbia Variable Portfolio – Overseas Core Fund, Class 1 Shares
  22,833,024 441,332 (228,883) (1,597,011) 21,448,462 (12,197) 161,507 1,530,940
Columbia Variable Portfolio – Select Large Cap Equity Fund, Class 1 Shares
  16,706,580 103,002 (219,349) (863,293) 15,726,940 13,552 900,226
CTIVP® – Allspring Short Duration Government Fund, Class 1 Shares
  11,356,709 47,738 (321,964) (281,323) 10,801,160 (26,458) 1,131,011
Variable Portfolio – Partners Core Bond Fund, Class 1 Shares
  35,302,819 454,722 (582,030) (2,006,496) 33,169,015 (50,109) 3,168,005
Variable Portfolio – Partners Core Equity Fund, Class 1 Shares
  55,671,187 581,253 (559,199) (2,854,219) 52,839,022 21,884 1,541,395
Variable Portfolio – Partners International Core Equity Fund, Class 1 Shares
  25,208,512 1,114,264 (13,103) (2,613,440) 23,696,233 (586) 443,225 1,947,102
Variable Portfolio – Partners Small Cap Growth Fund, Class 1 Shares
  6,751,432 791,494 (76,780) (870,160) 6,595,986 (11,106) 199,395
Variable Portfolio – Partners Small Cap Value Fund, Class 1 Shares
  6,935,989 53,940 (176,639) (229,619) 6,583,671 (4,477) 181,518
Total 252,347,010     (14,504,681) 235,698,746 (43,249) 611,006  
    
(b) Non-income producing investment.
(c) Represents a security purchased on a when-issued basis.
(d) The rate shown is the seven-day current annualized yield at March 31, 2022.
Abbreviation Legend
TBA To Be Announced
Variable Portfolio – Managed Risk Fund  | First Quarter Report 2022
3

Portfolio of Investments   (continued)
Variable Portfolio – Managed Risk Fund, March 31, 2022 (Unaudited)
Currency Legend
AUD Australian Dollar
CAD Canada Dollar
CHF Swiss Franc
EUR Euro
GBP British Pound
JPY Japanese Yen
NOK Norwegian Krone
SEK Swedish Krona
SGD Singapore Dollar
USD US Dollar
Investments are valued using policies described in the Notes to Financial Statements in the most recent shareholder report.
4 Variable Portfolio – Managed Risk Fund  | First Quarter Report 2022

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1QT7043_12_A01_(05/22)


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