Grundläggande statistik
Portföljvärde | $ 59 057 922 |
Aktuella positioner | 75 |
Senaste innehav, resultat, förvaltat kapital (från 13F, 13D)
JACKSON VARIABLE SERIES TRUST - JNL/Neuberger Berman Commodity Strategy Fund (A) har redovisat 75 totala innehav i sina senaste SEC-arkiveringar. Det senaste portföljvärdet beräknas vara $ 59 057 922 USD. Faktiskt förvaltade tillgångar (AUM) är detta värde plus likvida medel (som inte redovisas). JACKSON VARIABLE SERIES TRUST - JNL/Neuberger Berman Commodity Strategy Fund (A)s största innehav är JNL Government Money Market Fund (US:46628D437) , JNL Government Money Market Fund (US:46628D437) , Morgan Stanley (US:US6174468K89) , AT&T Inc (US:US00206RDV15) , and Verizon Communications Inc (US:US92343VDX91) . JACKSON VARIABLE SERIES TRUST - JNL/Neuberger Berman Commodity Strategy Fund (A)s nya positioner inkluderar Morgan Stanley (US:US6174468K89) , AT&T Inc (US:US00206RDV15) , Verizon Communications Inc (US:US92343VDX91) , Cvs Health Corp (variable) Bond (US:US126650DD99) , and HSBC Holdings PLC (GB:US404280BQ12) .
Största ökningarna detta kvartal
Vi använder förändringen i portföljallokeringen eftersom det är det mest meningsfulla måttet. Förändringar kan bero på transaktioner eller förändringar i aktiekurser.
Värdepapper | Aktier (MM) |
Värde (MM$) |
Portfölj % av | ΔPortfölj % av |
---|---|---|---|---|
18,32 | 18,32 | 24,2705 | 14,4238 | |
2,46 | 3,2620 | 3,2620 | ||
1,34 | 1,7769 | 1,7769 | ||
1,15 | 1,5175 | 1,5175 | ||
0,92 | 1,2197 | 1,2197 | ||
0,85 | 1,1280 | 1,1280 | ||
2,38 | 3,1481 | 0,8972 | ||
2,07 | 2,7380 | 0,7812 | ||
2,27 | 3,0027 | 0,7702 | ||
1,86 | 2,4593 | 0,7193 |
Största minskningarna detta kvartal
Vi använder förändringen i portföljallokeringen eftersom det är det mest meningsfulla måttet. Förändringar kan bero på transaktioner eller förändringar i aktiepriser.
Värdepapper | Aktier (MM) |
Värde (MM$) |
Portfölj % av | ΔPortfölj % av |
---|---|---|---|---|
−1,48 | −1,9661 | −1,9661 | ||
−1,18 | −1,5571 | −1,5571 | ||
−0,89 | −1,1747 | −1,1747 | ||
−0,87 | −1,1531 | −1,1531 | ||
−0,78 | −1,0359 | −1,0359 | ||
0,38 | 0,5092 | −1,0221 | ||
0,34 | 0,4551 | −0,9888 | ||
−0,65 | −0,8636 | −0,8636 | ||
−0,60 | −0,7932 | −0,7932 | ||
−0,56 | −0,7472 | −0,7472 |
13F- och fond arkiveringar
Denna blankett lämnades in den 2020-05-28 för rapporteringsperioden 2020-03-31. Klicka på länksymbolen för att se hela transaktionshistoriken.
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Värdepapper | Typ | Genomsnittligt aktiepris | Aktier (MM) |
ΔAktier (%) |
ΔAktier (%) |
Värde ($MM) |
Portfölj (%) |
ΔPortfölj (%) |
|
---|---|---|---|---|---|---|---|---|---|
46628D437 / JNL Government Money Market Fund | 18,32 | 146,48 | 18,32 | 146,47 | 24,2705 | 14,4238 | |||
46628D437 / JNL Government Money Market Fund | 7,43 | −31,42 | 7,43 | −31,41 | 9,8467 | −0,0783 | |||
US6174468K89 / Morgan Stanley | 2,46 | 3,2620 | 3,2620 | ||||||
US00206RDV15 / AT&T Inc | 2,38 | −3,30 | 3,1481 | 0,8972 | |||||
US92343VDX91 / Verizon Communications Inc | 2,27 | −7,02 | 3,0027 | 0,7702 | |||||
US126650DD99 / Cvs Health Corp (variable) Bond | 2,07 | −3,28 | 2,7380 | 0,7812 | |||||
US404280BQ12 / HSBC Holdings PLC | 1,86 | −2,26 | 2,4593 | 0,7193 | |||||
US07274NAC74 / Bayer US Finance II LLC | 1,82 | −6,18 | 2,4129 | 0,6348 | |||||
US38141GWU48 / Goldman Sachs Group (variable) Bond | 1,82 | −31,36 | 2,4128 | −0,0173 | |||||
US00287YBN85 / AbbVie Inc | 1,76 | −6,89 | 2,3292 | 0,5997 | |||||
US55336VBG41 / MPLX LP | 1,63 | −4,29 | 2,1607 | 0,6005 | |||||
US341081FW23 / Florida Power & Light Co | 1,49 | −1,52 | 1,9767 | 0,5893 | |||||
US14042RFJ59 / Capital One NA | 1,36 | 10,67 | 1,8012 | 0,6760 | |||||
US41284VAA08 / Harley-Davidson Financial Services, Inc. | 1,35 | 0,00 | 1,7898 | 0,5525 | |||||
US55660CAG33 / Madison Avenue Trust 2013-650M | 1,34 | 1,7769 | 1,7769 | ||||||
US64952WDJ99 / New York Life Global Funding | 1,30 | −4,05 | 1,7273 | 0,4828 | |||||
US38013TAC53 / GM Financial Automobile Leasing Trust 2019-3 | 1,26 | −6,52 | 1,6717 | 0,4353 | |||||
US80283LAU70 / Santander UK PLC | 1,19 | −0,34 | 1,5705 | 0,4813 | |||||
US89114QCF37 / Toronto-Dominion Bank/The | 1,15 | 1,5175 | 1,5175 | ||||||
US571748BK77 / Marsh & McLennan Cos., Inc. | 1,06 | −0,09 | 1,4036 | 0,4319 | |||||
US92347YAB02 / Verizon Owner Trust 2019-A | 0,98 | −1,70 | 1,3025 | 0,3863 | |||||
US233851DV31 / Daimler Finance North America LLC | 0,96 | 3,45 | 1,2706 | 0,4215 | |||||
US125523AB67 / Cigna Corp | 0,95 | −36,14 | 1,2642 | −0,1041 | |||||
US94988J5M53 / Wells Fargo Bank NA | 0,92 | 1,2197 | 1,2197 | ||||||
US58989VAA26 / VAR.RT. CORP. BONDS | 0,85 | 1,1280 | 1,1280 | ||||||
US110122CF35 / Bristol-Myers Squibb Co | 0,81 | −2,54 | 1,0666 | 0,3094 | |||||
US64034WAA36 / Navient Student Loan Trust 2019-7 | 0,73 | −8,26 | 0,9720 | 0,2393 | |||||
US34528DAC74 / Ford Credit Auto Lease Trust 2019-B | 0,72 | −3,74 | 0,9553 | 0,2684 | |||||
US14040HBM60 / Capital One Financial Corp Variable Rate 03/09/2022 Bond | 0,67 | −27,91 | 0,8941 | 0,0375 | |||||
US68902VAC19 / Otis Worldwide Corp | 0,51 | 0,6761 | 0,6761 | ||||||
US98162YAB92 / WORLD OMNI AUTO RECEIVABLES TRUST 2019-A WOART 2019-A A2 | 0,46 | −31,86 | 0,6159 | −0,0081 | |||||
US89231AAB70 / Toyota Auto Receivables Owner Trust, Series 2018-C, Class A2A | 0,43 | −38,23 | 0,5749 | −0,0679 | |||||
US05565EAV74 / BMW US Capital LLC | 0,41 | 0,5484 | 0,5484 | ||||||
US961214EK56 / Westpac Banking Corp | 0,39 | 0,5138 | 0,5138 | ||||||
US90331HPG29 / US Bank NA/Cincinnati OH | 0,38 | −77,02 | 0,5092 | −1,0221 | |||||
US05565QDE52 / BPLN F 09/16/21 | 0,37 | −3,69 | 0,4842 | 0,1371 | |||||
US20030NCW92 / Comcast Corp. | 0,34 | −78,24 | 0,4551 | −0,9888 | |||||
US36257AAC53 / GM Financial Automobile Leasing Trust 2019-2 | 0,33 | −29,22 | 0,4338 | 0,0104 | |||||
US90290EAB56 / USAA AUTO OWNER TRUST 2019-1 USAOT 2019-1 A2 | 0,33 | −18,25 | 0,4333 | 0,0663 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | 0,32 | 9,59 | 0,4242 | 0,4242 | |||||
US92348AAB17 / VERIZON OWNER TRUST 2019-C SER 2019-C CL A1B V/R REGD 2.14363000 | 0,29 | 0,3896 | 0,3896 | ||||||
US31680YAC12 / Fifth Third Auto Trust 2019-1 | 0,29 | −29,95 | 0,3854 | 0,0061 | |||||
US34533FAB76 / Ford Credit Auto Owner Trust, Series 2019-A, Class A2A | 0,27 | −29,14 | 0,3519 | 0,0093 | |||||
US14913Q2P38 / Caterpillar Financial Services Corp | 0,22 | −71,54 | 0,2950 | −0,4195 | |||||
US00138CAE84 / AIG Global Funding | 0,18 | −0,54 | 0,2444 | 0,0747 | |||||
US34531EAD85 / Ford Credit Auto Owner Trust, Series 2017-A, Class A3 | 0,15 | −60,53 | 0,1997 | −0,1489 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | 0,15 | −49,32 | 0,1962 | 0,1962 | |||||
US92348NAA54 / Verizon Owner Trust, Series 2017-1A, Class A | 0,14 | −70,13 | 0,1872 | −0,2459 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | 0,09 | −68,15 | 0,1233 | 0,1233 | |||||
US00206RFY36 / AT&T Inc | 0,07 | −4,29 | 0,0898 | 0,0253 | |||||
FUTURE - CASH SETTLED / DCO (N/A) | −0,03 | −109,25 | −0,0359 | −0,0359 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,03 | −109,93 | −0,0388 | −0,0388 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,03 | −111,30 | −0,0444 | −0,0444 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,04 | −111,99 | −0,0472 | −0,0472 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,04 | −113,70 | −0,0536 | −0,0536 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,04 | −114,38 | −0,0567 | −0,0567 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,08 | −126,03 | −0,1018 | −0,1018 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,08 | −128,77 | −0,1126 | −0,1126 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,14 | −146,92 | −0,1816 | −0,1816 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,19 | −164,73 | −0,2512 | −0,2512 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,19 | −166,44 | −0,2581 | −0,2581 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,30 | −202,05 | −0,3956 | −0,3956 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,32 | −209,59 | −0,4253 | −0,4253 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,32 | −210,27 | −0,4276 | −0,4276 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,33 | −214,38 | −0,4425 | −0,4425 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,38 | −229,45 | −0,5014 | −0,5014 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,43 | −247,60 | −0,5723 | −0,5723 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,56 | −292,81 | −0,7472 | −0,7472 | |||||
FUTURE - CASH SETTLED / DCO (N/A) | −0,60 | −304,79 | −0,7932 | −0,7932 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,65 | −322,95 | −0,8636 | −0,8636 | |||||
FUTURE - CASH SETTLED / DCO (N/A) | −0,78 | −367,47 | −1,0359 | −1,0359 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,87 | −397,95 | −1,1531 | −1,1531 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −0,89 | −403,42 | −1,1747 | −1,1747 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −1,18 | −502,40 | −1,5571 | −1,5571 | |||||
FUTURE - PHYSICALLY DELIVERED / DCO (N/A) | −1,48 | −607,88 | −1,9661 | −1,9661 |