LVIP Global Growth Allocation Managed Risk Fund
S000002810LINCOLN VARIABLE INSURANCE PRODUCTS TRUSTCIK 0000914036
Share classes
Report period
1 period filed. Holdings below describe the selected month only.
Filing
NPORT-P · filed 2026-05-18
- Report date
- 2026-03-31
- Net assets
- $5,064,968,321.28
- Total assets
- $6,014,535,088.69
- Total liabilities
- $949,566,767.41
- Assets invested
- $0
- Cash not reported in C or D
- $19,126,406.66
- Amendment
- No
- Accession
- 0001410368-26-046980