advisorsecurities master

Internet Fund

S000003718Rydex Variable TrustCIK 0001064046

Share classes

Report period

1 period filed. Holdings below describe the selected month only.

Filing

NPORT-P · filed 2026-06-01

Report date
2026-03-31
Net assets
$4,065,169.01
Total assets
$4,083,376.97
Total liabilities
$18,207.96
Assets invested
$0
Cash not reported in C or D
$0.12
Amendment
No

By asset category

By issuer category

By country

Classification look-through

Holdings