AuguStar Variable Insurance Products Fund, Inc.
AVIP Bond Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds78.1%
Rate
Maturity
Face Amount
Value
Communication Services3.5%
 
 
 
Charter Communications Operating LLC / Charter Communications Operating Capital Corp.
(Media)
 
3.700%
04/01/2051
$1,000,000
$618,915
Comcast Corp. (Diversified Telecom. Svs.)
 
3.250%
11/01/2039
1,600,000
1,235,227
Cox Communications, Inc. (Media)
  (a)
4.500%
06/30/2043
2,500,000
1,900,599
Meta Platforms, Inc. (Interactive Media & Svs.)
 
5.625%
11/15/2055
2,750,000
2,577,824
Time Warner Cable LLC (Media)
 
6.550%
05/01/2037
2,000,000
2,016,392
Verizon Communications, Inc. (Diversified Telecom. Svs.)
 
4.125%
08/15/2046
750,000
596,583
 
 
 
 
8,945,540
Consumer Discretionary2.6%
 
 
 
Home Depot, Inc. / The (Specialty Retail)
 
2.375%
03/15/2051
2,000,000
1,119,984
Lowe's Cos., Inc. (Specialty Retail)
 
3.000%
10/15/2050
2,000,000
1,235,723
Mattel, Inc. (Leisure Products)
 
5.000%
11/17/2030
1,500,000
1,490,758
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
 
5.250%
02/27/2038
1,500,000
1,426,973
Sekisui House U.S., Inc. (Household Durables)
 
3.850%
01/15/2030
1,500,000
1,429,856
 
 
 
 
6,703,294
Consumer Staples3.2%
 
 
 
Coty, Inc. / HFC Prestige Products, Inc. / HFC Prestige International U.S. LLC (Personal Care
Products)
  (a)
5.600%
01/15/2031
1,400,000
1,355,250
Imperial Brands Finance PLC (Tobacco)
  (a)
5.625%
07/01/2035
1,000,000
1,008,448
JBS N.V. / JBS U.S.A. Foods Group Holdings, Inc. / JBS U.S.A. Food Co. Holdings
(Food Products)
 
6.375%
04/15/2066
900,000
883,136
Kellanova (Food Products)
 
4.500%
04/01/2046
2,000,000
1,698,133
Kraft Heinz Foods Co. (Food Products)
 
4.625%
10/01/2039
1,500,000
1,322,440
Smithfield Foods, Inc. (Food Products)
  (a)
3.000%
10/15/2030
2,000,000
1,828,249
 
 
 
 
8,095,656
Energy5.8%
 
 
 
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor, Inc. (Energy Equip. & Svs.)
 
4.080%
12/15/2047
2,000,000
1,570,660
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
5.700%
04/01/2035
2,000,000
2,054,061
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
6.300%
01/15/2056
2,000,000
1,969,374
Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
4.750%
09/15/2044
1,000,000
850,205
Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
5.550%
10/01/2034
1,800,000
1,830,530
Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
6.050%
10/01/2054
1,500,000
1,458,598
Texas Eastern Transmission LP (Oil, Gas & Consumable Fuels)
  (a)
4.150%
01/15/2048
1,000,000
781,918
Western Midstream Operating LP (Oil, Gas & Consumable Fuels)
 
5.500%
12/15/2035
1,500,000
1,475,151
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.400%
03/04/2044
1,000,000
930,043
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.950%
03/15/2056
2,000,000
1,968,371
 
 
 
 
14,888,911
Financials41.6%
 
 
 
Antares Holdings LP (Capital Markets)
  (a)
2.750%
01/15/2027
3,000,000
2,937,304
Apollo Debt Solutions BDC (Capital Markets)
  (a)
5.200%
12/08/2028
1,500,000
1,481,381
Apollo Debt Solutions BDC (Capital Markets)
 
6.700%
07/29/2031
1,500,000
1,517,517
Ares Capital Corp. (Capital Markets)
 
5.250%
04/12/2031
750,000
725,017
Ares Strategic Income Fund (Capital Markets)
  (a)
5.550%
04/15/2031
2,000,000
1,915,955
Aviation Capital Group LLC (Financial Services)
  (a)
4.250%
04/30/2029
2,000,000
1,970,844
Bain Capital Specialty Finance, Inc. (Capital Markets)
 
5.950%
03/01/2031
1,250,000
1,192,533
Bank of America Corp. (Rate is fixed until 03/08/2032, then H15T5Y + 200) (Banks)
  (b)
3.846%
03/08/2037
1,000,000
926,295
Bank of Nova Scotia / The (Rate is fixed until 10/27/2035, then H15T5Y + 273) (Banks)
  (b)
6.875%
10/27/2085
3,000,000
2,947,072
Barclays PLC (Rate is fixed until 02/24/2036, then SOFR + 151) (Banks)
  (b)
5.207%
02/24/2037
1,500,000
1,451,679
BGC Group, Inc. (Capital Markets)
 
6.150%
04/02/2030
2,500,000
2,542,734
Blackstone Private Credit Fund (Capital Markets)
 
6.000%
01/29/2032
4,500,000
4,364,003
Blackstone Secured Lending Fund (Capital Markets)
 
5.250%
09/04/2029
2,000,000
1,959,545
BPCE SA (Rate is fixed until 01/13/2046, then SOFR + 211) (Banks)
 (a)(b)
6.347%
01/13/2047
1,250,000
1,196,082
Canadian Imperial Bank of Commerce (Rate is fixed until 07/28/2031, then H15T5Y + 273)
(Banks)
  (b)
6.500%
07/28/2086
2,000,000
1,954,946
Capital One Financial Corp. (Rate is fixed until 09/11/2030, then SOFR + 125)
(Consumer Finance)
  (b)
4.493%
09/11/2031
1,400,000
1,374,611
Capital One N.A. (Banks)
 
USISOA05 + 173
08/09/2028
2,000,000
2,048,649
Charles Schwab Corp. / The (Rate is fixed until 11/14/2035, then SOFR + 123) (Capital Markets)
  (b)
4.914%
11/14/2036
1,250,000
1,215,018
Citigroup, Inc. (Rate is fixed until 01/24/2035, then SOFR + 183) (Banks)
  (b)
6.020%
01/24/2036
2,000,000
2,041,857
Citizens Financial Group, Inc. (Rate is fixed until 01/29/2031, then H15T5Y + 145) (Banks)
  (b)
5.299%
01/29/2036
1,000,000
990,997
Fifth Third Bank N.A. (Rate is fixed until 08/25/2032, then SOFR + 261) (Banks)
  (b)
5.332%
08/25/2033
2,500,000
2,504,421
First Citizens BancShares, Inc. (Rate is fixed until 09/05/2030, then H15T5Y + 185) (Banks)
  (b)
5.600%
09/05/2035
2,750,000
2,687,780
First Horizon Bank (Banks)
 
5.750%
05/01/2030
1,000,000
1,014,869
Goldman Sachs BDC, Inc. (Capital Markets)
 
5.650%
09/09/2030
2,000,000
1,922,390
Goldman Sachs Group, Inc. / The (Rate is fixed until 10/23/2034, then SOFR + 142)
(Capital Markets)
  (b)
5.016%
10/23/2035
1,000,000
981,504
Goldman Sachs Private Credit Corp. (Capital Markets)
  (a)
5.875%
01/31/2031
2,000,000
1,940,398
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.650%
04/02/2031
2,500,000
2,398,238
HPS Corporate Lending Fund (Capital Markets)
 
5.950%
04/14/2032
1,250,000
1,207,706
Intesa Sanpaolo SpA (Rate is fixed until 06/01/2041, then H15T1Y + 275) (Banks)
 (a)(b)
4.950%
06/01/2042
1,500,000
1,256,254
JPMorgan Chase & Co. (Rate is fixed until 10/22/2035, then SOFR + 119) (Banks)
  (b)
4.810%
10/22/2036
1,500,000
1,456,448
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp. (Mortgage REIT)
  (a)
7.000%
07/15/2031
2,000,000
2,067,452
1
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Financials (continued)
 
 
 
LPL Holdings, Inc. (Capital Markets)
 
5.200%
03/15/2030
$1,500,000
$1,510,992
M&T Bank Corp. (Rate is fixed until 07/30/2030, then H15T5Y + 143) (Banks)
  (b)
5.400%
07/30/2035
2,000,000
1,993,567
MetLife, Inc. (Rate is fixed until 03/15/2036, then H15T5Y + 182) (Insurance)
  (b)
5.850%
03/15/2056
2,000,000
1,962,984
Morgan Stanley (Rate is fixed until 07/19/2034, then SOFR + 156) (Capital Markets)
  (b)
5.320%
07/19/2035
1,800,000
1,806,243
Morgan Stanley (Rate is fixed until 10/22/2035, then SOFR + 131) (Capital Markets)
  (b)
4.892%
10/22/2036
3,000,000
2,900,115
Morgan Stanley (Rate is fixed until 04/20/2032, then SOFR + 262) (Capital Markets)
  (b)
5.297%
04/20/2037
2,500,000
2,493,918
MSD Investment Corp. (Capital Markets)
  (a)
6.125%
02/05/2031
1,500,000
1,454,599
Oaktree Strategic Credit Fund (Capital Markets)
 
6.500%
07/23/2029
1,500,000
1,503,721
Old National Bancorp (Rate is fixed until 02/15/2031, then TSFR3M + 220) (Banks)
  (b)
5.768%
02/15/2036
2,000,000
1,990,339
Pinnacle Bank (Rate is fixed until 01/15/2031, then H15T5Y + 230) (Banks)
  (b)
5.957%
01/15/2036
2,100,000
2,079,750
Prudential Financial, Inc. (Rate is fixed until 09/15/2027, then QL + 238) (Insurance)
  (b)
4.500%
09/15/2047
3,000,000
2,926,221
Santander Holdings U.S.A., Inc. (Rate is fixed until 01/06/2027, then SOFR + 125) (Banks)
  (b)
2.490%
01/06/2028
1,000,000
983,061
Sixth Street Lending Partners (Capital Markets)
 
6.125%
07/15/2030
900,000
894,727
Stellantis Finance U.S., Inc. (Consumer Finance)
  (a)
2.691%
09/15/2031
2,000,000
1,690,308
Stellantis Financial Services U.S. Corp. (Consumer Finance)
  (a)
5.400%
09/15/2030
1,000,000
981,941
Synchrony Financial (Consumer Finance)
 
5.150%
03/19/2029
2,000,000
2,004,850
Synchrony Financial (Rate is fixed until 07/29/2035, then SOFR + 207) (Consumer Finance)
  (b)
6.000%
07/29/2036
2,000,000
1,972,646
Texas Capital Bancshares, Inc. (Rate is fixed until 02/27/2031, then SOFR + 194) (Banks)
  (b)
5.301%
02/27/2032
2,000,000
1,971,910
Toronto-Dominion Bank / The (Banks)
 
4.928%
10/15/2035
1,300,000
1,279,007
UBS Group AG (Rate is fixed until 07/08/2036, then USISSO05 + 332) (Capital Markets)
 (a)(b)
7.000%
Perpetual
1,250,000
1,208,401
UBS Group AG (Rate is fixed until 08/05/2035, then USISSO05 + 330) (Capital Markets)
 (a)(b)
7.000%
Perpetual
500,000
486,039
UBS Group AG (Rate is fixed until 03/23/2036, then SOFR + 134) (Capital Markets)
 (a)(b)
5.010%
03/23/2037
2,000,000
1,934,118
Unum Group (Insurance)
 
5.250%
12/15/2035
2,000,000
1,956,093
Webster Financial Corp. (Rate is fixed until 09/11/2030, then H15T5Y + 213) (Banks)
  (b)
5.784%
09/11/2035
2,000,000
2,031,185
Wells Fargo & Co. (Rate is fixed until 04/30/2040, then SOFR + 253) (Banks)
  (b)
3.068%
04/30/2041
1,500,000
1,126,130
Wells Fargo & Co. (Banks)
 
4.650%
11/04/2044
1,000,000
838,446
Westpac Banking Corp. (Rate is fixed until 11/23/2026, then USISOA05 + 224) (Banks)
  (b)
4.322%
11/23/2031
1,000,000
997,583
Willis North America, Inc. (Insurance)
 
5.150%
03/15/2036
1,600,000
1,558,148
Zions Bancorp N.A. (Rate is fixed until 08/18/2027, then SOFR + 116) (Banks)
  (b)
4.704%
08/18/2028
3,000,000
2,973,290
Zions Bancorp N.A. (Rate is fixed until 02/09/2028, then SOFR + 106) (Banks)
  (b)
4.483%
02/09/2029
500,000
496,266
 
 
 
 
106,198,097
Health Care1.7%
 
 
 
AbbVie, Inc. (Biotechnology)
 
4.250%
11/21/2049
2,000,000
1,623,466
Baxter International, Inc. (Health Care Equip. & Supplies)
 
5.650%
12/15/2035
2,000,000
1,953,248
Viatris, Inc. (Pharmaceuticals)
 
4.000%
06/22/2050
1,250,000
819,259
 
 
 
 
4,395,973
Industrials0.8%
 
 
 
Boeing Co. / The (Aerospace & Defense)
 
6.858%
05/01/2054
1,000,000
1,100,575
TTX Co. (Ground Transportation)
  (a)
5.650%
12/01/2052
825,000
825,686
 
 
 
 
1,926,261
Information Technology2.1%
 
 
 
Oracle Corp. (Software)
 
5.350%
05/04/2033
2,000,000
1,946,958
Oracle Corp. (Software)
 
5.200%
09/26/2035
1,000,000
937,995
Salesforce, Inc. (Software)
 
5.200%
03/15/2033
878,000
876,501
Salesforce, Inc. (Software)
 
5.550%
03/15/2036
1,578,000
1,573,091
 
 
 
 
5,334,545
Materials1.4%
 
 
 
Anglo American Capital PLC (Metals & Mining)
  (a)
5.250%
03/19/2036
1,000,000
977,781
Corp. Nacional del Cobre de Chile (Metals & Mining)
  (a)
6.330%
01/13/2035
600,000
625,320
Westlake Corp. (Chemicals)
 
6.375%
11/15/2055
2,000,000
1,970,640
 
 
 
 
3,573,741
Real Estate7.8%
 
 
 
Alexandria Real Estate Equities, Inc. (Health Care REITs)
 
3.950%
01/15/2028
600,000
593,616
American Tower Corp. (Specialized REITs)
 
4.700%
12/15/2032
1,000,000
982,614
Brixmor Operating Partnership LP (Retail REITs)
 
4.850%
02/15/2033
1,340,000
1,316,230
COPT Defense Properties LP (Office REITs)
 
4.500%
10/15/2030
1,350,000
1,332,557
Cousins Properties LP (Office REITs)
 
4.875%
03/01/2033
1,250,000
1,203,462
Essential Properties LP (Diversified REITs)
 
5.400%
12/01/2035
1,300,000
1,277,903
Healthcare Realty Holdings LP (Health Care REITs)
 
3.625%
01/15/2028
1,000,000
979,576
Kilroy Realty LP (Office REITs)
 
4.250%
08/15/2029
2,000,000
1,933,403
Phillips Edison Grocery Center Operating Partnership I LP (Retail REITs)
 
4.750%
03/15/2033
1,000,000
975,786
Piedmont Operating Partnership LP (Office REITs)
 
5.625%
01/15/2033
2,500,000
2,429,380
Safehold GL Holdings LLC (Specialized REITs)
 
5.650%
01/15/2035
2,000,000
2,022,670
Store Capital LLC (Retail REITs)
 
5.400%
04/30/2030
2,000,000
2,009,210
VICI Properties LP / VICI Note Co., Inc. (Specialized REITs)
  (a)
4.625%
12/01/2029
1,000,000
983,134
Vornado Realty LP (Office REITs)
 
5.750%
02/01/2033
2,000,000
1,961,255
 
 
 
 
20,000,796
Utilities7.6%
 
 
 
AEP Transmission Co. LLC (Electric Utilities)
 
4.000%
12/01/2046
1,000,000
785,925
AEP Transmission Co. LLC (Electric Utilities)
 
3.750%
12/01/2047
1,351,000
999,887
Commonwealth Edison Co. (Electric Utilities)
 
4.350%
11/15/2045
2,000,000
1,655,558
Commonwealth Edison Co. (Electric Utilities)
 
5.650%
06/01/2054
2,000,000
1,949,072
2
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Utilities (continued)
 
 
 
Connecticut Light & Power Co. / The (Electric Utilities)
 
4.000%
04/01/2048
$1,000,000
$776,179
Consolidated Edison Co. of New York, Inc. (Electric Utilities)
 
5.700%
05/15/2054
2,500,000
2,449,298
Dominion Energy, Inc. (Rate is fixed until 02/15/2031, then H15T5Y + 226) (Multi-Utilities)
  (b)
6.000%
02/15/2056
1,000,000
993,627
Duke Energy Corp. (Electric Utilities)
 
3.750%
09/01/2046
1,000,000
737,909
Entergy Corp. (Rate is fixed until 06/15/2036, then H15T5Y + 201) (Electric Utilities)
  (b)
6.100%
06/15/2056
1,000,000
986,933
Eversource Energy (Electric Utilities)
 
3.300%
01/15/2028
1,000,000
979,298
Florida Power & Light Co. (Electric Utilities)
 
3.150%
10/01/2049
2,000,000
1,338,704
PacifiCorp (Electric Utilities)
 
5.800%
04/15/2036
1,550,000
1,562,422
PacifiCorp (Rate is fixed until 08/15/2031, then H15T5Y + 329) (Electric Utilities)
  (b)
7.125%
08/15/2056
750,000
708,509
Public Service Electric & Gas Co. (Multi-Utilities)
 
3.600%
12/01/2047
1,500,000
1,107,850
Sempra (Rate is fixed until 04/01/2031, then H15T5Y + 263) (Multi-Utilities)
  (b)
6.375%
04/01/2056
1,350,000
1,356,079
Xcel Energy, Inc. (Rate is fixed until 12/03/2031, then H15T5Y + 217) (Electric Utilities)
  (b)
5.750%
12/03/2056
1,000,000
976,178
 
 
 
 
19,363,428
Total Corporate Bonds (Cost $209,564,182)
 
 
 
$199,426,242
Asset-Backed Securities17.8%
Rate
Maturity
Face Amount
Value
Financials15.7%
 
 
 
AGL CLO 2021-12A A1R
  (a)
TSFR3M + 121
10/20/2038
$2,000,000
$1,997,563
Aimco CLO 2023-20A A1R
  (a)
TSFR3M + 121
10/16/2038
2,000,000
1,997,915
Apidos CLO XXXIX Ltd. 2022-39A A1R
  (a)
TSFR3M + 123
10/21/2038
2,000,000
1,996,608
Ares LVII CLO Ltd. 2020-57A A1R2
  (a)
TSFR3M + 123
10/25/2038
2,000,000
1,997,896
Ballyrock CLO 2019-2A A1R3
  (a)
TSFR3M + 124
10/25/2038
2,000,000
1,999,000
Benefit Street Partners CLO 44 Ltd. 2025-44A A1
  (a)
TSFR3M + 122
01/15/2039
2,000,000
1,997,760
Carlyle U.S. CLO 2025-7A A1
  (a)
TSFR3M + 121
01/25/2039
2,000,000
1,992,415
Cayuga Park CLO Ltd. 2020-1A AR2
  (a)
TSFR3M + 120
10/17/2038
2,000,000
1,995,013
CIFC Funding 2021-2A A1R
  (a)
TSFR3M + 120
01/15/2039
2,000,000
1,996,059
Dryden 2025-120A A1
  (a)
TSFR3M + 122
01/15/2039
2,000,000
1,992,615
HPS Loan Management 15 2019-15A A1R2
  (a)
TSFR3M + 124
10/22/2038
2,000,000
1,995,889
KKR Financial CLO 2013-1A A1R3
  (a)
TSFR3M + 125
10/15/2038
2,000,000
1,998,000
Madison Park Funding XLVIII Ltd. 2021-48A AR
  (a)
TSFR3M + 122
01/19/2039
2,000,000
1,995,000
Midocean Credit Clo XX 2025-20A A1
  (a)
TSFR3M + 123
01/20/2039
2,000,000
1,997,738
OHA Credit Funding 16-R Ltd. 2023-16RA A1
  (a)
TSFR3M + 120
10/20/2038
2,000,000
1,997,907
Orion Clo 2023-1A A1R
  (a)
TSFR3M + 122
10/25/2038
2,000,000
1,992,004
Regatta XIX Funding Ltd. 2022-1A A1R
  (a)
TSFR3M + 124
10/20/2038
2,000,000
1,999,921
TCW CLO 2025-2A A
  (a)
TSFR3M + 124
01/15/2039
2,000,000
1,996,775
Trinitas CLO XXXVII Ltd. 2025-37A A1
  (a)
TSFR3M + 122
01/22/2039
2,000,000
1,992,294
Voya CLO 2023-1A A1R
  (a)
TSFR3M + 121
01/20/2039
2,000,000
1,997,835
 
 
 
 
39,926,207
Industrials2.1%
 
 
 
American Airlines 2025-1 Class A Pass Through Trust
 
4.900%
05/11/2038
2,400,000
2,335,203
FedEx Corp. 2020-1 Class AA Pass Through Trust
 
1.875%
02/20/2034
2,117,702
1,822,865
United Airlines 2019-2 Class AA Pass Through Trust
 
2.700%
05/01/2032
1,279,885
1,176,383
 
 
 
 
5,334,451
Total Asset-Backed Securities (Cost $45,743,223)
 
 
 
$45,260,658
Preferred Securities1.7%
Rate
Quantity
Value
Financials1.7%
 
Bank of America Corp. DR (Rate is fixed until 07/26/2030, then H15T5Y + 235) (Banks)
  (b)
6.250%
2,000,000
$2,012,046
Huntington Bancshares, Inc. (Rate is fixed until 10/15/2030, then H15T5Y + 265) (Banks)
  (b)
6.250%
1,400,000
1,379,421
Wells Fargo & Co. (Rate is fixed until 06/15/2031, then H15T5Y + 234) (Banks)
  (b)
6.125%
1,000,000
1,003,763
Total Preferred Securities (Cost $4,400,000)
 
$4,395,230
U.S. Treasury Obligations0.6%
Rate
Maturity
Face
Amount
Value
U.S. Treasury Note
 
4.000%
11/15/2035
$1,500,000
$1,463,203
Total U.S. Treasury Obligations (Cost $1,475,618)
 
 
 
$1,463,203
Total Investments – 98.2% (Cost $261,183,023)
  (c)
 
 
$250,545,333
Other Assets in Excess of Liabilities – 1.8%
  (d)
 
 
4,717,309
Net Assets – 100.0%
 
 
 
$255,262,642

Percentages are stated as a percent of net assets.
3
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Abbreviations:
 
CLO:
Collateralized Loan Obligation
DR:
Depositary Receipt
H15T1Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 1 Year, 3.680% at 3/31/2026
H15T5Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 5 Year, 3.920% at 3/31/2026
QL:
Quarterly U.S. LIBOR Rate. This rate is linked to U.S. LIBOR, which is no longer published. An alternate reference rate will be determined by the issuer
prior to the date the security becomes a variable rate instrument.
REITs:
Real Estate Investment Trusts
SOFR:
Secured Overnight Financing Rate, 3.680% at 3/31/2026
TSFR3M:
Quarterly CME Term Secured Overnight Financing Rate ("SOFR"), 3.682% at 3/31/2026
USISOA05:
5 Year Secured Overnight Financing Rate ("SOFR") Spread-Adjusted ICE Swap Rate, 3.892% at 3/31/2026
Footnotes:
 
(a)
Security exempt from registration under Regulation D of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,
normally to qualified buyers under Rule 144A. At March 31, 2026, the value of these securities totaled $75,131,906, or 29.4% of the Portfolio’s net assets.
(b)
Security is a fixed-then-variable rate instrument in which the coupon or dividend rate is fixed until a later specified date, then is adjusted periodically. Rates
stated, including interest rate caps and floors, if any, are those in effect at March 31, 2026.
(c)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(d)
Includes $810,755 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Ultra Bond - Long
37
June 18, 2026
$4,204,708
$4,200,078
$(4,630
)
$10,984
CBT U.S. Long Bond - Long
10
June 18, 2026
1,176,191
1,138,750
(37,441
)
3,750
CBT U.S. Ultra Bond - Long
83
June 18, 2026
9,999,721
9,674,688
(325,033
)
18,157
CBT 2-Year U.S. Treasury Note - Long
60
June 30, 2026
12,503,079
12,446,719
(56,362
)
4,687
CBT 5-Year U.S. Treasury Note - Long
85
June 30, 2026
9,329,555
9,195,273
(134,282
)
11,953
Total Futures Contracts
 
 
$37,213,254
$36,655,508
$(557,748
)
$49,531
The accompanying notes are an integral part of these financial statements.
4

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks71.6%
Shares
Value
Communication Services7.7%
 
Alphabet, Inc. Class A (Interactive Media & Svs.)
 
28,727
$8,260,736
Alphabet, Inc. Class C (Interactive Media & Svs.)
 
21,743
6,237,197
AT&T, Inc. (Diversified Telecom. Svs.)
 
37,347
1,082,689
Comcast Corp. Class A (Diversified Telecom. Svs.)
 
27,915
801,440
Fox Corp. Class B (Media)
 
650
34,515
Meta Platforms, Inc. Class A (Interactive Media & Svs.)
 
9,340
5,343,694
Netflix, Inc. (Entertainment)
  (a)
21,242
2,042,418
Roku, Inc. (Entertainment)
  (a)
4,456
421,627
Take-Two Interactive Software, Inc. (Entertainment)
  (a)
4,210
831,475
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
3,528
740,986
Trade Desk, Inc. / The Class A (Media)
  (a)
16,130
365,990
 
 
26,162,767
Consumer Discretionary7.5%
 
Amazon.com, Inc. (Broadline Retail)
  (a)
52,020
10,834,205
Booking Holdings, Inc. (Hotels, Restaurants & Leisure)
 
268
1,128,366
BorgWarner, Inc. (Automobile Components)
 
12,106
656,872
Carnival Corp. (Hotels, Restaurants & Leisure)
 
14,504
375,364
Chipotle Mexican Grill, Inc. (Hotels, Restaurants & Leisure)
  (a)
29,240
935,972
Garmin Ltd. (Household Durables)
 
1,602
371,680
Home Depot, Inc. / The (Specialty Retail)
 
3,014
991,274
McDonald's Corp. (Hotels, Restaurants & Leisure)
 
2,550
792,515
MercadoLibre, Inc. (Broadline Retail)
  (a)
269
465,106
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
4,726
436,257
Tesla, Inc. (Automobiles)
  (a)
10,814
4,020,104
TJX Cos., Inc. / The (Specialty Retail)
 
17,422
2,782,293
Toll Brothers, Inc. (Household Durables)
 
7,027
958,975
Viking Holdings Ltd. (Hotels, Restaurants & Leisure)
  (a)
6,033
443,305
 
 
25,192,288
Consumer Staples3.4%
 
Altria Group, Inc. (Tobacco)
 
8,664
571,737
Coca-Cola Co. / The (Beverages)
 
17,815
1,354,831
Costco Wholesale Corp. (Consumer Staples Distribution & Retail)
 
3,496
3,483,519
General Mills, Inc. (Food Products)
 
14,722
547,953
Procter & Gamble Co. / The (Household Products)
 
17,801
2,571,177
Target Corp. (Consumer Staples Distribution & Retail)
 
3,141
380,689
Walmart, Inc. (Consumer Staples Distribution & Retail)
 
20,424
2,538,295
 
 
11,448,201
Energy2.7%
 
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
15,153
3,135,156
Devon Energy Corp. (Oil, Gas & Consumable Fuels)
 
29,168
1,467,734
Exxon Mobil Corp. (Oil, Gas & Consumable Fuels)
 
8,038
1,363,727
Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels)
 
15,464
518,508
Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
1,947
475,418
Phillips 66 (Oil, Gas & Consumable Fuels)
 
5,523
1,006,180
SLB Ltd. (Energy Equip. & Svs.)
 
8,563
440,053
Valero Energy Corp. (Oil, Gas & Consumable Fuels)
 
2,281
563,589
 
 
8,970,365
Financials9.2%
 
American Express Co. (Consumer Finance)
 
1,894
572,897
Bank of America Corp. (Banks)
 
75,119
3,662,051
Berkshire Hathaway, Inc. Class B (Financial Services)
  (a)
5,040
2,415,168
Capital One Financial Corp. (Consumer Finance)
 
4,433
808,712
Charles Schwab Corp. / The (Capital Markets)
 
23,691
2,226,480
Citigroup, Inc. (Banks)
 
9,416
1,067,869
CME Group, Inc. (Capital Markets)
 
2,212
653,314
Credicorp Ltd. (Banks)
 
1,686
571,858
Goldman Sachs Group, Inc. / The (Capital Markets)
 
1,684
1,424,647
Huntington Bancshares, Inc. (Banks)
 
28,073
439,342
Intercontinental Exchange, Inc. (Capital Markets)
 
6,042
950,286
JPMorgan Chase & Co. (Banks)
 
12,649
3,720,830
Mastercard, Inc. Class A (Financial Services)
 
3,924
1,960,666
MetLife, Inc. (Insurance)
 
7,429
525,379
Morgan Stanley (Capital Markets)
 
15,676
2,579,799
Progressive Corp. / The (Insurance)
 
5,732
1,136,312
Travelers Cos., Inc. / The (Insurance)
 
8,202
2,392,359
5
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Visa, Inc. (Financial Services)
 
10,866
$3,284,140
Wells Fargo & Co. (Banks)
 
10,587
842,831
 
 
31,234,940
Health Care6.6%
 
AbbVie, Inc. (Biotechnology)
 
9,172
1,994,818
Amgen, Inc. (Biotechnology)
 
3,109
1,093,902
Biogen, Inc. (Biotechnology)
  (a)
2,910
533,490
Boston Scientific Corp. (Health Care Equip. & Supplies)
  (a)
16,273
1,021,131
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
49,238
2,986,285
Cardinal Health, Inc. (Health Care Providers & Svs.)
 
6,773
1,431,203
Eli Lilly & Co. (Pharmaceuticals)
 
3,006
2,764,829
Gilead Sciences, Inc. (Biotechnology)
 
6,670
929,598
HCA Healthcare, Inc. (Health Care Providers & Svs.)
 
1,823
862,716
Intuitive Surgical, Inc. (Health Care Equip. & Supplies)
  (a)
1,716
791,059
Johnson & Johnson (Pharmaceuticals)
 
3,528
862,384
McKesson Corp. (Health Care Providers & Svs.)
 
991
857,572
Natera, Inc. (Biotechnology)
  (a)
2,745
548,973
Pfizer, Inc. (Pharmaceuticals)
 
41,968
1,178,461
Regeneron Pharmaceuticals, Inc. (Biotechnology)
 
1,264
976,617
Stryker Corp. (Health Care Equip. & Supplies)
 
2,826
928,595
UnitedHealth Group, Inc. (Health Care Providers & Svs.)
 
5,491
1,485,810
Veeva Systems, Inc. Class A (Health Care Technology)
  (a)
1,685
295,987
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
1,586
708,212
 
 
22,251,642
Industrials6.5%
 
3M Co. (Industrial Conglomerates)
 
19,737
2,866,405
Boeing Co. / The (Aerospace & Defense)
  (a)
2,592
515,886
Caterpillar, Inc. (Machinery)
 
2,786
1,973,770
Comfort Systems U.S.A., Inc. (Construction & Engineering)
 
1,098
1,514,131
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
12,427
412,576
Eaton Corp. PLC (Electrical Equip.)
 
4,132
1,477,892
GE Vernova, Inc. (Electrical Equip.)
 
1,098
958,444
General Dynamics Corp. (Aerospace & Defense)
 
1,197
410,834
General Electric Co. (Operating as "GE Aerospace") (Aerospace & Defense)
 
4,323
1,226,738
HEICO Corp. Class A (Aerospace & Defense)
 
1,499
316,424
Illinois Tool Works, Inc. (Machinery)
 
1,432
372,735
Leidos Holdings, Inc. (Professional Svs.)
 
2,679
416,638
Lockheed Martin Corp. (Aerospace & Defense)
 
1,933
1,168,286
Northrop Grumman Corp. (Aerospace & Defense)
 
949
647,446
Parker-Hannifin Corp. (Machinery)
 
3,152
2,821,797
Rockwell Automation, Inc. (Electrical Equip.)
 
1,040
373,235
RTX Corp. (Aerospace & Defense)
 
11,248
2,169,739
Trane Technologies PLC (Building Products)
 
2,095
873,070
Union Pacific Corp. (Ground Transportation)
 
4,654
1,129,153
United Rentals, Inc. (Trading Companies & Distributors)
 
484
352,623
 
 
21,997,822
Information Technology24.1%
 
Adobe, Inc. (Software)
  (a)
4,437
1,078,546
Advanced Micro Devices, Inc. (Semiconductors & Equip.)
  (a)
7,676
1,561,529
Amphenol Corp. Class A (Electronic Equip., Instr. & Comp.)
 
8,355
1,055,654
Apple, Inc. (Tech. Hardware, Storage & Periph.)
 
74,236
18,840,354
Applied Materials, Inc. (Semiconductors & Equip.)
 
4,925
1,683,316
Arista Networks, Inc. (Communications Equip.)
  (a)
4,665
572,769
Broadcom, Inc. (Semiconductors & Equip.)
 
22,222
6,877,931
Dell Technologies, Inc. Class C (Tech. Hardware, Storage & Periph.)
 
2,719
446,269
Intel Corp. (Semiconductors & Equip.)
  (a)
18,126
799,900
Lam Research Corp. (Semiconductors & Equip.)
 
11,010
2,352,397
Lumentum Holdings, Inc. (Communications Equip.)
  (a)
466
327,486
Micron Technology, Inc. (Semiconductors & Equip.)
 
7,309
2,469,273
Microsoft Corp. (Software)
 
37,915
14,034,996
Motorola Solutions, Inc. (Communications Equip.)
 
3,272
1,419,950
NVIDIA Corp. (Semiconductors & Equip.)
 
122,292
21,327,725
Oracle Corp. (Software)
 
3,596
529,008
Palantir Technologies, Inc. Class A (Software)
  (a)
6,891
1,008,015
QUALCOMM, Inc. (Semiconductors & Equip.)
 
6,765
871,197
Salesforce, Inc. (Software)
 
7,545
1,408,425
Sandisk Corp. (Tech. Hardware, Storage & Periph.)
  (a)
890
565,453
6
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Seagate Technology Holdings PLC (Tech. Hardware, Storage & Periph.)
 
977
$382,749
ServiceNow, Inc. (Software)
  (a)
2,795
292,217
Synopsys, Inc. (Software)
  (a)
1,149
455,555
Texas Instruments, Inc. (Semiconductors & Equip.)
 
2,715
527,090
Western Digital Corp. (Tech. Hardware, Storage & Periph.)
 
2,163
585,070
 
 
81,472,874
Materials1.3%
 
Alcoa Corp. (Metals & Mining)
 
11,594
769,030
Freeport-McMoRan, Inc. (Metals & Mining)
 
25,048
1,472,321
LyondellBasell Industries N.V. Class A (Chemicals)
 
5,321
428,660
Newmont Corp. (Metals & Mining)
 
8,093
876,067
Solstice Advanced Materials, Inc. (Chemicals)
 
5,053
384,837
Vulcan Materials Co. (Construction Materials)
 
1,842
501,577
 
 
4,432,492
Real Estate1.0%
 
American Tower Corp. (Specialized REITs)
 
4,625
798,183
CubeSmart (Specialized REITs)
 
13,971
512,037
Equinix, Inc. (Specialized REITs)
 
399
391,116
Ventas, Inc. (Health Care REITs)
 
6,166
504,255
VICI Properties, Inc. (Specialized REITs)
 
45,878
1,253,387
 
 
3,458,978
Utilities1.6%
 
Ameren Corp. (Multi-Utilities)
 
4,842
532,233
Edison International (Electric Utilities)
 
11,178
818,006
NextEra Energy, Inc. (Electric Utilities)
 
5,925
550,314
PG&E Corp. (Electric Utilities)
 
33,507
588,718
Pinnacle West Capital Corp. (Electric Utilities)
 
4,915
495,186
Portland General Electric Co. (Electric Utilities)
 
7,994
421,843
Vistra Corp. (Ind. Power & Renewable Elec.)
 
4,793
720,532
WEC Energy Group, Inc. (Multi-Utilities)
 
9,593
1,110,582
 
 
5,237,414
Total Common Stocks (Cost $181,377,306)
 
$241,859,783
Corporate Bonds24.7%
Rate
Maturity
Face Amount
Value
Communication Services1.3%
 
 
 
Comcast Corp. (Diversified Telecom. Svs.)
 
3.250%
11/01/2039
$1,000,000
$772,017
Cox Communications, Inc. (Media)
  (b)
4.500%
06/30/2043
1,000,000
760,240
Meta Platforms, Inc. (Interactive Media & Svs.)
 
5.625%
11/15/2055
1,250,000
1,171,738
Time Warner Cable LLC (Media)
 
6.550%
05/01/2037
1,000,000
1,008,196
Verizon Communications, Inc. (Diversified Telecom. Svs.)
 
4.125%
08/15/2046
750,000
596,583
 
 
 
 
4,308,774
Consumer Discretionary0.5%
 
 
 
Lowe's Cos., Inc. (Specialty Retail)
 
3.000%
10/15/2050
1,000,000
617,862
Mattel, Inc. (Leisure Products)
 
5.000%
11/17/2030
500,000
496,919
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
 
5.250%
02/27/2038
600,000
570,789
 
 
 
 
1,685,570
Consumer Staples0.5%
 
 
 
Coty, Inc. / HFC Prestige Products, Inc. / HFC Prestige International U.S. LLC (Personal Care
Products)
  (b)
5.600%
01/15/2031
600,000
580,821
JBS N.V. / JBS U.S.A. Foods Group Holdings, Inc. / JBS U.S.A. Food Co. Holdings
(Food Products)
 
6.375%
04/15/2066
400,000
392,505
Kraft Heinz Foods Co. (Food Products)
 
4.625%
10/01/2039
1,000,000
881,627
 
 
 
 
1,854,953
Energy1.6%
 
 
 
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
5.700%
04/01/2035
1,000,000
1,027,031
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
6.300%
01/15/2056
1,000,000
984,687
Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
5.550%
10/01/2034
1,000,000
1,016,961
Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)
 
6.050%
10/01/2054
700,000
680,679
Western Midstream Operating LP (Oil, Gas & Consumable Fuels)
 
5.500%
12/15/2035
750,000
737,576
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.950%
03/15/2056
1,000,000
984,185
 
 
 
 
5,431,119
7
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Financials13.0%
 
 
 
Antares Holdings LP (Capital Markets)
  (b)
2.750%
01/15/2027
$1,000,000
$979,101
Apollo Debt Solutions BDC (Capital Markets)
 
6.700%
07/29/2031
1,000,000
1,011,678
Ares Capital Corp. (Capital Markets)
 
5.250%
04/12/2031
375,000
362,509
Ares Strategic Income Fund (Capital Markets)
  (b)
5.550%
04/15/2031
1,000,000
957,977
Aviation Capital Group LLC (Financial Services)
  (b)
4.250%
04/30/2029
1,000,000
985,422
Bain Capital Specialty Finance, Inc. (Capital Markets)
 
5.950%
03/01/2031
750,000
715,520
Bank of Nova Scotia / The (Rate is fixed until 10/27/2035, then H15T5Y + 273) (Banks)
  (c)
6.875%
10/27/2085
1,500,000
1,473,536
Barclays PLC (Rate is fixed until 02/24/2036, then SOFR + 151) (Banks)
  (c)
5.207%
02/24/2037
1,000,000
967,786
BGC Group, Inc. (Capital Markets)
 
6.150%
04/02/2030
1,000,000
1,017,094
Blackstone Secured Lending Fund (Capital Markets)
 
5.250%
09/04/2029
1,000,000
979,772
BPCE SA (Rate is fixed until 01/13/2046, then SOFR + 211) (Banks)
 (b)(c)
6.347%
01/13/2047
750,000
717,649
Canadian Imperial Bank of Commerce (Rate is fixed until 07/28/2031, then H15T5Y + 273)
(Banks)
  (c)
6.500%
07/28/2086
1,100,000
1,075,220
Capital One Financial Corp. (Rate is fixed until 09/11/2030, then SOFR + 125)
(Consumer Finance)
  (c)
4.493%
09/11/2031
600,000
589,119
Capital One N.A. (Banks)
 
USISOA05 + 173
08/09/2028
1,000,000
1,024,325
Charles Schwab Corp. / The (Rate is fixed until 11/14/2035, then SOFR + 123) (Capital Markets)
  (c)
4.914%
11/14/2036
500,000
486,007
Citizens Financial Group, Inc. (Rate is fixed until 01/29/2031, then H15T5Y + 145) (Banks)
  (c)
5.299%
01/29/2036
750,000
743,248
Fifth Third Bank N.A. (Rate is fixed until 08/25/2032, then SOFR + 261) (Banks)
  (c)
5.332%
08/25/2033
1,000,000
1,001,768
First Citizens BancShares, Inc. (Rate is fixed until 09/05/2030, then H15T5Y + 185) (Banks)
  (c)
5.600%
09/05/2035
1,000,000
977,375
First Horizon Bank (Banks)
 
5.750%
05/01/2030
1,000,000
1,014,869
Goldman Sachs Private Credit Corp. (Capital Markets)
  (b)
5.875%
01/31/2031
1,000,000
970,199
HPS Corporate Lending Fund (Capital Markets)
  (b)
5.650%
04/02/2031
1,375,000
1,319,031
HPS Corporate Lending Fund (Capital Markets)
 
5.950%
04/14/2032
500,000
483,082
Intesa Sanpaolo SpA (Rate is fixed until 06/01/2041, then H15T1Y + 275) (Banks)
 (b)(c)
4.950%
06/01/2042
500,000
418,751
JPMorgan Chase & Co. (Rate is fixed until 10/22/2035, then SOFR + 119) (Banks)
  (c)
4.810%
10/22/2036
200,000
194,193
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp. (Mortgage REIT)
  (b)
7.000%
07/15/2031
1,000,000
1,033,726
M&T Bank Corp. (Rate is fixed until 07/30/2030, then H15T5Y + 143) (Banks)
  (c)
5.400%
07/30/2035
1,000,000
996,784
MetLife, Inc. (Rate is fixed until 03/15/2036, then H15T5Y + 182) (Insurance)
  (c)
5.850%
03/15/2056
1,000,000
981,492
Morgan Stanley (Rate is fixed until 07/19/2034, then SOFR + 156) (Capital Markets)
  (c)
5.320%
07/19/2035
900,000
903,121
Morgan Stanley (Rate is fixed until 10/22/2035, then SOFR + 131) (Capital Markets)
  (c)
4.892%
10/22/2036
1,000,000
966,705
Morgan Stanley (Rate is fixed until 04/20/2032, then SOFR + 262) (Capital Markets)
  (c)
5.297%
04/20/2037
1,000,000
997,567
MSD Investment Corp. (Capital Markets)
  (b)
6.125%
02/05/2031
500,000
484,866
Oaktree Strategic Credit Fund (Capital Markets)
 
6.500%
07/23/2029
1,000,000
1,002,481
Old National Bancorp (Rate is fixed until 02/15/2031, then TSFR3M + 220) (Banks)
  (c)
5.768%
02/15/2036
1,000,000
995,169
Pinnacle Bank (Rate is fixed until 01/15/2031, then H15T5Y + 230) (Banks)
  (c)
5.957%
01/15/2036
900,000
891,321
Prudential Financial, Inc. (Rate is fixed until 09/15/2027, then QL + 238) (Insurance)
  (c)
4.500%
09/15/2047
700,000
682,785
Santander Holdings U.S.A., Inc. (Rate is fixed until 01/06/2027, then SOFR + 125) (Banks)
  (c)
2.490%
01/06/2028
1,000,000
983,061
Sixth Street Lending Partners (Capital Markets)
 
6.125%
07/15/2030
600,000
596,485
Stellantis Finance U.S., Inc. (Consumer Finance)
  (b)
2.691%
09/15/2031
1,000,000
845,154
Synchrony Financial (Rate is fixed until 07/29/2035, then SOFR + 207) (Consumer Finance)
  (c)
6.000%
07/29/2036
1,000,000
986,323
Texas Capital Bancshares, Inc. (Rate is fixed until 02/27/2031, then SOFR + 194) (Banks)
  (c)
5.301%
02/27/2032
1,000,000
985,955
Toronto-Dominion Bank / The (Rate is fixed until 10/31/2030, then H15T5Y + 272) (Banks)
  (c)
6.350%
10/31/2085
1,000,000
983,883
Truist Bank (Rate is fixed until 09/17/2029, then H15T5Y + 115) (Banks)
  (c)
4.632%
09/17/2029
1,000,000
991,417
UBS Group AG (Rate is fixed until 07/08/2036, then USISSO05 + 332) (Capital Markets)
 (b)(c)
7.000%
Perpetual
750,000
725,040
UBS Group AG (Rate is fixed until 08/05/2035, then USISSO05 + 330) (Capital Markets)
 (b)(c)
7.000%
Perpetual
500,000
486,039
UBS Group AG (Rate is fixed until 03/23/2036, then SOFR + 134) (Capital Markets)
 (b)(c)
5.010%
03/23/2037
1,000,000
967,059
Unum Group (Insurance)
 
5.250%
12/15/2035
1,000,000
978,047
Webster Financial Corp. (Rate is fixed until 09/11/2030, then H15T5Y + 213) (Banks)
  (c)
5.784%
09/11/2035
1,000,000
1,015,593
Wells Fargo & Co. (Rate is fixed until 04/30/2040, then SOFR + 253) (Banks)
  (c)
3.068%
04/30/2041
1,000,000
750,753
Willis North America, Inc. (Insurance)
 
5.150%
03/15/2036
800,000
779,074
Zions Bancorp N.A. (Rate is fixed until 08/18/2027, then SOFR + 116) (Banks)
  (c)
4.704%
08/18/2028
1,000,000
991,097
Zions Bancorp N.A. (Rate is fixed until 02/09/2028, then SOFR + 106) (Banks)
  (c)
4.483%
02/09/2029
500,000
496,267
 
 
 
 
43,962,495
Health Care0.3%
 
 
 
Baxter International, Inc. (Health Care Equip. & Supplies)
 
5.650%
12/15/2035
500,000
488,312
Viatris, Inc. (Pharmaceuticals)
 
4.000%
06/22/2050
750,000
491,555
 
 
 
 
979,867
Industrials0.2%
 
 
 
Boeing Co. / The (Aerospace & Defense)
 
6.858%
05/01/2054
400,000
440,230
TTX Co. (Ground Transportation)
  (b)
5.650%
12/01/2052
375,000
375,312
 
 
 
 
815,542
Information Technology0.9%
 
 
 
Oracle Corp. (Software)
 
5.350%
05/04/2033
1,000,000
973,479
Oracle Corp. (Software)
 
4.300%
07/08/2034
1,000,000
886,756
8
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Information Technology (continued)
 
 
 
Salesforce, Inc. (Software)
 
5.200%
03/15/2033
$637,000
$635,912
Salesforce, Inc. (Software)
 
5.550%
03/15/2036
637,000
635,019
 
 
 
 
3,131,166
Materials0.3%
 
 
 
Corp. Nacional del Cobre de Chile (Metals & Mining)
  (b)
6.330%
01/13/2035
400,000
416,880
Westlake Corp. (Chemicals)
 
6.375%
11/15/2055
500,000
492,660
 
 
 
 
909,540
Real Estate2.6%
 
 
 
Alexandria Real Estate Equities, Inc. (Health Care REITs)
 
3.950%
01/15/2028
400,000
395,744
American Tower Corp. (Specialized REITs)
 
4.700%
12/15/2032
400,000
393,045
Brixmor Operating Partnership LP (Retail REITs)
 
4.850%
02/15/2033
660,000
648,292
COPT Defense Properties LP (Office REITs)
 
4.500%
10/15/2030
650,000
641,602
Cousins Properties LP (Office REITs)
 
4.875%
03/01/2033
1,000,000
962,770
Essential Properties LP (Diversified REITs)
 
5.400%
12/01/2035
700,000
688,102
Kilroy Realty LP (Office REITs)
 
4.250%
08/15/2029
1,000,000
966,701
Phillips Edison Grocery Center Operating Partnership I LP (Retail REITs)
 
4.750%
03/15/2033
1,000,000
975,786
Piedmont Operating Partnership LP (Office REITs)
 
5.625%
01/15/2033
1,000,000
971,752
Safehold GL Holdings LLC (Specialized REITs)
 
5.650%
01/15/2035
1,000,000
1,011,335
Store Capital LLC (Retail REITs)
 
5.400%
04/30/2030
1,000,000
1,004,605
 
 
 
 
8,659,734
Utilities3.5%
 
 
 
AEP Transmission Co. LLC (Electric Utilities)
 
4.000%
12/01/2046
1,000,000
785,925
AEP Transmission Co. LLC (Electric Utilities)
 
3.750%
12/01/2047
1,000,000
740,109
Commonwealth Edison Co. (Electric Utilities)
 
4.350%
11/15/2045
1,000,000
827,779
Commonwealth Edison Co. (Electric Utilities)
 
5.650%
06/01/2054
1,000,000
974,536
Connecticut Light & Power Co. / The (Electric Utilities)
 
4.000%
04/01/2048
1,000,000
776,179
Consolidated Edison Co. of New York, Inc. (Electric Utilities)
 
5.700%
05/15/2054
1,000,000
979,719
Dominion Energy, Inc. (Rate is fixed until 02/15/2031, then H15T5Y + 226) (Multi-Utilities)
  (c)
6.000%
02/15/2056
500,000
496,814
Duke Energy Corp. (Electric Utilities)
 
3.750%
09/01/2046
1,000,000
737,909
Duke Energy Indiana LLC (Electric Utilities)
 
3.250%
10/01/2049
1,000,000
674,317
Entergy Corp. (Rate is fixed until 06/15/2036, then H15T5Y + 201) (Electric Utilities)
  (c)
6.100%
06/15/2056
500,000
493,466
Florida Power & Light Co. (Electric Utilities)
 
3.150%
10/01/2049
1,000,000
669,352
PacifiCorp (Electric Utilities)
 
5.800%
04/15/2036
650,000
655,209
PacifiCorp (Rate is fixed until 08/15/2031, then H15T5Y + 329) (Electric Utilities)
  (c)
7.125%
08/15/2056
750,000
708,509
Public Service Electric & Gas Co. (Multi-Utilities)
 
3.600%
12/01/2047
1,000,000
738,567
Sempra (Rate is fixed until 04/01/2031, then H15T5Y + 263) (Multi-Utilities)
  (c)
6.375%
04/01/2056
650,000
652,927
Xcel Energy, Inc. (Rate is fixed until 12/03/2031, then H15T5Y + 217) (Electric Utilities)
  (c)
5.750%
12/03/2056
1,000,000
976,178
 
 
 
 
11,887,495
Total Corporate Bonds (Cost $88,598,476)
 
 
 
$83,626,255
Asset-Backed Securities0.9%
Rate
Maturity
Face Amount
Value
Industrials0.9%
 
 
 
American Airlines 2025-1 Class A Pass Through Trust
 
4.900%
05/11/2038
$600,000
$583,801
FedEx Corp. 2020-1 Class AA Pass Through Trust
 
1.875%
02/20/2034
1,411,801
1,215,243
United Airlines 2019-2 Class AA Pass Through Trust
 
2.700%
05/01/2032
1,279,885
1,176,383
Total Asset-Backed Securities (Cost $3,237,322)
 
 
 
$2,975,427
Preferred Securities0.8%
Rate
Quantity
Value
Financials0.8%
 
Bank of America Corp. DR (Rate is fixed until 07/26/2030, then H15T5Y + 235) (Banks)
  (c)
6.250%
1,000,000
$1,006,023
Huntington Bancshares, Inc. (Rate is fixed until 10/15/2030, then H15T5Y + 265) (Banks)
  (c)
6.250%
600,000
591,180
Wells Fargo & Co. (Rate is fixed until 06/15/2031, then H15T5Y + 234) (Banks)
  (c)
6.125%
1,000,000
1,003,764
Total Preferred Securities (Cost $2,600,000)
 
$2,600,967
Total Investments – 98.0% (Cost $275,813,104)
  (d)
$331,062,432
Other Assets in Excess of Liabilities – 2.0%
  (e)
6,601,729
Net Assets – 100.0%
 
$337,664,161

Percentages are stated as a percent of net assets.
9
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Balanced Allocation Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Abbreviations:
 
DR:
Depositary Receipt
H15T1Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 1 Year, 3.680% at 3/31/2026
H15T5Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 5 Year, 3.920% at 3/31/2026
QL:
Quarterly U.S. LIBOR Rate. This rate is linked to U.S. LIBOR, which is no longer published. An alternate reference rate will be determined by the issuer
prior to the date the security becomes a variable rate instrument.
REITs:
Real Estate Investment Trusts
SOFR:
Secured Overnight Financing Rate, 3.680% at 3/31/2026
TSFR3M:
Quarterly CME Term Secured Overnight Financing Rate ("SOFR"), 3.682% at 3/31/2026
USISOA05:
5 Year Secured Overnight Financing Rate ("SOFR") Spread-Adjusted ICE Swap Rate, 3.892% at 3/31/2026
Footnotes:
 
(a)
Non-income producing security.
(b)
Security exempt from registration under Regulation D of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,
normally to qualified buyers under Rule 144A. At March 31, 2026, the value of these securities totaled $13,023,267, or 3.9% of the Portfolio’s net assets.
(c)
Security is a fixed-then-variable rate instrument in which the coupon or dividend rate is fixed until a later specified date, then is adjusted periodically. Rates
stated, including interest rate caps and floors, if any, are those in effect at March 31, 2026.
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(e)
Includes $323,834 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT U.S. Long Bond - Long
9
June 18, 2026
$1,058,572
$1,024,875
$(33,697
)
$3,375
CBT U.S. Ultra Bond - Long
20
June 18, 2026
2,409,570
2,331,250
(78,320
)
4,375
CME E-mini S&P 500 Index - Long
10
June 18, 2026
3,333,278
3,285,375
(47,903
)
91,250
CBT 2-Year U.S. Treasury Note - Long
20
June 30, 2026
4,179,100
4,148,906
(30,196
)
1,562
 
 
 
$10,980,520
$10,790,406
$(190,116
)
$100,562
Short Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Treasury Note - Short
40
June 18, 2026
$(4,479,615
)
$(4,441,875
)
$37,740
$(9,375
)
CBT 10-Year U.S. Ultra Bond - Short
28
June 18, 2026
(3,249,262
)
(3,178,438
)
70,824
(8,313
)
 
 
 
$(7,728,877
)
$(7,620,313
)
$108,564
$(17,688
)
Total Futures Contracts
 
 
$3,251,643
$3,170,093
$(81,552
)
$82,874
The accompanying notes are an integral part of these financial statements.
10

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage International Equity Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks96.1%
Shares
Value
Japan22.8%
 
Advantest Corp. (Information Technology)
  (a)
16,700
$2,259,438
Aeon Co. Ltd. (Consumer Staples)
  (a)
5,000
59,678
ANA Holdings, Inc. (Industrials)
  (a)
5,000
88,901
Asahi Intecc Co. Ltd. (Health Care)
  (a)
7,300
155,740
Asahi Kasei Corp. (Materials)
  (a)
2,200
21,303
Astellas Pharma, Inc. (Health Care)
  (a)
17,900
292,253
Bridgestone Corp. (Consumer Discretionary)
  (a)
9,100
188,879
Canon, Inc. (Information Technology)
  (a)
19,900
554,207
Chugai Pharmaceutical Co. Ltd. (Health Care)
  (a)
1,900
105,124
Dai Nippon Printing Co. Ltd. (Industrials)
  (a)
3,200
58,110
Daifuku Co. Ltd. (Industrials)
  (a)
4,800
167,699
Dai-ichi Life Group, Inc. (Financials)
  (a)
56,600
517,215
Daiichi Sankyo Co. Ltd. (Health Care)
  (a)
43,300
763,399
Daikin Industries Ltd. (Industrials)
  (a)
6,600
800,685
Daiwa House Industry Co. Ltd. (Real Estate)
  (a)
75,700
2,366,350
Daiwa Securities Group, Inc. (Financials)
  (a)
22,700
213,519
Denso Corp. (Consumer Discretionary)
  (a)
83,700
1,039,226
ENEOS Holdings, Inc. (Energy)
  (a)
350,400
3,126,925
FANUC Corp. (Industrials)
  (a)
9,700
337,845
Fast Retailing Co. Ltd.
(Consumer Discretionary)
  (a)
800
318,410
Fujitsu Ltd. (Information Technology)
  (a)
121,800
2,475,289
Hitachi Ltd. (Industrials)
  (a)
121,600
3,553,836
Horiba Ltd. (Information Technology)
  (a)
3,700
431,633
Hoya Corp. (Health Care)
  (a)
900
155,246
ITOCHU Corp. (Industrials)
  (a)
8,400
106,768
Japan Post Bank Co. Ltd. (Financials)
  (a)
28,300
465,596
Japan Post Holdings Co. Ltd. (Financials)
  (a)
33,000
378,597
Japan Post Insurance Co. Ltd. (Financials)
  (a)
5,100
51,524
Japan Tobacco, Inc. (Consumer Staples)
  (a)
23,100
886,358
Kajima Corp. (Industrials)
  (a)
10,200
387,478
Kansai Electric Power Co., Inc. / The (Utilities)
  (a)
21,500
354,136
Kao Corp. (Consumer Staples)
  (a)
9,400
367,306
Kawasaki Kisen Kaisha Ltd. (Industrials)
  (a)
3,100
52,189
KDDI Corp. (Communication Services)
  (a)
12,700
217,486
Kioxia Holdings Corp.
(Information Technology)
 (a)(b)
1,500
190,689
Kirin Holdings Co. Ltd. (Consumer Staples)
  (a)
10,300
163,878
Kobe Bussan Co. Ltd. (Consumer Staples)
  (a)
17,700
384,712
LY Corp. (Communication Services)
  (a)
62,700
151,963
Mitsubishi Corp. (Industrials)
  (a)
17,000
583,801
Mitsubishi Electric Corp. (Industrials)
  (a)
56,400
1,841,882
Mitsubishi HC Capital, Inc. (Financials)
  (a)
15,500
138,482
Mitsubishi Heavy Industries Ltd. (Industrials)
  (a)
84,900
2,316,017
Mitsubishi UFJ Financial Group, Inc.
(Financials)
  (a)
178,300
3,012,497
Mitsui & Co. Ltd. (Industrials)
  (a)
29,000
1,116,508
Mitsui Chemicals, Inc. (Materials)
  (a)
6,200
73,903
Mitsui Fudosan Co. Ltd. (Real Estate)
  (a)
134,300
1,421,506
Mizuho Financial Group, Inc. (Financials)
  (a)
39,400
1,572,645
MS&AD Insurance Group Holdings, Inc.
(Financials)
  (a)
20,800
544,325
Murata Manufacturing Co. Ltd.
(Information Technology)
  (a)
113,200
2,538,025
NEC Corp. (Information Technology)
  (a)
88,600
2,207,348
NGK Corp. (Industrials)
  (a)
26,800
694,909
Nintendo Co. Ltd. (Communication Services)
  (a)
300
17,118
Nitto Denko Corp. (Materials)
  (a)
26,700
534,189
Nomura Holdings, Inc. (Financials)
  (a)
47,400
374,915
Nomura Real Estate Holdings, Inc.
(Real Estate)
  (a)
36,500
234,892
Nomura Research Institute Ltd.
(Information Technology)
  (a)
1,700
47,103
Obayashi Corp. (Industrials)
  (a)
48,700
1,172,795
Ono Pharmaceutical Co. Ltd. (Health Care)
  (a)
105,400
1,684,211
ORIX Corp. (Financials)
  (a)
18,700
560,251
Pan Pacific International Holdings Corp.
(Consumer Discretionary)
  (a)
267,000
1,637,838
Common Stocks (Continued)
Shares
Value
Japan (continued)
 
Recruit Holdings Co. Ltd. (Industrials)
  (a)
48,800
$2,111,133
Resona Holdings, Inc. (Financials)
  (a)
32,900
366,077
Secom Co. Ltd. (Industrials)
  (a)
9,400
360,935
Shimizu Corp. (Industrials)
  (a)
39,800
717,473
Shin-Etsu Chemical Co. Ltd. (Materials)
  (a)
17,300
703,895
Skylark Holdings Co. Ltd.
(Consumer Discretionary)
  (a)
2,100
45,380
SoftBank Corp. (Communication Services)
  (a)
470,000
627,236
SoftBank Group Corp.
(Communication Services)
  (a)
44,200
1,062,309
Sompo Holdings, Inc. (Financials)
  (a)
14,300
558,749
Sony Group Corp. (Consumer Discretionary)
  (a)
206,400
4,257,278
Sumitomo Chemical Co. Ltd. (Materials)
  (a)
476,100
1,536,478
Sumitomo Electric Industries Ltd.
(Consumer Discretionary)
  (a)
11,900
666,343
Sumitomo Mitsui Financial Group, Inc.
(Financials)
  (a)
74,400
2,452,495
Sumitomo Mitsui Trust Group, Inc. (Financials)
  (a)
50,900
1,619,788
Suzuki Motor Corp. (Consumer Discretionary)
  (a)
60,100
720,056
Sysmex Corp. (Health Care)
  (a)
26,800
233,639
T&D Holdings, Inc. (Financials)
  (a)
7,400
188,080
Taisei Corp. (Industrials)
  (a)
4,100
428,178
Takeda Pharmaceutical Co. Ltd. (Health Care)
  (a)
19,200
708,304
TDK Corp. (Information Technology)
  (a)
42,200
547,144
Terumo Corp. (Health Care)
  (a)
89,900
1,203,732
Tokio Marine Holdings, Inc. (Financials)
  (a)
29,100
1,358,906
Tokyo Electron Ltd. (Information Technology)
  (a)
15,200
3,717,192
Tokyo Gas Co. Ltd. (Utilities)
  (a)
4,400
207,754
Toyota Motor Corp. (Consumer Discretionary)
  (a)
25,200
522,378
Trend Micro, Inc. (Information Technology)
  (a)
5,900
197,026
Unicharm Corp. (Consumer Staples)
  (a)
109,200
635,893
Yokohama Financial Group, Inc. (Financials)
  (a)
14,200
126,243
 
 
76,414,844
United Kingdom15.4%
 
Admiral Group PLC (Financials)
  (a)
4,332
182,754
Anglo American PLC (Materials)
  (a)
7,696
326,963
AstraZeneca PLC (Health Care)
  (a)
31,712
6,193,927
Aviva PLC (Financials)
  (a)
3,730
29,711
BAE Systems PLC (Industrials)
  (a)
99,793
2,904,873
Barclays PLC (Financials)
  (a)
813,081
4,284,489
BP PLC (Energy)
  (a)
256,392
2,021,032
British American Tobacco PLC
(Consumer Staples)
  (a)
11,207
652,816
Compass Group PLC
(Consumer Discretionary)
  (a)
31,661
879,661
GSK PLC (Health Care)
  (a)
80,405
2,205,096
Halma PLC (Information Technology)
  (a)
15,068
765,522
HSBC Holdings PLC (Financials)
  (a)
275,903
4,514,664
IG Group Holdings PLC (Financials)
  (a)
22,415
422,784
Imperial Brands PLC (Consumer Staples)
  (a)
65,564
2,668,419
InterContinental Hotels Group PLC
(Consumer Discretionary)
  (a)
6,630
873,184
Intertek Group PLC (Industrials)
  (a)
25,639
1,250,078
J Sainsbury PLC (Consumer Staples)
  (a)
195,487
877,861
Lloyds Banking Group PLC (Financials)
  (a)
1,325,338
1,638,057
NatWest Group PLC (Financials)
  (a)
233,943
1,735,870
Next PLC (Consumer Discretionary)
  (a)
8,495
1,432,582
Reckitt Benckiser Group PLC
(Consumer Staples)
  (a)
2,746
186,351
Rio Tinto PLC (Materials)
  (a)
8,370
778,007
Rolls-Royce Holdings PLC (Industrials)
  (a)
153,080
2,337,677
Sage Group PLC / The
(Information Technology)
  (a)
138,680
1,548,875
Shell PLC (Energy)
  (a)
97,846
4,569,098
Smiths Group PLC (Industrials)
  (a)
52,947
1,612,658
Standard Chartered PLC (Financials)
  (a)
7,462
154,970
Tesco PLC (Consumer Staples)
  (a)
137,630
867,803
11
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage International Equity Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
United Kingdom (continued)
 
Unilever PLC (Consumer Staples)
  (a)
18,705
$1,048,728
Vodafone Group PLC
(Communication Services)
  (a)
1,822,092
2,762,774
 
 
51,727,284
France10.5%
 
Air Liquide SA (Materials)
  (a)
8,485
1,747,913
AXA SA (Financials)
  (a)
106,365
4,876,375
BNP Paribas SA (Financials)
  (a)
22,195
2,114,318
Bureau Veritas SA (Industrials)
  (a)
32,680
981,688
Credit Agricole SA (Financials)
  (a)
28,851
541,622
Danone SA (Consumer Staples)
  (a)
7,025
564,193
EssilorLuxottica SA (Health Care)
  (a)
9,232
2,148,612
Ipsen SA (Health Care)
  (a)
5,550
1,040,799
Legrand SA (Industrials)
  (a)
722
111,567
L'Oreal SA (Consumer Staples)
  (a)
4,664
1,912,546
LVMH Moet Hennessy Louis Vuitton SE
(Consumer Discretionary)
  (a)
6,111
3,396,892
Publicis Groupe SA
(Communication Services)
  (a)
14,523
1,201,066
Safran SA (Industrials)
  (a)
15,538
5,081,595
Sanofi SA (Health Care)
  (a)
51,785
4,994,964
Societe Generale SA (Financials)
  (a)
8,774
640,643
Thales SA (Industrials)
  (a)
4,526
1,328,867
TotalEnergies SE (Energy)
  (a)
2,853
263,427
Vinci SA (Industrials)
  (a)
15,664
2,345,958
 
 
35,293,045
Switzerland7.8%
 
ABB Ltd. (Industrials)
  (a)
69,880
5,683,528
Accelleron Industries AG (Industrials)
  (a)
1,554
140,355
Chocoladefabriken Lindt & Spruengli AG
(Consumer Staples)
  (a)
3
42,125
Cie Financiere Richemont SA
(Consumer Discretionary)
  (a)
3,094
551,329
DSM-Firmenich AG (Materials)
  (a)
6,740
481,375
Glencore PLC (Materials)
  (a)
141,917
1,081,408
Holcim AG (Materials)
  (a)
2,716
225,382
Julius Baer Group Ltd. (Financials)
  (a)
1,409
103,827
Logitech International SA
(Information Technology)
  (a)
12,498
1,141,926
Lonza Group AG (Health Care)
  (a)
30
19,194
Nestle SA (Consumer Staples)
  (a)
33,640
3,336,716
Novartis AG (Health Care)
  (a)
19,823
3,009,717
Roche Holding AG (Health Care)
  (a)
11,112
4,387,749
Roche Holding Ltd. (Health Care)
  (a)
1,882
779,565
Schindler Holding AG - Participation
Certificates (Industrials)
  (a)
1,493
491,676
Schindler Holding AG - Registered Shares
(Industrials)
  (a)
544
171,100
SGS SA (Industrials)
  (a)
2,777
293,923
Sonova Holding AG (Health Care)
  (a)
1,244
281,982
STMicroelectronics N.V.
(Information Technology)
  (a)
1,081
37,109
UBS Group AG (Financials)
  (a)
79,080
3,075,738
VAT Group AG (Industrials)
  (a)
99
61,072
Zurich Insurance Group AG (Financials)
  (a)
1,194
851,323
 
 
26,248,119
Germany7.7%
 
adidas AG (Consumer Discretionary)
  (a)
9,196
1,449,163
Allianz SE (Financials)
  (a)
8,730
3,617,606
BASF SE (Materials)
  (a)
16,257
982,350
Continental AG (Consumer Discretionary)
  (a)
1,958
134,600
Deutsche Bank AG (Financials)
  (a)
47,247
1,382,541
Deutsche Boerse AG (Financials)
  (a)
663
192,758
Deutsche Post AG (Industrials)
  (a)
16,658
859,073
Deutsche Telekom AG
(Communication Services)
  (a)
139,585
5,147,065
Fresenius Medical Care AG (Health Care)
  (a)
9,227
410,522
Common Stocks (Continued)
Shares
Value
Germany (continued)
 
Fresenius SE & Co. KGaA (Health Care)
  (a)
548
$28,071
GEA Group AG (Industrials)
  (a)
834
58,939
Hannover Rueck SE (Financials)
  (a)
340
105,231
Heidelberg Materials AG (Materials)
  (a)
731
150,556
Mercedes-Benz Group AG
(Consumer Discretionary)
  (a)
305
18,478
Muenchener
Rueckversicherungs-Gesellschaft AG in
Muenchen (Financials)
  (a)
944
588,045
Nemetschek SE (Information Technology)
  (a)
1,832
134,841
Nordex SE (Industrials)
 (a)(b)
3,938
207,411
Rational AG (Industrials)
  (a)
220
159,246
Rheinmetall AG (Industrials)
  (a)
728
1,214,087
RWE AG (Utilities)
  (a)
16,714
1,113,216
SAP SE (Information Technology)
  (a)
17,916
3,031,980
Siemens AG (Industrials)
  (a)
11,212
2,659,379
Siemens Energy AG (Industrials)
  (a)
13,210
2,174,043
Talanx AG (Financials)
  (a)
275
33,467
Zalando SE (Consumer Discretionary)
 (a)(b)
707
16,914
 
 
25,869,582
Australia6.2%
 
AGL Energy Ltd. (Utilities)
  (a)
64,458
439,750
APA Group (Utilities)
  (a)
15,787
108,560
Aristocrat Leisure Ltd.
(Consumer Discretionary)
  (a)
73,492
2,335,160
Aurizon Holdings Ltd. (Industrials)
  (a)
24,901
68,647
BHP Group Ltd. (Materials)
  (a)
131,686
4,811,573
Coles Group Ltd. (Consumer Staples)
  (a)
49,699
754,323
Commonwealth Bank of Australia (Financials)
  (a)
12,231
1,428,667
Computershare Ltd. (Industrials)
  (a)
59,825
1,181,473
CSL Ltd. (Health Care)
  (a)
9,316
915,190
Evolution Mining Ltd. (Materials)
  (a)
125,271
1,135,303
Fortescue Ltd. (Materials)
  (a)
163,468
2,309,151
Macquarie Group Ltd. (Financials)
  (a)
14,912
2,115,721
Orica Ltd. (Materials)
  (a)
55,048
770,450
QBE Insurance Group Ltd. (Financials)
  (a)
6,501
95,519
REA Group Ltd. (Communication Services)
  (a)
2,809
311,111
Regis Resources Ltd. (Materials)
  (a)
96,509
461,972
Rio Tinto Ltd. (Materials)
  (a)
10,071
1,132,321
Santos Ltd. (Energy)
  (a)
36,579
200,887
Transurban Group (Industrials)
  (a)
8,940
86,885
Westgold Resources Ltd. (Materials)
  (a)
15,987
68,164
Woodside Energy Group Ltd. (Energy)
  (a)
9,409
224,410
 
 
20,955,237
Spain5.3%
 
ACS Actividades de Construccion y Servicios
SA (Industrials)
  (a)
16,958
2,098,426
Banco Bilbao Vizcaya Argentaria SA
(Financials)
  (a)
50,314
1,098,170
Banco Santander SA (Financials)
  (a)
509,721
5,767,656
Bankinter SA (Financials)
  (a)
2,414
38,003
CaixaBank SA (Financials)
  (a)
5,633
67,587
Enagas SA (Utilities)
  (a)
24,582
488,348
Grifols SA (Health Care)
  (a)
10
105
Iberdrola SA (Utilities)
  (a)
232,676
5,341,247
Industria de Diseno Textil SA
(Consumer Discretionary)
  (a)
19,702
1,132,786
Naturgy Energy Group SA (Utilities)
  (a)
27,230
817,541
Repsol SA (Energy)
  (a)
1,522
42,762
Telefonica SA (Communication Services)
  (a)
232,627
1,028,640
 
 
17,921,271
Netherlands5.3%
 
Adyen N.V. (Financials)
 (a)(b)
240
240,156
Argenx SE (Health Care)
 (a)(b)
754
549,373
ASM International N.V.
(Information Technology)
  (a)
1,398
1,064,895
ASML Holding N.V. (Information Technology)
  (a)
8,603
11,387,251
12
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage International Equity Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Netherlands (continued)
 
Heineken Holding N.V. (Consumer Staples)
  (a)
1,188
$84,976
ING Groep N.V. (Financials)
  (a)
3,426
89,519
Koninklijke Ahold Delhaize N.V.
(Consumer Staples)
  (a)
63,502
2,964,515
Koninklijke Philips N.V. (Health Care)
  (a)
10,716
293,508
Wolters Kluwer N.V. (Industrials)
  (a)
12,673
948,069
 
 
17,622,262
Italy3.0%
 
Amplifon SpA (Health Care)
  (a)
16,726
182,535
Enel SpA (Utilities)
  (a)
175,222
1,907,618
Eni SpA (Energy)
  (a)
104,301
2,961,762
Generali (Financials)
  (a)
13,464
542,879
Intesa Sanpaolo SpA (Financials)
  (a)
241,663
1,469,001
Leonardo SpA (Industrials)
  (a)
6,371
427,928
Poste Italiane SpA (Financials)
  (a)
7,281
171,305
Prysmian SpA (Industrials)
  (a)
683
79,866
Recordati Industria Chimica e Farmaceutica
SpA (Health Care)
  (a)
1,185
67,408
Saipem SpA (Energy)
  (a)
136,495
624,216
Snam SpA (Utilities)
  (a)
5,352
40,705
UniCredit SpA (Financials)
  (a)
22,264
1,604,287
Unipol Assicurazioni SpA (Financials)
  (a)
1,102
25,797
 
 
10,105,307
Sweden2.6%
 
Assa Abloy AB Class B (Industrials)
  (a)
22,706
814,246
Atlas Copco AB Class B (Industrials)
  (a)
1,182
18,365
Evolution AB (Consumer Discretionary)
  (a)
504
31,433
H & M Hennes & Mauritz AB Class B
(Consumer Discretionary)
  (a)
3,147
58,671
Hexagon AB Class B (Information Technology)
  (a)
52,302
508,891
Saab AB Class B (Industrials)
  (a)
13,266
870,223
Sandvik AB (Industrials)
  (a)
45,944
1,755,763
Securitas AB Class B (Industrials)
  (a)
65,509
1,101,238
Skanska AB Class B (Industrials)
  (a)
45,677
1,231,903
Swedish Orphan Biovitrum AB (Health Care)
 (a)(b)
2,915
121,871
Tele2 AB Class B (Communication Services)
  (a)
56,449
1,160,381
Telefonaktiebolaget LM Ericsson Class B
(Information Technology)
  (a)
92,527
1,048,066
Telia Co. AB (Communication Services)
  (a)
9,425
48,195
 
 
8,769,246
Hong Kong2.6%
 
AIA Group Ltd. (Financials)
  (a)
413,400
4,644,073
CK Hutchison Holdings Ltd. (Industrials)
  (a)
303,500
2,332,518
Guotai Junan International Holdings Ltd.
(Financials)
  (a)
212,000
63,879
Jardine Matheson Holdings Ltd. (Industrials)
  (a)
11,900
854,258
SITC International Holdings Co. Ltd.
(Industrials)
  (a)
35,000
154,515
Techtronic Industries Co. Ltd. (Industrials)
  (a)
41,500
552,392
WH Group Ltd. (Consumer Staples)
  (a)
44,500
58,637
 
 
8,660,272
Norway1.6%
 
Aker BP ASA (Energy)
  (a)
20,619
756,981
DNB Bank ASA (Financials)
  (a)
32,073
1,000,274
Equinor ASA (Energy)
  (a)
34,275
1,450,727
Kongsberg Gruppen ASA (Industrials)
  (a)
35,312
1,511,997
Mowi ASA (Consumer Staples)
  (a)
16,522
375,291
Telenor ASA (Communication Services)
  (a)
14,173
249,622
 
 
5,344,892
Denmark1.3%
 
AP Moller - Maersk A/S Class B (Industrials)
  (a)
34
84,261
AP Moller - Maersk A/S Class A (Industrials)
  (a)
10
24,292
Common Stocks (Continued)
Shares
Value
Denmark (continued)
 
Danske Bank A/S (Financials)
  (a)
2,060
$100,009
Genmab A/S (Health Care)
 (a)(b)
1,589
425,155
Novo Nordisk A/S Class B (Health Care)
  (a)
39,439
1,453,295
Orsted A/S (Utilities)
 (a)(b)
2,238
54,794
Pandora A/S (Consumer Discretionary)
  (a)
4,582
321,817
Tryg A/S (Financials)
  (a)
31,427
752,284
Vestas Wind Systems A/S (Industrials)
  (a)
37,919
1,135,314
 
 
4,351,221
Israel1.0%
 
Bank Hapoalim BM (Financials)
  (a)
29,781
697,066
Bank Leumi Le-Israel BM (Financials)
  (a)
31,505
702,097
Elbit Systems Ltd. (Industrials)
  (a)
398
333,405
Israel Discount Bank Ltd. Class A (Financials)
  (a)
17,043
170,879
Mizrahi Tefahot Bank Ltd. (Financials)
  (a)
9,082
658,578
Nice Ltd. (Information Technology)
 (a)(b)
4,779
526,929
Nova Ltd. (Information Technology)
 (a)(b)
258
114,609
 
 
3,203,563
Singapore0.8%
 
DBS Group Holdings Ltd. (Financials)
  (a)
33,700
1,497,403
Oversea-Chinese Banking Corp. Ltd.
(Financials)
  (a)
2,500
43,057
Singapore Technologies Engineering Ltd.
(Industrials)
  (a)
68,300
582,099
Singapore Telecommunications Ltd.
(Communication Services)
  (a)
118,800
459,893
 
 
2,582,452
Belgium0.6%
 
Ageas SA / N.V. (Financials)
  (a)
16,000
1,171,874
UCB SA (Health Care)
  (a)
2,799
843,090
 
 
2,014,964
Finland0.5%
 
Elisa Oyj (Communication Services)
  (a)
326
15,806
Kone Oyj Class B (Industrials)
  (a)
567
36,150
Nokia Oyj (Information Technology)
  (a)
90,527
721,495
Nordea Bank Abp (Financials)
  (a)
2,409
41,465
Sampo Oyj Class A (Financials)
  (a)
51,444
551,244
Wartsila OYJ Abp (Industrials)
  (a)
8,048
300,928
 
 
1,667,088
Portugal0.5%
 
EDP SA (Utilities)
  (a)
304,757
1,613,487
Austria0.3%
 
Erste Group Bank AG (Financials)
  (a)
8,210
887,138
Luxembourg0.2%
 
Tenaris SA (Energy)
  (a)
22,146
646,874
Macao0.1%
 
Sands China Ltd. (Consumer Discretionary)
  (a)
184,800
392,770
Ireland0.0%
 
Experian PLC (Industrials)
  (a)
3,227
112,166
Kerry Group PLC Class A (Consumer Staples)
  (a)
753
59,634
 
 
171,800
Chile0.0%
 
Antofagasta PLC (Materials)
  (a)
1,055
46,933
Total Common Stocks (Cost $293,194,501)
 
$322,509,651
Total Investments – 96.1% (Cost $293,194,501)
  (c)
$322,509,651
Other Assets in Excess of Liabilities – 3.9%
  (d)
13,045,685
Net Assets – 100.0%
$335,555,336

Percentages are stated as a percent of net assets.
13
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage International Equity Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Footnotes:
 
(a)
Security traded on a foreign exchange has been valued at an estimate of fair value that is different than the local market close price. These fair value estimates
are determined by an independent fair valuation service that has been approved by the Board or its designee. These securities represent $322,509,651 or 96.1%
of the Portfolio’s net assets.
(b)
Non-income producing security.
(c)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(d)
Includes $286,826 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
MSCI EAFE Index - Long
49
June 19, 2026
$7,184,484
$7,107,695
$(76,789
)
$223,195
Total Futures Contracts
 
 
$7,184,484
$7,107,695
$(76,789
)
$223,195
The accompanying notes are an integral part of these financial statements.
14

AuguStar Variable Insurance Products Fund, Inc.
AVIP Fidelity Institutional AM® Equity Growth Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks98.9%
Shares
Value
Communication Services14.6%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
51,655
$14,853,912
Baidu, Inc. – ADR (Interactive Media & Svs.)
  (a)
1,777
197,993
Live Nation Entertainment, Inc.
(Entertainment)
  (a)
11,172
1,703,842
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
14,079
8,055,018
Netflix, Inc. (Entertainment)
  (a)
28,661
2,755,755
ROBLOX Corp. Class A (Entertainment)
  (a)
25,934
1,466,827
Tencent Holdings Ltd. (Interactive Media &
Svs.)
  (b)
44,688
2,821,239
 
 
31,854,586
Consumer Discretionary15.8%
 
Amazon.com, Inc. (Broadline Retail)
  (a)
93,580
19,489,907
BYD Co. Ltd. (Automobiles)
  (b)
128,878
1,766,973
Carnival Corp. (Hotels, Restaurants & Leisure)
 
21,110
546,327
D.R. Horton, Inc. (Household Durables)
 
5,139
705,174
eBay, Inc. (Broadline Retail)
 
5,792
527,188
Etsy, Inc. (Broadline Retail)
  (a)
11,227
561,125
Games Workshop Group PLC
(Leisure Products)
  (b)
2,809
662,143
Hesai Group – ADR (Automobile Components)
  (a)
51,601
986,611
Kering SA (Textiles, Apparel & Luxury Goods)
  (b)
783
236,769
Kura Sushi U.S.A., Inc. Class A (Hotels,
Restaurants & Leisure)
  (a)
4,588
320,197
Lowe's Cos., Inc. (Specialty Retail)
 
18,287
4,320,852
Savers Value Village, Inc. (Broadline Retail)
  (a)
37,247
277,118
Tesla, Inc. (Automobiles)
  (a)
8,856
3,292,218
TopBuild Corp. (Household Durables)
  (a)
2,621
920,757
 
 
34,613,359
Consumer Staples2.4%
 
British American Tobacco PLC – ADR
(Tobacco)
 
23,691
1,385,213
Estee Lauder Cos., Inc. / The Class A (Personal
Care Products)
 
16,848
1,209,181
Maplebear, Inc. (Consumer Staples
Distribution & Retail)
  (a)
6,452
241,692
Philip Morris International, Inc. (Tobacco)
 
14,049
2,322,861
 
 
5,158,947
Energy0.7%
 
Range Resources Corp. (Oil, Gas &
Consumable Fuels)
 
32,476
1,467,266
Financials4.7%
 
Arthur J. Gallagher & Co. (Insurance)
 
6,947
1,504,581
Bullish (Capital Markets)
  (a)
11,401
407,358
Coinbase Global, Inc. Class A
(Capital Markets)
  (a)
1,305
227,866
Figure Technology Solutions, Inc. Class A
(Consumer Finance)
  (a)
200
6,790
Goldman Sachs Group, Inc. / The
(Capital Markets)
 
1,707
1,444,105
Interactive Brokers Group, Inc. Class A
(Capital Markets)
 
6,345
425,559
Mastercard, Inc. Class A (Financial Services)
 
4,027
2,012,131
Moody's Corp. (Capital Markets)
 
255
111,244
Morgan Stanley (Capital Markets)
 
11,896
1,957,724
Robinhood Markets, Inc. Class A
(Capital Markets)
  (a)
3,380
234,234
Rocket Cos., Inc. Class A (Financial Services)
  (a)
55,711
793,882
Toast, Inc. Class A (Financial Services)
  (a)
46,135
1,223,039
 
 
10,348,513
Health Care15.4%
 
10X Genomics, Inc. Class A (Life Sciences
Tools & Svs.)
  (a)
10,075
213,892
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Aclaris Therapeutics, Inc. (Pharmaceuticals)
  (a)
2,837
$10,639
Align Technology, Inc. (Health Care Equip. &
Supplies)
  (a)
6,429
1,102,123
Alnylam Pharmaceuticals, Inc.
(Biotechnology)
  (a)
5,722
1,893,238
Beam Therapeutics, Inc. (Biotechnology)
  (a)
22,130
527,358
Biogen, Inc. (Biotechnology)
  (a)
12,685
2,325,541
BioNTech SE – ADR (Biotechnology)
  (a)
9,259
822,940
Bio-Techne Corp. (Life Sciences Tools & Svs.)
 
1,872
97,831
Centessa Pharmaceuticals PLC – ADR
(Biotechnology)
  (a)
11,382
452,093
Ceribell, Inc. (Health Care Equip. & Supplies)
  (a)
2,186
40,069
Chemometec A/S (Life Sciences Tools & Svs.)
  (b)
3,662
173,562
Codexis, Inc. (Life Sciences Tools & Svs.)
  (a)
37,883
61,749
Corcept Therapeutics, Inc. (Pharmaceuticals)
  (a)
8,974
361,742
Cytokinetics, Inc. (Biotechnology)
  (a)
9,503
626,343
Eikon Therapeutics, Inc. (Biotechnology)
  (a)
1,300
13,754
Eli Lilly & Co. (Pharmaceuticals)
 
7,979
7,338,845
Gilead Sciences, Inc. (Biotechnology)
 
18,958
2,642,176
HealthEquity, Inc. (Health Care Providers &
Svs.)
  (a)
17,137
1,432,139
Hookipa Pharma, Inc. (Biotechnology)
  (a)
679
713
Immuneering Corp. Class A (Biotechnology)
  (a)
6,769
35,673
Immunocore Holdings PLC – ADR
(Biotechnology)
  (a)
5,130
154,669
Janux Therapeutics, Inc. (Biotechnology)
  (a)
3,773
52,445
Krystal Biotech, Inc. (Biotechnology)
  (a)
476
122,960
Legend Biotech Corp. – ADR (Biotechnology)
  (a)
3,454
62,483
MaxCyte, Inc. (Life Sciences Tools & Svs.)
  (a)
22,645
15,908
Moderna, Inc. (Biotechnology)
  (a)
7,802
396,342
Natera, Inc. (Biotechnology)
  (a)
1,739
347,783
Newamsterdam Pharma Co. N.V.
(Biotechnology)
  (a)
9,903
316,995
Pulmonx Corp. (Health Care Equip. &
Supplies)
  (a)
1,299
1,676
Royalty Pharma PLC Class A
(Pharmaceuticals)
 
137,717
6,606,284
RxSight, Inc. (Health Care Equip. & Supplies)
  (a)
418
2,575
Teva Pharmaceutical Industries Ltd. – ADR
(Pharmaceuticals)
  (a)
59,891
1,803,917
UCB SA (Pharmaceuticals)
  (b)
9,065
2,730,478
Veeva Systems, Inc. Class A (Health Care
Technology)
  (a)
3,051
535,939
Vor BioPharma, Inc. (Biotechnology)
  (a)
324
5,780
XOMA Royalty Corp. (Biotechnology)
  (a)
6,031
189,192
Zevra Therapeutics, Inc. (Pharmaceuticals)
  (a)
15,546
144,889
 
 
33,662,735
Industrials9.2%
 
Boeing Co. / The (Aerospace & Defense)
  (a)
248
49,360
Carpenter Technology Corp. (Aerospace &
Defense)
 
5,679
2,238,378
Deere & Co. (Machinery)
 
4,876
2,746,651
Equifax, Inc. (Professional Svs.)
 
7,620
1,372,133
Ferguson Enterprises, Inc. (Trading Companies
& Distributors)
  (b)
6,415
1,505,420
Firefly Aerospace, Inc. (Aerospace &
Defense)
  (a)
400
11,388
Furukawa Electric Co. Ltd. (Electrical Equip.)
  (b)
1,905
363,998
GE Vernova, Inc. (Electrical Equip.)
 
3,979
3,473,269
General Electric Co. (Operating as "GE
Aerospace") (Aerospace & Defense)
 
12,397
3,517,897
Ingersoll Rand, Inc. (Machinery)
 
13,494
1,081,139
Loar Holdings, Inc. (Aerospace & Defense)
  (a)
57
3,266
Nextpower, Inc. Class A (Electrical Equip.)
  (a)
6,283
757,416
Simpson Manufacturing Co., Inc.
(Building Products)
 
541
92,846
15
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Fidelity Institutional AM® Equity Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
UL Solutions, Inc. Class A (Professional Svs.)
 
14,744
$1,263,708
Westinghouse Air Brake Technologies Corp.
(Machinery)
 
6,551
1,637,160
 
 
20,114,029
Information Technology34.4%
 
Accenture PLC Class A (IT Svs.)
 
185
36,684
Appfolio, Inc. Class A (Software)
  (a)
450
71,019
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
46,573
11,819,762
Arista Networks, Inc.
(Communications Equip.)
  (a)
24,999
3,069,377
ASML Holding N.V. (Semiconductors & Equip.)
 
330
435,874
Astera Labs, Inc. (Semiconductors & Equip.)
  (a)
436
47,786
BE Semiconductor Industries N.V.
(Semiconductors & Equip.)
  (b)
5,278
1,113,594
BitMine Immersion Technologies, Inc.
(Software)
 
5,179
102,441
Broadcom, Inc. (Semiconductors & Equip.)
 
13,706
4,242,144
Figma, Inc. Class A (Software)
  (a)
706
14,925
HubSpot, Inc. (Software)
  (a)
2,824
689,338
Intel Corp. (Semiconductors & Equip.)
  (a)
4,974
219,503
Micron Technology, Inc. (Semiconductors &
Equip.)
 
3,599
1,215,886
Microsoft Corp. (Software)
 
13,812
5,112,788
Nutanix, Inc. Class A (Software)
  (a)
12,774
485,540
NVIDIA Corp. (Semiconductors & Equip.)
 
157,112
27,400,333
Palo Alto Networks, Inc. (Software)
  (a)
8,760
1,404,403
SailPoint, Inc. (Software)
  (a)
1,877
24,851
Samsara, Inc. Class A (Software)
  (a)
28,652
907,982
ServiceTitan, Inc. Class A (Software)
  (a)
14,160
898,593
Shopify, Inc. Class A (IT Svs.)
  (a)
34,748
4,121,808
SiTime Corp. (Semiconductors & Equip.)
  (a)
3,852
1,330,288
Snowflake, Inc. (IT Svs.)
  (a)
4,738
714,585
Synopsys, Inc. (Software)
  (a)
2,702
1,071,289
Taiwan Semiconductor Manufacturing Co. Ltd.
– ADR (Semiconductors & Equip.)
 
23,716
8,014,822
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Zeta Global Holdings Corp. Class A (Software)
  (a)
23,575
$375,314
Zscaler, Inc. (Software)
  (a)
1,206
169,190
 
 
75,110,119
Materials1.1%
 
Eagle Materials, Inc. (Construction Materials)
 
516
97,756
Martin Marietta Materials, Inc.
(Construction Materials)
 
1,934
1,138,507
Vale SA – ADR (Metals & Mining)
 
76,103
1,210,799
 
 
2,447,062
Real Estate0.6%
 
Compass, Inc. Class A (Real Estate Mgmt. &
Development)
  (a)
31,580
230,850
Zillow Group, Inc. Class A (Real Estate Mgmt.
& Development)
  (a)
5,516
228,307
Zillow Group, Inc. Class C (Real Estate Mgmt.
& Development)
  (a)
22,421
927,781
 
 
1,386,938
Total Common Stocks (Cost $207,070,944)
 
$216,163,554
Rights0.0%
Quantity
Value
Health Care0.0%
 
Blueprint Medicines Corp. CVR (Acquired
July 21, 2025, Cost $184) (Biotechnology)
 (a)(c)
399
$183
Gamida Cell Ltd. CVR (Acquired July 31, 2023
through August 28, 2023, Cost $44,288)
(Biotechnology)
 (a)(c)
33,274
 —
Total Rights (Cost $44,472)
 
$183
Total Investments – 98.9% (Cost $207,115,416)
  (d)
$216,163,737
Other Assets in Excess of Liabilities – 1.1%
 
2,365,618
Net Assets – 100.0%
$218,529,355

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
CVR:
Contingent Value Right
Footnotes:
 
(a)
Non-income producing security.
(b)
Security traded on a foreign exchange has been valued at an estimate of fair value that is different than the local market close price. These fair value estimates
are determined by an independent fair valuation service that has been approved by the Board or its designee. These securities represent $11,374,176 or 5.2% of
the Portfolio’s net assets.
(c)
Represents a security deemed to be restricted. At March 31, 2026, the value of restricted securities in the Portfolio totaled $183, or 0.0% of the Portfolio’s net
assets.
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
16

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Small Cap Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks98.5%
Shares
Value
Communication Services1.9%
 
Cargurus, Inc. (Interactive Media & Svs.)
  (a)
8,430
$287,042
Cinemark Holdings, Inc. (Entertainment)
 
6,250
178,250
DoubleVerify Holdings, Inc. (Media)
  (a)
30,070
285,665
IAC, Inc. (Interactive Media & Svs.)
  (a)
11,103
444,453
John Wiley & Sons, Inc. Class A (Media)
 
2,150
81,915
Lumen Technologies, Inc. (Diversified Telecom.
Svs.)
  (a)
93,570
650,311
Madison Square Garden Sports Corp.
(Entertainment)
  (a)
1,740
559,236
Match Group, Inc. (Interactive Media & Svs.)
 
21,100
647,981
Shutterstock, Inc. (Interactive Media & Svs.)
 
2,280
37,871
Sphere Entertainment Co. (Entertainment)
  (a)
2,400
281,760
Telephone & Data Systems, Inc. (Wireless
Telecom. Svs.)
 
9,780
411,738
Uniti Group, Inc. (Diversified Telecom. Svs.)
  (a)
50,000
469,000
Versant Media Group, Inc. (Media)
 
13,754
509,173
Yelp, Inc. (Interactive Media & Svs.)
  (a)
2,696
66,699
Ziff Davis, Inc. (Interactive Media & Svs.)
  (a)
7,200
302,112
 
 
5,213,206
Consumer Discretionary10.1%
 
Academy Sports & Outdoors, Inc.
(Specialty Retail)
 
6,609
373,078
Acushnet Holdings Corp. (Leisure Products)
 
4,446
415,612
Adient PLC (Automobile Components)
  (a)
10,880
219,885
ADT, Inc. (Diversified Consumer Svs.)
 
47,627
312,909
Advance Auto Parts, Inc. (Specialty Retail)
 
5,903
311,383
Asbury Automotive Group, Inc.
(Specialty Retail)
  (a)
1,936
378,314
Boot Barn Holdings, Inc. (Specialty Retail)
  (a)
3,060
447,862
Brinker International, Inc. (Hotels, Restaurants
& Leisure)
  (a)
3,799
542,383
Buckle, Inc. / The (Specialty Retail)
 
2,600
130,936
Caesars Entertainment, Inc. (Hotels,
Restaurants & Leisure)
  (a)
10,960
289,673
CarMax, Inc. (Specialty Retail)
  (a)
14,503
603,035
Carter's, Inc. (Textiles, Apparel & Luxury
Goods)
 
7,100
253,896
Cava Group, Inc. (Hotels, Restaurants &
Leisure)
  (a)
18,441
1,491,877
Cavco Industries, Inc. (Household Durables)
  (a)
780
377,746
Century Communities, Inc.
(Household Durables)
 
6,460
370,675
Champion Homes, Inc. (Household Durables)
  (a)
5,300
394,161
Cheesecake Factory, Inc. / The (Hotels,
Restaurants & Leisure)
 
6,980
382,155
Covista, Inc. (Diversified Consumer Svs.)
  (a)
3,600
414,900
Cracker Barrel Old Country Store, Inc. (Hotels,
Restaurants & Leisure)
 
1,380
38,792
Dana, Inc. (Automobile Components)
 
6,870
231,176
Dorman Products, Inc.
(Automobile Components)
  (a)
2,640
275,510
Etsy, Inc. (Broadline Retail)
  (a)
9,840
491,803
Frontdoor, Inc. (Diversified Consumer Svs.)
  (a)
7,261
383,816
Gentherm, Inc. (Automobile Components)
  (a)
12,320
342,250
G-III Apparel Group Ltd. (Textiles, Apparel &
Luxury Goods)
 
3,240
89,748
Golden Entertainment, Inc. (Hotels,
Restaurants & Leisure)
 
2,690
71,796
Green Brick Partners, Inc.
(Household Durables)
  (a)
6,030
388,634
Group 1 Automotive, Inc. (Specialty Retail)
 
1,302
430,480
Installed Building Products, Inc.
(Household Durables)
 
2,028
537,724
Kohl's Corp. (Broadline Retail)
 
5,490
70,821
Kontoor Brands, Inc. (Textiles, Apparel &
Luxury Goods)
 
5,100
358,479
Laureate Education, Inc. (Diversified Consumer
Svs.)
  (a)
12,000
418,080
LCI Industries (Automobile Components)
 
2,250
276,705
Life Time Group Holdings, Inc. (Hotels,
Restaurants & Leisure)
  (a)
13,590
366,115
LKQ Corp. (Distributors)
 
24,490
719,271
M/I (Household Durables)
  (a)
2,620
320,819
Common Stocks (Continued)
Shares
Value
Consumer Discretionary (continued)
 
Matthews International Corp. Class A
(Diversified Consumer Svs.)
 
10,500
$271,110
Meritage Homes Corp. (Household Durables)
 
5,820
359,909
Mister Car Wash, Inc. (Diversified Consumer
Svs.)
  (a)
36,680
255,660
Mohawk Industries, Inc. (Household Durables)
  (a)
4,970
489,346
Monarch Casino & Resort, Inc. (Hotels,
Restaurants & Leisure)
 
2,790
266,724
National Vision Holdings, Inc.
(Specialty Retail)
  (a)
69,765
1,806,913
Oxford Industries, Inc. (Textiles, Apparel &
Luxury Goods)
 
950
36,585
Patrick Industries, Inc.
(Automobile Components)
 
780
86,635
Penn Entertainment, Inc. (Hotels, Restaurants
& Leisure)
  (a)
24,430
367,183
Phinia, Inc. (Automobile Components)
 
5,200
355,888
Portillo's, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
125,525
664,027
Red Rock Resorts, Inc. Class A (Hotels,
Restaurants & Leisure)
 
4,676
249,511
Rush Street Interactive, Inc. (Hotels,
Restaurants & Leisure)
  (a)
98,036
2,132,283
Shake Shack, Inc. Class A (Hotels, Restaurants
& Leisure)
  (a)
3,990
352,995
SharkNinja, Inc. (Household Durables)
  (a)
17,493
1,852,509
Signet Jewelers Ltd. (Specialty Retail)
 
4,094
346,516
Sonic Automotive, Inc. Class A
(Specialty Retail)
 
3,800
260,566
Sonos, Inc. (Household Durables)
  (a)
9,149
122,597
Steven Madden Ltd. (Textiles, Apparel &
Luxury Goods)
 
11,220
380,582
Stride, Inc. (Diversified Consumer Svs.)
  (a)
4,230
372,959
Texas Roadhouse, Inc. (Hotels, Restaurants &
Leisure)
 
880
145,323
Tri Pointe Homes, Inc. (Household Durables)
  (a)
3,403
159,022
Urban Outfitters, Inc. (Specialty Retail)
  (a)
5,330
337,656
Victoria's Secret & Co. (Specialty Retail)
  (a)
7,473
346,448
Wendy's Co. / The (Hotels, Restaurants &
Leisure)
 
30,960
215,172
Winmark Corp. (Specialty Retail)
 
600
256,530
Winnebago Industries, Inc. (Automobiles)
 
1,670
51,753
Wolverine World Wide, Inc. (Textiles, Apparel
& Luxury Goods)
 
10,600
172,992
YETI Holdings, Inc. (Leisure Products)
  (a)
30,444
1,113,946
 
 
27,351,839
Consumer Staples3.0%
 
Cal-Maine Foods, Inc. (Food Products)
 
875
69,256
Celsius Holdings, Inc. (Beverages)
  (a)
30,076
1,067,096
Chefs' Warehouse, Inc. / The (Consumer
Staples Distribution & Retail)
  (a)
34,171
2,031,466
Energizer Holdings, Inc. (Household Products)
 
950
15,599
Fresh Del Monte Produce, Inc.
(Food Products)
 
2,546
102,502
Freshpet, Inc. (Food Products)
  (a)
25,840
1,523,526
Grocery Outlet Holding Corp. (Consumer
Staples Distribution & Retail)
  (a)
22,340
157,497
Interparfums, Inc. (Personal Care Products)
 
1,775
161,241
J & J Snack Foods Corp. (Food Products)
 
3,450
273,482
Lamb Weston Holdings, Inc. (Food Products)
 
12,410
524,447
Once Upon a Farm PBC (Food Products)
  (a)
33,842
553,317
PriceSmart, Inc. (Consumer Staples
Distribution & Retail)
 
2,500
376,250
Reynolds Consumer Products, Inc.
(Household Products)
 
11,390
241,240
Simply Good Foods Co. / The (Food Products)
  (a)
14,900
213,815
United Natural Foods, Inc. (Consumer Staples
Distribution & Retail)
  (a)
6,440
290,186
Universal Corp. (Tobacco)
 
1,179
62,133
Vita Coco Co., Inc. / The (Beverages)
  (a)
3,915
187,568
WD-40 Co. (Household Products)
 
2,050
418,077
 
 
8,268,698
17
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Small Cap Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Energy5.3%
 
Antero Midstream Corp. (Oil, Gas &
Consumable Fuels)
 
88,618
$2,020,490
Archrock, Inc. (Energy Equip. & Svs.)
 
15,290
532,092
Bristow Group, Inc. (Energy Equip. & Svs.)
 
5,740
269,149
Cactus, Inc. Class A (Energy Equip. & Svs.)
 
6,620
313,589
California Resources Corp. (Oil, Gas &
Consumable Fuels)
 
7,230
500,461
Comstock Resources, Inc. (Oil, Gas &
Consumable Fuels)
  (a)
13,800
290,904
Core Natural Resources, Inc. (Oil, Gas &
Consumable Fuels)
 
5,143
538,626
Crescent Energy Co. Class A (Oil, Gas &
Consumable Fuels)
 
21,700
292,950
Helmerich & Payne, Inc. (Energy Equip. & Svs.)
 
8,410
303,012
Innovex International, Inc. (Energy Equip. &
Svs.)
  (a)
10,340
252,193
International Seaways, Inc. (Oil, Gas &
Consumable Fuels)
 
2,600
189,488
Kinetik Holdings, Inc. (Oil, Gas & Consumable
Fuels)
 
8,759
424,023
Kodiak Gas Services, Inc. (Energy Equip. &
Svs.)
 
7,780
453,730
Liberty Energy, Inc. (Energy Equip. & Svs.)
 
15,590
448,992
Magnolia Oil & Gas Corp. Class A (Oil, Gas &
Consumable Fuels)
 
18,380
580,257
Matador Resources Co. (Oil, Gas &
Consumable Fuels)
 
11,011
695,675
Noble Corp. PLC (Energy Equip. & Svs.)
 
7,410
363,609
Northern Oil & Gas, Inc. (Oil, Gas &
Consumable Fuels)
 
11,600
339,068
Oceaneering International, Inc. (Energy Equip.
& Svs.)
  (a)
9,320
330,580
Par Pacific Holdings, Inc. (Oil, Gas &
Consumable Fuels)
  (a)
2,840
177,898
Patterson-UTI Energy, Inc. (Energy Equip. &
Svs.)
 
30,860
334,214
Peabody Energy Corp. (Oil, Gas & Consumable
Fuels)
 
12,054
397,179
Permian Resources Corp. Class A (Oil, Gas &
Consumable Fuels)
 
100,005
2,132,107
SM Energy Co. (Oil, Gas & Consumable Fuels)
 
21,383
666,722
Tidewater, Inc. (Energy Equip. & Svs.)
  (a)
4,270
356,758
Uranium Energy Corp. (Oil, Gas & Consumable
Fuels)
  (a)
92,569
1,249,681
World Kinect Corp. (Oil, Gas & Consumable
Fuels)
 
3,640
83,975
 
 
14,537,422
Financials13.0%
 
Acadian Asset Management, Inc.
(Capital Markets)
 
8,927
485,807
Accelerant Holdings Class A (Insurance)
  (a)
41,642
556,337
Ameris Bancorp (Banks)
 
6,360
496,016
Apollo Commercial Real Estate Finance, Inc.
(Mortgage REIT)
 
40,800
430,848
Assured Guaranty Ltd. (Insurance)
 
1,370
111,628
Atlantic Union Bankshares Corp. (Banks)
 
14,125
504,828
Axos Financial, Inc. (Banks)
  (a)
5,590
475,653
Banc of California, Inc. (Banks)
 
22,480
395,198
BancFirst Corp. (Banks)
 
2,200
238,700
Bancorp, Inc. / The (Banks)
  (a)
4,570
245,546
Bank of Hawaii Corp. (Banks)
 
3,720
276,210
BankUnited, Inc. (Banks)
 
7,450
336,442
Beacon Financial Corp. (Banks)
 
16,076
482,280
BGC Group, Inc. Class A (Capital Markets)
 
10,380
101,516
Blackstone Mortgage Trust, Inc. Class A
(Mortgage REIT)
 
2,600
49,790
Bread Financial Holdings, Inc.
(Consumer Finance)
 
3,710
277,842
Cathay General Bancorp (Banks)
 
6,850
341,541
Community Financial System, Inc. (Banks)
 
5,240
307,326
Customers Bancorp, Inc. (Banks)
  (a)
2,500
173,525
CVB Financial Corp. (Banks)
 
500
9,695
Ellington Financial, Inc. (Mortgage REIT)
 
19,600
232,260
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Enact Holdings, Inc. (Financial Services)
 
7,320
$298,729
Enova International, Inc. (Consumer Finance)
  (a)
1,900
258,077
FB Financial Corp. (Banks)
 
3,190
165,689
Figure Technology Solutions, Inc. Class A
(Consumer Finance)
  (a)
21,095
716,175
First Bancorp North Carolina (Banks)
 
5,430
305,981
First BanCorp Puerto Rico (Banks)
 
15,800
337,488
First Financial Bancorp (Banks)
 
10,730
299,152
First Hawaiian, Inc. (Banks)
 
12,350
304,304
First Interstate BancSystem, Inc. Class A
(Banks)
 
8,836
295,122
FirstCash Holdings, Inc. (Consumer Finance)
 
12,348
2,321,424
Franklin BSP Realty Trust, Inc.
(Mortgage REIT)
 
25,900
219,891
Fulton Financial Corp. (Banks)
 
18,050
367,137
Genworth Financial, Inc. (Insurance)
  (a)
40,680
330,322
HA Sustainable Infrastructure Capital, Inc.
(Financial Services)
 
12,280
451,290
HCI Group, Inc. (Insurance)
 
1,460
225,731
Hilltop Holdings, Inc. (Banks)
 
8,420
301,604
Horace Mann Educators Corp. (Insurance)
 
3,140
134,015
Independent Bank Corp. (Banks)
 
4,943
371,763
Jackson Financial, Inc. Class A
(Financial Services)
 
6,907
730,208
Lincoln National Corp. (Insurance)
 
16,720
593,560
Marex Group PLC (Capital Markets)
 
44,252
1,972,754
MarketAxess Holdings, Inc. (Capital Markets)
 
3,600
593,928
Mercury General Corp. (Insurance)
 
3,300
290,895
Moelis & Co. Class A (Capital Markets)
 
7,330
417,810
Navient Corp. (Consumer Finance)
 
28,240
231,003
NBT Bancorp, Inc. (Banks)
 
6,710
285,712
NCR Atleos Corp. (Financial Services)
  (a)
7,290
317,698
Neptune Insurance Holdings, Inc. Class A
(Insurance)
  (a)
30,955
748,801
NMI Holdings, Inc. (Financial Services)
  (a)
7,684
288,227
OFG Bancorp (Banks)
 
6,350
256,921
Palomar Holdings, Inc. (Insurance)
  (a)
2,650
316,675
Pathward Financial, Inc. (Banks)
 
2,070
184,706
Payoneer Global, Inc. (Financial Services)
  (a)
45,120
217,930
Piper Sandler Cos. (Capital Markets)
 
31,948
2,445,619
PJT Partners, Inc. Class A (Capital Markets)
 
2,360
329,739
ProAssurance Corp. (Insurance)
  (a)
7,110
175,759
PROG Holdings, Inc. (Consumer Finance)
 
2,390
68,569
Provident Financial Services, Inc. (Banks)
 
20,120
425,739
Radian Group, Inc. (Financial Services)
 
13,420
443,934
Renasant Corp. (Banks)
 
9,419
340,308
Rithm Capital Corp. (Mortgage REIT)
 
49,700
471,156
S&T Bancorp, Inc. (Banks)
 
10,490
438,797
Safety Insurance Group, Inc. (Insurance)
 
3,540
257,146
Seacoast Banking Corp. of Florida (Banks)
 
8,730
264,432
ServisFirst Bancshares, Inc. (Banks)
 
4,980
362,693
Simmons First National Corp. Class A (Banks)
 
13,390
260,436
Stellar Bancorp, Inc. (Banks)
 
8,920
326,561
StepStone Group, Inc. Class A
(Capital Markets)
 
7,130
340,244
Stewart Information Services Corp.
(Insurance)
 
4,150
255,557
Stifel Financial Corp. (Capital Markets)
 
20,376
1,506,194
StoneX Group, Inc. (Capital Markets)
  (a)
6,865
553,662
Tompkins Financial Corp. (Banks)
 
90
7,096
Trupanion, Inc. (Insurance)
  (a)
8,780
224,856
Two Harbors Investment Corp.
(Mortgage REIT)
 
9,510
108,604
United Community Banks, Inc. (Banks)
 
12,036
379,014
Victory Capital Holdings, Inc. Class A
(Capital Markets)
 
4,435
290,404
Virtu Financial, Inc. Class A (Capital Markets)
 
7,500
329,850
WaFd, Inc. (Banks)
 
13,320
418,248
Walker & Dunlop, Inc. (Financial Services)
 
4,640
205,923
Westamerica BanCorp (Banks)
 
2,230
116,295
Western Alliance Bancorp (Banks)
 
20,434
1,447,749
WisdomTree, Inc. (Capital Markets)
 
10,600
154,336
World Acceptance Corp. (Consumer Finance)
  (a)
1,836
247,933
WSFS Financial Corp. (Banks)
 
4,771
312,310
 
 
35,188,873
18
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Small Cap Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Health Care18.2%
 
Acadia Healthcare Co., Inc. (Health Care
Providers & Svs.)
  (a)
14,010
$327,694
Addus HomeCare Corp. (Health Care Providers
& Svs.)
  (a)
3,480
325,902
ADMA Biologics, Inc. (Biotechnology)
  (a)
23,650
213,087
Alkermes PLC (Biotechnology)
  (a)
16,360
578,490
AMN Healthcare Services, Inc. (Health Care
Providers & Svs.)
  (a)
2,150
39,431
Amneal Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
16,038
199,352
Amphastar Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
13,430
263,094
ANI Pharmaceuticals, Inc. (Pharmaceuticals)
  (a)
1,630
125,347
Apellis Pharmaceuticals, Inc. (Biotechnology)
  (a)
9,679
389,386
Apogee Therapeutics, Inc. (Biotechnology)
  (a)
13,782
1,160,031
Arcus Biosciences, Inc. (Biotechnology)
  (a)
11,080
239,328
Ascendis Pharma A/S – ADR (Biotechnology)
  (a)
3,584
819,768
Astrana Health, Inc. (Health Care Providers &
Svs.)
  (a)
9,810
240,541
AtriCure, Inc. (Health Care Equip. & Supplies)
  (a)
45,253
1,291,068
Azenta, Inc. (Life Sciences Tools & Svs.)
  (a)
4,857
102,628
Billiontoone, Inc. Class A (Health Care
Providers & Svs.)
  (a)
5,892
465,114
BioLife Solutions, Inc. (Life Sciences Tools &
Svs.)
  (a)
10,000
190,800
Bridgebio Pharma, Inc. (Biotechnology)
  (a)
25,559
1,898,011
BrightSpring Health Services, Inc. (Health Care
Providers & Svs.)
  (a)
63,152
2,690,907
Celcuity, Inc. (Biotechnology)
  (a)
10,261
1,171,191
Certara, Inc. (Health Care Technology)
  (a)
27,670
157,719
CG oncology, Inc. (Biotechnology)
  (a)
17,127
1,159,155
CONMED Corp. (Health Care Equip. &
Supplies)
 
1,540
54,454
Corcept Therapeutics, Inc. (Pharmaceuticals)
  (a)
9,290
374,480
CorVel Corp. (Health Care Providers & Svs.)
  (a)
5,060
276,529
Denali Therapeutics, Inc. (Biotechnology)
  (a)
37,852
726,758
Dianthus Therapeutics, Inc. (Biotechnology)
  (a)
12,476
1,046,986
Edgewise Therapeutics, Inc.
(Pharmaceuticals)
  (a)
24,636
776,034
Eikon Therapeutics, Inc. (Biotechnology)
  (a)
24,676
261,072
Enliven Therapeutics, Inc. (Pharmaceuticals)
  (a)
17,666
692,507
Erasca, Inc. (Biotechnology)
  (a)
35,292
571,025
Glaukos Corp. (Health Care Equip. & Supplies)
  (a)
22,542
2,426,872
Guardant Health, Inc. (Health Care Providers &
Svs.)
  (a)
28,125
2,597,906
Halozyme Therapeutics, Inc. (Biotechnology)
  (a)
9,864
637,510
Harmony Biosciences Holdings, Inc.
(Pharmaceuticals)
  (a)
13,300
372,533
HeartFlow, Inc. (Health Care Technology)
  (a)
31,940
777,100
ICU Medical, Inc. (Health Care Equip. &
Supplies)
  (a)
2,450
316,417
Indivior Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
11,900
362,712
Inspire Medical Systems, Inc. (Health Care
Equip. & Supplies)
  (a)
2,600
134,108
Integer Holdings Corp. (Health Care Equip. &
Supplies)
  (a)
3,220
283,360
Integra LifeSciences Holdings Corp. (Health
Care Equip. & Supplies)
  (a)
19,330
182,089
Kestra Medical Technologies Ltd. (Health Care
Equip. & Supplies)
  (a)
31,839
634,551
Krystal Biotech, Inc. (Biotechnology)
  (a)
2,550
658,716
Kymera Therapeutics, Inc. (Biotechnology)
  (a)
12,177
1,014,222
LeMaitre Vascular, Inc. (Health Care Equip. &
Supplies)
 
4,360
475,981
Ligand Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
1,900
379,335
Lumexa Imaging Holdings, Inc. (Health Care
Providers & Svs.)
  (a)
44,190
380,034
Madrigal Pharmaceuticals, Inc.
(Biotechnology)
  (a)
1,707
893,563
Merit Medical Systems, Inc. (Health Care
Equip. & Supplies)
  (a)
5,870
404,619
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Mineralys Therapeutics, Inc. (Biotechnology)
  (a)
21,112
$571,924
Molina Healthcare, Inc. (Health Care Providers
& Svs.)
  (a)
4,600
613,180
National HealthCare Corp. (Health Care
Providers & Svs.)
 
2,610
416,817
Neogen Corp. (Health Care Equip. & Supplies)
  (a)
24,980
232,064
Newamsterdam Pharma Co. N.V.
(Biotechnology)
  (a)
16,405
525,124
Nuvalent, Inc. Class A (Biotechnology)
  (a)
10,835
1,110,046
Ocular Therapeutix, Inc. (Pharmaceuticals)
  (a)
61,693
522,540
Organon & Co. (Pharmaceuticals)
 
27,600
165,324
Palvella Therapeutics, Inc. (Biotechnology)
  (a)
6,174
769,589
Prestige Consumer Healthcare, Inc.
(Pharmaceuticals)
  (a)
4,880
289,238
Protagonist Therapeutics, Inc. (Biotechnology)
  (a)
5,800
611,320
PTC Therapeutics, Inc. (Biotechnology)
  (a)
7,738
527,190
RadNet, Inc. (Health Care Providers & Svs.)
  (a)
2,000
111,780
Rapport Therapeutics, Inc. (Pharmaceuticals)
  (a)
16,997
531,836
Repligen Corp. (Life Sciences Tools & Svs.)
  (a)
11,040
1,300,733
Rhythm Pharmaceuticals, Inc. (Biotechnology)
  (a)
12,709
1,105,302
Sarepta Therapeutics, Inc. (Biotechnology)
  (a)
15,556
338,499
Select Medical Holdings Corp. (Health Care
Providers & Svs.)
 
25,110
409,042
Structure Therapeutics, Inc. – ADR
(Pharmaceuticals)
  (a)
8,542
411,724
Supernus Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
3,810
196,939
Teleflex, Inc. (Health Care Equip. & Supplies)
 
4,380
523,892
Terns Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
14,020
739,134
TG Therapeutics, Inc. (Biotechnology)
  (a)
13,450
446,809
TransMedics Group, Inc. (Health Care Equip. &
Supplies)
  (a)
3,380
336,006
Trevi Therapeutics, Inc. (Pharmaceuticals)
  (a)
67,907
810,131
UFP Technologies, Inc. (Health Care Equip. &
Supplies)
  (a)
1,760
340,736
Vera Therapeutics, Inc. (Biotechnology)
  (a)
17,996
723,979
Veracyte, Inc. (Biotechnology)
  (a)
7,180
231,268
Vericel Corp. (Biotechnology)
  (a)
6,320
203,314
Vir Biotechnology, Inc. (Biotechnology)
  (a)
7,820
70,067
Viridian Therapeutics, Inc. (Biotechnology)
  (a)
30,442
595,446
Waystar Holding Corp. (Health Care
Technology)
  (a)
11,427
275,505
Xenon Pharmaceuticals, Inc. (Biotechnology)
  (a)
19,405
1,128,401
Zenas Biopharma, Inc. (Biotechnology)
  (a)
22,163
433,287
 
 
49,377,703
Industrials21.4%
 
AAR Corp. (Aerospace & Defense)
  (a)
3,813
417,371
Air Lease Corp. (Trading Companies &
Distributors)
 
7,713
500,882
Alamo Group, Inc. (Machinery)
 
1,980
326,641
Amentum Holdings, Inc. (Professional Svs.)
  (a)
5,400
140,832
Apogee Enterprises, Inc. (Building Products)
 
8,050
269,997
ArcBest Corp. (Ground Transportation)
 
1,059
104,163
Arcosa, Inc. (Construction & Engineering)
 
4,510
478,691
Argan, Inc. (Construction & Engineering)
 
1,240
675,366
Armstrong World Industries, Inc.
(Building Products)
 
4,190
690,512
AZZ, Inc. (Building Products)
 
2,970
371,636
Bloom Energy Corp. Class A (Electrical Equip.)
  (a)
23,803
3,225,068
Boise Cascade Co. (Trading Companies &
Distributors)
 
3,690
279,886
Brady Corp. Class A (Commercial Svs. &
Supplies)
 
4,030
327,397
Casella Waste Systems, Inc. Class A
(Commercial Svs. & Supplies)
  (a)
2,840
225,326
CoreCivic, Inc. (Commercial Svs. & Supplies)
  (a)
14,930
282,326
CSW Industrials, Inc. (Building Products)
 
1,670
435,169
DXP Enterprises, Inc. (Trading Companies &
Distributors)
  (a)
3,100
433,163
Enerpac Tool Group Corp. (Machinery)
 
9,220
336,253
Enpro, Inc. (Machinery)
 
9,210
2,308,486
Enviri Corp. (Commercial Svs. & Supplies)
  (a)
14,660
287,629
19
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Small Cap Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
ESCO Technologies, Inc. (Machinery)
 
10,834
$3,048,363
Everus Construction Group, Inc. (Construction
& Engineering)
  (a)
20,892
2,466,510
Federal Signal Corp. (Machinery)
 
5,870
634,782
Forgent Power Solutions, Inc.
(Electrical Equip.)
  (a)
29,129
852,606
Franklin Electric Co., Inc. (Machinery)
 
3,790
349,324
FTI Consulting, Inc. (Professional Svs.)
  (a)
10,578
1,869,873
Gates Industrial Corp. PLC (Machinery)
  (a)
25,532
577,279
Generac Holdings, Inc. (Electrical Equip.)
  (a)
6,540
1,277,458
GEO Group, Inc. / The (Commercial Svs. &
Supplies)
  (a)
20,610
346,454
Gibraltar Industries, Inc. (Building Products)
  (a)
6,230
248,390
Granite Construction, Inc. (Construction &
Engineering)
 
3,970
475,924
Hayward Holdings, Inc. (Building Products)
  (a)
19,760
264,389
Hertz Global Holdings, Inc.
(Ground Transportation)
  (a)
48,400
223,124
HNI Corp. (Commercial Svs. & Supplies)
 
6,170
206,016
Hub Group, Inc. Class A (Air Freight &
Logistics)
 
6,970
251,199
Insperity, Inc. (Professional Svs.)
 
6,900
186,576
Interface, Inc. (Commercial Svs. & Supplies)
 
5,870
146,280
ITT, Inc. (Machinery)
 
8,822
1,680,856
JBT Marel Corp. (Machinery)
 
4,654
595,107
JetBlue Airways Corp. (Passenger Airlines)
  (a)
59,430
262,681
Kadant, Inc. (Machinery)
 
1,170
342,049
Karman Holdings, Inc. (Aerospace & Defense)
  (a)
15,032
1,203,312
Kennametal, Inc. (Machinery)
 
6,910
249,658
Korn Ferry (Professional Svs.)
 
5,140
323,563
Kratos Defense & Security Solutions, Inc.
(Aerospace & Defense)
  (a)
30,843
2,174,740
Lyft, Inc. Class A (Ground Transportation)
  (a)
35,600
473,480
ManpowerGroup, Inc. (Professional Svs.)
 
7,000
206,220
Marten Transport Ltd. (Ground Transportation)
 
4,660
61,186
Masterbrand, Inc. (Building Products)
  (a)
6,500
54,015
Matson, Inc. (Marine Transportation)
 
3,154
517,067
Mercury Systems, Inc. (Aerospace & Defense)
  (a)
5,225
380,955
MillerKnoll, Inc. (Commercial Svs. & Supplies)
 
3,990
57,695
Modine Manufacturing Co. (Building Products)
  (a)
12,081
2,618,074
Mueller Water Products, Inc. Class A
(Machinery)
 
15,490
425,820
MYR Group, Inc. (Construction & Engineering)
  (a)
620
175,038
Nextpower, Inc. Class A (Electrical Equip.)
  (a)
25,875
3,119,231
OPENLANE, Inc. (Commercial Svs. & Supplies)
  (a)
10,540
307,241
Paycom Software, Inc. (Professional Svs.)
 
4,400
534,776
Pitney Bowes, Inc. (Commercial Svs. &
Supplies)
 
25,150
277,907
Planet Labs PBC (Professional Svs.)
  (a)
56,939
1,591,445
Powell Industries, Inc. (Electrical Equip.)
 
930
503,204
Primoris Services Corp. (Construction &
Engineering)
 
20,271
2,899,564
Resideo Technologies, Inc. (Building Products)
  (a)
13,560
457,108
Robert Half, Inc. (Professional Svs.)
 
9,930
252,222
Rush Enterprises, Inc. Class A (Trading
Companies & Distributors)
 
6,086
402,345
RXO, Inc. (Ground Transportation)
  (a)
16,256
237,663
Saia, Inc. (Ground Transportation)
  (a)
4,459
1,566,358
Schneider National, Inc. Class B
(Ground Transportation)
 
8,082
213,042
SkyWest, Inc. (Passenger Airlines)
  (a)
4,000
367,320
SPX Technologies, Inc. (Machinery)
  (a)
11,757
2,350,695
Standex International Corp. (Machinery)
 
1,240
316,026
Sunrun, Inc. (Electrical Equip.)
  (a)
22,382
303,500
Titan International, Inc. (Machinery)
  (a)
7,860
54,313
Trinity Industries, Inc. (Machinery)
 
13,890
446,980
UniFirst Corp. (Commercial Svs. & Supplies)
 
1,380
347,194
Upwork, Inc. (Professional Svs.)
  (a)
12,918
141,581
Verra Mobility Corp. (Professional Svs.)
  (a)
15,848
226,468
Voyager Technologies, Inc. Class A (Aerospace
& Defense)
  (a)
23,894
558,881
VSE Corp. (Aerospace & Defense)
 
2,570
473,908
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
WillScot Holdings Corp. (Construction &
Engineering)
 
16,007
$277,882
Zurn Elkay Water Solutions Corp.
(Building Products)
 
56,394
2,528,707
 
 
58,098,418
Information Technology17.4%
 
ACI Worldwide, Inc. (Software)
  (a)
10,266
421,009
ACM Research, Inc. Class A (Semiconductors
& Equip.)
  (a)
4,334
170,543
Advanced Energy Industries, Inc. (Electronic
Equip., Instr. & Comp.)
 
8,855
2,857,597
Agilysys, Inc. (Software)
  (a)
2,500
177,850
Alarm.com Holdings, Inc. (Software)
  (a)
7,500
323,925
Allegro MicroSystems, Inc. (Semiconductors &
Equip.)
  (a)
40,549
1,278,510
Alpha & Omega Semiconductor Ltd.
(Semiconductors & Equip.)
  (a)
2,680
59,389
Ambiq Micro, Inc. (Semiconductors & Equip.)
  (a)
18,092
459,718
ASGN, Inc. (IT Svs.)
  (a)
7,240
280,260
Badger Meter, Inc. (Electronic Equip., Instr. &
Comp.)
 
2,680
408,298
BlackLine, Inc. (Software)
  (a)
7,970
294,890
Box, Inc. Class A (Software)
  (a)
14,370
339,707
Calix, Inc. (Communications Equip.)
  (a)
5,890
288,551
Cleanspark, Inc. (Software)
  (a)
27,900
237,429
Clear Secure, Inc. Class A (Software)
 
6,600
319,506
Corsair Gaming, Inc. (Tech. Hardware, Storage
& Periph.)
  (a)
9,060
50,283
Credo Technology Group Holding Ltd.
(Semiconductors & Equip.)
  (a)
25,322
2,376,976
CTS Corp. (Electronic Equip., Instr. & Comp.)
 
2,150
102,684
Digi International, Inc.
(Communications Equip.)
  (a)
4,380
211,116
DigitalOcean Holdings, Inc. (IT Svs.)
  (a)
38,319
3,287,004
Diodes, Inc. (Semiconductors & Equip.)
  (a)
7,520
513,315
Enphase Energy, Inc. (Semiconductors &
Equip.)
  (a)
13,000
491,530
Extreme Networks, Inc.
(Communications Equip.)
  (a)
13,090
197,397
Fabrinet (Electronic Equip., Instr. & Comp.)
  (a)
6,593
3,438,380
FormFactor, Inc. (Semiconductors & Equip.)
  (a)
24,261
2,353,074
Harmonic, Inc. (Communications Equip.)
  (a)
2,597
23,321
Impinj, Inc. (Semiconductors & Equip.)
  (a)
2,590
265,993
Insight Enterprises, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
3,120
209,071
Itron, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
4,530
406,024
JFrog Ltd. (Software)
  (a)
22,923
1,075,776
Klaviyo, Inc. Class A (Software)
  (a)
40,744
792,878
Knowles Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
16,640
427,315
Kulicke & Soffa Industries, Inc.
(Semiconductors & Equip.)
 
4,900
322,028
Life360, Inc. (Software)
  (a)
7,000
285,740
Littelfuse, Inc. (Electronic Equip., Instr. &
Comp.)
 
3,363
1,141,234
LiveRamp Holdings, Inc. (Software)
  (a)
11,100
294,372
MACOM Technology Solutions Holdings, Inc.
(Semiconductors & Equip.)
  (a)
7,755
1,722,153
MARA Holdings, Inc. (Software)
  (a)
36,706
299,521
Mirion Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
24,307
451,867
N-able, Inc. (Software)
  (a)
300
1,401
NCR Voyix Corp. (Software)
  (a)
7,920
50,134
NetScout Systems, Inc.
(Communications Equip.)
  (a)
5,976
189,977
nLight, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
28,039
1,598,784
OSI Systems, Inc. (Electronic Equip., Instr. &
Comp.)
  (a)
630
167,271
PC Connection, Inc. (Electronic Equip., Instr. &
Comp.)
 
6,130
358,360
20
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Small Cap Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
PDF Solutions, Inc. (Semiconductors & Equip.)
  (a)
10,400
$340,184
Penguin Solutions, Inc. (Semiconductors &
Equip.)
  (a)
12,300
216,480
Plexus Corp. (Electronic Equip., Instr. & Comp.)
  (a)
2,390
484,071
Q2 Holdings, Inc. (Software)
  (a)
6,200
293,260
Qorvo, Inc. (Semiconductors & Equip.)
  (a)
8,400
650,160
Ralliant Corp. (Electronic Equip., Instr. &
Comp.)
 
10,379
431,663
Rogers Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
3,250
348,822
Rubrik, Inc. Class A (Software)
  (a)
21,816
1,068,330
Sanmina Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
5,170
670,239
Semtech Corp. (Semiconductors & Equip.)
  (a)
35,986
2,766,964
ServiceTitan, Inc. Class A (Software)
  (a)
16,282
1,033,256
SiTime Corp. (Semiconductors & Equip.)
  (a)
5,629
1,943,975
SolarEdge Technologies, Inc. (Semiconductors
& Equip.)
  (a)
7,100
362,455
Sprinklr, Inc. Class A (Software)
  (a)
35,800
214,800
SPS Commerce, Inc. (Software)
  (a)
3,720
207,092
Teradata Corp. (Software)
  (a)
9,100
233,233
Tower Semiconductor Ltd. (Semiconductors &
Equip.)
  (a)
4,630
812,472
TTM Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
13,676
1,332,316
Ultra Clean Holdings, Inc. (Semiconductors &
Equip.)
  (a)
6,959
432,711
Veeco Instruments, Inc. (Semiconductors &
Equip.)
  (a)
2,476
83,837
Viasat, Inc. (Communications Equip.)
  (a)
11,840
542,272
Viavi Solutions, Inc. (Communications Equip.)
  (a)
51,477
1,713,155
 
 
47,203,908
Materials4.0%
 
Balchem Corp. (Chemicals)
 
3,020
511,830
Celanese Corp. (Chemicals)
 
10,400
684,008
Century Aluminum Co. (Metals & Mining)
  (a)
8,700
510,603
Chemours Co. / The (Chemicals)
 
13,070
287,932
Constellium SE (Metals & Mining)
  (a)
58,040
1,426,623
Eastman Chemical Co. (Chemicals)
 
7,710
588,427
Element Solutions, Inc. (Chemicals)
 
74,579
2,546,127
FMC Corp. (Chemicals)
 
12,380
213,184
H.B. Fuller Co. (Chemicals)
 
5,102
314,691
Hawkins, Inc. (Chemicals)
 
1,900
291,840
Ingevity Corp. (Chemicals)
  (a)
3,540
252,154
Kaiser Aluminum Corp. (Metals & Mining)
 
1,580
190,406
Koppers Holdings, Inc. (Chemicals)
 
2,080
80,454
Materion Corp. (Metals & Mining)
 
1,800
260,370
Minerals Technologies, Inc. (Chemicals)
 
1,740
123,401
O-I Glass, Inc. (Containers & Packaging)
  (a)
7,907
83,103
Quaker Chemical Corp. (Chemicals)
 
2,840
352,813
Sealed Air Corp. (Containers & Packaging)
 
14,579
613,047
Sensient Technologies Corp. (Chemicals)
 
4,210
363,912
Sylvamo Corp. (Paper & Forest Products)
 
1,720
72,653
U.S.A. Rare Earth, Inc. (Metals & Mining)
  (a)
31,897
482,761
Warrior Met Coal, Inc. (Metals & Mining)
 
4,800
447,120
Worthington Steel, Inc. (Metals & Mining)
 
3,590
108,957
 
 
10,806,416
Real Estate3.0%
 
Acadia Realty Trust (Retail REITs)
 
20,240
386,989
American Assets Trust, Inc. (Diversified REITs)
 
18,870
347,397
Apple Hospitality REIT, Inc. (Hotel & Resort
REITs)
 
35,500
408,605
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
Curbline Properties Corp. (Retail REITs)
 
12,100
$312,059
Cushman & Wakefield Ltd. (Real Estate Mgmt.
& Development)
  (a)
22,990
281,857
Easterly Government Properties, Inc.
(Office REITs)
 
16,380
351,023
Essential Properties Realty Trust, Inc.
(Diversified REITs)
 
18,341
556,833
Four Corners Property Trust, Inc.
(Specialized REITs)
 
11,400
269,610
Getty Realty Corp. (Retail REITs)
 
4,240
134,832
Highwoods Properties, Inc. (Office REITs)
 
10,741
229,965
Kennedy-Wilson Holdings, Inc. (Real Estate
Mgmt. & Development)
 
10,190
110,256
LTC Properties, Inc. (Health Care REITs)
 
2,800
104,048
LXP Industrial Trust (Industrial REITs)
 
8,426
389,787
Macerich Co. / The (Retail REITs)
 
25,030
473,067
Medical Properties Trust, Inc. (Health Care
REITs)
 
52,100
241,223
Millrose Properties, Inc. (Specialized REITs)
 
4,768
133,504
Outfront Media, Inc. (Specialized REITs)
 
11,847
313,946
Pebblebrook Hotel Trust (Hotel & Resort REITs)
 
34,530
436,114
Phillips Edison & Co., Inc. (Retail REITs)
 
12,450
465,879
Ryman Hospitality Properties, Inc. (Hotel &
Resort REITs)
 
3,100
286,037
Safehold, Inc. (Specialized REITs)
 
9,581
129,631
SL Green Realty Corp. (Office REITs)
 
7,046
260,279
St. Joe Co. / The (Real Estate Mgmt. &
Development)
 
5,800
364,240
Tanger, Inc. (Retail REITs)
 
11,181
379,930
Terreno Realty Corp. (Industrial REITs)
 
6,100
374,662
Veris Residential, Inc. (Residential REITs)
 
23,660
446,464
 
 
8,188,237
Utilities1.2%
 
American States Water Co. (Water Utilities)
 
3,800
287,356
Avista Corp. (Multi-Utilities)
 
8,000
321,120
California Water Service Group
(Water Utilities)
 
5,920
268,413
Chesapeake Utilities Corp. (Gas Utilities)
 
2,330
294,442
Clearway Energy, Inc. Class C (Ind. Power &
Renewable Elec.)
 
11,900
467,551
H2O America (Water Utilities)
 
5,600
328,552
Hawaiian Electric Industries, Inc.
(Electric Utilities)
  (a)
21,590
320,396
MDU Resources Group, Inc. (Gas Utilities)
 
20,248
419,538
MGE Energy, Inc. (Electric Utilities)
 
2,228
172,202
Northwest Natural Holding Co. (Gas Utilities)
 
2,830
150,613
Otter Tail Corp. (Electric Utilities)
 
3,587
314,831
 
 
3,345,014
Total Common Stocks (Cost $256,706,074)
 
$267,579,734
Exchange Traded Funds0.4%
Shares
Value
iShares Core S&P Small-Cap ETF
 
9,307
$1,156,953
Total Exchange Traded Funds (Cost $1,130,597)
 
$1,156,953
Total Investments – 98.9% (Cost $257,836,671)
  (b)
$268,736,687
Other Assets in Excess of Liabilities – 1.1%
 
2,978,066
Net Assets – 100.0%
$271,714,753

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
ETF:
Exchange Traded Fund
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
21

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.6%
Shares
Value
Communication Services2.1%
 
AST SpaceMobile, Inc. (Diversified Telecom.
Svs.)
  (a)
5,522
$457,608
Charter Communications, Inc. Class A (Media)
  (a)
233
50,300
Electronic Arts, Inc. (Entertainment)
 
878
178,998
Fox Corp. Class A (Media)
 
900
52,560
Fox Corp. Class B (Media)
 
890
47,259
GCI Liberty, Inc. Class C (Diversified Telecom.
Svs.)
  (a)
132
4,911
Liberty Broadband Corp. Class C (Media)
  (a)
660
33,198
Live Nation Entertainment, Inc. (Entertainment)
  (a)
390
59,479
Match Group, Inc. (Interactive Media & Svs.)
 
2,800
85,988
Omnicom Group, Inc. (Media)
 
980
73,804
Pinterest, Inc. Class A (Interactive Media &
Svs.)
  (a)
1,690
30,994
Reddit, Inc. Class A (Interactive Media & Svs.)
  (a)
294
39,587
ROBLOX Corp. Class A (Entertainment)
  (a)
2,130
120,473
Roku, Inc. (Entertainment)
  (a)
790
74,750
Sirius XM Holdings, Inc. (Media)
 
3,186
73,533
Take-Two Interactive Software, Inc.
(Entertainment)
  (a)
630
124,425
TKO Group Holdings, Inc. (Entertainment)
 
1,712
345,225
Trade Desk, Inc. / The Class A (Media)
  (a)
1,120
25,413
Warner Bros. Discovery, Inc. (Entertainment)
  (a)
7,731
212,293
 
 
2,090,798
Consumer Discretionary10.0%
 
ADT, Inc. (Diversified Consumer Svs.)
 
49,965
328,270
Amer Sports, Inc. (Textiles, Apparel & Luxury
Goods)
  (a)
12,395
408,043
Aptiv PLC (Automobile Components)
  (a)
920
63,885
Aramark (Hotels, Restaurants & Leisure)
 
1,962
79,540
Bath & Body Works, Inc. (Specialty Retail)
 
15,223
284,213
Best Buy Co., Inc. (Specialty Retail)
 
940
60,348
Birkenstock Holding PLC (Textiles, Apparel &
Luxury Goods)
  (a)
566
20,280
BorgWarner, Inc. (Automobile Components)
 
11,239
609,828
Brunswick Corp. (Leisure Products)
 
2,779
202,200
Burlington Stores, Inc. (Specialty Retail)
  (a)
1,443
469,523
CarMax, Inc. (Specialty Retail)
  (a)
820
34,096
Carnival Corp. (Hotels, Restaurants & Leisure)
 
2,680
69,358
Carvana Co. (Specialty Retail)
  (a)
460
144,615
Cava Group, Inc. (Hotels, Restaurants &
Leisure)
  (a)
5,170
418,253
Coupang, Inc. (Broadline Retail)
  (a)
4,320
81,562
D.R. Horton, Inc. (Household Durables)
 
750
102,915
Darden Restaurants, Inc. (Hotels, Restaurants
& Leisure)
 
250
49,010
Dick's Sporting Goods, Inc. (Specialty Retail)
 
340
67,419
Domino's Pizza, Inc. (Hotels, Restaurants &
Leisure)
 
180
64,582
DraftKings, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
1,448
31,306
Duolingo, Inc. (Diversified Consumer Svs.)
  (a)
160
15,771
eBay, Inc. (Broadline Retail)
 
1,160
105,583
Expedia Group, Inc. (Hotels, Restaurants &
Leisure)
 
499
115,214
Five Below, Inc. (Specialty Retail)
  (a)
510
116,525
Flutter Entertainment PLC (Hotels, Restaurants
& Leisure)
  (a)
538
54,849
Ford Motor Co. (Automobiles)
 
13,580
156,713
Frontdoor, Inc. (Diversified Consumer Svs.)
  (a)
6,135
324,296
GameStop Corp. Class A (Specialty Retail)
  (a)
2,136
49,213
Gap, Inc. / The (Specialty Retail)
 
2,190
52,998
Garmin Ltd. (Household Durables)
 
569
132,014
Genuine Parts Co. (Distributors)
 
610
64,508
Hasbro, Inc. (Leisure Products)
 
6,141
574,798
Hilton Worldwide Holdings, Inc. (Hotels,
Restaurants & Leisure)
 
788
239,615
Las Vegas Sands Corp. (Hotels, Restaurants &
Leisure)
 
1,210
65,195
Laureate Education, Inc. (Diversified Consumer
Svs.)
  (a)
11,996
417,941
Lennar Corp. Class A (Household Durables)
 
580
50,367
Liberty Live Holdings, Inc. Class C (Diversified
Consumer Svs.)
  (a)
900
84,699
Lucid Group, Inc. (Automobiles)
  (a)
2,465
23,491
Common Stocks (Continued)
Shares
Value
Consumer Discretionary (continued)
 
Lululemon Athletica, Inc. (Textiles, Apparel &
Luxury Goods)
  (a)
270
$41,337
MGM Resorts International (Hotels,
Restaurants & Leisure)
  (a)
1,930
71,429
Murphy U.S.A., Inc. (Specialty Retail)
 
898
443,585
Norwegian Cruise Line Holdings Ltd. (Hotels,
Restaurants & Leisure)
  (a)
3,400
63,580
NVR, Inc. (Household Durables)
  (a)
7
46,129
On Holding AG Class A (Textiles, Apparel &
Luxury Goods)
  (a)
8,944
304,275
PulteGroup, Inc. (Household Durables)
 
544
63,980
Ralph Lauren Corp. (Textiles, Apparel & Luxury
Goods)
 
227
78,086
Restaurant Brands International, Inc. (Hotels,
Restaurants & Leisure)
 
830
61,337
Rivian Automotive, Inc. Class A (Automobiles)
  (a)
4,185
62,984
Ross Stores, Inc. (Specialty Retail)
 
1,125
243,709
Royal Caribbean Cruises Ltd. (Hotels,
Restaurants & Leisure)
 
880
242,158
Service Corp. International (Diversified
Consumer Svs.)
 
310
25,578
SharkNinja, Inc. (Household Durables)
  (a)
3,979
421,376
Somnigroup International, Inc.
(Household Durables)
 
630
46,570
Tapestry, Inc. (Textiles, Apparel & Luxury
Goods)
 
520
73,377
Taylor Morrison Home Corp.
(Household Durables)
  (a)
3,710
216,070
Texas Roadhouse, Inc. (Hotels, Restaurants &
Leisure)
 
250
41,285
Toll Brothers, Inc. (Household Durables)
 
590
80,517
TopBuild Corp. (Household Durables)
  (a)
150
52,695
Tractor Supply Co. (Specialty Retail)
 
1,200
54,360
Ulta Beauty, Inc. (Specialty Retail)
  (a)
110
57,498
Viking Holdings Ltd. (Hotels, Restaurants &
Leisure)
  (a)
5,682
417,513
Williams-Sonoma, Inc. (Specialty Retail)
 
336
61,263
Wyndham Hotels & Resorts, Inc. (Hotels,
Restaurants & Leisure)
 
750
60,923
Wynn Resorts Ltd. (Hotels, Restaurants &
Leisure)
 
620
62,961
Yum! Brands, Inc. (Hotels, Restaurants &
Leisure)
 
970
150,816
 
 
9,778,427
Consumer Staples4.2%
 
Albertsons Cos., Inc. Class A (Consumer
Staples Distribution & Retail)
 
2,510
42,770
Archer-Daniels-Midland Co. (Food Products)
 
1,270
92,316
BJ's Wholesale Club Holdings, Inc. (Consumer
Staples Distribution & Retail)
  (a)
5,448
536,192
Bunge Global SA (Food Products)
 
940
119,568
Casey's General Stores, Inc. (Consumer Staples
Distribution & Retail)
 
90
65,507
Celsius Holdings, Inc. (Beverages)
  (a)
8,422
298,813
Church & Dwight Co., Inc.
(Household Products)
 
656
61,218
Clorox Co. / The (Household Products)
 
400
41,452
Constellation Brands, Inc. Class A (Beverages)
 
330
49,500
Dollar General Corp. (Consumer Staples
Distribution & Retail)
 
580
68,863
Dollar Tree, Inc. (Consumer Staples Distribution
& Retail)
  (a)
4,748
519,954
e.l.f. Beauty, Inc. (Personal Care Products)
  (a)
530
32,123
Estee Lauder Cos., Inc. / The Class A (Personal
Care Products)
 
600
43,062
Freshpet, Inc. (Food Products)
  (a)
4,044
238,434
General Mills, Inc. (Food Products)
 
1,414
52,629
Hershey Co. / The (Food Products)
 
380
78,998
Kenvue, Inc. (Personal Care Products)
 
5,780
99,647
Kraft Heinz Co. / The (Food Products)
 
2,180
49,028
Kroger Co. / The (Consumer Staples Distribution
& Retail)
 
1,556
112,592
Lamb Weston Holdings, Inc. (Food Products)
 
1,740
73,533
McCormick & Co., Inc. (Food Products)
 
1,010
50,944
22
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Consumer Staples (continued)
 
Molson Coors Beverage Co. Class B
(Beverages)
 
910
$39,185
Performance Food Group Co. (Consumer
Staples Distribution & Retail)
  (a)
810
69,385
Pilgrim's Pride Corp. (Food Products)
 
1,100
41,536
Primo Brands Corp. (Beverages)
 
4,970
93,585
Sysco Corp. (Consumer Staples Distribution &
Retail)
 
1,680
119,835
Tyson Foods, Inc. Class A (Food Products)
 
1,480
94,824
U.S. Foods Holding Corp. (Consumer Staples
Distribution & Retail)
  (a)
6,997
645,193
WD-40 Co. (Household Products)
 
1,455
296,733
 
 
4,127,419
Energy5.8%
 
Antero Midstream Corp. (Oil, Gas &
Consumable Fuels)
 
2,470
56,316
Baker Hughes Co. (Energy Equip. & Svs.)
 
3,340
203,907
Cheniere Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
702
199,199
Chord Energy Corp. (Oil, Gas & Consumable
Fuels)
 
340
48,341
Coterra Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
2,470
86,796
Devon Energy Corp. (Oil, Gas & Consumable
Fuels)
 
2,007
100,992
Diamondback Energy, Inc. (Oil, Gas &
Consumable Fuels)
 
646
127,772
DT Midstream, Inc. (Oil, Gas & Consumable
Fuels)
 
1,362
183,420
EQT Corp. (Oil, Gas & Consumable Fuels)
 
1,778
113,152
Expand Energy Corp. (Oil, Gas & Consumable
Fuels)
 
560
61,477
Halliburton Co. (Energy Equip. & Svs.)
 
2,640
102,934
HF Sinclair Corp. (Oil, Gas & Consumable Fuels)
 
1,030
64,262
Kinder Morgan, Inc. (Oil, Gas & Consumable
Fuels)
 
6,760
226,663
Magnolia Oil & Gas Corp. Class A (Oil, Gas &
Consumable Fuels)
 
13,100
413,567
Marathon Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
1,070
261,273
Matador Resources Co. (Oil, Gas & Consumable
Fuels)
 
7,520
475,114
Northern Oil & Gas, Inc. (Oil, Gas & Consumable
Fuels)
 
10,159
296,948
Occidental Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
3,430
222,950
ONEOK, Inc. (Oil, Gas & Consumable Fuels)
 
2,170
196,146
Ovintiv, Inc. (Oil, Gas & Consumable Fuels)
 
1,290
76,574
Phillips 66 (Oil, Gas & Consumable Fuels)
 
1,420
258,696
Range Resources Corp. (Oil, Gas & Consumable
Fuels)
 
1,810
81,776
Targa Resources Corp. (Oil, Gas & Consumable
Fuels)
 
611
153,196
TechnipFMC PLC (Energy Equip. & Svs.)
 
17,695
1,223,255
Texas Pacific Land Corp. (Oil, Gas &
Consumable Fuels)
 
150
71,184
Uranium Energy Corp. (Oil, Gas & Consumable
Fuels)
  (a)
13,848
186,948
Valero Energy Corp. (Oil, Gas & Consumable
Fuels)
 
874
215,948
 
 
5,708,806
Financials12.6%
 
Accelerant Holdings Class A (Insurance)
  (a)
6,943
92,758
Affiliated Managers Group, Inc.
(Capital Markets)
 
888
245,710
Affirm Holdings, Inc. (Financial Services)
  (a)
880
40,322
Allstate Corp. / The (Insurance)
 
920
190,753
Ally Financial, Inc. (Consumer Finance)
 
1,520
59,630
American Financial Group, Inc. (Insurance)
 
3,524
450,050
Ameriprise Financial, Inc. (Capital Markets)
 
330
146,652
Annaly Capital Management, Inc.
(Mortgage REIT)
 
2,850
60,277
Arch Capital Group Ltd. (Insurance)
  (a)
1,760
168,942
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Ares Management Corp. Class A
(Capital Markets)
 
650
$70,915
Axis Capital Holdings Ltd. (Insurance)
 
450
45,635
Bank of New York Mellon Corp. / The
(Capital Markets)
 
1,810
214,720
Block, Inc. (Financial Services)
  (a)
1,820
109,528
Blue Owl Capital, Inc. (Capital Markets)
 
2,390
21,821
Brown & Brown, Inc. (Insurance)
 
1,440
93,902
Carlyle Group, Inc. / The (Capital Markets)
 
840
40,648
CBOE Global Markets, Inc. (Capital Markets)
 
779
218,954
Chime Financial, Inc. Class A
(Financial Services)
  (a)
8,535
159,861
Cincinnati Financial Corp. (Insurance)
 
400
62,940
Citizens Financial Group, Inc. (Banks)
 
1,110
66,567
CNA Financial Corp. (Insurance)
 
1,360
62,451
Coinbase Global, Inc. Class A (Capital Markets)
  (a)
833
145,450
Commerce Bancshares, Inc. (Banks)
 
1,014
49,889
Corebridge Financial, Inc. (Financial Services)
 
1,380
32,927
Corpay, Inc. (Financial Services)
  (a)
150
43,649
Credit Acceptance Corp. (Consumer Finance)
  (a)
120
50,815
Cullen / Frost Bankers, Inc. (Banks)
 
600
82,248
East West Bancorp, Inc. (Banks)
 
2,625
280,245
Euronet Worldwide, Inc. (Financial Services)
  (a)
536
35,574
FactSet Research Systems, Inc.
(Capital Markets)
 
120
26,039
Fidelity National Financial, Inc. (Insurance)
 
1,380
64,004
Fidelity National Information Services, Inc.
(Financial Services)
 
2,450
114,929
Fifth Third Bancorp (Banks)
 
2,375
110,342
Figure Technology Solutions, Inc. Class A
(Consumer Finance)
  (a)
4,574
155,287
First BanCorp Puerto Rico (Banks)
 
10,950
233,892
First Citizens BancShares, Inc. Class A (Banks)
 
247
465,511
First Hawaiian, Inc. (Banks)
 
5,813
143,232
First Horizon Corp. (Banks)
 
2,360
53,714
FirstCash Holdings, Inc. (Consumer Finance)
 
2,135
401,380
Flagstar Bank N.A. (Banks)
 
21,190
279,072
Franklin Resources, Inc. (Capital Markets)
 
2,540
59,995
Freedom Holding Corp. (Capital Markets)
  (a)
450
65,196
Global Payments, Inc. (Financial Services)
 
960
64,608
HA Sustainable Infrastructure Capital, Inc.
(Financial Services)
 
12,402
455,773
Hanover Insurance Group, Inc. / The
(Insurance)
 
2,838
491,967
Hartford Insurance Group, Inc. / The
(Insurance)
 
780
105,479
Huntington Bancshares, Inc. (Banks)
 
6,834
106,952
Independent Bank Corp. (Banks)
 
4,202
316,032
Invesco Ltd. (Capital Markets)
 
21,241
515,944
Jack Henry & Associates, Inc.
(Financial Services)
 
20
3,161
Jefferies Financial Group, Inc.
(Capital Markets)
 
1,440
59,429
Loews Corp. (Insurance)
 
670
71,516
LPL Financial Holdings, Inc. (Capital Markets)
 
280
84,232
M&T Bank Corp. (Banks)
 
390
80,621
Markel Group, Inc. (Insurance)
  (a)
30
57,422
Morningstar, Inc. (Capital Markets)
 
190
32,120
MSCI, Inc. (Capital Markets)
 
219
118,043
Nasdaq, Inc. (Capital Markets)
 
1,520
129,033
NCR Atleos Corp. (Financial Services)
  (a)
710
30,942
Northern Trust Corp. (Capital Markets)
 
550
76,763
Pinnacle Financial Partners, Inc. (Banks)
 
860
74,080
Popular, Inc. (Banks)
 
470
63,060
Principal Financial Group, Inc. (Insurance)
 
590
53,165
Prudential Financial, Inc. (Insurance)
 
980
95,736
Raymond James Financial, Inc.
(Capital Markets)
 
640
92,666
Regions Financial Corp. (Banks)
 
2,430
63,472
Reinsurance Group of America, Inc.
(Insurance)
 
390
79,622
RenaissanceRe Holdings Ltd. (Insurance)
 
190
56,474
Robinhood Markets, Inc. Class A
(Capital Markets)
  (a)
2,570
178,101
Rocket Cos., Inc. Class A (Financial Services)
  (a)
3,690
52,583
Ryan Specialty Holdings, Inc. (Insurance)
 
830
28,004
23
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
SEI Investments Co. (Capital Markets)
 
770
$60,422
SoFi Technologies, Inc. (Consumer Finance)
  (a)
5,510
87,499
Starwood Property Trust, Inc. (Mortgage REIT)
 
4,700
80,934
State Street Corp. (Capital Markets)
 
980
124,029
Stifel Financial Corp. (Capital Markets)
 
9,552
706,084
Synchrony Financial (Consumer Finance)
 
1,210
82,304
T. Rowe Price Group, Inc. (Capital Markets)
 
420
37,859
Texas Capital Bancshares, Inc. (Banks)
  (a)
3,778
358,457
Toast, Inc. Class A (Financial Services)
  (a)
1,160
30,752
Tradeweb Markets, Inc. Class A
(Capital Markets)
 
700
82,362
UMB Financial Corp. (Banks)
 
3,404
383,937
Voya Financial, Inc. (Financial Services)
 
820
56,022
W. R. Berkley Corp. (Insurance)
 
978
64,822
WaFd, Inc. (Banks)
 
11,360
356,704
Walker & Dunlop, Inc. (Financial Services)
 
4,108
182,313
Western Alliance Bancorp (Banks)
 
940
66,599
Willis Towers Watson PLC (Insurance)
 
290
84,303
Wintrust Financial Corp. (Banks)
 
2,066
287,050
XP, Inc. Class A (Capital Markets)
 
2,360
44,934
Zions Bancorp N.A. (Banks)
 
1,381
79,573
 
 
12,410,385
Health Care11.8%
 
Agilent Technologies, Inc. (Life Sciences Tools
& Svs.)
 
1,260
143,615
Align Technology, Inc. (Health Care Equip. &
Supplies)
  (a)
270
46,286
Alnylam Pharmaceuticals, Inc. (Biotechnology)
  (a)
430
142,274
Apogee Therapeutics, Inc. (Biotechnology)
  (a)
2,131
179,366
Ascendis Pharma A/S – ADR (Biotechnology)
  (a)
575
131,520
AtriCure, Inc. (Health Care Equip. & Supplies)
  (a)
7,705
219,824
Avantor, Inc. (Life Sciences Tools & Svs.)
  (a)
2,380
18,659
Baxter International, Inc. (Health Care Equip. &
Supplies)
 
1,700
28,560
Biogen, Inc. (Biotechnology)
  (a)
500
91,665
Bio-Techne Corp. (Life Sciences Tools & Svs.)
 
8,144
425,605
Bridgebio Pharma, Inc. (Biotechnology)
  (a)
3,546
263,326
BrightSpring Health Services, Inc. (Health Care
Providers & Svs.)
  (a)
7,709
328,480
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
640
135,238
Cencora, Inc. (Health Care Providers & Svs.)
 
640
201,050
Centene Corp. (Health Care Providers & Svs.)
  (a)
1,610
52,711
CG oncology, Inc. (Biotechnology)
  (a)
2,505
169,538
Charles River Laboratories International, Inc.
(Life Sciences Tools & Svs.)
  (a)
230
39,675
Cooper Cos., Inc. / The (Health Care Equip. &
Supplies)
  (a)
20
1,430
DaVita, Inc. (Health Care Providers & Svs.)
  (a)
550
84,529
Denali Therapeutics, Inc. (Biotechnology)
  (a)
6,202
119,078
Dexcom, Inc. (Health Care Equip. & Supplies)
  (a)
1,030
64,684
Dianthus Therapeutics, Inc. (Biotechnology)
  (a)
2,035
170,777
Doximity, Inc. Class A (Health Care Technology)
  (a)
1,050
24,465
Edgewise Therapeutics, Inc. (Pharmaceuticals)
  (a)
3,774
118,881
Elanco Animal Health, Inc. (Pharmaceuticals)
  (a)
3,820
91,413
Encompass Health Corp. (Health Care Providers
& Svs.)
 
3,345
323,562
Envista Holdings Corp. (Health Care Equip. &
Supplies)
  (a)
16,206
411,146
Erasca, Inc. (Biotechnology)
  (a)
5,728
92,679
GE HealthCare Technologies, Inc. (Health Care
Equip. & Supplies)
 
1,290
91,822
Glaukos Corp. (Health Care Equip. & Supplies)
  (a)
3,096
333,315
Globus Medical, Inc. Class A (Health Care
Equip. & Supplies)
  (a)
5,560
479,050
Guardant Health, Inc. (Health Care Providers &
Svs.)
  (a)
3,995
369,018
Halozyme Therapeutics, Inc. (Biotechnology)
  (a)
3,025
195,506
Hologic, Inc. (Health Care Equip. & Supplies)
  (a)
1,110
83,905
Humana, Inc. (Health Care Providers & Svs.)
 
360
62,420
ICON PLC (Life Sciences Tools & Svs.)
  (a)
2,475
273,883
IDEXX Laboratories, Inc. (Health Care Equip. &
Supplies)
  (a)
240
134,854
Illumina, Inc. (Life Sciences Tools & Svs.)
  (a)
450
55,467
Incyte Corp. (Biotechnology)
  (a)
740
69,649
Insmed, Inc. (Biotechnology)
  (a)
3,915
640,181
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Insulet Corp. (Health Care Equip. & Supplies)
  (a)
271
$56,867
Integer Holdings Corp. (Health Care Equip. &
Supplies)
  (a)
4,210
370,480
IQVIA Holdings, Inc. (Life Sciences Tools &
Svs.)
  (a)
550
93,797
Kymera Therapeutics, Inc. (Biotechnology)
  (a)
1,772
147,590
Labcorp Holdings, Inc. (Health Care Providers &
Svs.)
 
210
56,030
Lumexa Imaging Holdings, Inc. (Health Care
Providers & Svs.)
  (a)
6,998
60,183
Madrigal Pharmaceuticals, Inc.
(Biotechnology)
  (a)
213
111,499
Masimo Corp. (Health Care Equip. & Supplies)
  (a)
330
58,697
Medpace Holdings, Inc. (Life Sciences Tools &
Svs.)
  (a)
150
72,029
Mettler-Toledo International, Inc. (Life Sciences
Tools & Svs.)
  (a)
111
139,993
Natera, Inc. (Biotechnology)
  (a)
1,555
310,984
Neurocrine Biosciences, Inc. (Biotechnology)
  (a)
2,786
367,028
Newamsterdam Pharma Co. N.V.
(Biotechnology)
  (a)
2,713
86,843
Nuvalent, Inc. Class A (Biotechnology)
  (a)
1,580
161,871
Ocular Therapeutix, Inc. (Pharmaceuticals)
  (a)
9,130
77,331
Penumbra, Inc. (Health Care Equip. & Supplies)
  (a)
10
3,284
Quest Diagnostics, Inc. (Health Care Providers
& Svs.)
 
420
82,312
Repligen Corp. (Life Sciences Tools & Svs.)
  (a)
1,847
217,614
ResMed, Inc. (Health Care Equip. & Supplies)
 
510
114,485
Revolution Medicines, Inc. (Biotechnology)
  (a)
850
82,663
Revvity, Inc. (Life Sciences Tools & Svs.)
 
420
36,796
Rhythm Pharmaceuticals, Inc. (Biotechnology)
  (a)
1,856
161,416
Roivant Sciences Ltd. (Biotechnology)
  (a)
670
18,559
Royalty Pharma PLC Class A (Pharmaceuticals)
 
2,130
102,176
Solventum Corp. (Health Care Equip. &
Supplies)
  (a)
1,060
69,218
STERIS PLC (Health Care Equip. & Supplies)
 
346
76,511
Structure Therapeutics, Inc. – ADR
(Pharmaceuticals)
  (a)
1,372
66,130
Tempus AI, Inc. Class A (Life Sciences Tools &
Svs.)
  (a)
700
31,654
Tenet Healthcare Corp. (Health Care Providers
& Svs.)
  (a)
2,998
565,753
Terns Pharmaceuticals, Inc. (Pharmaceuticals)
  (a)
2,258
119,042
United Therapeutics Corp. (Biotechnology)
  (a)
170
100,807
Universal Health Services, Inc. Class B (Health
Care Providers & Svs.)
 
380
68,009
Veeva Systems, Inc. Class A (Health Care
Technology)
  (a)
510
89,587
Vera Therapeutics, Inc. (Biotechnology)
  (a)
2,667
107,293
Viatris, Inc. (Pharmaceuticals)
 
5,730
77,412
Waters Corp. (Life Sciences Tools & Svs.)
  (a)
343
102,145
Xenon Pharmaceuticals, Inc. (Biotechnology)
  (a)
2,858
166,193
Zimmer Biomet Holdings, Inc. (Health Care
Equip. & Supplies)
 
850
76,857
 
 
11,616,244
Industrials22.8%
 
A. O. Smith Corp. (Building Products)
 
1,130
74,512
AAON, Inc. (Building Products)
 
550
45,513
Advanced Drainage Systems, Inc.
(Building Products)
 
360
49,367
AGCO Corp. (Machinery)
 
520
60,252
Allegion PLC (Building Products)
 
440
63,928
Amentum Holdings, Inc. (Professional Svs.)
  (a)
530
13,822
AMETEK, Inc. (Electrical Equip.)
 
781
167,415
API Group Corp. (Construction & Engineering)
  (a)
5,815
235,624
Applied Industrial Technologies, Inc. (Trading
Companies & Distributors)
 
1,214
322,098
ArcBest Corp. (Ground Transportation)
 
3,411
335,506
ATI, Inc. (Aerospace & Defense)
  (a)
550
80,003
Axon Enterprise, Inc. (Aerospace & Defense)
  (a)
260
110,419
Bloom Energy Corp. Class A (Electrical Equip.)
  (a)
3,069
415,819
Boise Cascade Co. (Trading Companies &
Distributors)
 
4,263
323,349
Booz Allen Hamilton Holding Corp.
(Professional Svs.)
 
420
32,773
24
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
Broadridge Financial Solutions, Inc.
(Professional Svs.)
 
347
$56,381
BWX Technologies, Inc. (Aerospace &
Defense)
 
2,104
430,247
C.H. Robinson Worldwide, Inc. (Air Freight &
Logistics)
 
3,217
534,247
CACI International, Inc. Class A
(Professional Svs.)
  (a)
773
420,412
Cardinal Infrastructure Group, Inc. Class A
(Construction & Engineering)
  (a)
64
2,538
Carlisle Cos., Inc. (Building Products)
 
81
27,023
Carpenter Technology Corp. (Aerospace &
Defense)
 
170
67,005
CBIZ, Inc. (Professional Svs.)
  (a)
2,971
79,771
Clean Harbors, Inc. (Commercial Svs. &
Supplies)
  (a)
250
71,682
CNH Industrial N.V. (Machinery)
 
29,200
321,200
Comfort Systems U.S.A., Inc. (Construction &
Engineering)
 
709
977,704
Core & Main, Inc. Class A (Trading Companies
& Distributors)
  (a)
6,467
319,470
Crane Co. (Machinery)
 
1,999
341,829
Cummins, Inc. (Machinery)
 
462
248,565
Curtiss-Wright Corp. (Aerospace & Defense)
 
613
417,527
Delta Air Lines, Inc. (Passenger Airlines)
 
2,270
150,910
Dover Corp. (Machinery)
 
300
62,535
EMCOR Group, Inc. (Construction &
Engineering)
 
152
112,223
Equifax, Inc. (Professional Svs.)
 
620
111,643
Expeditors International of Washington, Inc.
(Air Freight & Logistics)
 
540
77,344
Fastenal Co. (Trading Companies &
Distributors)
 
3,990
185,136
Ferguson Enterprises, Inc. (Trading Companies
& Distributors)
 
670
156,284
First Advantage Corp. (Professional Svs.)
  (a)
26,870
315,991
Forgent Power Solutions, Inc.
(Electrical Equip.)
  (a)
5,570
163,034
Fortive Corp. (Machinery)
 
1,010
55,833
FTAI Aviation Ltd. (Aerospace & Defense)
 
450
110,250
FTI Consulting, Inc. (Professional Svs.)
  (a)
1,927
340,636
GATX Corp. (Trading Companies & Distributors)
 
2,257
385,360
Generac Holdings, Inc. (Electrical Equip.)
  (a)
1,550
302,761
Gibraltar Industries, Inc. (Building Products)
  (a)
7,315
291,649
Graco, Inc. (Machinery)
 
930
78,724
Granite Construction, Inc. (Construction &
Engineering)
 
3,082
369,470
GXO Logistics, Inc. (Air Freight & Logistics)
  (a)
7,715
400,023
HEICO Corp. (Aerospace & Defense)
 
140
38,388
HEICO Corp. Class A (Aerospace & Defense)
 
190
40,107
Hexcel Corp. (Aerospace & Defense)
 
4,306
348,485
Howmet Aerospace, Inc. (Aerospace &
Defense)
 
1,390
320,339
Hubbell, Inc. (Electrical Equip.)
 
180
88,333
IDEX Corp. (Machinery)
 
350
66,343
Ingersoll Rand, Inc. (Machinery)
 
1,922
153,991
ITT, Inc. (Machinery)
 
2,080
396,302
J.B. Hunt Transport Services, Inc.
(Ground Transportation)
 
310
65,689
Jacobs Solutions, Inc. (Professional Svs.)
 
500
63,640
JBT Marel Corp. (Machinery)
 
2,634
336,810
Kirby Corp. (Marine Transportation)
  (a)
4,174
554,641
Knight-Swift Transportation Holdings, Inc.
(Ground Transportation)
 
7,013
403,809
Kratos Defense & Security Solutions, Inc.
(Aerospace & Defense)
  (a)
4,737
334,006
L3Harris Technologies, Inc. (Aerospace &
Defense)
 
650
224,347
Landstar System, Inc. (Ground Transportation)
 
310
49,696
Leidos Holdings, Inc. (Professional Svs.)
 
400
62,208
Lennox International, Inc. (Building Products)
 
110
51,054
Leonardo DRS, Inc. (Aerospace & Defense)
 
1,730
77,020
Lincoln Electric Holdings, Inc. (Machinery)
 
240
59,779
Lyft, Inc. Class A (Ground Transportation)
  (a)
1,370
18,221
Masco Corp. (Building Products)
 
710
42,863
MasTec, Inc. (Construction & Engineering)
  (a)
250
80,435
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
MSC Industrial Direct Co., Inc. Class A (Trading
Companies & Distributors)
 
680
$62,744
Mueller Industries, Inc. (Machinery)
 
650
72,020
Nextpower, Inc. Class A (Electrical Equip.)
  (a)
4,191
505,225
nVent Electric PLC (Electrical Equip.)
 
660
78,065
Old Dominion Freight Line, Inc.
(Ground Transportation)
 
650
127,010
Oshkosh Corp. (Machinery)
 
3,678
541,438
Otis Worldwide Corp. (Machinery)
 
1,080
83,246
Owens Corning (Building Products)
 
390
42,206
Parsons Corp. (Professional Svs.)
  (a)
700
37,919
Paychex, Inc. (Professional Svs.)
 
1,450
133,574
Paycom Software, Inc. (Professional Svs.)
 
380
46,185
Paylocity Holding Corp. (Professional Svs.)
  (a)
400
43,216
Pentair PLC (Machinery)
 
3,748
326,488
Planet Labs PBC (Professional Svs.)
  (a)
8,720
243,724
Quanta Services, Inc. (Construction &
Engineering)
 
510
280,000
QXO, Inc. (Trading Companies & Distributors)
  (a)
3,870
75,155
RB Global, Inc. (Commercial Svs. & Supplies)
 
1,181
113,199
RBC Bearings, Inc. (Machinery)
  (a)
682
370,408
Regal Rexnord Corp. (Electrical Equip.)
 
2,591
485,191
Robert Half, Inc. (Professional Svs.)
 
12,710
322,834
Rocket Lab Corp. (Aerospace & Defense)
  (a)
10,041
644,833
Rockwell Automation, Inc. (Electrical Equip.)
 
390
139,963
Rollins, Inc. (Commercial Svs. & Supplies)
 
960
51,274
Saia, Inc. (Ground Transportation)
  (a)
1,022
359,008
Sensata Technologies Holding PLC
(Electrical Equip.)
 
1,321
46,526
Snap-on, Inc. (Machinery)
 
210
76,276
Southwest Airlines Co. (Passenger Airlines)
 
2,410
90,544
SS&C Technologies Holdings, Inc.
(Professional Svs.)
 
570
38,515
Stanley Black & Decker, Inc. (Machinery)
 
740
52,584
Tennant Co. (Machinery)
 
22
1,461
Terex Corp. (Machinery)
 
6,540
386,514
Textron, Inc. (Aerospace & Defense)
 
900
78,804
Toro Co. / The (Machinery)
 
700
65,408
TransUnion (Professional Svs.)
 
980
67,806
Trex Co., Inc. (Building Products)
  (a)
610
22,216
U-Haul Holding Co. NVS
(Ground Transportation)
 
840
37,523
United Airlines Holdings, Inc.
(Passenger Airlines)
  (a)
810
74,577
United Rentals, Inc. (Trading Companies &
Distributors)
 
221
161,012
Veralto Corp. (Commercial Svs. & Supplies)
 
750
66,315
Verisk Analytics, Inc. (Professional Svs.)
 
449
85,198
Vertiv Holdings Co. Class A (Electrical Equip.)
 
1,320
330,766
W.W. Grainger, Inc. (Trading Companies &
Distributors)
 
153
166,894
Watsco, Inc. (Trading Companies &
Distributors)
 
190
69,120
WESCO International, Inc. (Trading Companies
& Distributors)
 
300
82,086
Westinghouse Air Brake Technologies Corp.
(Machinery)
 
480
119,957
WillScot Holdings Corp. (Construction &
Engineering)
 
18,882
327,792
Woodward, Inc. (Aerospace & Defense)
 
220
78,742
XPO, Inc. (Ground Transportation)
  (a)
550
107,002
Xylem, Inc. (Machinery)
 
730
87,235
Zurn Elkay Water Solutions Corp.
(Building Products)
 
7,187
322,265
 
 
22,420,376
Information Technology16.1%
 
ACI Worldwide, Inc. (Software)
  (a)
6,412
262,956
Amdocs Ltd. (IT Svs.)
 
1,000
65,260
Amkor Technology, Inc. (Semiconductors &
Equip.)
 
1,450
65,293
Arrow Electronics, Inc. (Electronic Equip., Instr.
& Comp.)
  (a)
440
63,100
Astera Labs, Inc. (Semiconductors & Equip.)
  (a)
294
32,222
Aurora Innovation, Inc. (Software)
  (a)
13,980
57,598
Avnet, Inc. (Electronic Equip., Instr. & Comp.)
 
7,020
432,572
25
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Bentley Systems, Inc. Class B (Software)
 
1,100
$38,632
BILL Holdings, Inc. (Software)
  (a)
490
18,767
Calix, Inc. (Communications Equip.)
  (a)
6,530
319,905
CCC Intelligent Solutions Holdings, Inc.
(Software)
  (a)
4,820
28,920
CDW Corp. (Electronic Equip., Instr. & Comp.)
 
350
42,357
Ciena Corp. (Communications Equip.)
  (a)
1,587
616,121
Circle Internet Group, Inc. (Software)
  (a)
811
77,378
Cloudflare, Inc. Class A (IT Svs.)
  (a)
1,060
218,720
Cognizant Technology Solutions Corp. Class A
(IT Svs.)
 
1,710
104,908
Coherent Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
1,709
407,101
Corning, Inc. (Electronic Equip., Instr. & Comp.)
 
2,720
369,838
Crane NXT Co. (Electronic Equip., Instr. &
Comp.)
 
10,063
408,457
Credo Technology Group Holding Ltd.
(Semiconductors & Equip.)
  (a)
3,820
358,583
Datadog, Inc. Class A (Software)
  (a)
1,054
124,425
DigitalOcean Holdings, Inc. (IT Svs.)
  (a)
5,541
475,307
Docusign, Inc. (Software)
  (a)
1,070
50,729
Dynatrace, Inc. (Software)
  (a)
1,560
57,689
Elastic N.V. (Software)
  (a)
940
46,991
Entegris, Inc. (Semiconductors & Equip.)
 
680
79,723
EPAM Systems, Inc. (IT Svs.)
  (a)
510
69,054
Everpure, Inc. Class A (Tech. Hardware,
Storage & Periph.)
  (a)
850
50,184
F5, Inc. (Communications Equip.)
  (a)
1,906
551,463
Fabrinet (Electronic Equip., Instr. & Comp.)
  (a)
1,028
536,123
Fair Isaac Corp. (Software)
  (a)
78
83,268
First Solar, Inc. (Semiconductors & Equip.)
  (a)
370
72,986
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
970
63,496
FormFactor, Inc. (Semiconductors & Equip.)
  (a)
6,064
588,147
Gartner, Inc. (IT Svs.)
  (a)
449
71,095
Gen Digital, Inc. (Software)
 
2,820
53,101
GLOBALFOUNDRIES, Inc. (Semiconductors &
Equip.)
  (a)
300
13,344
Globant SA (IT Svs.)
  (a)
4,710
217,178
GoDaddy, Inc. Class A (IT Svs.)
  (a)
490
40,508
Guidewire Software, Inc. (Software)
  (a)
210
31,408
Hewlett Packard Enterprise Co. (Tech.
Hardware, Storage & Periph.)
 
5,300
126,193
HP, Inc. (Tech. Hardware, Storage & Periph.)
 
2,390
45,912
HubSpot, Inc. (Software)
  (a)
130
31,733
Jabil, Inc. (Electronic Equip., Instr. & Comp.)
 
270
71,720
Keysight Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
570
160,951
Klaviyo, Inc. Class A (Software)
  (a)
8,048
156,614
Lattice Semiconductor Corp. (Semiconductors
& Equip.)
  (a)
5,122
475,117
Littelfuse, Inc. (Electronic Equip., Instr. &
Comp.)
 
660
223,971
Lumentum Holdings, Inc.
(Communications Equip.)
  (a)
230
161,635
MACOM Technology Solutions Holdings, Inc.
(Semiconductors & Equip.)
  (a)
1,607
356,866
Manhattan Associates, Inc. (Software)
  (a)
380
50,586
Microchip Technology, Inc. (Semiconductors &
Equip.)
 
1,506
97,303
MKS, Inc. (Semiconductors & Equip.)
 
1,284
295,076
MongoDB, Inc. (IT Svs.)
  (a)
1,322
323,586
Monolithic Power Systems, Inc.
(Semiconductors & Equip.)
 
162
177,123
NetApp, Inc. (Tech. Hardware, Storage &
Periph.)
 
640
65,530
Nice Ltd. – ADR (Software)
  (a)
2,010
221,623
Nova Ltd. (Semiconductors & Equip.)
  (a)
750
325,710
Nutanix, Inc. Class A (Software)
  (a)
650
24,707
Okta, Inc. (IT Svs.)
  (a)
820
64,542
ON Semiconductor Corp. (Semiconductors &
Equip.)
  (a)
8,204
507,992
Onto Innovation, Inc. (Semiconductors &
Equip.)
  (a)
370
75,876
Plexus Corp. (Electronic Equip., Instr. & Comp.)
  (a)
1,955
395,966
Procore Technologies, Inc. (Software)
  (a)
7,084
403,788
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
PTC, Inc. (Software)
  (a)
310
$44,172
Qnity Electronics, Inc. (Semiconductors &
Equip.)
 
726
83,766
Qorvo, Inc. (Semiconductors & Equip.)
  (a)
470
36,378
Ralliant Corp. (Electronic Equip., Instr. & Comp.)
 
336
13,974
SailPoint, Inc. (Software)
  (a)
3,280
43,427
Samsara, Inc. Class A (Software)
  (a)
10,387
329,164
Sandisk Corp. (Tech. Hardware, Storage &
Periph.)
  (a)
450
285,903
Semtech Corp. (Semiconductors & Equip.)
  (a)
4,533
348,542
Skyworks Solutions, Inc. (Semiconductors &
Equip.)
 
680
36,414
Super Micro Computer, Inc. (Tech. Hardware,
Storage & Periph.)
  (a)
1,500
34,155
TD SYNNEX Corp. (Electronic Equip., Instr. &
Comp.)
 
3,050
514,565
Teledyne Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
115
69,576
Teradyne, Inc. (Semiconductors & Equip.)
 
1,400
415,044
Trimble, Inc. (Software)
  (a)
610
39,790
Twilio, Inc. Class A (IT Svs.)
  (a)
670
84,299
Tyler Technologies, Inc. (Software)
  (a)
100
34,238
Ubiquiti, Inc. (Communications Equip.)
 
120
94,835
UiPath, Inc. Class A (Software)
  (a)
4,120
45,732
Unity Software, Inc. (Software)
  (a)
2,300
50,462
Universal Display Corp. (Semiconductors &
Equip.)
 
3,600
329,976
VeriSign, Inc. (IT Svs.)
 
220
54,639
Western Digital Corp. (Tech. Hardware, Storage
& Periph.)
 
1,180
319,178
Zebra Technologies Corp. Class A (Electronic
Equip., Instr. & Comp.)
  (a)
1,291
269,922
Zoom Communications, Inc. (Software)
  (a)
900
72,351
Zscaler, Inc. (Software)
  (a)
250
35,073
 
 
15,790,602
Materials5.0%
 
Albemarle Corp. (Chemicals)
 
2,109
378,629
Alcoa Corp. (Metals & Mining)
 
3,566
236,533
Amcor PLC (Containers & Packaging)
 
1,298
51,595
Anglogold Ashanti PLC (Metals & Mining)
 
1,700
165,512
Avery Dennison Corp. (Containers &
Packaging)
 
260
44,897
Avient Corp. (Chemicals)
 
8,496
308,405
Ball Corp. (Containers & Packaging)
 
990
58,519
CF Industries Holdings, Inc. (Chemicals)
 
890
115,558
Corteva, Inc. (Chemicals)
 
2,383
199,481
Crown Holdings, Inc. (Containers & Packaging)
 
630
63,157
Dow, Inc. (Chemicals)
 
2,130
88,714
DuPont de Nemours, Inc. (Chemicals)
 
1,452
66,502
Eagle Materials, Inc. (Construction Materials)
 
1,284
243,254
Eastman Chemical Co. (Chemicals)
 
660
50,371
Element Solutions, Inc. (Chemicals)
 
8,890
303,505
Graphic Packaging Holding Co. (Containers &
Packaging)
 
2,542
25,267
International Flavors & Fragrances, Inc.
(Chemicals)
 
719
52,163
International Paper Co. (Containers &
Packaging)
 
2,947
105,208
Martin Marietta Materials, Inc.
(Construction Materials)
 
270
158,944
MP Materials Corp. (Metals & Mining)
  (a)
3,976
191,882
Nucor Corp. (Metals & Mining)
 
800
135,280
O-I Glass, Inc. (Containers & Packaging)
  (a)
28,586
300,439
Packaging Corp. of America (Containers &
Packaging)
 
580
123,088
PPG Industries, Inc. (Chemicals)
 
580
61,990
Reliance, Inc. (Metals & Mining)
 
1,981
602,065
Royal Gold, Inc. (Metals & Mining)
 
260
66,167
RPM International, Inc. (Chemicals)
 
4,169
414,399
Smurfit Westrock PLC (Containers &
Packaging)
 
1,503
59,894
Steel Dynamics, Inc. (Metals & Mining)
 
480
86,400
26
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Mid Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Materials (continued)
 
Vulcan Materials Co. (Construction Materials)
 
460
$125,258
Westlake Corp. (Chemicals)
 
550
64,251
 
 
4,947,327
Real Estate5.2%
 
American Healthcare REIT, Inc. (Health Care
REITs)
 
3,670
173,077
Americold Realty Trust, Inc. (Industrial REITs)
 
7,100
81,366
AvalonBay Communities, Inc.
(Residential REITs)
 
490
80,041
Brixmor Property Group, Inc. (Retail REITs)
 
10,601
305,309
Broadstone Net Lease, Inc. (Diversified REITs)
 
10,861
198,430
CBRE Group, Inc. Class A (Real Estate Mgmt. &
Development)
  (a)
1,000
135,460
COPT Defense Properties (Office REITs)
 
12,082
369,709
Crown Castle, Inc. (Specialized REITs)
 
1,510
122,778
CubeSmart (Specialized REITs)
 
4,461
163,496
Digital Realty Trust, Inc. (Specialized REITs)
 
1,170
210,846
Equity LifeStyle Properties, Inc.
(Residential REITs)
 
1,100
68,662
Equity Residential (Residential REITs)
 
940
55,601
Essex Property Trust, Inc. (Residential REITs)
 
270
65,340
Extra Space Storage, Inc. (Specialized REITs)
 
1,169
153,291
First Industrial Realty Trust, Inc.
(Industrial REITs)
 
1,400
80,990
Gaming and Leisure Properties, Inc.
(Specialized REITs)
 
1,710
75,873
Independence Realty Trust, Inc.
(Residential REITs)
 
18,985
282,687
Invitation Homes, Inc. (Residential REITs)
 
1,780
44,233
Iron Mountain, Inc. (Specialized REITs)
 
940
96,012
Jones Lang LaSalle, Inc. (Real Estate Mgmt. &
Development)
  (a)
1,894
576,382
Lineage, Inc. (Industrial REITs)
 
1,139
37,314
Mid-America Apartment Communities, Inc.
(Residential REITs)
 
480
58,618
NNN REIT, Inc. (Retail REITs)
 
1,820
76,495
Omega Healthcare Investors, Inc. (Health Care
REITs)
 
1,900
83,258
Realty Income Corp. (Retail REITs)
 
3,150
192,717
Regency Centers Corp. (Retail REITs)
 
950
71,877
Ryman Hospitality Properties, Inc. (Hotel &
Resort REITs)
 
2,002
184,724
SBA Communications Corp. (Specialized REITs)
 
280
48,191
Simon Property Group, Inc. (Retail REITs)
 
1,128
210,406
STAG Industrial, Inc. (Industrial REITs)
 
8,050
290,283
Sun Communities, Inc. (Residential REITs)
 
420
52,903
UDR, Inc. (Residential REITs)
 
2,130
71,951
Ventas, Inc. (Health Care REITs)
 
1,180
96,500
VICI Properties, Inc. (Specialized REITs)
 
3,360
91,795
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
Vornado Realty Trust (Office REITs)
 
2,900
$75,371
W.P. Carey, Inc. (Diversified REITs)
 
1,020
69,319
 
 
5,051,305
Utilities4.0%
 
Alliant Energy Corp. (Electric Utilities)
 
1,140
81,806
Ameren Corp. (Multi-Utilities)
 
1,460
160,483
American Water Works Co., Inc.
(Water Utilities)
 
510
69,406
Atmos Energy Corp. (Gas Utilities)
 
490
90,513
Brookfield Renewable Corp. (Ind. Power &
Renewable Elec.)
 
2,000
79,660
CenterPoint Energy, Inc. (Multi-Utilities)
 
1,940
83,730
Chesapeake Utilities Corp. (Gas Utilities)
 
2,428
306,826
CMS Energy Corp. (Multi-Utilities)
 
880
68,270
Consolidated Edison, Inc. (Multi-Utilities)
 
1,250
141,475
DTE Energy Co. (Multi-Utilities)
 
560
81,883
Edison International (Electric Utilities)
 
770
56,349
Entergy Corp. (Electric Utilities)
 
1,550
174,158
Essential Utilities, Inc. (Water Utilities)
 
1,890
76,110
Eversource Energy (Electric Utilities)
 
1,990
137,867
Exelon Corp. (Electric Utilities)
 
3,520
172,551
FirstEnergy Corp. (Electric Utilities)
 
1,520
77,003
IDACORP, Inc. (Electric Utilities)
 
4,567
652,944
NiSource, Inc. (Multi-Utilities)
 
1,200
55,992
NRG Energy, Inc. (Electric Utilities)
 
920
134,449
ONE Gas, Inc. (Gas Utilities)
 
4,228
364,158
PG&E Corp. (Electric Utilities)
 
5,716
100,430
PPL Corp. (Electric Utilities)
 
2,570
98,174
Public Service Enterprise Group, Inc.
(Multi-Utilities)
 
1,740
140,853
Talen Energy Corp. (Ind. Power & Renewable
Elec.)
  (a)
170
54,269
UGI Corp. (Gas Utilities)
 
1,500
54,630
Vistra Corp. (Ind. Power & Renewable Elec.)
 
1,180
177,390
WEC Energy Group, Inc. (Multi-Utilities)
 
930
107,666
Xcel Energy, Inc. (Electric Utilities)
 
2,060
163,647
 
 
3,962,692
Total Common Stocks (Cost $92,063,600)
 
$97,904,381
Exchange Traded Funds0.1%
Shares
Value
iShares Russell Mid-Cap ETF
 
1,072
$104,231
Total Exchange Traded Funds (Cost $102,537)
 
$104,231
Total Investments – 99.7% (Cost $92,166,137)
  (b)
$98,008,612
Other Assets in Excess of Liabilities – 0.3%
 
321,168
Net Assets – 100.0%
$98,329,780

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
ETF:
Exchange Traded Fund
NVS:
Non-Voting Shares
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
27

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks98.8%
Shares
Value
Communication Services10.2%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
113,654
$32,682,344
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
91,303
26,191,179
AT&T, Inc. (Diversified Telecom. Svs.)
 
136,822
3,966,470
Charter Communications, Inc. Class A (Media)
  (a)
1,690
364,837
Comcast Corp. Class A (Diversified Telecom.
Svs.)
 
69,924
2,007,518
EchoStar Corp. Class A (Media)
  (a)
2,642
309,299
Electronic Arts, Inc. (Entertainment)
 
4,421
901,309
Fox Corp. Class A (Media)
 
3,939
230,038
Fox Corp. Class B (Media)
 
2,779
147,565
Live Nation Entertainment, Inc.
(Entertainment)
  (a)
3,099
472,629
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
42,695
24,427,090
Netflix, Inc. (Entertainment)
  (a)
82,389
7,921,702
News Corp. Class A (Media)
 
7,267
181,166
News Corp. Class B (Media)
 
2,399
68,395
Omnicom Group, Inc. (Media)
 
6,175
465,039
Paramount Skydance Corp. Class B (Media)
 
6,100
55,022
Take-Two Interactive Software, Inc.
(Entertainment)
  (a)
3,417
674,858
TKO Group Holdings, Inc. (Entertainment)
 
1,301
262,347
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
9,229
1,938,367
Trade Desk, Inc. / The Class A (Media)
  (a)
8,643
196,110
Verizon Communications, Inc. (Diversified
Telecom. Svs.)
 
82,421
4,137,534
Walt Disney Co. / The (Entertainment)
 
34,547
3,329,640
Warner Bros. Discovery, Inc. (Entertainment)
  (a)
48,648
1,335,874
 
 
112,266,332
Consumer Discretionary9.7%
 
Airbnb, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
8,199
1,035,370
Amazon.com, Inc. (Broadline Retail)
  (a)
190,699
39,716,881
Aptiv PLC (Automobile Components)
  (a)
4,176
289,981
AutoZone, Inc. (Specialty Retail)
  (a)
321
1,084,267
Best Buy Co., Inc. (Specialty Retail)
 
3,825
245,565
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
628
2,644,081
Carnival Corp. (Hotels, Restaurants & Leisure)
 
22,576
584,267
Carvana Co. (Specialty Retail)
  (a)
2,776
872,719
Chipotle Mexican Grill, Inc. (Hotels,
Restaurants & Leisure)
  (a)
25,565
818,336
D.R. Horton, Inc. (Household Durables)
 
5,288
725,619
Darden Restaurants, Inc. (Hotels, Restaurants
& Leisure)
 
2,260
443,050
Deckers Outdoor Corp. (Textiles, Apparel &
Luxury Goods)
  (a)
2,786
278,851
Domino's Pizza, Inc. (Hotels, Restaurants &
Leisure)
 
610
218,862
DoorDash, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
7,338
1,101,801
eBay, Inc. (Broadline Retail)
 
8,872
807,530
Expedia Group, Inc. (Hotels, Restaurants &
Leisure)
 
2,297
530,354
Ford Motor Co. (Automobiles)
 
75,651
873,013
Garmin Ltd. (Household Durables)
 
3,209
744,520
General Motors Co. (Automobiles)
 
17,548
1,307,326
Genuine Parts Co. (Distributors)
 
2,731
288,803
Hasbro, Inc. (Leisure Products)
 
2,617
244,951
Hilton Worldwide Holdings, Inc. (Hotels,
Restaurants & Leisure)
 
4,451
1,353,460
Home Depot, Inc. / The (Specialty Retail)
 
19,439
6,393,293
Las Vegas Sands Corp. (Hotels, Restaurants &
Leisure)
 
5,935
319,778
Lennar Corp. Class A (Household Durables)
 
4,235
367,767
Lowe's Cos., Inc. (Specialty Retail)
 
10,945
2,586,085
Lululemon Athletica, Inc. (Textiles, Apparel &
Luxury Goods)
  (a)
2,095
320,745
Marriott International, Inc. Class A (Hotels,
Restaurants & Leisure)
 
4,271
1,396,916
McDonald's Corp. (Hotels, Restaurants &
Leisure)
 
13,916
4,324,954
Common Stocks (Continued)
Shares
Value
Consumer Discretionary (continued)
 
MGM Resorts International (Hotels,
Restaurants & Leisure)
  (a)
3,766
$139,380
NIKE, Inc. Class B (Textiles, Apparel & Luxury
Goods)
 
23,072
1,218,663
Norwegian Cruise Line Holdings Ltd. (Hotels,
Restaurants & Leisure)
  (a)
8,936
167,103
NVR, Inc. (Household Durables)
  (a)
53
349,261
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
16,356
1,509,822
Pool Corp. (Distributors)
 
643
130,098
PulteGroup, Inc. (Household Durables)
 
3,772
443,625
Ralph Lauren Corp. (Textiles, Apparel & Luxury
Goods)
 
759
261,088
Ross Stores, Inc. (Specialty Retail)
 
6,279
1,360,220
Royal Caribbean Cruises Ltd. (Hotels,
Restaurants & Leisure)
 
4,883
1,343,704
Starbucks Corp. (Hotels, Restaurants &
Leisure)
 
22,200
1,988,898
Tapestry, Inc. (Textiles, Apparel & Luxury
Goods)
 
3,974
560,771
Tesla, Inc. (Automobiles)
  (a)
54,911
20,413,164
TJX Cos., Inc. / The (Specialty Retail)
 
21,702
3,465,809
Tractor Supply Co. (Specialty Retail)
 
10,372
469,852
Ulta Beauty, Inc. (Specialty Retail)
  (a)
871
455,280
Williams-Sonoma, Inc. (Specialty Retail)
 
2,343
427,199
Wynn Resorts Ltd. (Hotels, Restaurants &
Leisure)
 
1,657
168,268
Yum! Brands, Inc. (Hotels, Restaurants &
Leisure)
 
5,450
847,366
 
 
107,638,716
Consumer Staples5.2%
 
Altria Group, Inc. (Tobacco)
 
32,673
2,156,091
Archer-Daniels-Midland Co. (Food Products)
 
9,433
685,685
Brown-Forman Corp. Class B (Beverages)
 
3,354
88,680
Bunge Global SA (Food Products)
 
2,657
337,970
Campbell's Company / The (Food Products)
 
3,862
86,007
Church & Dwight Co., Inc.
(Household Products)
 
4,646
433,565
Clorox Co. / The (Household Products)
 
2,373
245,914
Coca-Cola Co. / The (Beverages)
 
75,706
5,757,441
Colgate-Palmolive Co. (Household Products)
 
15,613
1,330,696
Conagra Brands, Inc. (Food Products)
 
9,390
147,611
Constellation Brands, Inc. Class A (Beverages)
 
2,757
413,550
Costco Wholesale Corp. (Consumer Staples
Distribution & Retail)
 
8,669
8,638,052
Dollar General Corp. (Consumer Staples
Distribution & Retail)
 
4,321
513,032
Dollar Tree, Inc. (Consumer Staples
Distribution & Retail)
  (a)
3,630
397,521
Estee Lauder Cos., Inc. / The Class A (Personal
Care Products)
 
4,853
348,300
General Mills, Inc. (Food Products)
 
10,474
389,842
Hershey Co. / The (Food Products)
 
2,908
604,544
Hormel Foods Corp. (Food Products)
 
5,723
129,626
J. M. Smucker Co. / The (Food Products)
 
2,094
201,945
Kenvue, Inc. (Personal Care Products)
 
37,609
648,379
Keurig Dr Pepper, Inc. (Beverages)
 
26,668
702,169
Kimberly-Clark Corp. (Household Products)
 
6,515
628,502
Kraft Heinz Co. / The (Food Products)
 
16,730
376,258
Kroger Co. / The (Consumer Staples
Distribution & Retail)
 
11,428
826,930
McCormick & Co., Inc. (Food Products)
 
4,978
251,090
Molson Coors Beverage Co. Class B
(Beverages)
 
3,323
143,088
Mondelez International, Inc. Class A
(Food Products)
 
24,899
1,435,178
Monster Beverage Corp. (Beverages)
  (a)
13,795
999,586
PepsiCo, Inc. (Beverages)
 
26,685
4,143,914
Philip Morris International, Inc. (Tobacco)
 
30,361
5,019,888
Procter & Gamble Co. / The
(Household Products)
 
45,445
6,564,076
Sysco Corp. (Consumer Staples Distribution &
Retail)
 
9,401
670,573
Target Corp. (Consumer Staples Distribution &
Retail)
 
8,759
1,061,591
28
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Consumer Staples (continued)
 
Tyson Foods, Inc. Class A (Food Products)
 
5,537
$354,756
Walmart, Inc. (Consumer Staples Distribution
& Retail)
 
85,611
10,639,735
 
 
57,371,785
Energy4.0%
 
APA Corp. (Oil, Gas & Consumable Fuels)
 
6,962
295,467
Baker Hughes Co. (Energy Equip. & Svs.)
 
19,162
1,169,840
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
36,646
7,582,057
ConocoPhillips (Oil, Gas & Consumable Fuels)
 
23,926
3,158,232
Coterra Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
14,891
523,270
Devon Energy Corp. (Oil, Gas & Consumable
Fuels)
 
12,175
612,646
Diamondback Energy, Inc. (Oil, Gas &
Consumable Fuels)
 
3,789
749,426
EOG Resources, Inc. (Oil, Gas & Consumable
Fuels)
 
10,546
1,524,635
EQT Corp. (Oil, Gas & Consumable Fuels)
 
12,250
779,590
Expand Energy Corp. (Oil, Gas & Consumable
Fuels)
 
4,675
513,222
Exxon Mobil Corp. (Oil, Gas & Consumable
Fuels)
 
81,646
13,852,060
Halliburton Co. (Energy Equip. & Svs.)
 
16,440
640,996
Kinder Morgan, Inc. (Oil, Gas & Consumable
Fuels)
 
37,987
1,273,704
Marathon Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
5,729
1,398,907
Occidental Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
14,117
917,605
ONEOK, Inc. (Oil, Gas & Consumable Fuels)
 
12,186
1,101,493
Phillips 66 (Oil, Gas & Consumable Fuels)
 
7,828
1,426,105
SLB Ltd. (Energy Equip. & Svs.)
 
29,055
1,493,136
Targa Resources Corp. (Oil, Gas & Consumable
Fuels)
 
4,214
1,056,576
Texas Pacific Land Corp. (Oil, Gas &
Consumable Fuels)
 
1,137
539,575
Valero Energy Corp. (Oil, Gas & Consumable
Fuels)
 
5,925
1,463,949
Williams Cos., Inc. / The (Oil, Gas &
Consumable Fuels)
 
23,770
1,729,981
 
 
43,802,472
Financials12.4%
 
Aflac, Inc. (Insurance)
 
9,022
989,804
Allstate Corp. / The (Insurance)
 
5,104
1,058,263
American Express Co. (Consumer Finance)
 
10,451
3,161,218
American International Group, Inc.
(Insurance)
 
10,532
792,533
Ameriprise Financial, Inc. (Capital Markets)
 
1,792
796,365
Aon PLC Class A (Insurance)
 
4,210
1,358,904
Apollo Global Management, Inc.
(Financial Services)
 
8,979
1,000,440
Arch Capital Group Ltd. (Insurance)
  (a)
7,017
673,562
Ares Management Corp. Class A
(Capital Markets)
 
4,044
441,200
Arthur J. Gallagher & Co. (Insurance)
 
5,044
1,092,430
Assurant, Inc. (Insurance)
 
983
214,107
Bank of America Corp. (Banks)
 
129,611
6,318,536
Bank of New York Mellon Corp. / The
(Capital Markets)
 
13,382
1,587,507
Berkshire Hathaway, Inc. Class B
(Financial Services)
  (a)
35,816
17,163,027
Blackrock, Inc. (Capital Markets)
 
2,814
2,706,252
Blackstone, Inc. (Capital Markets)
 
14,557
1,673,909
Block, Inc. (Financial Services)
  (a)
10,750
646,935
Brown & Brown, Inc. (Insurance)
 
5,747
374,762
Capital One Financial Corp.
(Consumer Finance)
 
12,158
2,217,984
CBOE Global Markets, Inc. (Capital Markets)
 
2,054
577,318
Charles Schwab Corp. / The (Capital Markets)
 
32,588
3,062,620
Chubb Ltd. (Insurance)
 
7,092
2,311,496
Cincinnati Financial Corp. (Insurance)
 
3,062
481,806
Citigroup, Inc. (Banks)
 
34,091
3,866,260
Citizens Financial Group, Inc. (Banks)
 
8,342
500,270
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
CME Group, Inc. (Capital Markets)
 
7,028
$2,075,720
Coinbase Global, Inc. Class A
(Capital Markets)
  (a)
4,378
764,443
Corpay, Inc. (Financial Services)
  (a)
1,373
399,529
Erie Indemnity Co. Class A (Insurance)
 
499
125,404
Everest Group Ltd. (Insurance)
 
799
261,153
FactSet Research Systems, Inc.
(Capital Markets)
 
728
157,969
Fidelity National Information Services, Inc.
(Financial Services)
 
10,165
476,840
Fifth Third Bancorp (Banks)
 
17,341
805,663
Fiserv, Inc. (Financial Services)
  (a)
10,557
589,081
Franklin Resources, Inc. (Capital Markets)
 
6,031
142,452
Global Payments, Inc. (Financial Services)
 
4,671
314,358
Globe Life, Inc. (Insurance)
 
1,563
217,523
Goldman Sachs Group, Inc. / The
(Capital Markets)
 
5,848
4,947,350
Hartford Insurance Group, Inc. / The
(Insurance)
 
5,474
740,249
Huntington Bancshares, Inc. (Banks)
 
39,843
623,543
Interactive Brokers Group, Inc. Class A
(Capital Markets)
 
8,742
586,326
Intercontinental Exchange, Inc.
(Capital Markets)
 
11,051
1,738,101
Invesco Ltd. (Capital Markets)
 
8,715
211,687
Jack Henry & Associates, Inc.
(Financial Services)
 
1,417
223,943
JPMorgan Chase & Co. (Banks)
 
52,655
15,488,995
KeyCorp (Banks)
 
18,393
368,780
KKR & Co., Inc. (Capital Markets)
 
13,309
1,231,082
Loews Corp. (Insurance)
 
3,317
354,057
M&T Bank Corp. (Banks)
 
2,980
616,026
Marsh & McLennan Cos., Inc. (Insurance)
 
9,404
1,631,124
Mastercard, Inc. Class A (Financial Services)
 
15,894
7,941,596
MetLife, Inc. (Insurance)
 
10,805
764,130
Moody's Corp. (Capital Markets)
 
2,977
1,298,716
Morgan Stanley (Capital Markets)
 
23,468
3,862,129
MSCI, Inc. (Capital Markets)
 
1,442
777,252
Nasdaq, Inc. (Capital Markets)
 
8,815
748,305
Northern Trust Corp. (Capital Markets)
 
3,658
510,547
PayPal Holdings, Inc. (Financial Services)
 
17,733
802,064
PNC Financial Services Group, Inc. / The
(Banks)
 
7,855
1,634,547
Principal Financial Group, Inc. (Insurance)
 
3,883
349,897
Progressive Corp. / The (Insurance)
 
11,410
2,261,918
Prudential Financial, Inc. (Insurance)
 
6,831
667,320
Raymond James Financial, Inc.
(Capital Markets)
 
3,443
498,512
Regions Financial Corp. (Banks)
 
17,038
445,033
Robinhood Markets, Inc. Class A
(Capital Markets)
  (a)
15,513
1,075,051
S&P Global, Inc. (Capital Markets)
 
5,963
2,536,302
State Street Corp. (Capital Markets)
 
5,478
693,296
Synchrony Financial (Consumer Finance)
 
6,823
464,100
T. Rowe Price Group, Inc. (Capital Markets)
 
4,291
386,791
Travelers Cos., Inc. / The (Insurance)
 
4,190
1,222,139
Truist Financial Corp. (Banks)
 
24,450
1,123,966
U.S. Bancorp (Banks)
 
30,224
1,571,950
Visa, Inc. (Financial Services)
 
32,823
9,920,423
W. R. Berkley Corp. (Insurance)
 
5,848
387,605
Wells Fargo & Co. (Banks)
 
60,375
4,806,454
Willis Towers Watson PLC (Insurance)
 
1,866
542,446
 
 
137,451,395
Health Care9.4%
 
Abbott Laboratories (Health Care Equip. &
Supplies)
 
33,912
3,481,745
AbbVie, Inc. (Biotechnology)
 
34,520
7,507,755
Agilent Technologies, Inc. (Life Sciences Tools
& Svs.)
 
5,552
632,817
Align Technology, Inc. (Health Care Equip. &
Supplies)
  (a)
1,310
224,573
Amgen, Inc. (Biotechnology)
 
10,516
3,700,055
Baxter International, Inc. (Health Care Equip. &
Supplies)
 
10,099
169,663
29
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Becton Dickinson & Co. (Health Care Equip. &
Supplies)
 
5,589
$878,758
Biogen, Inc. (Biotechnology)
  (a)
2,881
528,174
Bio-Techne Corp. (Life Sciences Tools & Svs.)
 
3,071
160,490
Boston Scientific Corp. (Health Care Equip. &
Supplies)
  (a)
28,843
1,809,898
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
39,713
2,408,593
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
4,619
976,041
Cencora, Inc. (Health Care Providers & Svs.)
 
3,818
1,199,387
Centene Corp. (Health Care Providers & Svs.)
  (a)
9,170
300,226
Charles River Laboratories International, Inc.
(Life Sciences Tools & Svs.)
  (a)
966
166,635
Cigna Group / The (Health Care Providers &
Svs.)
 
5,115
1,364,426
Cooper Cos., Inc. / The (Health Care Equip. &
Supplies)
  (a)
3,847
275,061
CVS Health Corp. (Health Care Providers &
Svs.)
 
24,766
1,778,694
Danaher Corp. (Life Sciences Tools & Svs.)
 
12,239
2,320,514
DaVita, Inc. (Health Care Providers & Svs.)
  (a)
656
100,821
Dexcom, Inc. (Health Care Equip. & Supplies)
  (a)
7,554
474,391
Edwards Lifesciences Corp. (Health Care
Equip. & Supplies)
  (a)
11,391
912,191
Elevance Health, Inc. (Health Care Providers &
Svs.)
 
4,280
1,252,970
Eli Lilly & Co. (Pharmaceuticals)
 
15,469
14,227,922
GE HealthCare Technologies, Inc. (Health Care
Equip. & Supplies)
 
8,946
636,776
Gilead Sciences, Inc. (Biotechnology)
 
24,227
3,376,517
HCA Healthcare, Inc. (Health Care Providers &
Svs.)
 
3,042
1,439,596
Henry Schein, Inc. (Health Care Providers &
Svs.)
  (a)
1,964
144,747
Hologic, Inc. (Health Care Equip. & Supplies)
  (a)
4,369
330,253
Humana, Inc. (Health Care Providers & Svs.)
 
2,367
410,414
IDEXX Laboratories, Inc. (Health Care Equip. &
Supplies)
  (a)
1,567
880,482
Incyte Corp. (Biotechnology)
  (a)
3,281
308,808
Insulet Corp. (Health Care Equip. & Supplies)
  (a)
1,381
289,789
Intuitive Surgical, Inc. (Health Care Equip. &
Supplies)
  (a)
6,923
3,191,434
IQVIA Holdings, Inc. (Life Sciences Tools &
Svs.)
  (a)
3,329
567,728
Johnson & Johnson (Pharmaceuticals)
 
47,075
11,507,013
Labcorp Holdings, Inc. (Health Care Providers
& Svs.)
 
1,627
434,100
McKesson Corp. (Health Care Providers &
Svs.)
 
2,387
2,065,614
Medtronic PLC (Health Care Equip. &
Supplies)
 
24,986
2,165,037
Merck & Co., Inc. (Pharmaceuticals)
 
48,455
5,828,652
Mettler-Toledo International, Inc. (Life
Sciences Tools & Svs.)
  (a)
399
503,219
Moderna, Inc. (Biotechnology)
  (a)
6,826
346,761
Pfizer, Inc. (Pharmaceuticals)
 
110,991
3,116,627
Quest Diagnostics, Inc. (Health Care Providers
& Svs.)
 
2,159
423,121
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
1,959
1,513,602
ResMed, Inc. (Health Care Equip. & Supplies)
 
2,859
641,788
Revvity, Inc. (Life Sciences Tools & Svs.)
 
2,225
194,932
Solventum Corp. (Health Care Equip. &
Supplies)
  (a)
2,894
188,978
STERIS PLC (Health Care Equip. & Supplies)
 
1,925
425,675
Stryker Corp. (Health Care Equip. & Supplies)
 
6,708
2,204,182
Thermo Fisher Scientific, Inc. (Life Sciences
Tools & Svs.)
 
7,316
3,596,033
UnitedHealth Group, Inc. (Health Care
Providers & Svs.)
 
17,680
4,784,031
Universal Health Services, Inc. Class B (Health
Care Providers & Svs.)
 
1,084
194,003
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
4,953
2,211,713
Viatris, Inc. (Pharmaceuticals)
 
22,608
305,434
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Waters Corp. (Life Sciences Tools & Svs.)
  (a)
1,925
$573,265
West Pharmaceutical Services, Inc. (Life
Sciences Tools & Svs.)
 
1,412
353,904
Zimmer Biomet Holdings, Inc. (Health Care
Equip. & Supplies)
 
3,890
351,734
Zoetis, Inc. (Pharmaceuticals)
 
8,157
964,239
 
 
103,322,001
Industrials8.9%
 
3M Co. (Industrial Conglomerates)
 
10,237
1,486,720
A. O. Smith Corp. (Building Products)
 
2,207
145,530
Allegion PLC (Building Products)
 
1,689
245,395
AMETEK, Inc. (Electrical Equip.)
 
4,519
968,693
Automatic Data Processing, Inc.
(Professional Svs.)
 
7,803
1,585,414
Axon Enterprise, Inc. (Aerospace & Defense)
  (a)
1,549
657,845
Boeing Co. / The (Aerospace & Defense)
  (a)
15,324
3,049,936
Broadridge Financial Solutions, Inc.
(Professional Svs.)
 
2,292
372,404
Builders FirstSource, Inc. (Building Products)
  (a)
2,171
178,738
C.H. Robinson Worldwide, Inc. (Air Freight &
Logistics)
 
2,328
386,611
Carrier Global Corp. (Building Products)
 
15,166
853,997
Caterpillar, Inc. (Machinery)
 
9,090
6,439,901
Cintas Corp. (Commercial Svs. & Supplies)
 
6,588
1,114,294
Comfort Systems U.S.A., Inc. (Construction &
Engineering)
 
691
952,882
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
17,481
580,369
CSX Corp. (Ground Transportation)
 
36,115
1,482,521
Cummins, Inc. (Machinery)
 
2,685
1,444,584
Deere & Co. (Machinery)
 
4,922
2,772,563
Delta Air Lines, Inc. (Passenger Airlines)
 
12,750
847,620
Dover Corp. (Machinery)
 
2,647
551,767
Eaton Corp. PLC (Electrical Equip.)
 
7,584
2,712,569
EMCOR Group, Inc. (Construction &
Engineering)
 
879
648,975
Emerson Electric Co. (Electrical Equip.)
 
10,916
1,430,214
Equifax, Inc. (Professional Svs.)
 
2,363
425,505
Expeditors International of Washington, Inc.
(Air Freight & Logistics)
 
2,631
376,838
Fastenal Co. (Trading Companies &
Distributors)
 
22,204
1,030,266
FedEx Corp. (Air Freight & Logistics)
 
4,204
1,497,381
Fortive Corp. (Machinery)
 
6,152
340,083
GE Vernova, Inc. (Electrical Equip.)
 
5,260
4,591,454
Generac Holdings, Inc. (Electrical Equip.)
  (a)
1,152
225,020
General Dynamics Corp. (Aerospace &
Defense)
 
4,938
1,694,820
General Electric Co. (Operating as "GE
Aerospace") (Aerospace & Defense)
 
20,475
5,810,191
Honeywell International, Inc.
(Industrial Conglomerates)
 
12,392
2,800,964
Howmet Aerospace, Inc. (Aerospace &
Defense)
 
7,807
1,799,201
Hubbell, Inc. (Electrical Equip.)
 
1,043
511,842
Huntington Ingalls Industries, Inc. (Aerospace
& Defense)
 
770
292,523
IDEX Corp. (Machinery)
 
1,469
278,449
Illinois Tool Works, Inc. (Machinery)
 
5,091
1,325,136
Ingersoll Rand, Inc. (Machinery)
 
6,986
559,718
J.B. Hunt Transport Services, Inc.
(Ground Transportation)
 
1,467
310,857
Jacobs Solutions, Inc. (Professional Svs.)
 
2,305
293,380
Johnson Controls International PLC
(Building Products)
 
11,904
1,558,829
L3Harris Technologies, Inc. (Aerospace &
Defense)
 
3,666
1,265,320
Leidos Holdings, Inc. (Professional Svs.)
 
2,510
390,355
Lennox International, Inc. (Building Products)
 
626
290,545
Lockheed Martin Corp. (Aerospace &
Defense)
 
3,949
2,386,736
Masco Corp. (Building Products)
 
3,997
241,299
Nordson Corp. (Machinery)
 
1,039
276,436
Norfolk Southern Corp.
(Ground Transportation)
 
4,355
1,249,885
30
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
Northrop Grumman Corp. (Aerospace &
Defense)
 
2,597
$1,771,777
Old Dominion Freight Line, Inc.
(Ground Transportation)
 
3,612
705,785
Otis Worldwide Corp. (Machinery)
 
7,630
588,120
PACCAR, Inc. (Machinery)
 
10,183
1,176,137
Parker-Hannifin Corp. (Machinery)
 
2,461
2,203,186
Paychex, Inc. (Professional Svs.)
 
6,342
584,225
Pentair PLC (Machinery)
 
3,212
279,797
Quanta Services, Inc. (Construction &
Engineering)
 
2,901
1,592,707
Republic Services, Inc. (Commercial Svs. &
Supplies)
 
3,950
865,129
Rockwell Automation, Inc. (Electrical Equip.)
 
2,205
791,330
Rollins, Inc. (Commercial Svs. & Supplies)
 
5,760
307,642
RTX Corp. (Aerospace & Defense)
 
26,215
5,056,874
Snap-on, Inc. (Machinery)
 
1,019
370,121
Southwest Airlines Co. (Passenger Airlines)
 
9,644
362,325
Stanley Black & Decker, Inc. (Machinery)
 
3,040
216,022
Textron, Inc. (Aerospace & Defense)
 
3,419
299,368
Trane Technologies PLC (Building Products)
 
4,309
1,795,733
TransDigm Group, Inc. (Aerospace & Defense)
 
1,108
1,284,128
Uber Technologies, Inc.
(Ground Transportation)
  (a)
40,192
2,891,011
Union Pacific Corp. (Ground Transportation)
 
11,585
2,810,753
United Airlines Holdings, Inc.
(Passenger Airlines)
  (a)
6,349
584,552
United Parcel Service, Inc. Class B (Air Freight
& Logistics)
 
14,354
1,412,147
United Rentals, Inc. (Trading Companies &
Distributors)
 
1,217
886,658
Veralto Corp. (Commercial Svs. & Supplies)
 
4,874
430,959
Verisk Analytics, Inc. (Professional Svs.)
 
2,736
519,156
Vertiv Holdings Co. Class A (Electrical Equip.)
 
7,454
1,867,823
W.W. Grainger, Inc. (Trading Companies &
Distributors)
 
845
921,734
Waste Management, Inc. (Commercial Svs. &
Supplies)
 
7,217
1,658,394
Westinghouse Air Brake Technologies Corp.
(Machinery)
 
3,347
836,449
Xylem, Inc. (Machinery)
 
4,782
571,449
 
 
98,374,066
Information Technology32.5%
 
Accenture PLC Class A (IT Svs.)
 
11,986
2,376,704
Adobe, Inc. (Software)
  (a)
7,993
1,942,938
Advanced Micro Devices, Inc.
(Semiconductors & Equip.)
  (a)
31,821
6,473,346
Akamai Technologies, Inc. (IT Svs.)
  (a)
2,824
324,336
Amphenol Corp. Class A (Electronic Equip.,
Instr. & Comp.)
 
23,977
3,029,494
Analog Devices, Inc. (Semiconductors &
Equip.)
 
9,541
3,035,374
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
286,626
72,742,814
Applied Materials, Inc. (Semiconductors &
Equip.)
 
15,490
5,294,327
AppLovin Corp. Class A (Software)
  (a)
5,285
2,103,430
Arista Networks, Inc. (Communications Equip.)
  (a)
20,140
2,472,789
Autodesk, Inc. (Software)
  (a)
4,161
996,143
Broadcom, Inc. (Semiconductors & Equip.)
 
92,561
28,648,555
Cadence Design Systems, Inc. (Software)
  (a)
5,290
1,469,932
CDW Corp. (Electronic Equip., Instr. & Comp.)
 
2,556
309,327
Ciena Corp. (Communications Equip.)
  (a)
2,765
1,073,456
Cisco Systems, Inc. (Communications Equip.)
 
77,133
5,984,750
Cognizant Technology Solutions Corp. Class A
(IT Svs.)
 
9,387
575,892
Coherent Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
3,680
876,613
Corning, Inc. (Electronic Equip., Instr. & Comp.)
 
15,219
2,069,327
Crowdstrike Holdings, Inc. Class A (Software)
  (a)
4,910
1,916,913
Datadog, Inc. Class A (Software)
  (a)
6,444
760,714
Dell Technologies, Inc. Class C (Tech.
Hardware, Storage & Periph.)
 
5,833
957,370
EPAM Systems, Inc. (IT Svs.)
  (a)
1,084
146,774
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
F5, Inc. (Communications Equip.)
  (a)
1,109
$320,867
Fair Isaac Corp. (Software)
  (a)
466
497,474
First Solar, Inc. (Semiconductors & Equip.)
  (a)
2,106
415,430
Fortinet, Inc. (Software)
  (a)
12,407
1,013,900
Gartner, Inc. (IT Svs.)
  (a)
1,383
218,984
Gen Digital, Inc. (Software)
 
10,819
203,722
GoDaddy, Inc. Class A (IT Svs.)
  (a)
2,653
219,324
Hewlett Packard Enterprise Co. (Tech.
Hardware, Storage & Periph.)
 
26,083
621,036
HP, Inc. (Tech. Hardware, Storage & Periph.)
 
18,019
346,145
Intel Corp. (Semiconductors & Equip.)
  (a)
91,626
4,043,455
International Business Machines Corp.
(IT Svs.)
 
18,239
4,420,951
Intuit, Inc. (Software)
 
5,423
2,344,797
Jabil, Inc. (Electronic Equip., Instr. & Comp.)
 
2,073
550,651
Keysight Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
3,317
936,621
KLA Corp. (Semiconductors & Equip.)
 
2,557
3,764,952
Lam Research Corp. (Semiconductors &
Equip.)
 
24,368
5,206,467
Lumentum Holdings, Inc.
(Communications Equip.)
  (a)
1,401
984,567
Microchip Technology, Inc. (Semiconductors &
Equip.)
 
10,622
686,287
Micron Technology, Inc. (Semiconductors &
Equip.)
 
21,967
7,421,331
Microsoft Corp. (Software)
 
144,976
53,665,766
Monolithic Power Systems, Inc.
(Semiconductors & Equip.)
 
956
1,045,243
Motorola Solutions, Inc.
(Communications Equip.)
 
3,219
1,396,949
NetApp, Inc. (Tech. Hardware, Storage &
Periph.)
 
3,888
398,092
NVIDIA Corp. (Semiconductors & Equip.)
 
474,395
82,734,487
NXP Semiconductors N.V. (Semiconductors &
Equip.)
 
4,864
957,527
ON Semiconductor Corp. (Semiconductors &
Equip.)
  (a)
7,734
478,889
Oracle Corp. (Software)
 
33,089
4,867,723
Palantir Technologies, Inc. Class A (Software)
  (a)
44,577
6,520,724
Palo Alto Networks, Inc. (Software)
  (a)
15,753
2,525,521
PTC, Inc. (Software)
  (a)
2,336
332,857
Qnity Electronics, Inc. (Semiconductors &
Equip.)
 
4,112
474,443
QUALCOMM, Inc. (Semiconductors & Equip.)
 
20,827
2,682,101
Roper Technologies, Inc. (Software)
 
2,092
740,275
Salesforce, Inc. (Software)
 
18,259
3,408,408
Sandisk Corp. (Tech. Hardware, Storage &
Periph.)
  (a)
2,876
1,827,238
Seagate Technology Holdings PLC (Tech.
Hardware, Storage & Periph.)
 
4,246
1,663,413
ServiceNow, Inc. (Software)
  (a)
20,368
2,129,474
Skyworks Solutions, Inc. (Semiconductors &
Equip.)
 
2,952
158,080
Super Micro Computer, Inc. (Tech. Hardware,
Storage & Periph.)
  (a)
9,876
224,877
Synopsys, Inc. (Software)
  (a)
3,719
1,474,509
TE Connectivity PLC (Electronic Equip., Instr. &
Comp.)
 
5,687
1,188,697
Teledyne Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
922
557,819
Teradyne, Inc. (Semiconductors & Equip.)
 
3,074
911,318
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
17,717
3,439,578
Trimble, Inc. (Software)
  (a)
4,670
304,624
Tyler Technologies, Inc. (Software)
  (a)
845
289,311
VeriSign, Inc. (IT Svs.)
 
1,620
402,343
Western Digital Corp. (Tech. Hardware,
Storage & Periph.)
 
6,605
1,786,587
Workday, Inc. Class A (Software)
  (a)
4,181
543,196
Zebra Technologies Corp. Class A (Electronic
Equip., Instr. & Comp.)
  (a)
966
201,971
 
 
359,130,319
31
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Materials2.1%
 
Air Products & Chemicals, Inc. (Chemicals)
 
4,318
$1,254,336
Albemarle Corp. (Chemicals)
 
2,313
415,253
Amcor PLC (Containers & Packaging)
 
9,069
360,493
Avery Dennison Corp. (Containers &
Packaging)
 
1,517
261,955
Ball Corp. (Containers & Packaging)
 
5,260
310,919
CF Industries Holdings, Inc. (Chemicals)
 
3,062
397,570
Corteva, Inc. (Chemicals)
 
13,201
1,105,056
CRH PLC (Construction Materials)
 
13,016
1,368,242
Dow, Inc. (Chemicals)
 
14,084
586,599
DuPont de Nemours, Inc. (Chemicals)
 
8,032
367,866
Ecolab, Inc. (Chemicals)
 
4,947
1,316,001
Freeport-McMoRan, Inc. (Metals & Mining)
 
27,945
1,642,607
International Flavors & Fragrances, Inc.
(Chemicals)
 
5,027
364,709
International Paper Co. (Containers &
Packaging)
 
10,365
370,030
Linde PLC (Chemicals)
 
9,125
4,523,810
LyondellBasell Industries N.V. Class A
(Chemicals)
 
5,054
407,150
Martin Marietta Materials, Inc.
(Construction Materials)
 
1,184
696,997
Mosaic Co. / The (Chemicals)
 
6,230
158,865
Newmont Corp. (Metals & Mining)
 
21,268
2,302,261
Nucor Corp. (Metals & Mining)
 
4,492
759,597
Packaging Corp. of America (Containers &
Packaging)
 
1,754
372,234
PPG Industries, Inc. (Chemicals)
 
4,405
470,806
Sherwin-Williams Co. / The (Chemicals)
 
4,477
1,435,102
Smurfit Westrock PLC (Containers &
Packaging)
 
10,254
408,622
Steel Dynamics, Inc. (Metals & Mining)
 
2,694
484,920
Vulcan Materials Co. (Construction Materials)
 
2,594
706,346
 
 
22,848,346
Real Estate1.9%
 
Alexandria Real Estate Equities, Inc. (Health
Care REITs)
 
3,062
142,138
American Tower Corp. (Specialized REITs)
 
9,097
1,569,960
AvalonBay Communities, Inc.
(Residential REITs)
 
2,779
453,950
BXP, Inc. (Office REITs)
 
2,894
150,199
Camden Property Trust (Residential REITs)
 
2,030
198,250
CBRE Group, Inc. Class A (Real Estate Mgmt. &
Development)
  (a)
5,703
772,528
CoStar Group, Inc. (Real Estate Mgmt. &
Development)
  (a)
8,319
335,588
Crown Castle, Inc. (Specialized REITs)
 
8,548
695,038
Digital Realty Trust, Inc. (Specialized REITs)
 
6,339
1,142,351
Equinix, Inc. (Specialized REITs)
 
1,913
1,875,199
Equity Residential (Residential REITs)
 
6,748
399,144
Essex Property Trust, Inc. (Residential REITs)
 
1,265
306,130
Extra Space Storage, Inc. (Specialized REITs)
 
4,166
546,288
Federal Realty Investment Trust (Retail REITs)
 
1,541
163,670
Healthpeak Properties, Inc. (Health Care
REITs)
 
13,643
224,154
Host Hotels & Resorts, Inc. (Hotel & Resort
REITs)
 
12,554
240,535
Invitation Homes, Inc. (Residential REITs)
 
11,070
275,090
Iron Mountain, Inc. (Specialized REITs)
 
5,807
593,127
Kimco Realty Corp. (Retail REITs)
 
13,232
297,323
Mid-America Apartment Communities, Inc.
(Residential REITs)
 
2,295
280,265
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
Prologis, Inc. (Industrial REITs)
 
18,131
$2,396,556
Public Storage (Specialized REITs)
 
3,100
839,728
Realty Income Corp. (Retail REITs)
 
17,767
1,086,985
Regency Centers Corp. (Retail REITs)
 
3,231
244,457
SBA Communications Corp.
(Specialized REITs)
 
2,091
359,882
Simon Property Group, Inc. (Retail REITs)
 
6,300
1,175,139
UDR, Inc. (Residential REITs)
 
5,903
199,403
Ventas, Inc. (Health Care REITs)
 
9,323
762,435
VICI Properties, Inc. (Specialized REITs)
 
20,980
573,174
Welltower, Inc. (Health Care REITs)
 
13,601
2,689,054
Weyerhaeuser Co. (Specialized REITs)
 
14,143
345,513
 
 
21,333,253
Utilities2.5%
 
AES Corp. / The (Ind. Power & Renewable
Elec.)
 
13,978
196,950
Alliant Energy Corp. (Electric Utilities)
 
5,046
362,101
Ameren Corp. (Multi-Utilities)
 
5,425
596,316
American Electric Power Co., Inc.
(Electric Utilities)
 
10,501
1,376,471
American Water Works Co., Inc.
(Water Utilities)
 
3,831
521,361
Atmos Energy Corp. (Gas Utilities)
 
3,247
599,786
CenterPoint Energy, Inc. (Multi-Utilities)
 
12,815
553,095
CMS Energy Corp. (Multi-Utilities)
 
6,015
466,644
Consolidated Edison, Inc. (Multi-Utilities)
 
7,085
801,880
Constellation Energy Corp. (Electric Utilities)
 
6,066
1,693,931
Dominion Energy, Inc. (Multi-Utilities)
 
16,512
1,020,772
DTE Energy Co. (Multi-Utilities)
 
4,077
596,139
Duke Energy Corp. (Electric Utilities)
 
15,147
1,983,348
Edison International (Electric Utilities)
 
7,553
552,729
Entergy Corp. (Electric Utilities)
 
8,879
997,644
Evergy, Inc. (Electric Utilities)
 
4,519
370,197
Eversource Energy (Electric Utilities)
 
7,365
510,247
Exelon Corp. (Electric Utilities)
 
19,761
968,684
FirstEnergy Corp. (Electric Utilities)
 
10,205
516,985
NextEra Energy, Inc. (Electric Utilities)
 
40,690
3,779,287
NiSource, Inc. (Multi-Utilities)
 
9,393
438,277
NRG Energy, Inc. (Electric Utilities)
 
4,169
609,258
PG&E Corp. (Electric Utilities)
 
43,144
758,040
Pinnacle West Capital Corp. (Electric Utilities)
 
2,349
236,662
PPL Corp. (Electric Utilities)
 
14,520
554,664
Public Service Enterprise Group, Inc.
(Multi-Utilities)
 
9,611
778,011
Sempra (Multi-Utilities)
 
12,653
1,229,492
Southern Co. / The (Electric Utilities)
 
21,454
2,070,740
Vistra Corp. (Ind. Power & Renewable Elec.)
 
6,252
939,863
WEC Energy Group, Inc. (Multi-Utilities)
 
6,388
739,539
Xcel Energy, Inc. (Electric Utilities)
 
11,419
907,125
 
 
27,726,238
Total Common Stocks (Cost $575,529,201)
 
$1,091,264,923
U.S. Treasury Obligations0.0%
Rate
Maturity
Face Amount
Value
U.S. Treasury Bill
 (b)(c)
3.633%
05/14/2026
$472,000
$469,947
Total U.S. Treasury Obligations (Cost $469,964)
$469,947
Total Investments – 98.8% (Cost $575,999,165)
  (d)
$1,091,734,870
Other Assets in Excess of Liabilities – 1.2%
  (b)
13,157,046
Net Assets – 100.0%
$1,104,891,916

Percentages are stated as a percent of net assets.
Abbreviations:
 
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Security is fully pledged, in addition to $337,510 of the Portfolio’s cash holdings, as collateral for the futures contracts outstanding at March 31, 2026. See also the
following Schedule of Open Futures Contracts.
(c)
Zero coupon bond. Rate disclosed is the current yield as of March 31, 2026
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
32
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P 500® Index Portfolio (Continued)
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P 500 Index - Long
33
June 18, 2026
$10,901,269
$10,841,738
$(59,531
)
$301,125
Total Futures Contracts
 
 
$10,901,269
$10,841,738
$(59,531
)
$301,125
The accompanying notes are an integral part of these financial statements.
33

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Value Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.4%
Shares
Value
Communication Services8.3%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
14,383
$4,135,976
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
9,949
2,853,970
AT&T, Inc. (Diversified Telecom. Svs.)
 
61,154
1,772,855
Comcast Corp. Class A (Diversified Telecom.
Svs.)
 
35,967
1,032,613
Fox Corp. Class A (Media)
 
13,152
768,077
Fox Corp. Class B (Media)
 
890
47,259
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
2,632
1,505,846
Pinterest, Inc. Class A (Interactive Media &
Svs.)
  (a)
23,048
422,700
Roku, Inc. (Entertainment)
  (a)
2,019
191,038
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
3,004
630,930
Trade Desk, Inc. / The Class A (Media)
  (a)
6,277
142,425
Verizon Communications, Inc. (Diversified
Telecom. Svs.)
 
18,262
916,752
Walt Disney Co. / The (Entertainment)
 
6,951
669,937
 
 
15,090,378
Consumer Discretionary7.8%
 
Amazon.com, Inc. (Broadline Retail)
  (a)
21,932
4,567,778
AutoZone, Inc. (Specialty Retail)
  (a)
101
341,156
Best Buy Co., Inc. (Specialty Retail)
 
4,312
276,830
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
57
239,988
BorgWarner, Inc. (Automobile Components)
 
14,053
762,516
Carnival Corp. (Hotels, Restaurants & Leisure)
 
8,126
210,301
Chipotle Mexican Grill, Inc. (Hotels,
Restaurants & Leisure)
  (a)
12,211
390,874
Garmin Ltd. (Household Durables)
 
2,813
652,644
General Motors Co. (Automobiles)
 
6,854
510,623
Home Depot, Inc. / The (Specialty Retail)
 
1,760
578,847
Lithia Motors, Inc. (Specialty Retail)
 
1,483
370,335
McDonald's Corp. (Hotels, Restaurants &
Leisure)
 
3,548
1,102,683
MercadoLibre, Inc. (Broadline Retail)
  (a)
150
259,353
Meritage Homes Corp. (Household Durables)
 
4,293
265,479
TJX Cos., Inc. / The (Specialty Retail)
 
11,869
1,895,479
Toll Brothers, Inc. (Household Durables)
 
7,461
1,018,203
Under Armour, Inc. Class C (Textiles, Apparel &
Luxury Goods)
  (a)
1,160
6,716
Viking Holdings Ltd. (Hotels, Restaurants &
Leisure)
  (a)
8,948
657,499
 
 
14,107,304
Consumer Staples7.0%
 
Altria Group, Inc. (Tobacco)
 
13,793
910,200
Coca-Cola Co. / The (Beverages)
 
3,849
292,716
Colgate-Palmolive Co. (Household Products)
 
3,468
295,578
Conagra Brands, Inc. (Food Products)
 
19,691
309,542
Constellation Brands, Inc. Class A (Beverages)
 
2,038
305,700
Costco Wholesale Corp. (Consumer Staples
Distribution & Retail)
 
1,492
1,486,673
Dollar General Corp. (Consumer Staples
Distribution & Retail)
 
2,231
264,887
General Mills, Inc. (Food Products)
 
15,617
581,265
Molson Coors Beverage Co. Class B
(Beverages)
 
9,294
400,200
PepsiCo, Inc. (Beverages)
 
2,618
406,549
Philip Morris International, Inc. (Tobacco)
 
5,505
910,197
Procter & Gamble Co. / The
(Household Products)
 
17,828
2,575,076
Target Corp. (Consumer Staples Distribution &
Retail)
 
4,098
496,678
Walmart, Inc. (Consumer Staples Distribution &
Retail)
 
26,979
3,352,950
 
 
12,588,211
Common Stocks (Continued)
Shares
Value
Energy7.1%
 
Cheniere Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
1,421
$403,223
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
15,581
3,223,709
Chord Energy Corp. (Oil, Gas & Consumable
Fuels)
 
3,322
472,322
Devon Energy Corp. (Oil, Gas & Consumable
Fuels)
 
40,248
2,025,279
EOG Resources, Inc. (Oil, Gas & Consumable
Fuels)
 
2,778
401,615
Exxon Mobil Corp. (Oil, Gas & Consumable
Fuels)
 
14,819
2,514,192
Halliburton Co. (Energy Equip. & Svs.)
 
11,630
453,454
Kinder Morgan, Inc. (Oil, Gas & Consumable
Fuels)
 
24,968
837,177
Marathon Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
1,656
404,362
Phillips 66 (Oil, Gas & Consumable Fuels)
 
5,360
976,485
SLB Ltd. (Energy Equip. & Svs.)
 
8,641
444,061
Valero Energy Corp. (Oil, Gas & Consumable
Fuels)
 
2,536
626,595
 
 
12,782,474
Financials21.0%
 
Allstate Corp. / The (Insurance)
 
6,248
1,295,460
American Express Co. (Consumer Finance)
 
1,412
427,102
Bank of America Corp. (Banks)
 
69,299
3,378,326
Berkshire Hathaway, Inc. Class B
(Financial Services)
  (a)
9,461
4,533,711
Capital One Financial Corp.
(Consumer Finance)
 
3,831
698,889
Charles Schwab Corp. / The (Capital Markets)
 
23,839
2,240,389
Chubb Ltd. (Insurance)
 
2,206
719,002
Citigroup, Inc. (Banks)
 
21,796
2,471,884
CME Group, Inc. (Capital Markets)
 
4,553
1,344,729
Credicorp Ltd. (Banks)
 
1,103
374,116
Fidelity National Information Services, Inc.
(Financial Services)
 
4,108
192,706
Fiserv, Inc. (Financial Services)
  (a)
1,456
81,245
Goldman Sachs Group, Inc. / The
(Capital Markets)
 
1,119
946,663
Huntington Bancshares, Inc. (Banks)
 
70,297
1,100,148
Interactive Brokers Group, Inc. Class A
(Capital Markets)
 
5,859
392,963
Intercontinental Exchange, Inc.
(Capital Markets)
 
9,716
1,528,133
JPMorgan Chase & Co. (Banks)
 
17,916
5,270,171
KeyCorp (Banks)
 
7,082
141,994
Marsh & McLennan Cos., Inc. (Insurance)
 
5,109
886,156
Mastercard, Inc. Class A (Financial Services)
 
1,602
800,455
MetLife, Inc. (Insurance)
 
6,115
432,453
Morgan Stanley (Capital Markets)
 
13,677
2,250,824
OneMain Holdings, Inc. (Consumer Finance)
 
10,514
562,394
PayPal Holdings, Inc. (Financial Services)
 
5,548
250,936
PNC Financial Services Group, Inc. / The
(Banks)
 
3,227
671,506
Progressive Corp. / The (Insurance)
 
1,999
396,282
Travelers Cos., Inc. / The (Insurance)
 
7,031
2,050,802
Unum Group (Insurance)
 
5,146
375,812
Visa, Inc. (Financial Services)
 
1,801
544,334
Wells Fargo & Co. (Banks)
 
22,026
1,753,490
 
 
38,113,075
Health Care11.1%
 
Abbott Laboratories (Health Care Equip. &
Supplies)
 
6,573
674,850
Amgen, Inc. (Biotechnology)
 
1,628
572,812
Biogen, Inc. (Biotechnology)
  (a)
5,765
1,056,897
Boston Scientific Corp. (Health Care Equip. &
Supplies)
  (a)
10,961
687,803
34
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Value Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
39,778
$2,412,536
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
7,228
1,527,349
Centene Corp. (Health Care Providers & Svs.)
  (a)
13,034
426,733
Cigna Group / The (Health Care Providers &
Svs.)
 
2,551
680,479
Danaher Corp. (Life Sciences Tools & Svs.)
 
1,258
238,517
Exelixis, Inc. (Biotechnology)
  (a)
6,133
263,044
Gilead Sciences, Inc. (Biotechnology)
 
2,299
320,412
Hologic, Inc. (Health Care Equip. & Supplies)
  (a)
3,887
293,818
Johnson & Johnson (Pharmaceuticals)
 
11,252
2,750,439
Medtronic PLC (Health Care Equip. & Supplies)
 
4,805
416,353
Natera, Inc. (Biotechnology)
  (a)
2,544
508,775
Pfizer, Inc. (Pharmaceuticals)
 
79,313
2,227,109
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
1,513
1,169,004
Solventum Corp. (Health Care Equip. &
Supplies)
  (a)
3,725
243,242
Stryker Corp. (Health Care Equip. & Supplies)
 
2,285
750,828
United Therapeutics Corp. (Biotechnology)
  (a)
515
305,385
UnitedHealth Group, Inc. (Health Care
Providers & Svs.)
 
7,164
1,938,507
Veeva Systems, Inc. Class A (Health Care
Technology)
  (a)
746
131,042
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
944
421,534
 
 
20,017,468
Industrials14.2%
 
3M Co. (Industrial Conglomerates)
 
15,726
2,283,887
AMETEK, Inc. (Electrical Equip.)
 
2,960
634,506
Applied Industrial Technologies, Inc. (Trading
Companies & Distributors)
 
2,455
651,361
Boeing Co. / The (Aerospace & Defense)
  (a)
1,989
395,871
Caterpillar, Inc. (Machinery)
 
2,928
2,074,371
Comfort Systems U.S.A., Inc. (Construction &
Engineering)
 
600
827,394
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
4,892
162,414
Delta Air Lines, Inc. (Passenger Airlines)
 
4,840
321,763
Dover Corp. (Machinery)
 
1,984
413,565
Eaton Corp. PLC (Electrical Equip.)
 
2,577
921,716
Ferguson Enterprises, Inc. (Trading Companies
& Distributors)
 
4,451
1,038,240
General Dynamics Corp. (Aerospace &
Defense)
 
3,710
1,273,346
HEICO Corp. Class A (Aerospace & Defense)
 
2,427
512,315
Illinois Tool Works, Inc. (Machinery)
 
3,224
839,175
Leidos Holdings, Inc. (Professional Svs.)
 
1,822
283,357
Lockheed Martin Corp. (Aerospace &
Defense)
 
2,354
1,422,734
MasTec, Inc. (Construction & Engineering)
  (a)
3,363
1,082,012
Mueller Industries, Inc. (Machinery)
 
3,928
435,222
Northrop Grumman Corp. (Aerospace &
Defense)
 
968
660,408
Owens Corning (Building Products)
 
2,994
324,011
Parker-Hannifin Corp. (Machinery)
 
2,793
2,500,405
Rockwell Automation, Inc. (Electrical Equip.)
 
1,858
666,799
RTX Corp. (Aerospace & Defense)
 
12,047
2,323,866
Trane Technologies PLC (Building Products)
 
2,125
885,573
Union Pacific Corp. (Ground Transportation)
 
7,064
1,713,868
Veralto Corp. (Commercial Svs. & Supplies)
 
2,867
253,500
Vertiv Holdings Co. Class A (Electrical Equip.)
 
1,518
380,380
Waste Management, Inc. (Commercial Svs. &
Supplies)
 
1,826
419,597
 
 
25,701,656
Information Technology12.6%
 
Accenture PLC Class A (IT Svs.)
 
2,865
568,101
Adobe, Inc. (Software)
  (a)
1,726
419,556
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Advanced Micro Devices, Inc.
(Semiconductors & Equip.)
  (a)
3,168
$644,466
Amphenol Corp. Class A (Electronic Equip.,
Instr. & Comp.)
 
5,411
683,680
Analog Devices, Inc. (Semiconductors &
Equip.)
 
2,455
781,034
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
4,169
1,058,050
Applied Materials, Inc. (Semiconductors &
Equip.)
 
4,193
1,433,125
Cisco Systems, Inc. (Communications Equip.)
 
11,508
892,906
Dell Technologies, Inc. Class C (Tech.
Hardware, Storage & Periph.)
 
3,185
522,754
First Solar, Inc. (Semiconductors & Equip.)
  (a)
1,374
271,035
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
9,654
631,951
Intel Corp. (Semiconductors & Equip.)
  (a)
30,238
1,334,403
International Business Machines Corp.
(IT Svs.)
 
3,648
884,239
Keysight Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
2,049
578,576
Lam Research Corp. (Semiconductors &
Equip.)
 
3,780
807,635
Lumentum Holdings, Inc.
(Communications Equip.)
  (a)
516
362,624
Marvell Technology, Inc. (Semiconductors &
Equip.)
 
9,164
907,694
Micron Technology, Inc. (Semiconductors &
Equip.)
 
8,364
2,825,694
Microsoft Corp. (Software)
 
2,155
797,716
Motorola Solutions, Inc.
(Communications Equip.)
 
3,108
1,348,779
NVIDIA Corp. (Semiconductors & Equip.)
 
3,708
646,675
QUALCOMM, Inc. (Semiconductors & Equip.)
 
8,288
1,067,329
Salesforce, Inc. (Software)
 
7,054
1,316,770
Sandisk Corp. (Tech. Hardware, Storage &
Periph.)
  (a)
958
608,656
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
3,256
632,120
Western Digital Corp. (Tech. Hardware,
Storage & Periph.)
 
3,209
868,002
 
 
22,893,570
Materials4.2%
 
Albemarle Corp. (Chemicals)
 
1,732
310,946
Alcoa Corp. (Metals & Mining)
 
7,306
484,607
Corteva, Inc. (Chemicals)
 
17,221
1,441,570
Ecolab, Inc. (Chemicals)
 
1,013
269,478
FMC Corp. (Chemicals)
 
21,121
363,704
Freeport-McMoRan, Inc. (Metals & Mining)
 
26,404
1,552,027
Louisiana-Pacific Corp. (Paper & Forest
Products)
 
6,698
487,280
LyondellBasell Industries N.V. Class A
(Chemicals)
 
9,781
787,957
Newmont Corp. (Metals & Mining)
 
9,001
974,358
Nucor Corp. (Metals & Mining)
 
1,277
215,941
Smurfit Westrock PLC (Containers &
Packaging)
 
7,440
296,484
Vulcan Materials Co. (Construction Materials)
 
1,331
362,431
 
 
7,546,783
Real Estate2.8%
 
CubeSmart (Specialized REITs)
 
10,545
386,474
Digital Realty Trust, Inc. (Specialized REITs)
 
3,272
589,647
Equinix, Inc. (Specialized REITs)
 
1,038
1,017,489
Kimco Realty Corp. (Retail REITs)
 
17,501
393,247
Lineage, Inc. (Industrial REITs)
 
7,842
256,904
NNN REIT, Inc. (Retail REITs)
 
11,206
470,988
Simon Property Group, Inc. (Retail REITs)
 
3,266
609,207
35
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Value Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
Ventas, Inc. (Health Care REITs)
 
12,760
$1,043,513
VICI Properties, Inc. (Specialized REITs)
 
13,630
372,372
 
 
5,139,841
Utilities3.3%
 
Consolidated Edison, Inc. (Multi-Utilities)
 
8,104
917,211
Edison International (Electric Utilities)
 
14,776
1,081,308
Entergy Corp. (Electric Utilities)
 
10,960
1,231,466
NextEra Energy, Inc. (Electric Utilities)
 
7,115
660,841
PG&E Corp. (Electric Utilities)
 
67,670
1,188,962
Common Stocks (Continued)
Shares
Value
Utilities (continued)
 
Pinnacle West Capital Corp. (Electric Utilities)
 
5,043
$508,082
Portland General Electric Co. (Electric Utilities)
 
7,290
384,693
 
 
5,972,563
Total Common Stocks (Cost $153,900,754)
 
$179,953,323
Total Investments – 99.4% (Cost $153,900,754)
  (b)
$179,953,323
Other Assets in Excess of Liabilities – 0.6%
  (c)
1,125,181
Net Assets – 100.0%
$181,078,504

Percentages are stated as a percent of net assets.
Abbreviations:
 
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(c)
Includes $187,305 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P 500 Index - Long
7
June 18, 2026
$2,338,421
$2,299,763
$(38,658
)
$63,875
Total Futures Contracts
 
 
$2,338,421
$2,299,763
$(38,658
)
$63,875
The accompanying notes are an integral part of these financial statements.
36

AuguStar Variable Insurance Products Fund, Inc.
AVIP High Income Bond Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds96.8%
Rate
Maturity
Face Amount
Value
Communication Services8.7%
 
 
 
Altice France SA (Diversified Telecom. Svs.)
  (a)
6.875%
10/15/2030
$989,736
$946,780
ANGI Group LLC (Interactive Media & Svs.)
  (a)
3.875%
08/15/2028
1,000,000
890,100
Cars.com, Inc. (Interactive Media & Svs.)
  (a)
6.375%
11/01/2028
250,000
242,997
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
5.125%
05/01/2027
62,000
61,930
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
5.375%
06/01/2029
125,000
123,282
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.750%
03/01/2030
160,000
151,820
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.500%
08/15/2030
100,000
93,448
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
7.375%
03/01/2031
325,000
330,841
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.500%
06/01/2033
200,000
174,125
Cogent Communications Group LLC / Cogent Finance, Inc. (Diversified Telecom. Svs.)
  (a)
7.000%
06/15/2027
1,000,000
989,153
Lamar Media Corp. (Media)
 
4.875%
01/15/2029
150,000
148,213
Match Group Holdings II LLC (Interactive Media & Svs.)
  (a)
4.125%
08/01/2030
275,000
254,851
Match Group Holdings II LLC (Interactive Media & Svs.)
  (a)
3.625%
10/01/2031
150,000
133,363
Sirius XM Radio LLC (Media)
  (a)
4.000%
07/15/2028
200,000
193,052
Sirius XM Radio LLC (Media)
  (a)
4.125%
07/01/2030
185,000
173,220
Sirius XM Radio LLC (Media)
  (a)
3.875%
09/01/2031
350,000
317,771
Stagwell Global LLC (Media)
  (a)
5.625%
08/15/2029
200,000
190,410
Sunrise FinCo I B.V. (Media)
  (a)
4.875%
07/15/2031
500,000
476,020
Telenet Finance Luxembourg Notes SARL (Media)
  (a)
5.500%
03/01/2028
400,000
392,528
Univision Communications, Inc. (Media)
  (a)
4.500%
05/01/2029
175,000
164,411
Versant Media Group, Inc. (Media)
  (a)
7.250%
01/30/2031
1,000,000
1,023,401
Virgin Media Finance PLC (Media)
  (a)
5.000%
07/15/2030
1,000,000
819,401
Vmed O2 U.K. Financing I PLC (Wireless Telecom. Svs.)
  (a)
4.250%
01/31/2031
200,000
171,768
VZ Secured Financing B.V. (Media)
  (a)
5.000%
01/15/2032
500,000
428,598
WMG Acquisition Corp. (Entertainment)
  (a)
3.750%
12/01/2029
125,000
118,699
Ziff Davis, Inc. (Interactive Media & Svs.)
  (a)
4.625%
10/15/2030
1,000,000
942,867
 
 
 
 
9,953,049
Consumer Discretionary14.4%
 
 
 
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
6.125%
06/15/2029
225,000
228,637
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
5.625%
09/15/2029
150,000
150,327
Academy Ltd. (Specialty Retail)
  (a)
6.000%
11/15/2027
450,000
450,337
Advance Auto Parts, Inc. (Specialty Retail)
 
3.900%
04/15/2030
1,000,000
918,365
American Axle & Manufacturing, Inc. (Automobile Components)
  (a)
7.750%
10/15/2033
1,000,000
973,498
Asbury Automotive Group, Inc. (Specialty Retail)
  (a)
5.000%
02/15/2032
250,000
236,753
Ashton Woods U.S.A. LLC / Ashton Woods Finance Co. (Household Durables)
  (a)
4.625%
08/01/2029
1,000,000
944,718
Beach Acquisition Bidco LLC (Textiles, Apparel & Luxury Goods)
 (a)(b)
10.000%, 10.750% PIK
07/15/2033
579,726
617,418
Boyd Gaming Corp. (Hotels, Restaurants & Leisure)
 
4.750%
12/01/2027
275,000
272,141
Brookfield Residential Properties, Inc. / Brookfield Residential U.S. LLC (Household Durables)
  (a)
4.875%
02/15/2030
1,000,000
918,132
Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)
  (a)
7.000%
02/15/2030
150,000
151,853
Champ Acquisition Corp. (Textiles, Apparel & Luxury Goods)
  (a)
8.375%
12/01/2031
120,000
125,775
IHO Verwaltungs GmbH (Automobile Components)
 (a)(b)
6.375%, 7.125% PIK
05/15/2029
300,000
299,891
J.B. Poindexter & Co., Inc. (Automobile Components)
  (a)
8.750%
12/15/2031
450,000
456,107
KFC Holding Co. / Pizza Hut Holdings LLC / Taco Bell of America LLC (Hotels, Restaurants &
Leisure)
  (a)
4.750%
06/01/2027
180,000
179,686
LGI Homes, Inc. (Household Durables)
  (a)
7.000%
11/15/2032
1,000,000
927,227
Lithia Motors, Inc. (Specialty Retail)
  (a)
4.625%
12/15/2027
1,000,000
986,769
Mattamy Group Corp. (Household Durables)
  (a)
6.000%
12/15/2033
1,000,000
939,054
Newell Brands, Inc. (Household Durables)
 
7.375%
04/01/2036
1,000,000
920,532
Nissan Motor Co. Ltd. (Automobiles)
  (a)
4.810%
09/17/2030
1,000,000
907,863
Nordstrom, Inc. (Broadline Retail)
 
4.375%
04/01/2030
1,000,000
933,452
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
  (a)
5.625%
09/30/2031
175,000
176,725
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
  (a)
6.000%
02/01/2033
200,000
201,998
Six Flags Entertainment Corp. (Hotels, Restaurants & Leisure)
  (a)
7.250%
05/15/2031
200,000
192,563
Tenneco, Inc. (Automobile Components)
  (a)
8.000%
11/17/2028
1,000,000
996,443
Under Armour, Inc. (Textiles, Apparel & Luxury Goods)
  (a)
7.250%
07/15/2030
1,000,000
1,010,201
William Carter Co. / The (Textiles, Apparel & Luxury Goods)
  (a)
7.375%
02/15/2031
400,000
407,982
ZF North America Capital, Inc. (Automobile Components)
  (a)
7.500%
03/24/2031
1,000,000
982,315
 
 
 
 
16,506,762
Consumer Staples0.5%
 
 
 
Edgewell Personal Care Co. (Personal Care Products)
  (a)
5.500%
06/01/2028
175,000
174,050
Edgewell Personal Care Co. (Personal Care Products)
  (a)
4.125%
04/01/2029
125,000
118,087
U.S. Foods, Inc. (Consumer Staples Distribution & Retail)
  (a)
6.875%
09/15/2028
225,000
229,962
 
 
 
 
522,099
Energy10.8%
 
 
 
Antero Midstream Partners LP / Antero Midstream Finance Corp. (Oil, Gas & Consumable
Fuels)
  (a)
5.750%
01/15/2028
625,000
624,997
Antero Midstream Partners LP / Antero Midstream Finance Corp. (Oil, Gas & Consumable
Fuels)
  (a)
5.750%
07/01/2034
1,000,000
985,432
Ascent Resources Utica Holdings LLC / ARU Finance Corp. (Oil, Gas & Consumable Fuels)
  (a)
5.875%
06/30/2029
180,000
179,833
Breakwater Energy Holdings SARL (Oil, Gas & Consumable Fuels)
  (a)
9.250%
11/15/2030
750,000
787,638
Bristow Group, Inc. (Energy Equip. & Svs.)
  (a)
6.750%
02/01/2033
200,000
202,148
Crescent Energy Finance LLC (Oil, Gas & Consumable Fuels)
  (a)
7.625%
04/01/2032
1,000,000
1,014,829
Diamond Foreign Asset Co. / Diamond Finance LLC (Energy Equip. & Svs.)
  (a)
8.500%
10/01/2030
900,000
950,798
Hess Midstream Operations LP (Oil, Gas & Consumable Fuels)
  (a)
5.125%
06/15/2028
425,000
423,751
Hilcorp Energy I LP / Hilcorp Finance Co. (Oil, Gas & Consumable Fuels)
  (a)
6.875%
05/15/2034
1,000,000
976,990
Nabors Industries, Inc. (Energy Equip. & Svs.)
  (a)
8.875%
08/15/2031
125,000
130,222
37
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP High Income Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Energy (continued)
 
 
 
Nabors Industries, Inc. (Energy Equip. & Svs.)
  (a)
7.625%
11/15/2032
$150,000
$153,547
Northern Oil & Gas, Inc. (Oil, Gas & Consumable Fuels)
  (a)
7.875%
10/15/2033
1,000,000
1,034,653
PBF Holding Co. LLC / PBF Finance Corp. (Oil, Gas & Consumable Fuels)
 
6.000%
02/15/2028
1,000,000
995,453
SESI LLC (Oil, Gas & Consumable Fuels)
  (a)
7.875%
09/30/2030
1,000,000
1,019,712
SM Energy Co. (Oil, Gas & Consumable Fuels)
  (a)
8.625%
11/01/2030
150,000
158,263
SM Energy Co. (Oil, Gas & Consumable Fuels)
  (a)
9.625%
06/15/2033
200,000
220,944
Sunoco LP (Oil, Gas & Consumable Fuels)
  (a)
5.625%
07/15/2034
500,000
492,353
Venture Global Calcasieu Pass LLC (Oil, Gas & Consumable Fuels)
  (a)
3.875%
08/15/2029
1,000,000
950,539
Vermilion Energy, Inc. (Oil, Gas & Consumable Fuels)
  (a)
7.250%
02/15/2033
1,000,000
1,008,690
 
 
 
 
12,310,792
Financials21.0%
 
 
 
Antares Holdings LP (Capital Markets)
  (a)
7.950%
08/11/2028
1,000,000
1,036,881
Apollo Debt Solutions BDC (Capital Markets)
 
6.550%
03/15/2032
1,750,000
1,756,712
Ares Capital Corp. (Capital Markets)
 
5.250%
04/12/2031
300,000
290,007
Ares Strategic Income Fund (Capital Markets)
  (a)
5.550%
04/15/2031
1,000,000
957,977
Azorra Finance Ltd. (Financial Services)
  (a)
6.250%
02/15/2034
500,000
464,045
Blackstone Private Credit Fund (Capital Markets)
 
6.000%
11/22/2034
2,000,000
1,869,703
Blackstone Secured Lending Fund (Capital Markets)
 
5.250%
09/04/2029
1,000,000
979,772
Canadian Imperial Bank of Commerce (Rate is fixed until 07/28/2031, then H15T5Y + 273)
(Banks)
  (c)
6.500%
07/28/2086
1,200,000
1,172,967
Ford Motor Credit Co. LLC (Consumer Finance)
 
7.350%
11/04/2027
225,000
232,211
goeasy Ltd. (Consumer Finance)
  (a)
6.875%
02/15/2031
1,000,000
804,505
Goldman Sachs Private Credit Corp. (Capital Markets)
  (a)
5.375%
01/31/2029
2,000,000
1,965,832
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.150%
04/02/2029
1,000,000
971,649
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.650%
04/02/2031
500,000
479,648
Jefferies Finance LLC / JFIN Co-Issuer Corp. (Capital Markets)
  (a)
5.000%
08/15/2028
1,000,000
931,862
Jones Deslauriers Insurance Management, Inc. (Insurance)
  (a)
8.500%
03/15/2030
450,000
457,393
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp. (Mortgage REIT)
  (a)
4.250%
02/01/2027
1,000,000
987,927
MetLife, Inc. (Rate is fixed until 03/15/2036, then H15T5Y + 182) (Insurance)
  (c)
5.850%
03/15/2056
1,000,000
981,492
MSD Investment Corp. (Capital Markets)
 
6.250%
05/31/2030
1,000,000
977,657
MSD Investment Corp. (Capital Markets)
  (a)
6.125%
02/05/2031
600,000
581,839
Oaktree Strategic Credit Fund (Capital Markets)
 
6.500%
07/23/2029
1,250,000
1,253,101
Rfna LP (Financial Services)
  (a)
7.875%
02/15/2030
1,000,000
955,693
Rocket Mortgage LLC / Rocket Mortgage Co-Issuer, Inc. (Financial Services)
  (a)
3.625%
03/01/2029
300,000
284,098
Rocket Mortgage LLC / Rocket Mortgage Co-Issuer, Inc. (Financial Services)
  (a)
3.875%
03/01/2031
320,000
295,289
Stonebriar ABF Issuer LLC (Financial Services)
  (a)
8.125%
12/15/2030
1,000,000
1,033,642
Texas Capital Bancshares, Inc. (Rate is fixed until 02/27/2031, then SOFR + 194) (Banks)
  (c)
5.301%
02/27/2032
1,000,000
985,955
UBS Group AG (Rate is fixed until 07/08/2036, then USISSO05 + 332) (Capital Markets)
 (a)(c)
7.000%
Perpetual
500,000
483,360
United Wholesale Mortgage LLC (Financial Services)
  (a)
5.750%
06/15/2027
225,000
221,447
United Wholesale Mortgage LLC (Financial Services)
  (a)
5.500%
04/15/2029
225,000
210,597
UWM Holdings LLC (Financial Services)
  (a)
6.625%
02/01/2030
200,000
188,634
UWM Holdings LLC (Financial Services)
  (a)
6.250%
03/15/2031
200,000
182,137
 
 
 
 
23,994,032
Health Care7.4%
 
 
 
1261229 B.C. Ltd. (Pharmaceuticals)
  (a)
10.000%
04/15/2032
700,000
716,691
Acadia Healthcare Co., Inc. (Health Care Providers & Svs.)
  (a)
5.000%
04/15/2029
500,000
486,805
AHP Health Partners, Inc. (Health Care Providers & Svs.)
  (a)
5.750%
07/15/2029
525,000
519,185
Avantor Funding, Inc. (Health Care Equip. & Supplies)
  (a)
4.625%
07/15/2028
105,000
102,481
Avantor Funding, Inc. (Health Care Equip. & Supplies)
  (a)
3.875%
11/01/2029
250,000
234,548
CHS / Community Health Systems, Inc. (Health Care Providers & Svs.)
  (a)
4.750%
02/15/2031
1,000,000
921,924
IQVIA, Inc. (Life Sciences Tools & Svs.)
  (a)
5.000%
10/15/2026
200,000
199,784
IQVIA, Inc. (Life Sciences Tools & Svs.)
  (a)
6.500%
05/15/2030
325,000
331,799
Jazz Securities DAC (Pharmaceuticals)
  (a)
4.375%
01/15/2029
1,000,000
975,280
Molina Healthcare, Inc. (Health Care Providers & Svs.)
  (a)
3.875%
11/15/2030
1,000,000
894,030
Molina Healthcare, Inc. (Health Care Providers & Svs.)
  (a)
6.250%
01/15/2033
125,000
121,199
Organon & Co. / Organon Foreign Debt Co-Issuer B.V. (Pharmaceuticals)
  (a)
6.750%
05/15/2034
500,000
445,412
Organon & Co. / Organon Foreign Debt Co-Issuer B.V. (Pharmaceuticals)
  (a)
7.875%
05/15/2034
200,000
164,661
Prime Healthcare Services, Inc. (Health Care Providers & Svs.)
  (a)
9.375%
09/01/2029
450,000
466,650
Teleflex, Inc. (Health Care Equip. & Supplies)
  (a)
4.250%
06/01/2028
1,000,000
972,402
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
5.125%
11/01/2027
425,000
424,584
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
4.625%
06/15/2028
175,000
173,433
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
6.125%
10/01/2028
140,000
140,325
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
6.750%
05/15/2031
175,000
178,873
 
 
 
 
8,470,066
Industrials10.1%
 
 
 
AAR Escrow Issuer LLC (Aerospace & Defense)
  (a)
6.750%
03/15/2029
1,000,000
1,017,802
American Airlines, Inc. / AAdvantage Loyalty IP Ltd. (Passenger Airlines)
  (a)
5.500%
04/20/2026
13,917
13,922
American Airlines, Inc. / AAdvantage Loyalty IP Ltd. (Passenger Airlines)
  (a)
5.750%
04/20/2029
175,000
174,043
Avis Budget Car Rental LLC / Avis Budget Finance, Inc. (Ground Transportation)
  (a)
8.375%
06/15/2032
1,000,000
994,512
Brink's Co. / The (Commercial Svs. & Supplies)
  (a)
6.500%
06/15/2029
200,000
203,096
Brink's Co. / The (Commercial Svs. & Supplies)
  (a)
6.750%
06/15/2032
225,000
227,749
Clarivate Science Holdings Corp. (Professional Svs.)
  (a)
4.875%
07/01/2029
650,000
563,996
CP Atlas Buyer, Inc. (Building Products)
  (a)
9.750%
07/15/2030
125,000
117,222
FTAI Aviation Investors LLC (Trading Companies & Distributors)
  (a)
5.500%
05/01/2028
1,000,000
999,647
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
6.000%
06/01/2029
135,000
128,496
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
8.250%
08/01/2032
250,000
247,383
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
8.375%
11/15/2032
600,000
600,407
38
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP High Income Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Industrials (continued)
 
 
 
GFL Environmental Holdings U.S., Inc. (Commercial Svs. & Supplies)
  (a)
5.500%
02/01/2034
$500,000
$490,398
Masterbrand, Inc. (Building Products)
  (a)
7.000%
07/15/2032
300,000
293,111
Rand Parent LLC (Air Freight & Logistics)
  (a)
8.500%
02/15/2030
1,000,000
1,026,525
Science Applications International Corp. (Professional Svs.)
  (a)
4.875%
04/01/2028
275,000
270,635
SS&C Technologies, Inc. (Professional Svs.)
  (a)
5.500%
09/30/2027
500,000
500,337
Standard Building Solutions, Inc. (Building Products)
  (a)
6.500%
08/15/2032
275,000
275,142
Standard Building Solutions, Inc. (Building Products)
  (a)
6.250%
08/01/2033
250,000
247,189
Stena International SA (Marine Transportation)
  (a)
7.250%
01/15/2031
200,000
202,106
Stonepeak Nile Parent LLC (Air Freight & Logistics)
  (a)
7.250%
03/15/2032
1,000,000
1,040,097
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.125%
07/31/2034
1,000,000
983,542
United Airlines Holdings, Inc. (Passenger Airlines)
 
4.875%
03/01/2029
500,000
489,041
United Rentals North America, Inc. (Trading Companies & Distributors)
 
4.875%
01/15/2028
200,000
199,132
WESCO Distribution, Inc. (Trading Companies & Distributors)
  (a)
6.375%
03/15/2029
225,000
229,030
 
 
 
 
11,534,560
Information Technology9.0%
 
 
 
ASGN, Inc. (IT Svs.)
  (a)
4.625%
05/15/2028
1,000,000
968,089
Cloud Software Group, Inc. (Software)
  (a)
6.500%
03/31/2029
450,000
439,007
Cloud Software Group, Inc. (Software)
  (a)
9.000%
09/30/2029
390,000
376,223
Cloud Software Group, Inc. (Software)
  (a)
8.250%
06/30/2032
200,000
189,687
Connect Finco SARL / Connect U.S. Finco LLC (Tech. Hardware, Storage & Periph.)
  (a)
9.000%
09/15/2029
1,000,000
1,050,540
Consensus Cloud Solutions, Inc. (Software)
  (a)
6.500%
10/15/2028
145,000
143,640
CoreWeave, Inc. (IT Svs.)
  (a)
9.250%
06/01/2030
350,000
340,081
CoreWeave, Inc. (IT Svs.)
  (a)
9.000%
02/01/2031
125,000
118,940
Entegris, Inc. (Semiconductors & Equip.)
  (a)
3.625%
05/01/2029
1,000,000
950,476
Entegris, Inc. (Semiconductors & Equip.)
  (a)
5.950%
06/15/2030
130,000
130,820
Flash Compute LLC (Software)
  (a)
7.250%
12/31/2030
750,000
755,093
Go Daddy Operating Co. LLC / GD Finance Co., Inc. (IT Svs.)
  (a)
5.250%
12/01/2027
125,000
124,490
Imola Merger Corp. (Electronic Equip., Instr. & Comp.)
  (a)
4.750%
05/15/2029
1,000,000
971,934
Insight Enterprises, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
6.625%
05/15/2032
325,000
313,675
ION Platform Finance U.S., Inc. / ION Platform Finance SARL (Software)
  (a)
5.750%
05/15/2028
1,000,000
948,855
Kioxia Holdings Corp. (Semiconductors & Equip.)
  (a)
6.625%
07/24/2033
250,000
256,956
NCR Voyix Corp. (Software)
  (a)
5.000%
10/01/2028
135,000
130,076
Open Text Corp. (Software)
  (a)
6.900%
12/01/2027
175,000
179,616
Open Text Corp. (Software)
  (a)
3.875%
12/01/2029
350,000
312,779
Rocket Software, Inc. (Software)
  (a)
9.000%
11/28/2028
225,000
224,662
Rocket Software, Inc. (Software)
  (a)
6.500%
02/15/2029
650,000
584,995
Seagate Data Storage Technology Pte. Ltd. (Tech. Hardware, Storage & Periph.)
  (a)
8.250%
12/15/2029
150,000
157,528
Synaptics, Inc. (Semiconductors & Equip.)
  (a)
4.000%
06/15/2029
250,000
236,728
Viavi Solutions, Inc. (Communications Equip.)
  (a)
3.750%
10/01/2029
275,000
258,013
Zebra Technologies Corp. (Electronic Equip., Instr. & Comp.)
  (a)
6.500%
06/01/2032
130,000
130,886
 
 
 
 
10,293,789
Materials8.6%
 
 
 
Ball Corp. (Containers & Packaging)
 
2.875%
08/15/2030
165,000
150,179
Celanese U.S. Holdings LLC (Chemicals)
 
7.375%
02/15/2034
1,000,000
1,024,524
Chemours Co. / The (Chemicals)
  (a)
8.000%
01/15/2033
500,000
502,730
Clearwater Paper Corp. (Paper & Forest Products)
  (a)
4.750%
08/15/2028
200,000
173,000
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
4.875%
03/01/2031
305,000
273,940
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
7.500%
09/15/2031
105,000
104,733
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
7.000%
03/15/2032
200,000
193,510
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
7.375%
05/01/2033
150,000
146,741
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
7.625%
01/15/2034
125,000
122,121
Clydesdale Acquisition Holdings, Inc. (Containers & Packaging)
  (a)
8.750%
04/15/2030
225,000
209,942
FMC Corp. (Chemicals)
 
5.650%
05/18/2033
1,000,000
884,826
Graphic Packaging International LLC (Containers & Packaging)
  (a)
4.750%
07/15/2027
150,000
148,744
Graphic Packaging International LLC (Containers & Packaging)
  (a)
3.500%
03/15/2028
110,000
105,693
Huntsman International LLC (Chemicals)
 
2.950%
06/15/2031
1,000,000
829,442
James Hardie International Finance DAC (Construction Materials)
  (a)
5.000%
01/15/2028
1,000,000
992,716
Magnera Corp. (Paper & Forest Products)
  (a)
4.750%
11/15/2029
1,000,000
902,765
Mauser Packaging Solutions Holding Co. (Containers & Packaging)
  (a)
7.875%
04/15/2030
150,000
150,000
Maxam Prill SARL (Chemicals)
  (a)
7.750%
07/15/2030
425,000
431,954
Olin Corp. (Chemicals)
  (a)
6.625%
04/01/2033
1,000,000
978,226
Sealed Air Corp. (Containers & Packaging)
  (a)
4.000%
12/01/2027
200,000
199,500
Sealed Air Corp. (Containers & Packaging)
  (a)
6.500%
07/15/2032
275,000
288,464
Standard Industries, Inc. (Construction Materials)
  (a)
4.750%
01/15/2028
105,000
103,791
SunCoke Energy, Inc. (Metals & Mining)
  (a)
4.875%
06/30/2029
1,000,000
902,363
 
 
 
 
9,819,904
Real Estate2.0%
 
 
 
Brandywine Operating Partnership LP (Office REITs)
 
4.550%
10/01/2029
1,000,000
911,777
Howard Hughes Corp. / The (Real Estate Mgmt. & Development)
  (a)
5.875%
03/01/2032
250,000
240,571
Hudson Pacific Properties LP (Office REITs)
 
3.950%
11/01/2027
1,000,000
943,512
Outfront Media Capital LLC / Outfront Media Capital Corp. (Specialized REITs)
  (a)
7.375%
02/15/2031
200,000
208,543
 
 
 
 
2,304,403
Utilities4.3%
 
 
 
DPL LLC (Electric Utilities)
 
4.350%
04/15/2029
1,000,000
959,788
NRG Energy, Inc. (Electric Utilities)
  (a)
5.750%
07/15/2029
200,000
199,701
PacifiCorp (Rate is fixed until 08/15/2031, then H15T5Y + 329) (Electric Utilities)
  (c)
7.125%
08/15/2056
1,000,000
944,679
39
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP High Income Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Utilities (continued)
 
 
 
PG&E Corp. (Rate is fixed until 09/15/2031, then H15T5Y + 323) (Electric Utilities)
  (c)
6.850%
09/15/2056
$1,000,000
$988,128
Vistra Operations Co. LLC (Ind. Power & Renewable Elec.)
  (a)
5.000%
07/31/2027
200,000
199,294
Vistra Operations Co. LLC (Ind. Power & Renewable Elec.)
  (a)
7.750%
10/15/2031
350,000
366,619
VoltaGrid LLC (Electric Utilities)
  (a)
7.375%
11/01/2030
250,000
258,202
XPLR Infrastructure Operating Partners LP (Ind. Power & Renewable Elec.)
  (a)
7.750%
04/15/2034
1,000,000
1,032,752
 
 
 
 
4,949,163
Total Corporate Bonds (Cost $112,222,648)
 
 
 
$110,658,619
Preferred Securities2.7%
Rate
Quantity
Value
Financials2.7%
 
Citigroup, Inc. (Rate is fixed until 05/15/2031, then H15T5Y + 275) (Banks)
  (c)
6.500%
2,000,000
$1,995,148
General Motors Financial Co., Inc. (Rate is fixed until 09/30/2027, then QL + 360) (Consumer Finance)
  (c)
5.750%
145,000
141,175
Wells Fargo & Co. (Rate is fixed until 06/15/2031, then H15T5Y + 234) (Banks)
  (c)
6.125%
1,000,000
1,003,764
Total Preferred Securities (Cost $3,144,482)
 
$3,140,087
Common Stocks0.0%
Shares
Value
Communication Services0.0%
 
Audacy, Inc. (Media)
 (d)(e)
527
$14,450
Total Common Stocks (Cost $357,285)
 
$14,450
Warrants0.0%
Expiration
Strike Price
Quantity
Value
Communication Services0.0%
 
Audacy, Inc. Second Lien Warrants (Media)
 (d)(e)
09/30/2028
$77.10
106
$
Audacy, Inc. Second Lien Warrants (with Black-Scholes protections) (Media)
 (d)(e)
09/30/2028
77.10
638
Total Warrants (Cost $215)
 
$
Total Investments – 99.5% (Cost $115,724,630)
  (f)
$113,813,156
Other Assets in Excess of Liabilities – 0.5%
 
566,729
Net Assets – 100.0%
 
$114,379,885

Percentages are stated as a percent of net assets.
Abbreviations:
 
H15T5Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 5 Year, 3.920% at 3/31/2026
PIK:
Payment-in-Kind
QL:
Quarterly U.S. LIBOR Rate. This rate is linked to U.S. LIBOR, which is no longer published. An alternate reference rate will be determined by the issuer prior
to the date the security becomes a variable rate instrument.
REITs:
Real Estate Investment Trusts
SOFR:
Secured Overnight Financing Rate, 3.680% at 3/31/2026
Footnotes:
 
(a)
Security exempt from registration under Regulation D of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,
normally to qualified buyers under Rule 144A. At March 31, 2026, the value of these securities totaled $86,728,643, or 75.8% of the Portfolio’s net assets.
(b)
Issuer of the security has the option to make coupon payments in cash or in additional par value of this bond (Payment-in-Kind).
(c)
Security is a fixed-then-variable rate instrument in which the coupon or dividend rate is fixed until a later specified date, then is adjusted periodically. Rates
stated, including interest rate caps and floors, if any, are those in effect at March 31, 2026.
(d)
Level 3 security in accordance with the fair value hierarchy, value determined using significant unobservable inputs.
(e)
Non-income producing security.
(f)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
40

AuguStar Variable Insurance Products Fund, Inc.
AVIP Nasdaq-100® Index Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.1%
Shares
Value
Communication Services15.2%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
28,339
$8,149,163
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
26,485
7,597,487
Charter Communications, Inc. Class A (Media)
  (a)
1,706
368,291
Comcast Corp. Class A (Diversified Telecom.
Svs.)
 
48,395
1,389,421
Electronic Arts, Inc. (Entertainment)
 
3,299
672,567
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
14,363
8,217,503
Netflix, Inc. (Entertainment)
  (a)
56,739
5,455,455
Take-Two Interactive Software, Inc.
(Entertainment)
  (a)
2,502
494,145
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
14,804
3,109,284
Warner Bros. Discovery, Inc. (Entertainment)
  (a)
33,338
915,462
 
 
36,368,778
Consumer Discretionary12.5%
 
Airbnb, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
5,693
718,912
Amazon.com, Inc. (Broadline Retail)
  (a)
52,269
10,886,065
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
426
1,793,596
DoorDash, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
5,524
829,429
Marriott International, Inc. Class A (Hotels,
Restaurants & Leisure)
 
3,552
1,161,753
MercadoLibre, Inc. (Broadline Retail)
  (a)
682
1,179,192
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
11,233
1,036,918
PDD Holdings, Inc. – ADR (Broadline Retail)
  (a)
8,972
916,759
Ross Stores, Inc. (Specialty Retail)
 
4,328
937,575
Starbucks Corp. (Hotels, Restaurants &
Leisure)
 
15,328
1,373,235
Tesla, Inc. (Automobiles)
  (a)
24,322
9,041,703
 
 
29,875,137
Consumer Staples8.5%
 
Coca-Cola Europacific Partners PLC
(Beverages)
 
6,086
551,818
Costco Wholesale Corp. (Consumer Staples
Distribution & Retail)
 
5,956
5,934,737
Keurig Dr Pepper, Inc. (Beverages)
 
18,456
485,946
Kraft Heinz Co. / The (Food Products)
 
16,073
361,482
Mondelez International, Inc. Class A
(Food Products)
 
17,262
994,982
Monster Beverage Corp. (Beverages)
  (a)
13,144
952,414
PepsiCo, Inc. (Beverages)
 
18,369
2,852,522
Walmart, Inc. (Consumer Staples Distribution
& Retail)
 
65,687
8,163,580
 
 
20,297,481
Energy0.7%
 
Baker Hughes Co. (Energy Equip. & Svs.)
 
13,396
817,826
Diamondback Energy, Inc. (Oil, Gas &
Consumable Fuels)
 
3,817
754,964
 
 
1,572,790
Financials0.2%
 
PayPal Holdings, Inc. (Financial Services)
 
12,462
563,656
Health Care5.1%
 
Alnylam Pharmaceuticals, Inc.
(Biotechnology)
  (a)
1,775
587,294
Amgen, Inc. (Biotechnology)
 
7,239
2,547,042
Dexcom, Inc. (Health Care Equip. & Supplies)
  (a)
5,209
327,125
GE HealthCare Technologies, Inc. (Health Care
Equip. & Supplies)
 
6,195
440,960
Gilead Sciences, Inc. (Biotechnology)
 
16,686
2,325,528
IDEXX Laboratories, Inc. (Health Care Equip. &
Supplies)
  (a)
1,071
601,784
Insmed, Inc. (Biotechnology)
  (a)
2,928
478,787
Intuitive Surgical, Inc. (Health Care Equip. &
Supplies)
  (a)
4,778
2,202,610
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
1,402
$1,083,242
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
3,416
1,525,381
 
 
12,119,753
Industrials4.1%
 
Automatic Data Processing, Inc.
(Professional Svs.)
 
5,367
1,090,467
Axon Enterprise, Inc. (Aerospace & Defense)
  (a)
1,089
462,487
Cintas Corp. (Commercial Svs. & Supplies)
 
5,289
894,582
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
13,012
431,998
CSX Corp. (Ground Transportation)
 
24,924
1,023,130
Fastenal Co. (Trading Companies &
Distributors)
 
15,434
716,138
Ferrovial SE (Construction & Engineering)
 
9,758
634,758
Honeywell International, Inc.
(Industrial Conglomerates)
 
8,609
1,945,892
Old Dominion Freight Line, Inc.
(Ground Transportation)
 
2,843
555,522
PACCAR, Inc. (Machinery)
 
7,170
828,135
Paychex, Inc. (Professional Svs.)
 
4,825
444,479
Thomson Reuters Corp. (Professional Svs.)
 
5,997
539,610
Verisk Analytics, Inc. (Professional Svs.)
 
1,838
348,761
 
 
9,915,959
Information Technology49.9%
 
Adobe, Inc. (Software)
  (a)
5,477
1,331,349
Advanced Micro Devices, Inc.
(Semiconductors & Equip.)
  (a)
21,893
4,453,693
Analog Devices, Inc. (Semiconductors &
Equip.)
 
6,584
2,094,634
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
71,509
18,148,269
Applied Materials, Inc. (Semiconductors &
Equip.)
 
10,712
3,661,255
AppLovin Corp. Class A (Software)
  (a)
4,131
1,644,138
ARM Holdings PLC – ADR (Semiconductors &
Equip.)
  (a)
1,876
283,801
ASML Holding N.V. (Semiconductors & Equip.)
 
1,180
1,558,579
Atlassian Corp. Class A (Software)
  (a)
2,315
157,999
Autodesk, Inc. (Software)
  (a)
2,831
677,741
Broadcom, Inc. (Semiconductors & Equip.)
 
23,001
7,119,040
Cadence Design Systems, Inc. (Software)
  (a)
3,713
1,031,731
Cisco Systems, Inc. (Communications Equip.)
 
53,272
4,133,375
Cognizant Technology Solutions Corp. Class A
(IT Svs.)
 
6,436
394,849
Crowdstrike Holdings, Inc. Class A (Software)
  (a)
3,393
1,324,661
Datadog, Inc. Class A (Software)
  (a)
4,426
522,489
Fortinet, Inc. (Software)
  (a)
9,912
810,009
Intel Corp. (Semiconductors & Equip.)
  (a)
64,144
2,830,675
Intuit, Inc. (Software)
 
3,722
1,609,318
KLA Corp. (Semiconductors & Equip.)
 
1,767
2,601,748
Lam Research Corp. (Semiconductors &
Equip.)
 
16,888
3,608,290
Marvell Technology, Inc. (Semiconductors &
Equip.)
 
11,594
1,148,386
Microchip Technology, Inc. (Semiconductors &
Equip.)
 
7,246
468,164
Micron Technology, Inc. (Semiconductors &
Equip.)
 
15,133
5,112,533
Microsoft Corp. (Software)
 
36,139
13,377,574
Monolithic Power Systems, Inc.
(Semiconductors & Equip.)
 
644
704,117
NVIDIA Corp. (Semiconductors & Equip.)
 
118,360
20,641,984
NXP Semiconductors N.V. (Semiconductors &
Equip.)
 
3,386
666,568
Palantir Technologies, Inc. Class A (Software)
  (a)
30,815
4,507,618
Palo Alto Networks, Inc. (Software)
  (a)
10,973
1,759,191
QUALCOMM, Inc. (Semiconductors & Equip.)
 
14,403
1,854,818
Roper Technologies, Inc. (Software)
 
1,376
486,911
Seagate Technology Holdings PLC (Tech.
Hardware, Storage & Periph.)
 
2,955
1,157,651
41
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Nasdaq-100® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Shopify, Inc. Class A (IT Svs.)
  (a)
16,501
$1,957,349
Strategy, Inc. (Software)
  (a)
4,259
531,523
Synopsys, Inc. (Software)
  (a)
2,580
1,022,918
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
12,219
2,372,197
Western Digital Corp. (Tech. Hardware,
Storage & Periph.)
 
4,594
1,242,631
Workday, Inc. Class A (Software)
  (a)
2,872
373,130
Zscaler, Inc. (Software)
  (a)
2,175
305,131
 
 
119,688,037
Materials1.3%
 
Linde PLC (Chemicals)
 
6,240
3,093,542
Real Estate0.1%
 
CoStar Group, Inc. (Real Estate Mgmt. &
Development)
  (a)
5,655
228,123
Utilities1.5%
 
American Electric Power Co., Inc.
(Electric Utilities)
 
7,218
946,135
Common Stocks (Continued)
Shares
Value
Utilities (continued)
 
Constellation Energy Corp. (Electric Utilities)
 
4,892
$1,366,091
Exelon Corp. (Electric Utilities)
 
13,772
675,103
Xcel Energy, Inc. (Electric Utilities)
 
8,358
663,960
 
 
3,651,289
Total Common Stocks (Cost $148,897,905)
 
$237,374,545
U.S. Treasury Obligations0.0%
Rate
Maturity
Face Amount
Value
U.S. Treasury Bill
 (b)(c)
3.633%
05/14/2026
$113,000
$112,509
Total U.S. Treasury Obligations (Cost $112,513)
$112,509
Total Investments – 99.1% (Cost $149,010,418)
  (d)
$237,487,054
Other Assets in Excess of Liabilities – 0.9%
2,165,094
Net Assets – 100.0%
$239,652,148

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
Footnotes:
 
(a)
Non-income producing security.
(b)
Security is fully pledged as collateral for the futures contracts outstanding at March 31, 2026.  The value of securities pledged totaled $111,378.  See also the
following Schedule of Open Futures Contracts.
(c)
Zero coupon bond. Rate disclosed is the current yield as of March 31, 2026
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini Nasdaq-100 Index - Long
3
June 18, 2026
$1,463,051
$1,434,900
$(28,151
)
$82,215
Total Futures Contracts
 
 
$1,463,051
$1,434,900
$(28,151
)
$82,215
The accompanying notes are an integral part of these financial statements.
42

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Core Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks98.2%
Shares
Value
Communication Services10.6%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
34,201
$9,834,840
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
26,273
7,536,673
AT&T, Inc. (Diversified Telecom. Svs.)
 
42,519
1,232,626
Comcast Corp. Class A (Diversified Telecom.
Svs.)
 
42,949
1,233,066
Fox Corp. Class B (Media)
 
793
42,108
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
12,625
7,223,141
Netflix, Inc. (Entertainment)
  (a)
28,431
2,733,641
Take-Two Interactive Software, Inc.
(Entertainment)
  (a)
5,993
1,183,617
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
4,399
923,922
Trade Desk, Inc. / The Class A (Media)
  (a)
30,916
701,484
 
 
32,645,118
Consumer Discretionary10.2%
 
Amazon.com, Inc. (Broadline Retail)
  (a)
63,844
13,296,790
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
309
1,300,989
BorgWarner, Inc. (Automobile Components)
 
21,398
1,161,055
Carnival Corp. (Hotels, Restaurants & Leisure)
 
15,783
408,464
Chipotle Mexican Grill, Inc. (Hotels,
Restaurants & Leisure)
  (a)
29,701
950,729
Garmin Ltd. (Household Durables)
 
1,833
425,274
Home Depot, Inc. / The (Specialty Retail)
 
4,245
1,396,138
McDonald's Corp. (Hotels, Restaurants &
Leisure)
 
2,858
888,238
MercadoLibre, Inc. (Broadline Retail)
  (a)
444
767,685
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
8,393
774,758
Tesla, Inc. (Automobiles)
  (a)
14,009
5,207,846
TJX Cos., Inc. / The (Specialty Retail)
 
20,937
3,343,639
Toll Brothers, Inc. (Household Durables)
 
6,256
853,756
Viking Holdings Ltd. (Hotels, Restaurants &
Leisure)
  (a)
8,909
654,633
 
 
31,429,994
Consumer Staples4.7%
 
Altria Group, Inc. (Tobacco)
 
9,411
621,032
Coca-Cola Co. / The (Beverages)
 
29,284
2,227,048
Costco Wholesale Corp. (Consumer Staples
Distribution & Retail)
 
3,777
3,763,516
General Mills, Inc. (Food Products)
 
19,283
717,714
Procter & Gamble Co. / The
(Household Products)
 
20,655
2,983,408
Walmart, Inc. (Consumer Staples Distribution &
Retail)
 
32,140
3,994,359
 
 
14,307,077
Energy3.9%
 
Cheniere Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
4,248
1,205,413
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
18,387
3,804,270
Devon Energy Corp. (Oil, Gas & Consumable
Fuels)
 
45,420
2,285,534
Exxon Mobil Corp. (Oil, Gas & Consumable
Fuels)
 
9,346
1,585,642
Marathon Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
2,785
680,041
Phillips 66 (Oil, Gas & Consumable Fuels)
 
6,438
1,172,875
SLB Ltd. (Energy Equip. & Svs.)
 
13,637
700,806
Valero Energy Corp. (Oil, Gas & Consumable
Fuels)
 
2,540
627,583
 
 
12,062,164
Financials12.6%
 
American Express Co. (Consumer Finance)
 
3,590
1,085,903
Bank of America Corp. (Banks)
 
86,605
4,221,994
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Berkshire Hathaway, Inc. Class B
(Financial Services)
  (a)
6,012
$2,880,950
Charles Schwab Corp. / The (Capital Markets)
 
29,720
2,793,086
Citigroup, Inc. (Banks)
 
11,562
1,311,247
CME Group, Inc. (Capital Markets)
 
3,975
1,174,016
Credicorp Ltd. (Banks)
 
1,907
646,816
Goldman Sachs Group, Inc. / The
(Capital Markets)
 
2,576
2,179,270
Huntington Bancshares, Inc. (Banks)
 
37,176
581,804
Intercontinental Exchange, Inc.
(Capital Markets)
 
8,339
1,311,558
JPMorgan Chase & Co. (Banks)
 
15,381
4,524,475
Mastercard, Inc. Class A (Financial Services)
 
5,164
2,580,244
MetLife, Inc. (Insurance)
 
8,057
569,791
Morgan Stanley (Capital Markets)
 
18,119
2,981,844
Progressive Corp. / The (Insurance)
 
6,643
1,316,908
Travelers Cos., Inc. / The (Insurance)
 
10,237
2,985,928
Visa, Inc. (Financial Services)
 
13,506
4,082,054
Wells Fargo & Co. (Banks)
 
16,255
1,294,061
 
 
38,521,949
Health Care9.0%
 
AbbVie, Inc. (Biotechnology)
 
11,124
2,419,359
Amgen, Inc. (Biotechnology)
 
3,343
1,176,234
Biogen, Inc. (Biotechnology)
  (a)
3,922
719,020
Boston Scientific Corp. (Health Care Equip. &
Supplies)
  (a)
17,243
1,081,998
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
59,146
3,587,205
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
9,210
1,946,165
Eli Lilly & Co. (Pharmaceuticals)
 
3,428
3,152,972
Gilead Sciences, Inc. (Biotechnology)
 
9,061
1,262,832
HCA Healthcare, Inc. (Health Care Providers &
Svs.)
 
1,347
637,454
Intuitive Surgical, Inc. (Health Care Equip. &
Supplies)
  (a)
1,514
697,939
Johnson & Johnson (Pharmaceuticals)
 
6,268
1,532,150
McKesson Corp. (Health Care Providers &
Svs.)
 
1,327
1,148,333
Natera, Inc. (Biotechnology)
  (a)
3,722
744,363
Pfizer, Inc. (Pharmaceuticals)
 
51,024
1,432,754
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
1,585
1,224,634
Stryker Corp. (Health Care Equip. & Supplies)
 
4,183
1,374,492
UnitedHealth Group, Inc. (Health Care
Providers & Svs.)
 
6,551
1,772,635
Veeva Systems, Inc. Class A (Health Care
Technology)
  (a)
3,492
613,405
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
2,156
962,740
 
 
27,486,684
Industrials9.2%
 
3M Co. (Industrial Conglomerates)
 
24,129
3,504,255
Boeing Co. / The (Aerospace & Defense)
  (a)
3,396
675,906
Caterpillar, Inc. (Machinery)
 
4,595
3,255,374
Comfort Systems U.S.A., Inc. (Construction &
Engineering)
 
1,189
1,639,619
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
16,095
534,354
Eaton Corp. PLC (Electrical Equip.)
 
3,260
1,166,004
Ferguson Enterprises, Inc. (Trading Companies
& Distributors)
 
2,444
570,087
GE Vernova, Inc. (Electrical Equip.)
 
931
812,670
General Dynamics Corp. (Aerospace &
Defense)
 
1,380
473,644
General Electric Co. (Operating as "GE
Aerospace") (Aerospace & Defense)
 
6,572
1,864,936
HEICO Corp. Class A (Aerospace & Defense)
 
1,883
397,483
Illinois Tool Works, Inc. (Machinery)
 
2,318
603,352
43
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Core Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
Leidos Holdings, Inc. (Professional Svs.)
 
2,438
$379,158
Lockheed Martin Corp. (Aerospace &
Defense)
 
2,311
1,396,745
MasTec, Inc. (Construction & Engineering)
  (a)
3,355
1,079,438
Northrop Grumman Corp. (Aerospace &
Defense)
 
1,087
741,595
Parker-Hannifin Corp. (Machinery)
 
3,610
3,231,816
Rockwell Automation, Inc. (Electrical Equip.)
 
1,860
667,517
RTX Corp. (Aerospace & Defense)
 
14,136
2,726,834
Trane Technologies PLC (Building Products)
 
2,686
1,119,364
Union Pacific Corp. (Ground Transportation)
 
6,102
1,480,467
 
 
28,320,618
Information Technology32.7%
 
Adobe, Inc. (Software)
  (a)
5,362
1,303,395
Advanced Micro Devices, Inc.
(Semiconductors & Equip.)
  (a)
8,682
1,766,179
Amphenol Corp. Class A (Electronic Equip.,
Instr. & Comp.)
 
10,617
1,341,458
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
90,877
23,063,674
Applied Materials, Inc. (Semiconductors &
Equip.)
 
6,686
2,285,208
Arista Networks, Inc. (Communications Equip.)
  (a)
7,961
977,452
Broadcom, Inc. (Semiconductors & Equip.)
 
26,474
8,193,968
Dell Technologies, Inc. Class C (Tech.
Hardware, Storage & Periph.)
 
3,007
493,539
Intel Corp. (Semiconductors & Equip.)
  (a)
24,569
1,084,230
Intuit, Inc. (Software)
 
1,399
604,900
Lam Research Corp. (Semiconductors &
Equip.)
 
14,218
3,037,818
Micron Technology, Inc. (Semiconductors &
Equip.)
 
9,232
3,118,939
Microsoft Corp. (Software)
 
45,685
16,911,216
Motorola Solutions, Inc.
(Communications Equip.)
 
3,605
1,564,462
NVIDIA Corp. (Semiconductors & Equip.)
 
147,355
25,698,712
Oracle Corp. (Software)
 
7,384
1,086,260
Palantir Technologies, Inc. Class A (Software)
  (a)
7,109
1,039,904
QUALCOMM, Inc. (Semiconductors & Equip.)
 
9,105
1,172,542
Salesforce, Inc. (Software)
 
8,647
1,614,135
Sandisk Corp. (Tech. Hardware, Storage &
Periph.)
  (a)
1,300
825,942
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Seagate Technology Holdings PLC (Tech.
Hardware, Storage & Periph.)
 
1,304
$510,855
ServiceNow, Inc. (Software)
  (a)
5,215
545,228
Synopsys, Inc. (Software)
  (a)
1,045
414,322
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
4,309
836,549
Western Digital Corp. (Tech. Hardware,
Storage & Periph.)
 
3,328
900,191
 
 
100,391,078
Materials1.7%
 
Alcoa Corp. (Metals & Mining)
 
14,818
982,878
Freeport-McMoRan, Inc. (Metals & Mining)
 
32,014
1,881,783
LyondellBasell Industries N.V. Class A
(Chemicals)
 
7,465
601,380
Newmont Corp. (Metals & Mining)
 
10,207
1,104,908
Vulcan Materials Co. (Construction Materials)
 
1,823
496,403
 
 
5,067,352
Real Estate1.3%
 
American Tower Corp. (Specialized REITs)
 
6,996
1,207,370
CubeSmart (Specialized REITs)
 
10,105
370,348
Host Hotels & Resorts, Inc. (Hotel & Resort
REITs)
 
28,479
545,658
Ventas, Inc. (Health Care REITs)
 
7,112
581,619
VICI Properties, Inc. (Specialized REITs)
 
46,345
1,266,145
 
 
3,971,140
Utilities2.3%
 
Edison International (Electric Utilities)
 
10,005
732,166
Entergy Corp. (Electric Utilities)
 
11,255
1,264,612
NextEra Energy, Inc. (Electric Utilities)
 
12,002
1,114,746
PG&E Corp. (Electric Utilities)
 
53,097
932,914
Pinnacle West Capital Corp. (Electric Utilities)
 
6,928
697,996
Vistra Corp. (Ind. Power & Renewable Elec.)
 
2,959
444,826
WEC Energy Group, Inc. (Multi-Utilities)
 
15,306
1,771,976
 
 
6,959,236
Total Common Stocks (Cost $224,128,187)
 
$301,162,410
Total Investments – 98.2% (Cost $224,128,187)
  (b)
$301,162,410
Other Assets in Excess of Liabilities – 1.8%
  (c)
5,601,253
Net Assets – 100.0%
$306,763,663

Percentages are stated as a percent of net assets.
Abbreviations:
 
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(c)
Includes $291,903 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P 500 Index - Long
12
June 18, 2026
$4,005,787
$3,942,450
$(63,337
)
$124,414
Total Futures Contracts
 
 
$4,005,787
$3,942,450
$(63,337
)
$124,414
The accompanying notes are an integral part of these financial statements.
44

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks97.9%
Shares
Value
Communication Services1.9%
 
Cinemark Holdings, Inc. (Entertainment)
 
8,793
$250,776
EverQuote, Inc. Class A (Interactive Media &
Svs.)
  (a)
13,215
203,775
fuboTV, Inc. Class A (Interactive Media &
Svs.)
  (a)
2,222
21,020
Globalstar, Inc. (Diversified Telecom. Svs.)
  (a)
3,970
263,688
IDT Corp. Class B (Diversified Telecom. Svs.)
 
4,549
223,356
IMAX Corp. (Entertainment)
  (a)
3,976
151,128
Iridium Communications, Inc. (Diversified
Telecom. Svs.)
 
2,014
55,868
Lumen Technologies, Inc. (Diversified
Telecom. Svs.)
  (a)
77,381
537,798
Magnite, Inc. (Media)
  (a)
15,956
189,557
Marcus Corp. / The (Entertainment)
 
1,411
24,227
MediaAlpha, Inc. Class A (Interactive Media &
Svs.)
  (a)
5,437
50,564
QuinStreet, Inc. (Interactive Media & Svs.)
  (a)
28,036
336,713
Spok Holdings, Inc. (Wireless Telecom. Svs.)
 
6,040
65,836
Starz Entertainment Corp. (Entertainment)
  (a)
2,820
32,430
 
 
2,406,736
Consumer Discretionary6.6%
 
Abercrombie & Fitch Co. Class A
(Specialty Retail)
  (a)
4,378
400,018
Accel Entertainment, Inc. (Hotels, Restaurants
& Leisure)
  (a)
2,189
23,882
Adient PLC (Automobile Components)
  (a)
3,889
78,597
American Eagle Outfitters, Inc.
(Specialty Retail)
 
1,635
27,305
American Public Education, Inc. (Diversified
Consumer Svs.)
  (a)
734
41,750
Aramark (Hotels, Restaurants & Leisure)
 
13,455
545,466
Arhaus, Inc. (Specialty Retail)
 
8,145
55,223
Boot Barn Holdings, Inc. (Specialty Retail)
  (a)
3,536
517,529
Brinker International, Inc. (Hotels, Restaurants
& Leisure)
  (a)
3,742
534,245
Buckle, Inc. / The (Specialty Retail)
 
756
38,072
Cavco Industries, Inc. (Household Durables)
  (a)
343
166,111
Champion Homes, Inc. (Household Durables)
  (a)
3,945
293,390
Citi Trends, Inc. (Specialty Retail)
  (a)
342
14,815
Covista, Inc. (Diversified Consumer Svs.)
  (a)
3,819
440,140
Dauch Corp. (Automobile Components)
  (a)
2,928
17,363
Dillard's, Inc. Class A (Broadline Retail)
 
79
45,197
Dutch Bros, Inc. Class A (Hotels, Restaurants
& Leisure)
  (a)
386
19,555
EVgo, Inc. (Specialty Retail)
  (a)
17,586
30,248
Frontdoor, Inc. (Diversified Consumer Svs.)
  (a)
6,015
317,953
Garrett Motion, Inc. (Automobile Components)
 
4,256
77,332
Genius Sports Ltd. (Hotels, Restaurants &
Leisure)
  (a)
7,649
33,885
Green Brick Partners, Inc.
(Household Durables)
  (a)
449
28,938
Installed Building Products, Inc.
(Household Durables)
 
2,291
607,459
Kontoor Brands, Inc. (Textiles, Apparel &
Luxury Goods)
 
2,046
143,813
Laureate Education, Inc. (Diversified
Consumer Svs.)
  (a)
9,645
336,032
Life Time Group Holdings, Inc. (Hotels,
Restaurants & Leisure)
  (a)
10,579
284,998
Lindblad Expeditions Holdings, Inc. (Hotels,
Restaurants & Leisure)
  (a)
11,640
201,372
Macy's, Inc. (Broadline Retail)
 
9,182
166,102
Navan, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
1,709
22,627
Newell Brands, Inc. (Household Durables)
 
18,586
63,750
Ollie's Bargain Outlet Holdings, Inc.
(Broadline Retail)
  (a)
950
87,438
OneSpaWorld Holdings Ltd. (Diversified
Consumer Svs.)
 
5,393
123,769
Penske Automotive Group, Inc.
(Specialty Retail)
 
591
88,366
Pool Corp. (Distributors)
 
79
15,984
Pursuit Attractions and Hospitality, Inc.
(Hotels, Restaurants & Leisure)
  (a)
562
20,586
Common Stocks (Continued)
Shares
Value
Consumer Discretionary (continued)
 
QuantumScape Corp.
(Automobile Components)
  (a)
9,514
$60,699
RealReal, Inc. / The (Specialty Retail)
  (a)
7,472
67,846
Revolve Group, Inc. (Specialty Retail)
  (a)
9,834
222,347
Rush Street Interactive, Inc. (Hotels,
Restaurants & Leisure)
  (a)
9,474
206,059
Shake Shack, Inc. Class A (Hotels,
Restaurants & Leisure)
  (a)
1,048
92,717
Sleep Number Corp. (Specialty Retail)
  (a)
1,361
2,443
Sonic Automotive, Inc. Class A
(Specialty Retail)
 
3,716
254,806
Sonos, Inc. (Household Durables)
  (a)
3,823
51,228
Standard Motor Products, Inc.
(Automobile Components)
 
2,790
96,925
Stitch Fix, Inc. Class A (Specialty Retail)
  (a)
14,844
49,134
Strategic Education, Inc. (Diversified
Consumer Svs.)
 
280
23,229
Stride, Inc. (Diversified Consumer Svs.)
  (a)
3,430
302,423
Thor Industries, Inc. (Automobiles)
 
487
38,906
ThredUp, Inc. Class A (Specialty Retail)
  (a)
7,647
25,082
Travel + Leisure Co. (Hotels, Restaurants &
Leisure)
 
1,326
91,746
Universal Technical Institute, Inc. (Diversified
Consumer Svs.)
  (a)
3,969
143,281
Urban Outfitters, Inc. (Specialty Retail)
  (a)
4,680
296,478
Victoria's Secret & Co. (Specialty Retail)
  (a)
3,142
145,663
Winnebago Industries, Inc. (Automobiles)
 
1,699
52,652
 
 
8,132,974
Consumer Staples2.1%
 
Andersons, Inc. / The (Consumer Staples
Distribution & Retail)
 
699
50,174
BJ's Wholesale Club Holdings, Inc. (Consumer
Staples Distribution & Retail)
  (a)
3,644
358,643
Cal-Maine Foods, Inc. (Food Products)
 
2,395
189,564
Central Garden & Pet Co.
(Household Products)
  (a)
1,090
40,079
Chefs' Warehouse, Inc. / The (Consumer
Staples Distribution & Retail)
  (a)
5,990
356,106
Marzetti Company / The (Food Products)
 
1,367
189,097
National Beverage Corp. (Beverages)
  (a)
535
18,003
Natural Grocers by Vitamin Cottage, Inc.
(Consumer Staples Distribution & Retail)
 
3,251
84,038
PriceSmart, Inc. (Consumer Staples
Distribution & Retail)
 
4,082
614,341
Sprouts Farmers Market, Inc. (Consumer
Staples Distribution & Retail)
  (a)
2,897
223,446
Turning Point Brands, Inc. (Tobacco)
 
653
56,674
United Natural Foods, Inc. (Consumer Staples
Distribution & Retail)
  (a)
3,257
146,760
Vita Coco Co., Inc. / The (Beverages)
  (a)
3,642
174,488
Vital Farms, Inc. (Food Products)
  (a)
4,305
60,787
 
 
2,562,200
Energy3.7%
 
Archrock, Inc. (Energy Equip. & Svs.)
 
19,716
686,117
Ardmore Shipping Corp. (Oil, Gas &
Consumable Fuels)
 
9,087
138,577
Cactus, Inc. Class A (Energy Equip. & Svs.)
 
1,163
55,091
Centrus Energy Corp. Class A (Oil, Gas &
Consumable Fuels)
  (a)
1,023
177,583
Clean Energy Fuels Corp. (Oil, Gas &
Consumable Fuels)
  (a)
10,637
26,380
CVR Energy, Inc. (Oil, Gas & Consumable
Fuels)
  (a)
5,021
168,957
Delek U.S. Holdings, Inc. (Oil, Gas &
Consumable Fuels)
 
7,064
318,374
Energy Fuels, Inc. (Oil, Gas & Consumable
Fuels)
  (a)
5,875
107,219
International Seaways, Inc. (Oil, Gas &
Consumable Fuels)
 
928
67,633
Kodiak Gas Services, Inc. (Energy Equip. &
Svs.)
 
4,165
242,903
45
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Energy (continued)
 
Magnolia Oil & Gas Corp. Class A (Oil, Gas &
Consumable Fuels)
 
9,336
$294,738
Oceaneering International, Inc. (Energy Equip.
& Svs.)
  (a)
8,558
303,552
Par Pacific Holdings, Inc. (Oil, Gas &
Consumable Fuels)
  (a)
837
52,430
Patterson-UTI Energy, Inc. (Energy Equip. &
Svs.)
 
27,023
292,659
PBF Energy, Inc. Class A (Oil, Gas &
Consumable Fuels)
 
383
18,238
ProPetro Holding Corp. (Energy Equip. & Svs.)
  (a)
7,930
114,271
Sable Offshore Corp. (Oil, Gas & Consumable
Fuels)
  (a)
2,472
40,837
Scorpio Tankers, Inc. (Oil, Gas & Consumable
Fuels)
 
2,440
182,170
Solaris Energy Infrastructure, Inc. (Energy
Equip. & Svs.)
 
3,153
178,176
Tidewater, Inc. (Energy Equip. & Svs.)
  (a)
4,847
404,967
Uranium Energy Corp. (Oil, Gas & Consumable
Fuels)
  (a)
36,606
494,181
Weatherford International PLC (Energy Equip.
& Svs.)
 
1,864
176,297
 
 
4,541,350
Financials10.4%
 
Acadian Asset Management, Inc.
(Capital Markets)
 
4,115
223,938
Ally Financial, Inc. (Consumer Finance)
 
2,296
90,072
Amalgamated Financial Corp. (Banks)
 
9,542
370,898
Baldwin Insurance Group, Inc. / The
(Insurance)
  (a)
3,101
68,036
Bancorp, Inc. / The (Banks)
  (a)
1,631
87,634
Bank of Hawaii Corp. (Banks)
 
2,618
194,386
Bankwell Financial Group, Inc. (Banks)
 
1,369
66,424
Bar Harbor Bankshares (Banks)
 
2,727
88,491
BGC Group, Inc. Class A (Capital Markets)
 
31,791
310,916
Bowhead Specialty Holdings, Inc. (Insurance)
  (a)
5,259
117,959
ChoiceOne Financial Services, Inc. (Banks)
 
629
17,687
Cohen & Steers, Inc. (Capital Markets)
 
598
37,405
Community Trust Bancorp, Inc. (Banks)
 
321
19,491
Cullen / Frost Bankers, Inc. (Banks)
 
2,348
321,864
Dave, Inc. (Consumer Finance)
  (a)
292
50,834
Enova International, Inc. (Consumer Finance)
  (a)
4,538
616,396
FactSet Research Systems, Inc.
(Capital Markets)
 
216
46,870
First BanCorp Puerto Rico (Banks)
 
4,441
94,860
First Business Financial Services, Inc. (Banks)
 
3,594
193,824
First Financial Corp. (Banks)
 
1,402
88,606
FirstCash Holdings, Inc. (Consumer Finance)
 
2,128
400,064
GCM Grosvenor, Inc. Class A
(Capital Markets)
 
20,448
200,390
Goosehead Insurance, Inc. Class A
(Insurance)
  (a)
560
23,890
Green Dot Corp. Class A (Consumer Finance)
  (a)
1,326
14,878
Greenlight Capital Re Ltd. Class A (Insurance)
  (a)
1,072
18,535
HCI Group, Inc. (Insurance)
 
788
121,833
Horizon Bancorp, Inc. (Banks)
 
2,954
48,948
Independent Bank Corp. (Banks)
 
1,230
40,959
Jefferies Financial Group, Inc.
(Capital Markets)
 
2,626
108,375
Kearny Financial Corp. (Banks)
 
7,409
55,938
Lemonade, Inc. (Insurance)
  (a)
5,938
372,194
LendingTree, Inc. (Consumer Finance)
  (a)
410
17,581
Marex Group PLC (Capital Markets)
 
5,434
242,248
Mercury General Corp. (Insurance)
 
1,950
171,892
Miami International Holdings, Inc.
(Capital Markets)
  (a)
588
22,885
Midland States Bancorp, Inc. (Banks)
 
3,218
71,794
Moelis & Co. Class A (Capital Markets)
 
4,643
264,651
MVB Financial Corp. (Banks)
 
1,418
35,209
Navient Corp. (Consumer Finance)
 
5,129
41,955
Nicolet Bankshares, Inc. (Banks)
 
1,553
230,807
Old National Bancorp (Banks)
 
9,487
209,663
Old Second Bancorp, Inc. (Banks)
 
4,571
92,151
OneMain Holdings, Inc. (Consumer Finance)
 
7,494
400,854
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Orange County Bancorp, Inc. (Banks)
 
15,522
$496,394
Oscar Health, Inc. Class A (Insurance)
  (a)
22,655
259,853
Palomar Holdings, Inc. (Insurance)
  (a)
4,277
511,101
Piper Sandler Cos. (Capital Markets)
 
7,932
607,195
PJT Partners, Inc. Class A (Capital Markets)
 
1,623
226,766
Plumas Bancorp (Banks)
 
338
16,501
PRA Group, Inc. (Consumer Finance)
  (a)
6,111
106,942
Remitly Global, Inc. (Financial Services)
  (a)
18,937
296,743
Root, Inc. Class A (Insurance)
  (a)
817
36,087
SEI Investments Co. (Capital Markets)
 
4,633
363,551
Skyward Specialty Insurance Group, Inc.
(Insurance)
  (a)
7,829
341,971
Slide Insurance Holdings, Inc. (Insurance)
  (a)
753
13,554
SmartFinancial, Inc. (Banks)
 
2,951
115,325
Southern Missouri Bancorp, Inc. (Banks)
 
1,121
71,677
StepStone Group, Inc. Class A
(Capital Markets)
 
11,351
541,670
Stewart Information Services Corp.
(Insurance)
 
2,601
160,170
StoneCo Ltd. Class A (Financial Services)
  (a)
17,655
249,289
StoneX Group, Inc. (Capital Markets)
  (a)
8,211
662,217
Tiptree, Inc. (Insurance)
 
7,309
123,668
Trupanion, Inc. (Insurance)
  (a)
6,487
166,132
UMB Financial Corp. (Banks)
 
1,518
171,215
Unity Bancorp, Inc. (Banks)
 
1,054
54,629
Universal Insurance Holdings, Inc.
(Insurance)
 
7,134
243,697
Upstart Holdings, Inc. (Consumer Finance)
  (a)
12,667
324,909
Velocity Financial, Inc. (Financial Services)
  (a)
4,514
81,658
Voya Financial, Inc. (Financial Services)
 
1,341
91,617
Webull Corp. (Capital Markets)
  (a)
8,197
39,346
Western Alliance Bancorp (Banks)
 
971
68,795
 
 
12,756,957
Health Care22.6%
 
ACADIA Pharmaceuticals, Inc.
(Biotechnology)
  (a)
16,375
364,507
Accuray, Inc. (Health Care Equip. & Supplies)
  (a)
39,036
15,150
Aclaris Therapeutics, Inc. (Pharmaceuticals)
  (a)
6,502
24,382
Adaptive Biotechnologies Corp. (Life Sciences
Tools & Svs.)
  (a)
15,022
208,505
Addus HomeCare Corp. (Health Care Providers
& Svs.)
  (a)
2,030
190,109
ADMA Biologics, Inc. (Biotechnology)
  (a)
24,915
224,484
agilon health, Inc. (Health Care Providers &
Svs.)
  (a)
1,261
9,974
Agios Pharmaceuticals, Inc. (Biotechnology)
  (a)
4,543
153,690
Alkermes PLC (Biotechnology)
  (a)
12,367
437,297
Allogene Therapeutics, Inc. (Biotechnology)
  (a)
31,927
77,902
Alphatec Holdings, Inc. (Health Care Equip. &
Supplies)
  (a)
2,082
22,652
Altimmune, Inc. (Biotechnology)
  (a)
16,774
51,664
Amarin Corp. PLC – ADR (Biotechnology)
  (a)
855
12,363
Amicus Therapeutics, Inc. (Biotechnology)
  (a)
24,184
349,701
Anavex Life Sciences Corp. (Biotechnology)
  (a)
4,048
12,427
Apogee Therapeutics, Inc. (Biotechnology)
  (a)
2,075
174,653
Arcutis Biotherapeutics, Inc. (Biotechnology)
  (a)
7,132
168,030
Ardelyx, Inc. (Biotechnology)
  (a)
31,811
190,548
Arrowhead Pharmaceuticals, Inc.
(Biotechnology)
  (a)
11,667
731,521
Arvinas, Inc. (Pharmaceuticals)
  (a)
16,921
179,363
Atea Pharmaceuticals, Inc. (Pharmaceuticals)
  (a)
7,197
38,720
AtriCure, Inc. (Health Care Equip. & Supplies)
  (a)
3,060
87,302
Atrium Therapeutics, Inc. (Biotechnology)
  (a)
808
10,803
Aurinia Pharmaceuticals, Inc. (Biotechnology)
  (a)
9,833
145,725
Aveanna Healthcare Holdings, Inc. (Health
Care Providers & Svs.)
  (a)
16,600
106,904
Axsome Therapeutics, Inc. (Pharmaceuticals)
  (a)
3,588
606,444
Beam Therapeutics, Inc. (Biotechnology)
  (a)
7,781
185,421
Beta Bionics, Inc. (Health Care Equip. &
Supplies)
  (a)
2,456
24,609
Beyondspring, Inc. (Biotechnology)
  (a)
5,417
8,884
BioCryst Pharmaceuticals, Inc.
(Biotechnology)
  (a)
27,217
259,106
Biohaven Ltd. (Biotechnology)
  (a)
10,260
86,800
46
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Bridgebio Pharma, Inc. (Biotechnology)
  (a)
11,103
$824,509
BrightSpring Health Services, Inc. (Health
Care Providers & Svs.)
  (a)
9,942
423,629
Capricor Therapeutics, Inc. (Biotechnology)
  (a)
3,026
91,990
Caris Life Sciences, Inc. (Biotechnology)
  (a)
6,927
123,855
Castle Biosciences, Inc. (Health Care
Providers & Svs.)
  (a)
1,239
30,417
Catalyst Pharmaceuticals, Inc.
(Biotechnology)
  (a)
14,821
366,968
Celcuity, Inc. (Biotechnology)
  (a)
2,460
280,784
CG oncology, Inc. (Biotechnology)
  (a)
3,156
213,598
ClearPoint Neuro, Inc. (Health Care Equip. &
Supplies)
  (a)
6,649
60,506
Cogent Biosciences, Inc. (Biotechnology)
  (a)
9,162
352,645
Corcept Therapeutics, Inc. (Pharmaceuticals)
  (a)
1,280
51,597
CorVel Corp. (Health Care Providers & Svs.)
  (a)
4,483
244,996
Corvus Pharmaceuticals, Inc. (Biotechnology)
  (a)
2,852
41,725
Crinetics Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
5,971
216,867
Day One Biopharmaceuticals, Inc.
(Biotechnology)
  (a)
945
20,261
Disc Medicine, Inc. (Biotechnology)
  (a)
675
43,159
Doximity, Inc. Class A (Health Care
Technology)
  (a)
3,542
82,529
Edgewise Therapeutics, Inc.
(Pharmaceuticals)
  (a)
3,382
106,533
Electromed, Inc. (Health Care Equip. &
Supplies)
  (a)
625
14,631
Encompass Health Corp. (Health Care
Providers & Svs.)
 
5,954
575,930
Enovis Corp. (Health Care Equip. & Supplies)
  (a)
8,363
190,258
Ensign Group, Inc. / The (Health Care
Providers & Svs.)
 
5,637
1,135,855
Evolent Health, Inc. Class A (Health Care
Technology)
  (a)
23,099
52,666
Fulcrum Therapeutics, Inc. (Pharmaceuticals)
  (a)
4,459
34,201
GeneDx Holdings Corp. (Health Care Providers
& Svs.)
  (a)
476
30,569
Glaukos Corp. (Health Care Equip. & Supplies)
  (a)
5,145
553,911
Guardant Health, Inc. (Health Care Providers
& Svs.)
  (a)
10,221
944,114
Haemonetics Corp. (Health Care Equip. &
Supplies)
  (a)
1,305
73,550
Harmony Biosciences Holdings, Inc.
(Pharmaceuticals)
  (a)
7,823
219,122
HealthEquity, Inc. (Health Care Providers &
Svs.)
  (a)
5,005
418,268
Henry Schein, Inc. (Health Care Providers &
Svs.)
  (a)
2,828
208,424
Hims & Hers Health, Inc. (Health Care
Providers & Svs.)
  (a)
18,274
379,368
Hinge Health, Inc. Class A (Health Care
Providers & Svs.)
  (a)
2,785
107,390
Ideaya Biosciences, Inc. (Biotechnology)
  (a)
2,832
94,362
ImmunityBio, Inc. (Biotechnology)
  (a)
12,657
97,079
Immunome, Inc. (Biotechnology)
  (a)
5,834
127,590
Immunovant, Inc. (Biotechnology)
  (a)
2,634
65,429
Indivior Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
7,853
239,359
InfuSystem Holdings, Inc. (Health Care
Providers & Svs.)
  (a)
8,750
80,762
Inspire Medical Systems, Inc. (Health Care
Equip. & Supplies)
  (a)
1,208
62,309
Intellia Therapeutics, Inc. (Biotechnology)
  (a)
8,287
106,239
Ionis Pharmaceuticals, Inc. (Biotechnology)
  (a)
1,466
110,082
iRadimed Corp. (Health Care Equip. &
Supplies)
 
3,914
376,762
IRhythm Holdings, Inc. (Health Care Equip. &
Supplies)
  (a)
3,034
358,073
Ironwood Pharmaceuticals, Inc.
(Biotechnology)
  (a)
16,546
58,076
Janux Therapeutics, Inc. (Biotechnology)
  (a)
10,801
150,134
Keros Therapeutics, Inc. (Biotechnology)
  (a)
1,784
19,695
Krystal Biotech, Inc. (Biotechnology)
  (a)
1,650
426,228
Kura Oncology, Inc. (Biotechnology)
  (a)
14,845
120,690
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Kymera Therapeutics, Inc. (Biotechnology)
  (a)
3,625
$301,926
Lantheus Holdings, Inc. (Health Care Equip. &
Supplies)
  (a)
2,689
203,961
LENZ Therapeutics, Inc. (Pharmaceuticals)
  (a)
2,377
21,750
LifeMD, Inc. (Health Care Technology)
  (a)
19,161
69,171
Liquidia Corp. (Pharmaceuticals)
  (a)
4,215
159,074
Madrigal Pharmaceuticals, Inc.
(Biotechnology)
  (a)
1,677
877,859
MannKind Corp. (Biotechnology)
  (a)
46,419
113,727
Mineralys Therapeutics, Inc. (Biotechnology)
  (a)
3,650
98,878
Mirum Pharmaceuticals, Inc. (Biotechnology)
  (a)
3,907
360,929
Moderna, Inc. (Biotechnology)
  (a)
772
39,218
Natera, Inc. (Biotechnology)
  (a)
555
110,994
NeuroPace, Inc. (Health Care Equip. &
Supplies)
  (a)
1,135
14,925
Nkarta, Inc. (Biotechnology)
  (a)
7,159
15,105
Novavax, Inc. (Biotechnology)
  (a)
11,630
94,668
Novocure Ltd. (Health Care Equip. & Supplies)
  (a)
18,379
200,331
Nuvalent, Inc. Class A (Biotechnology)
  (a)
2,854
292,392
Nuvation Bio, Inc. (Pharmaceuticals)
  (a)
3,414
14,646
Ocular Therapeutix, Inc. (Pharmaceuticals)
  (a)
23,231
196,767
Omada Health, Inc. (Health Care Providers &
Svs.)
  (a)
1,435
18,038
OptimizeRx Corp. (Health Care Technology)
  (a)
1,713
10,758
Option Care Health, Inc. (Health Care
Providers & Svs.)
  (a)
9,256
249,171
Pacific Biosciences of California, Inc. (Life
Sciences Tools & Svs.)
  (a)
9,721
12,832
PACS Group, Inc. (Health Care Providers &
Svs.)
  (a)
4,852
155,846
Pediatrix Medical Group, Inc. (Health Care
Providers & Svs.)
  (a)
1,857
39,721
Pennant Group, Inc. / The (Health Care
Providers & Svs.)
  (a)
3,319
101,163
Phathom Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
5,946
66,060
Phreesia, Inc. (Health Care Technology)
  (a)
17,792
149,097
Precigen, Inc. (Biotechnology)
  (a)
9,013
34,880
Privia Health Group, Inc. (Health Care
Providers & Svs.)
  (a)
18,114
372,605
Protagonist Therapeutics, Inc.
(Biotechnology)
  (a)
3,510
369,954
PTC Therapeutics, Inc. (Biotechnology)
  (a)
5,429
369,878
RadNet, Inc. (Health Care Providers & Svs.)
  (a)
5,153
288,001
Recursion Pharmaceuticals, Inc. Class A
(Biotechnology)
  (a)
25,733
79,000
REGENXBIO, Inc. (Biotechnology)
  (a)
11,499
96,362
Rezolute, Inc. (Biotechnology)
  (a)
7,677
23,415
Rhythm Pharmaceuticals, Inc.
(Biotechnology)
  (a)
4,102
356,751
Rigel Pharmaceuticals, Inc. (Biotechnology)
  (a)
4,145
112,081
RxSight, Inc. (Health Care Equip. & Supplies)
  (a)
18,149
111,798
Sarepta Therapeutics, Inc. (Biotechnology)
  (a)
3,401
74,006
Scholar Rock Holding Corp. (Biotechnology)
  (a)
6,119
300,810
Schrodinger, Inc. (Health Care Technology)
  (a)
14,686
166,833
Soleno Therapeutics, Inc. (Biotechnology)
  (a)
2,277
76,234
Spyre Therapeutics, Inc. (Biotechnology)
  (a)
3,558
179,465
Stoke Therapeutics, Inc. (Biotechnology)
  (a)
1,676
54,571
Syndax Pharmaceuticals, Inc.
(Biotechnology)
  (a)
12,255
286,277
Tandem Diabetes Care, Inc. (Health Care
Equip. & Supplies)
  (a)
1,645
31,535
Tarsus Pharmaceuticals, Inc.
(Pharmaceuticals)
  (a)
3,254
228,268
Tempus AI, Inc. Class A (Life Sciences Tools &
Svs.)
  (a)
2,656
120,104
TG Therapeutics, Inc. (Biotechnology)
  (a)
16,230
539,161
Theravance Biopharma, Inc.
(Pharmaceuticals)
  (a)
11,536
187,229
TransMedics Group, Inc. (Health Care Equip. &
Supplies)
  (a)
3,026
300,815
Travere Therapeutics, Inc. (Biotechnology)
  (a)
6,166
183,192
Treace Medical Concepts, Inc. (Health Care
Equip. & Supplies)
  (a)
9,331
12,504
Trevi Therapeutics, Inc. (Pharmaceuticals)
  (a)
11,074
132,113
47
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Twist Bioscience Corp. (Biotechnology)
  (a)
5,272
$250,525
Ultragenyx Pharmaceutical, Inc.
(Biotechnology)
  (a)
6,276
131,482
UroGen Pharma Ltd. (Biotechnology)
  (a)
3,947
70,967
Varex Imaging Corp. (Health Care Equip. &
Supplies)
  (a)
5,139
54,525
Vera Therapeutics, Inc. (Biotechnology)
  (a)
5,070
203,966
Veracyte, Inc. (Biotechnology)
  (a)
9,814
316,109
Verastem, Inc. (Biotechnology)
  (a)
8,072
42,782
Vericel Corp. (Biotechnology)
  (a)
5,667
182,307
Viemed Healthcare, Inc. (Health Care
Providers & Svs.)
  (a)
40,765
375,446
Viking Therapeutics, Inc. (Biotechnology)
  (a)
3,788
123,262
Viridian Therapeutics, Inc. (Biotechnology)
  (a)
4,793
93,751
WaVe Life Sciences Ltd. (Pharmaceuticals)
  (a)
16,522
119,784
Xencor, Inc. (Biotechnology)
  (a)
11,474
138,376
Xenon Pharmaceuticals, Inc. (Biotechnology)
  (a)
4,730
275,049
Zymeworks, Inc. (Biotechnology)
  (a)
8,277
207,256
 
 
27,829,770
Industrials24.6%
 
3D Systems Corp. (Machinery)
  (a)
18,101
34,030
ACV Auctions, Inc. Class A (Commercial Svs.
& Supplies)
  (a)
16,238
68,849
AeroVironment, Inc. (Aerospace & Defense)
  (a)
3,461
633,536
Alaska Air Group, Inc. (Passenger Airlines)
  (a)
8,790
323,296
American Superconductor Corp.
(Electrical Equip.)
  (a)
6,992
236,679
Amprius Technologies, Inc. (Electrical Equip.)
  (a)
7,642
128,844
Applied Industrial Technologies, Inc. (Trading
Companies & Distributors)
 
1,499
397,715
Archer Aviation, Inc. Class A (Aerospace &
Defense)
  (a)
45,290
234,149
Argan, Inc. (Construction & Engineering)
 
1,233
671,553
Astronics Corp. (Aerospace & Defense)
  (a)
2,634
175,767
Atmus Filtration Technologies, Inc.
(Machinery)
 
9,361
531,424
AZZ, Inc. (Building Products)
 
2,369
296,433
Beta Technologies, Inc. Class A (Aerospace &
Defense)
  (a)
1,036
15,229
BlackSky Technology, Inc. (Professional Svs.)
  (a)
860
21,638
Bloom Energy Corp. Class A (Electrical Equip.)
  (a)
18,845
2,553,309
Blue Bird Corp. (Machinery)
  (a)
3,561
202,229
Brink's Co. / The (Commercial Svs. &
Supplies)
 
4,039
418,562
Brookfield Business Corp. Class A
(Industrial Conglomerates)
 
5,359
169,559
Byrna Technologies, Inc. (Aerospace &
Defense)
  (a)
3,805
34,930
CBIZ, Inc. (Professional Svs.)
  (a)
540
14,499
CECO Environmental Corp. (Machinery)
  (a)
2,503
149,129
Centuri Holdings, Inc. (Construction &
Engineering)
  (a)
11,331
330,978
Chart Industries, Inc. (Machinery)
  (a)
3,523
728,380
Columbus McKinnon Corp. (Machinery)
 
1,273
18,497
Construction Partners, Inc. Class A
(Construction & Engineering)
  (a)
3,514
390,476
CoreCivic, Inc. (Commercial Svs. & Supplies)
  (a)
4,007
75,772
Covenant Logistics Group, Inc.
(Ground Transportation)
 
1,366
37,087
Crane Co. (Machinery)
 
1,131
193,401
DNOW, Inc. (Trading Companies &
Distributors)
  (a)
6,314
75,200
Donaldson Co., Inc. (Machinery)
 
991
84,106
Douglas Dynamics, Inc. (Machinery)
 
3,750
157,837
Ducommun, Inc. (Aerospace & Defense)
  (a)
1,642
200,324
Dycom Industries, Inc. (Construction &
Engineering)
  (a)
3,287
1,113,701
Energy Recovery, Inc. (Machinery)
  (a)
11,089
111,666
Enerpac Tool Group Corp. (Machinery)
 
1,930
70,387
EnerSys (Electrical Equip.)
 
2,140
371,761
Enovix Corp. (Electrical Equip.)
  (a)
19,017
98,508
Enpro, Inc. (Machinery)
 
212
53,138
Eos Energy Enterprises, Inc. (Electrical Equip.)
  (a)
25,502
126,490
ESCO Technologies, Inc. (Machinery)
 
2,781
782,490
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
EVI Industries, Inc. (Trading Companies &
Distributors)
 
696
$14,324
ExlService Holdings, Inc. (Professional Svs.)
  (a)
7,615
231,877
Exponent, Inc. (Professional Svs.)
 
4,459
290,950
Federal Signal Corp. (Machinery)
 
5,362
579,847
Firefly Aerospace, Inc. (Aerospace &
Defense)
  (a)
3,421
97,396
Flowserve Corp. (Machinery)
 
842
61,895
Fluence Energy, Inc. (Electrical Equip.)
  (a)
4,774
65,690
Fluor Corp. (Construction & Engineering)
  (a)
8,374
390,647
Forgent Power Solutions, Inc.
(Electrical Equip.)
  (a)
8,201
240,043
Forward Air Corp. (Air Freight & Logistics)
  (a)
4,591
76,716
Franklin Electric Co., Inc. (Machinery)
 
4,662
429,697
Genco Shipping & Trading Ltd.
(Marine Transportation)
 
2,094
47,220
GEO Group, Inc. / The (Commercial Svs. &
Supplies)
  (a)
11,480
192,979
Healthcare Services Group, Inc. (Commercial
Svs. & Supplies)
  (a)
7,602
141,017
Herc Holdings, Inc. (Trading Companies &
Distributors)
 
2,775
276,251
Hertz Global Holdings, Inc.
(Ground Transportation)
  (a)
7,269
33,510
Hudson Technologies, Inc. (Trading
Companies & Distributors)
  (a)
2,517
14,800
Huntington Ingalls Industries, Inc. (Aerospace
& Defense)
 
309
117,389
IBEX Holdings Ltd. (Professional Svs.)
  (a)
6,280
168,430
IES Holdings, Inc. (Construction &
Engineering)
  (a)
863
411,194
Innodata, Inc. (Professional Svs.)
  (a)
1,992
76,931
Interface, Inc. (Commercial Svs. & Supplies)
 
1,032
25,717
Joby Aviation, Inc. (Passenger Airlines)
  (a)
49,521
409,043
Karat Packaging, Inc. (Trading Companies &
Distributors)
 
5,979
166,934
KBR, Inc. (Professional Svs.)
 
3,336
122,965
Kirby Corp. (Marine Transportation)
  (a)
2,649
351,999
Kratos Defense & Security Solutions, Inc.
(Aerospace & Defense)
  (a)
16,289
1,148,537
Lyft, Inc. Class A (Ground Transportation)
  (a)
3,939
52,389
Matson, Inc. (Marine Transportation)
 
1,486
243,615
Maximus, Inc. (Professional Svs.)
 
3,865
247,746
Modine Manufacturing Co.
(Building Products)
  (a)
4,320
936,187
Moog, Inc. Class A (Aerospace & Defense)
 
2,841
831,390
Mueller Water Products, Inc. Class A
(Machinery)
 
11,582
318,389
MYR Group, Inc. (Construction & Engineering)
  (a)
1,968
555,606
Nextpower, Inc. Class A (Electrical Equip.)
  (a)
8,722
1,051,437
NPK International, Inc. (Trading Companies &
Distributors)
  (a)
9,643
139,727
NuScale Power Corp. (Electrical Equip.)
  (a)
14,984
162,427
Owens Corning (Building Products)
 
2,442
264,273
Planet Labs PBC (Professional Svs.)
  (a)
22,650
633,067
Powell Industries, Inc. (Electrical Equip.)
 
545
294,889
Primoris Services Corp. (Construction &
Engineering)
 
3,224
461,161
Proto Labs, Inc. (Machinery)
  (a)
971
55,366
Red Cat Holdings, Inc. (Aerospace & Defense)
  (a)
2,018
26,416
Redwire Corp. (Aerospace & Defense)
  (a)
8,970
76,245
Resideo Technologies, Inc.
(Building Products)
  (a)
1,974
66,544
Resources Connection, Inc.
(Professional Svs.)
 
4,757
17,744
Satellogic, Inc. Class A (Aerospace &
Defense)
  (a)
3,665
19,938
Shoals Technologies Group, Inc. Class A
(Electrical Equip.)
  (a)
6,306
41,493
SkyWest, Inc. (Passenger Airlines)
  (a)
3,500
321,405
Spire Global, Inc. (Professional Svs.)
  (a)
1,709
21,499
SPX Technologies, Inc. (Machinery)
  (a)
3,997
799,160
Sterling Infrastructure, Inc. (Construction &
Engineering)
  (a)
2,551
1,038,946
48
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
Tecnoglass, Inc. (Building Products)
 
641
$28,557
Tetra Tech, Inc. (Commercial Svs. & Supplies)
 
5,393
162,437
Transcat, Inc. (Trading Companies &
Distributors)
  (a)
389
28,572
Trinity Industries, Inc. (Machinery)
 
6,605
212,549
Tutor Perini Corp. (Construction &
Engineering)
 
2,525
194,905
Verra Mobility Corp. (Professional Svs.)
  (a)
18,069
258,206
Vicor Corp. (Electrical Equip.)
  (a)
2,049
329,889
VSE Corp. (Aerospace & Defense)
 
1,195
220,358
Watts Water Technologies, Inc. Class A
(Machinery)
 
1,946
564,904
Willdan Group, Inc. (Professional Svs.)
  (a)
2,165
165,752
Worthington Enterprises, Inc. (Machinery)
 
1,565
81,599
Xometry, Inc. Class A (Trading Companies &
Distributors)
  (a)
3,909
159,644
Zurn Elkay Water Solutions Corp.
(Building Products)
 
13,562
608,120
 
 
30,208,107
Information Technology20.6%
 
A10 Networks, Inc. (Software)
 
5,570
128,778
ACI Worldwide, Inc. (Software)
  (a)
9,241
378,973
ADTRAN Holdings, Inc.
(Communications Equip.)
  (a)
14,006
176,195
Advanced Energy Industries, Inc. (Electronic
Equip., Instr. & Comp.)
 
5,015
1,618,391
Aehr Test Systems (Semiconductors & Equip.)
  (a)
2,461
91,254
Aeva Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
2,877
37,861
Agilysys, Inc. (Software)
  (a)
1,599
113,753
Ambarella, Inc. (Semiconductors & Equip.)
  (a)
4,753
244,661
Amkor Technology, Inc. (Semiconductors &
Equip.)
 
5,241
236,002
Amplitude, Inc. Class A (Software)
  (a)
30,716
209,483
Applied Digital Corp. (IT Svs.)
  (a)
14,409
342,070
Applied Optoelectronics, Inc.
(Communications Equip.)
  (a)
4,836
409,077
Arteris, Inc. (Software)
  (a)
5,050
83,022
Asana, Inc. Class A (Software)
  (a)
13,078
83,699
Aurora Innovation, Inc. (Software)
  (a)
7,147
29,446
Axcelis Technologies, Inc. (Semiconductors &
Equip.)
  (a)
1,045
97,269
Badger Meter, Inc. (Electronic Equip., Instr. &
Comp.)
 
1,846
281,238
Belden, Inc. (Electronic Equip., Instr. & Comp.)
 
226
25,952
Benchmark Electronics, Inc. (Electronic
Equip., Instr. & Comp.)
 
678
38,009
Bitdeer Technologies Group Class A
(Software)
  (a)
4,054
35,067
Box, Inc. Class A (Software)
  (a)
23,875
564,405
Braze, Inc. Class A (Software)
  (a)
6,711
158,447
C3.ai, Inc. Class A (Software)
  (a)
22,611
190,385
Calix, Inc. (Communications Equip.)
  (a)
7,867
385,404
CEVA, Inc. (Semiconductors & Equip.)
  (a)
6,613
123,531
Cirrus Logic, Inc. (Semiconductors & Equip.)
  (a)
2,655
383,966
Clear Secure, Inc. Class A (Software)
 
4,811
232,901
Clearwater Analytics Holdings, Inc. Class A
(Software)
  (a)
22,663
535,980
Cognex Corp. (Electronic Equip., Instr. &
Comp.)
 
962
47,128
Commvault Systems, Inc. (Software)
  (a)
3,031
236,085
Core Scientific, Inc. (Software)
  (a)
12,539
187,583
Credo Technology Group Holding Ltd.
(Semiconductors & Equip.)
  (a)
14,164
1,329,575
Digital Turbine, Inc. (Software)
  (a)
8,565
24,667
Domo, Inc. Class B (Software)
  (a)
26,002
79,566
D-Wave Quantum, Inc. (Software)
  (a)
26,731
385,728
Elastic N.V. (Software)
  (a)
2,150
107,478
Evolv Technologies Holdings, Inc. (Electronic
Equip., Instr. & Comp.)
  (a)
4,845
29,312
Extreme Networks, Inc.
(Communications Equip.)
  (a)
17,560
264,805
Fabrinet (Electronic Equip., Instr. & Comp.)
  (a)
3,267
1,703,806
Five9, Inc. (Software)
  (a)
2,952
44,782
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
475
$31,094
FormFactor, Inc. (Semiconductors & Equip.)
  (a)
6,456
626,167
Freshworks, Inc. Class A (Software)
  (a)
23,069
185,244
Harmonic, Inc. (Communications Equip.)
  (a)
19,556
175,613
Impinj, Inc. (Semiconductors & Equip.)
  (a)
2,241
230,151
Insight Enterprises, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
1,426
95,556
Intapp, Inc. (Software)
  (a)
7,806
200,536
InterDigital, Inc. (Software)
 
2,291
691,882
IonQ, Inc. (Tech. Hardware, Storage &
Periph.)
  (a)
27,262
785,963
IPG Photonics Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
165
18,907
Klaviyo, Inc. Class A (Software)
  (a)
1,714
33,354
Kulicke & Soffa Industries, Inc.
(Semiconductors & Equip.)
 
4,834
317,690
Manhattan Associates, Inc. (Software)
  (a)
2,178
289,935
Methode Electronics, Inc. (Electronic Equip.,
Instr. & Comp.)
 
13,741
75,850
Mirion Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
17,056
317,071
Napco Security Technologies, Inc. (Electronic
Equip., Instr. & Comp.)
 
2,050
80,750
NETGEAR, Inc. (Communications Equip.)
  (a)
6,488
141,698
Netskope, Inc. Class A (Software)
  (a)
4,139
35,140
Novanta, Inc. (Electronic Equip., Instr. &
Comp.)
  (a)
3,007
355,157
Onto Innovation, Inc. (Semiconductors &
Equip.)
  (a)
1,561
320,114
Ooma, Inc. (Software)
  (a)
1,953
28,416
OSI Systems, Inc. (Electronic Equip., Instr. &
Comp.)
  (a)
1,648
437,560
Ouster, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
7,065
129,784
Pagaya Technologies Ltd. Class A (Software)
  (a)
1,680
19,572
PAR Technology Corp. (Software)
  (a)
1,496
19,942
PC Connection, Inc. (Electronic Equip., Instr. &
Comp.)
 
1,398
81,727
Photronics, Inc. (Semiconductors & Equip.)
  (a)
633
25,580
Plexus Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
3,716
752,639
Q2 Holdings, Inc. (Software)
  (a)
7,159
338,621
Qualys, Inc. (Software)
  (a)
4,323
379,776
Quantum Computing, Inc. (Tech. Hardware,
Storage & Periph.)
  (a)
14,660
100,421
Rambus, Inc. (Semiconductors & Equip.)
  (a)
10,070
866,322
Red Violet, Inc. (Software)
  (a)
1,612
55,775
Rezolve AI PLC (Software)
  (a)
10,399
26,621
Rigetti Computing, Inc. (Semiconductors &
Equip.)
  (a)
21,651
303,980
RingCentral, Inc. Class A (Software)
 
4,054
150,768
Rubrik, Inc. Class A (Software)
  (a)
1,124
55,042
Sanmina Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
3,965
514,023
Semtech Corp. (Semiconductors & Equip.)
  (a)
7,012
539,153
Silicon Laboratories, Inc. (Semiconductors &
Equip.)
  (a)
657
136,755
SiTime Corp. (Semiconductors & Equip.)
  (a)
1,854
640,279
SkyWater Technology, Inc. (Semiconductors &
Equip.)
  (a)
3,288
90,124
Skyworks Solutions, Inc. (Semiconductors &
Equip.)
 
2,040
109,242
SoundHound AI, Inc. Class A (Software)
  (a)
28,691
197,107
Sprout Social, Inc. Class A (Software)
  (a)
16,224
92,477
Tenable Holdings, Inc. (Software)
  (a)
15,669
265,041
Terawulf, Inc. (Software)
  (a)
21,668
312,669
TSS, Inc. (IT Svs.)
  (a)
5,481
71,308
TTM Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
2,137
208,187
Varonis Systems, Inc. (Software)
  (a)
9,030
193,874
Viavi Solutions, Inc. (Communications Equip.)
  (a)
18,703
622,436
Vistance Networks, Inc.
(Communications Equip.)
  (a)
11,139
202,730
Workiva, Inc. (Software)
  (a)
4,802
286,343
49
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Small Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Xperi, Inc. (Software)
  (a)
13,525
$75,740
Zeta Global Holdings Corp. Class A (Software)
  (a)
19,252
306,492
 
 
25,320,132
Materials3.8%
 
AdvanSix, Inc. (Chemicals)
 
616
15,030
Alpha Metallurgical Resources, Inc. (Metals &
Mining)
  (a)
1,674
343,622
Cabot Corp. (Chemicals)
 
340
25,605
Century Aluminum Co. (Metals & Mining)
  (a)
8,088
474,685
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
22,239
187,919
Coeur Mining, Inc. (Metals & Mining)
  (a)
37,369
701,416
Constellium SE (Metals & Mining)
  (a)
19,429
477,565
Contango Silver & Gold, Inc. (Metals &
Mining)
  (a)
1,568
29,400
Hawkins, Inc. (Chemicals)
 
837
128,563
Hecla Mining Co. (Metals & Mining)
 
17,224
320,883
Idaho Strategic Resources, Inc. (Metals &
Mining)
  (a)
3,515
112,902
Intrepid Potash, Inc. (Chemicals)
  (a)
3,008
128,652
Kaiser Aluminum Corp. (Metals & Mining)
 
3,662
441,308
Knife River Corp. (Construction Materials)
  (a)
1,389
113,412
Materion Corp. (Metals & Mining)
 
704
101,834
Mativ Holdings, Inc. (Chemicals)
 
11,008
95,770
Novagold Resources, Inc. (Metals & Mining)
  (a)
28,178
253,038
Perpetua Resources Corp. (Metals & Mining)
  (a)
7,390
207,807
Ramaco Resources, Inc. Class A (Metals &
Mining)
  (a)
5,884
90,967
Ryerson Holding Corp. (Metals & Mining)
 
4,256
95,675
U.S. Antimony Corp. (Metals & Mining)
  (a)
2,798
24,426
U.S. Lime & Minerals, Inc.
(Construction Materials)
 
1,466
191,474
U.S.A. Rare Earth, Inc. (Metals & Mining)
  (a)
1,531
23,172
Warrior Met Coal, Inc. (Metals & Mining)
 
521
48,531
 
 
4,633,656
Real Estate0.9%
 
Agree Realty Corp. (Retail REITs)
 
5,935
447,380
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
Compass, Inc. Class A (Real Estate Mgmt. &
Development)
  (a)
34,303
$250,755
Host Hotels & Resorts, Inc. (Hotel & Resort
REITs)
 
19,086
365,688
Janus Living, Inc. (Health Care REITs)
  (a)
1,956
46,103
 
 
1,109,926
Utilities0.7%
 
Avista Corp. (Multi-Utilities)
 
5,893
236,545
Brookfield Infrastructure Corp. Class A
(Gas Utilities)
 
4,473
176,773
Southwest Gas Holdings, Inc. (Gas Utilities)
 
4,875
423,637
 
 
836,955
Total Common Stocks (Cost $111,588,585)
 
$120,338,763
Rights0.0%
Quantity
Value
Health Care0.0%
 
Akero Therapeutics, Inc. CVR (Acquired
December 10, 2025, Cost $3,880)
(Biotechnology)
 (a)(b)
5,970
$3,880
Blueprint Medicines Corp. CVR (Acquired July 21,
2025, Cost $2,777) (Biotechnology)
 (a)(b)
6,037
2,777
Flexion Therapeutics, Inc. CVR (Acquired
November 22, 2021, Cost $3,835)
(Biotechnology)
 (a)(b)
6,185
3,835
Prevail Therapeutics, Inc. CVR (Acquired
January 21, 2021, Cost $1,116) (Biotechnology)
 (a)(b)
2,231
1,116
Total Rights (Cost $11,608)
 
$11,608
Total Investments – 97.9% (Cost $111,600,193)
  (c)
$120,350,371
Other Assets in Excess of Liabilities – 2.1%
  (d)
2,633,010
Net Assets – 100.0%
$122,983,381

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
CVR:
Contingent Value Right
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents a security deemed to be restricted. At March 31, 2026, the value of restricted securities in the Portfolio totaled $11,608, or 0.0% of the Portfolio’s net
assets.
(c)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(d)
Includes $181,937 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini Russell 2000 Index - Long
17
June 18, 2026
$2,144,395
$2,135,370
$(9,025
)
$71,400
Total Futures Contracts
 
 
$2,144,395
$2,135,370
$(9,025
)
$71,400
The accompanying notes are an integral part of these financial statements.
50

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P MidCap 400® Index Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.5%
Shares
Value
Communication Services1.0%
 
New York Times Co. / The Class A (Media)
 
25,478
$2,133,273
Nexstar Media Group, Inc. (Media)
 
4,495
812,831
Pinterest, Inc. Class A (Interactive Media &
Svs.)
  (a)
92,324
1,693,222
Warner Music Group Corp. Class A
(Entertainment)
 
23,176
591,915
 
 
5,231,241
Consumer Discretionary11.0%
 
Abercrombie & Fitch Co. Class A
(Specialty Retail)
  (a)
7,232
660,788
Aramark (Hotels, Restaurants & Leisure)
 
41,448
1,680,302
Autoliv, Inc. (Automobile Components)
 
10,838
1,139,724
AutoNation, Inc. (Specialty Retail)
  (a)
4,105
801,542
Bath & Body Works, Inc. (Specialty Retail)
 
32,284
602,742
BorgWarner, Inc. (Automobile Components)
 
32,651
1,771,643
Boyd Gaming Corp. (Hotels, Restaurants &
Leisure)
 
9,116
749,153
Brunswick Corp. (Leisure Products)
 
10,256
746,227
Burlington Stores, Inc. (Specialty Retail)
  (a)
9,805
3,190,351
Capri Holdings Ltd. (Textiles, Apparel & Luxury
Goods)
  (a)
18,791
331,097
Cava Group, Inc. (Hotels, Restaurants &
Leisure)
  (a)
15,730
1,272,557
Chewy, Inc. Class A (Specialty Retail)
  (a)
37,613
1,015,551
Choice Hotels International, Inc. (Hotels,
Restaurants & Leisure)
 
3,259
337,307
Churchill Downs, Inc. (Hotels, Restaurants &
Leisure)
 
10,446
938,364
Columbia Sportswear Co. (Textiles, Apparel &
Luxury Goods)
 
3,994
218,911
Crocs, Inc. (Textiles, Apparel & Luxury Goods)
  (a)
7,922
657,684
Dick's Sporting Goods, Inc. (Specialty Retail)
 
10,471
2,076,295
Duolingo, Inc. (Diversified Consumer Svs.)
  (a)
6,310
621,977
Dutch Bros, Inc. Class A (Hotels, Restaurants
& Leisure)
  (a)
20,032
1,014,821
Five Below, Inc. (Specialty Retail)
  (a)
8,698
1,987,319
Floor & Decor Holdings, Inc. Class A
(Specialty Retail)
  (a)
16,993
863,244
GameStop Corp. Class A (Specialty Retail)
  (a)
64,997
1,497,531
Gap, Inc. / The (Specialty Retail)
 
35,777
865,803
Gentex Corp. (Automobile Components)
 
34,526
754,393
Goodyear Tire & Rubber Co. / The
(Automobile Components)
  (a)
45,140
299,278
Graham Holdings Co. Class B (Diversified
Consumer Svs.)
 
536
566,691
Grand Canyon Education, Inc. (Diversified
Consumer Svs.)
  (a)
4,357
740,821
H&R Block, Inc. (Diversified Consumer Svs.)
 
19,989
634,451
Harley-Davidson, Inc. (Automobiles)
 
18,630
376,699
Hilton Grand Vacations, Inc. (Hotels,
Restaurants & Leisure)
  (a)
9,443
369,410
Hyatt Hotels Corp. Class A (Hotels, Restaurants
& Leisure)
 
6,518
937,223
KB Home (Household Durables)
 
9,962
515,534
Lear Corp. (Automobile Components)
 
7,999
968,519
Lithia Motors, Inc. (Specialty Retail)
 
3,824
954,929
Macy's, Inc. (Broadline Retail)
 
41,928
758,478
Mattel, Inc. (Leisure Products)
  (a)
49,012
712,144
Murphy U.S.A., Inc. (Specialty Retail)
 
2,664
1,315,936
Ollie's Bargain Outlet Holdings, Inc.
(Broadline Retail)
  (a)
9,672
890,211
Penske Automotive Group, Inc.
(Specialty Retail)
 
2,908
434,804
Planet Fitness, Inc. Class A (Hotels,
Restaurants & Leisure)
  (a)
13,086
973,337
Polaris, Inc. (Leisure Products)
 
8,427
459,272
PVH Corp. (Textiles, Apparel & Luxury Goods)
 
7,223
503,877
RH (Specialty Retail)
  (a)
2,428
339,483
Service Corp. International (Diversified
Consumer Svs.)
 
21,955
1,811,507
Somnigroup International, Inc.
(Household Durables)
 
33,101
2,446,826
Taylor Morrison Home Corp.
(Household Durables)
  (a)
15,411
897,537
Common Stocks (Continued)
Shares
Value
Consumer Discretionary (continued)
 
Texas Roadhouse, Inc. (Hotels, Restaurants &
Leisure)
 
10,431
$1,722,575
Thor Industries, Inc. (Automobiles)
 
8,332
665,644
Toll Brothers, Inc. (Household Durables)
 
14,942
2,039,135
TopBuild Corp. (Household Durables)
  (a)
4,401
1,546,071
Travel + Leisure Co. (Hotels, Restaurants &
Leisure)
 
10,144
701,863
Vail Resorts, Inc. (Hotels, Restaurants &
Leisure)
 
5,642
723,981
Valvoline, Inc. (Specialty Retail)
  (a)
20,077
676,193
VF Corp. (Textiles, Apparel & Luxury Goods)
 
51,828
880,558
Visteon Corp. (Automobile Components)
 
4,303
392,046
Whirlpool Corp. (Household Durables)
 
9,998
539,092
Wingstop, Inc. (Hotels, Restaurants & Leisure)
 
4,382
679,079
Wyndham Hotels & Resorts, Inc. (Hotels,
Restaurants & Leisure)
 
11,914
967,774
YETI Holdings, Inc. (Leisure Products)
  (a)
12,270
448,959
 
 
55,685,263
Consumer Staples4.6%
 
Albertsons Cos., Inc. Class A (Consumer
Staples Distribution & Retail)
 
58,350
994,284
BellRing Brands, Inc. (Personal Care
Products)
  (a)
18,493
297,552
BJ's Wholesale Club Holdings, Inc. (Consumer
Staples Distribution & Retail)
  (a)
20,634
2,030,798
Boston Beer Co., Inc. / The Class A
(Beverages)
  (a)
1,213
279,475
Casey's General Stores, Inc. (Consumer
Staples Distribution & Retail)
 
5,845
4,254,342
Celsius Holdings, Inc. (Beverages)
  (a)
25,204
894,238
Coca-Cola Consolidated, Inc. (Beverages)
 
8,920
1,710,321
Coty, Inc. Class A (Personal Care Products)
  (a)
58,284
117,151
Darling Ingredients, Inc. (Food Products)
  (a)
24,945
1,542,848
e.l.f. Beauty, Inc. (Personal Care Products)
  (a)
9,312
564,400
Flowers Foods, Inc. (Food Products)
 
33,302
271,411
Ingredion, Inc. (Food Products)
 
9,935
1,119,277
Maplebear, Inc. (Consumer Staples
Distribution & Retail)
  (a)
28,980
1,085,591
Marzetti Company / The (Food Products)
 
3,200
442,656
Performance Food Group Co. (Consumer
Staples Distribution & Retail)
  (a)
24,774
2,122,141
Pilgrim's Pride Corp. (Food Products)
 
6,743
254,616
Post Holdings, Inc. (Food Products)
  (a)
6,655
657,913
Sprouts Farmers Market, Inc. (Consumer
Staples Distribution & Retail)
  (a)
15,355
1,184,331
U.S. Foods Holding Corp. (Consumer Staples
Distribution & Retail)
  (a)
34,778
3,206,880
 
 
23,030,225
Energy5.4%
 
Antero Midstream Corp. (Oil, Gas &
Consumable Fuels)
 
52,222
1,190,662
Antero Resources Corp. (Oil, Gas &
Consumable Fuels)
  (a)
46,220
1,961,577
Chord Energy Corp. (Oil, Gas & Consumable
Fuels)
 
8,967
1,274,928
CNX Resources Corp. (Oil, Gas & Consumable
Fuels)
  (a)
22,451
865,486
DT Midstream, Inc. (Oil, Gas & Consumable
Fuels)
 
16,033
2,159,164
HF Sinclair Corp. (Oil, Gas & Consumable
Fuels)
 
24,656
1,538,288
Matador Resources Co. (Oil, Gas &
Consumable Fuels)
 
18,421
1,163,839
Murphy Oil Corp. (Oil, Gas & Consumable
Fuels)
 
21,159
872,809
NOV, Inc. (Energy Equip. & Svs.)
 
56,834
1,069,047
Ovintiv, Inc. (Oil, Gas & Consumable Fuels)
 
43,787
2,599,196
PBF Energy, Inc. Class A (Oil, Gas &
Consumable Fuels)
 
13,092
623,441
Permian Resources Corp. Class A (Oil, Gas &
Consumable Fuels)
 
116,750
2,489,110
51
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P MidCap 400® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Energy (continued)
 
Range Resources Corp. (Oil, Gas &
Consumable Fuels)
 
37,364
$1,688,105
TechnipFMC PLC (Energy Equip. & Svs.)
 
63,791
4,409,873
Valaris Ltd. (Energy Equip. & Svs.)
  (a)
10,153
995,400
Viper Energy, Inc. Class A (Oil, Gas &
Consumable Fuels)
 
29,303
1,376,948
Weatherford International PLC (Energy Equip.
& Svs.)
 
11,310
1,069,700
 
 
27,347,573
Financials14.9%
 
Affiliated Managers Group, Inc.
(Capital Markets)
 
4,436
1,227,441
Ally Financial, Inc. (Consumer Finance)
 
44,269
1,736,673
American Financial Group, Inc. (Insurance)
 
10,916
1,394,082
Annaly Capital Management, Inc.
(Mortgage REIT)
 
113,286
2,395,999
Associated Banc-Corp (Banks)
 
25,799
667,162
Bank OZK (Banks)
 
16,362
750,852
Brighthouse Financial, Inc. (Insurance)
  (a)
9,018
539,998
Carlyle Group, Inc. / The (Capital Markets)
 
40,921
1,980,167
CNO Financial Group, Inc. (Insurance)
 
14,902
611,876
Columbia Banking System, Inc. (Banks)
 
46,587
1,277,882
Commerce Bancshares, Inc. (Banks)
 
21,611
1,063,261
Corebridge Financial, Inc. (Financial Services)
 
40,258
960,556
Cullen / Frost Bankers, Inc. (Banks)
 
9,967
1,366,276
East West Bancorp, Inc. (Banks)
 
21,697
2,316,372
Equitable Holdings, Inc. (Financial Services)
 
44,675
1,657,889
Essent Group Ltd. (Financial Services)
 
15,053
879,697
Euronet Worldwide, Inc. (Financial Services)
  (a)
6,166
409,238
Evercore, Inc. Class A (Capital Markets)
 
6,099
1,820,613
Federated Hermes, Inc. (Capital Markets)
 
11,654
660,898
Fidelity National Financial, Inc. (Insurance)
 
40,221
1,865,450
First American Financial Corp. (Insurance)
 
16,069
968,800
First Financial Bankshares, Inc. (Banks)
 
20,551
605,227
First Horizon Corp. (Banks)
 
76,482
1,740,730
FirstCash Holdings, Inc. (Consumer Finance)
 
6,104
1,147,552
Flagstar Bank N.A. (Banks)
 
47,231
622,032
FNB Corp. (Banks)
 
56,345
942,089
Glacier Bancorp, Inc. (Banks)
 
20,291
906,399
Hamilton Lane, Inc. Class A (Capital Markets)
 
6,444
640,534
Hancock Whitney Corp. (Banks)
 
12,972
824,890
Hanover Insurance Group, Inc. / The
(Insurance)
 
5,582
967,640
Home BancShares, Inc. (Banks)
 
28,849
776,904
Houlihan Lokey, Inc. (Capital Markets)
 
8,571
1,230,967
International Bancshares Corp. (Banks)
 
8,529
573,917
Janus Henderson Group PLC (Capital Markets)
 
19,438
998,530
Jefferies Financial Group, Inc.
(Capital Markets)
 
26,075
1,076,115
Kinsale Capital Group, Inc. (Insurance)
 
3,485
1,190,685
MGIC Investment Corp. (Financial Services)
 
34,593
908,066
Morningstar, Inc. (Capital Markets)
 
3,620
611,961
Old National Bancorp (Banks)
 
54,688
1,208,605
Old Republic International Corp. (Insurance)
 
35,900
1,432,410
Pinnacle Financial Partners, Inc. (Banks)
 
23,740
2,044,964
Primerica, Inc. (Insurance)
 
5,033
1,260,666
Prosperity Bancshares, Inc. (Banks)
 
15,934
1,070,446
Reinsurance Group of America, Inc.
(Insurance)
 
10,363
2,115,710
RenaissanceRe Holdings Ltd. (Insurance)
 
6,858
2,038,403
RLI Corp. (Insurance)
 
14,482
826,053
Ryan Specialty Holdings, Inc. (Insurance)
 
17,985
606,814
SEI Investments Co. (Capital Markets)
 
14,649
1,149,507
Selective Insurance Group, Inc. (Insurance)
 
9,475
714,320
Shift4 Payments, Inc. Class A
(Financial Services)
  (a)
10,655
465,943
SLM Corp. (Consumer Finance)
 
31,413
672,552
Southstate Bank Corp. (Banks)
 
15,634
1,446,458
Starwood Property Trust, Inc. (Mortgage REIT)
 
54,895
945,292
Stifel Financial Corp. (Capital Markets)
 
24,048
1,777,628
Texas Capital Bancshares, Inc. (Banks)
  (a)
6,966
660,934
UMB Financial Corp. (Banks)
 
11,260
1,270,016
United Bankshares, Inc. (Banks)
 
22,007
911,530
Unum Group (Insurance)
 
24,040
1,755,641
Valley National Bancorp (Banks)
 
75,487
926,980
Voya Financial, Inc. (Financial Services)
 
14,823
1,012,707
Common Stocks (Continued)
Shares
Value
Financials (continued)
 
Webster Financial Corp. (Banks)
 
25,426
$1,765,073
Western Alliance Bancorp (Banks)
 
16,194
1,147,345
WEX, Inc. (Financial Services)
  (a)
5,407
827,487
Wintrust Financial Corp. (Banks)
 
10,562
1,467,484
Zions Bancorp N.A. (Banks)
 
23,284
1,341,624
 
 
75,178,012
Health Care8.9%
 
Arrowhead Pharmaceuticals, Inc.
(Biotechnology)
  (a)
22,082
1,384,541
Avantor, Inc. (Life Sciences Tools & Svs.)
  (a)
107,557
843,247
BioMarin Pharmaceutical, Inc.
(Biotechnology)
  (a)
30,295
1,711,365
Bio-Rad Laboratories, Inc. Class A (Life
Sciences Tools & Svs.)
  (a)
2,867
799,176
Bruker Corp. (Life Sciences Tools & Svs.)
 
17,491
631,775
Chemed Corp. (Health Care Providers & Svs.)
 
2,234
843,871
Cytokinetics, Inc. (Biotechnology)
  (a)
19,281
1,270,811
DENTSPLY SIRONA, Inc. (Health Care Equip. &
Supplies)
 
31,468
365,029
Doximity, Inc. Class A (Health Care
Technology)
  (a)
21,101
491,653
Elanco Animal Health, Inc. (Pharmaceuticals)
  (a)
78,353
1,874,987
Encompass Health Corp. (Health Care
Providers & Svs.)
 
15,867
1,534,815
Ensign Group, Inc. / The (Health Care Providers
& Svs.)
 
9,095
1,832,642
Envista Holdings Corp. (Health Care Equip. &
Supplies)
  (a)
25,842
655,612
Exelixis, Inc. (Biotechnology)
  (a)
40,955
1,756,560
Globus Medical, Inc. Class A (Health Care
Equip. & Supplies)
  (a)
17,569
1,513,745
Haemonetics Corp. (Health Care Equip. &
Supplies)
  (a)
7,328
413,006
Halozyme Therapeutics, Inc. (Biotechnology)
  (a)
18,544
1,198,499
HealthEquity, Inc. (Health Care Providers &
Svs.)
  (a)
13,473
1,125,939
Hims & Hers Health, Inc. (Health Care
Providers & Svs.)
  (a)
32,849
681,945
Illumina, Inc. (Life Sciences Tools & Svs.)
  (a)
24,112
2,972,045
Jazz Pharmaceuticals PLC (Pharmaceuticals)
  (a)
9,582
1,811,477
Lantheus Holdings, Inc. (Health Care Equip. &
Supplies)
  (a)
10,457
793,163
LivaNova PLC (Health Care Equip. & Supplies)
  (a)
8,611
547,315
Masimo Corp. (Health Care Equip. & Supplies)
  (a)
7,200
1,280,664
Medpace Holdings, Inc. (Life Sciences Tools &
Svs.)
  (a)
3,536
1,697,952
Neurocrine Biosciences, Inc. (Biotechnology)
  (a)
15,827
2,085,049
Option Care Health, Inc. (Health Care Providers
& Svs.)
  (a)
25,031
673,835
Penumbra, Inc. (Health Care Equip. &
Supplies)
  (a)
6,186
2,031,297
Repligen Corp. (Life Sciences Tools & Svs.)
  (a)
8,344
983,090
Roivant Sciences Ltd. (Biotechnology)
  (a)
71,103
1,969,553
Sotera Health Co. (Life Sciences Tools & Svs.)
  (a)
36,736
526,794
Tenet Healthcare Corp. (Health Care Providers
& Svs.)
  (a)
13,859
2,615,332
United Therapeutics Corp. (Biotechnology)
  (a)
6,790
4,026,334
 
 
44,943,118
Industrials25.5%
 
AAON, Inc. (Building Products)
 
10,671
883,025
Acuity, Inc. (Electrical Equip.)
 
4,804
1,346,177
Advanced Drainage Systems, Inc.
(Building Products)
 
11,301
1,549,706
AECOM (Construction & Engineering)
 
20,388
1,729,310
AeroVironment, Inc. (Aerospace & Defense)
  (a)
5,016
918,179
AGCO Corp. (Machinery)
 
9,476
1,097,984
Alaska Air Group, Inc. (Passenger Airlines)
  (a)
18,078
664,909
American Airlines Group, Inc.
(Passenger Airlines)
  (a)
104,126
1,118,313
API Group Corp. (Construction & Engineering)
  (a)
60,508
2,451,784
Applied Industrial Technologies, Inc. (Trading
Companies & Distributors)
 
5,882
1,560,612
ATI, Inc. (Aerospace & Defense)
  (a)
21,425
3,116,481
52
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P MidCap 400® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
Avis Budget Group, Inc.
(Ground Transportation)
  (a)
2,664
$388,544
Booz Allen Hamilton Holding Corp.
(Professional Svs.)
 
19,017
1,483,897
Brink's Co. / The (Commercial Svs. & Supplies)
 
6,552
678,984
BWX Technologies, Inc. (Aerospace &
Defense)
 
14,418
2,948,337
CACI International, Inc. Class A
(Professional Svs.)
  (a)
3,483
1,894,299
Carlisle Cos., Inc. (Building Products)
 
6,433
2,146,177
Carpenter Technology Corp. (Aerospace &
Defense)
 
7,855
3,096,048
Chart Industries, Inc. (Machinery)
  (a)
7,089
1,465,651
Clean Harbors, Inc. (Commercial Svs. &
Supplies)
  (a)
7,920
2,270,902
CNH Industrial N.V. (Machinery)
 
139,552
1,535,072
Concentrix Corp. (Professional Svs.)
 
6,897
188,702
Core & Main, Inc. Class A (Trading Companies
& Distributors)
  (a)
29,773
1,470,786
Crane Co. (Machinery)
 
7,720
1,320,120
Curtiss-Wright Corp. (Aerospace & Defense)
 
5,814
3,960,032
Donaldson Co., Inc. (Machinery)
 
18,188
1,543,616
Dycom Industries, Inc. (Construction &
Engineering)
  (a)
4,726
1,601,263
EnerSys (Electrical Equip.)
 
5,811
1,009,487
Esab Corp. (Machinery)
 
8,999
869,843
ExlService Holdings, Inc. (Professional Svs.)
  (a)
24,782
754,612
Exponent, Inc. (Professional Svs.)
 
7,867
513,322
Flowserve Corp. (Machinery)
 
20,032
1,472,552
Fluor Corp. (Construction & Engineering)
  (a)
25,418
1,185,750
Fortune Brands Innovations, Inc.
(Building Products)
 
18,945
738,287
FTI Consulting, Inc. (Professional Svs.)
  (a)
4,773
843,723
GATX Corp. (Trading Companies &
Distributors)
 
5,630
961,266
Genpact Ltd. (Professional Svs.)
 
24,982
930,580
Graco, Inc. (Machinery)
 
26,145
2,213,174
GXO Logistics, Inc. (Air Freight & Logistics)
  (a)
18,058
936,307
Hexcel Corp. (Aerospace & Defense)
 
11,964
968,247
ITT, Inc. (Machinery)
 
13,562
2,583,968
KBR, Inc. (Professional Svs.)
 
20,026
738,158
Kirby Corp. (Marine Transportation)
  (a)
8,547
1,135,725
Knight-Swift Transportation Holdings, Inc.
(Ground Transportation)
 
25,600
1,474,048
Kratos Defense & Security Solutions, Inc.
(Aerospace & Defense)
  (a)
29,113
2,052,758
Landstar System, Inc. (Ground Transportation)
 
5,371
861,025
Lincoln Electric Holdings, Inc. (Machinery)
 
8,677
2,161,267
MasTec, Inc. (Construction & Engineering)
  (a)
9,673
3,112,191
Maximus, Inc. (Professional Svs.)
 
8,602
551,388
Middleby Corp. / The (Machinery)
  (a)
7,308
968,895
Moog, Inc. Class A (Aerospace & Defense)
 
4,483
1,311,905
MSA Safety, Inc. (Commercial Svs. &
Supplies)
 
5,748
942,385
MSC Industrial Direct Co., Inc. Class A (Trading
Companies & Distributors)
 
7,216
665,820
Mueller Industries, Inc. (Machinery)
 
17,506
1,939,665
Nextpower, Inc. Class A (Electrical Equip.)
  (a)
23,414
2,822,558
nVent Electric PLC (Electrical Equip.)
 
25,446
3,009,753
Oshkosh Corp. (Machinery)
 
9,975
1,468,420
Owens Corning (Building Products)
 
12,961
1,402,639
Parsons Corp. (Professional Svs.)
  (a)
8,344
451,994
Paylocity Holding Corp. (Professional Svs.)
  (a)
6,882
743,531
RB Global, Inc. (Commercial Svs. & Supplies)
 
29,283
2,806,776
RBC Bearings, Inc. (Machinery)
  (a)
4,986
2,707,996
Regal Rexnord Corp. (Electrical Equip.)
 
10,471
1,960,799
Ryder System, Inc. (Ground Transportation)
 
6,217
1,272,682
Saia, Inc. (Ground Transportation)
  (a)
4,201
1,475,727
Science Applications International Corp.
(Professional Svs.)
 
7,116
675,451
Sensata Technologies Holding PLC
(Electrical Equip.)
 
22,973
809,109
Simpson Manufacturing Co., Inc.
(Building Products)
 
6,538
1,122,052
SPX Technologies, Inc. (Machinery)
  (a)
7,859
1,571,328
Common Stocks (Continued)
Shares
Value
Industrials (continued)
 
StandardAero, Inc. (Aerospace & Defense)
  (a)
29,907
$772,498
Sterling Infrastructure, Inc. (Construction &
Engineering)
  (a)
4,844
1,972,816
Terex Corp. (Machinery)
 
17,930
1,059,663
Tetra Tech, Inc. (Commercial Svs. & Supplies)
 
41,128
1,238,775
Timken Co. / The (Machinery)
 
9,996
1,005,298
Toro Co. / The (Machinery)
 
15,372
1,436,360
TransUnion (Professional Svs.)
 
30,340
2,099,225
Trex Co., Inc. (Building Products)
  (a)
16,914
616,008
UFP Industries, Inc. (Building Products)
 
9,187
846,306
UL Solutions, Inc. Class A (Professional Svs.)
 
12,183
1,044,205
Valmont Industries, Inc. (Construction &
Engineering)
 
3,107
1,241,464
Vicor Corp. (Electrical Equip.)
  (a)
3,583
576,863
Watsco, Inc. (Trading Companies &
Distributors)
 
5,507
2,003,392
Watts Water Technologies, Inc. Class A
(Machinery)
 
4,325
1,255,504
WESCO International, Inc. (Trading Companies
& Distributors)
 
7,671
2,098,939
Woodward, Inc. (Aerospace & Defense)
 
9,401
3,364,806
XPO, Inc. (Ground Transportation)
  (a)
18,473
3,593,922
 
 
128,852,117
Information Technology12.2%
 
Advanced Energy Industries, Inc. (Electronic
Equip., Instr. & Comp.)
 
5,952
1,920,770
Allegro MicroSystems, Inc. (Semiconductors &
Equip.)
  (a)
19,577
617,263
Amkor Technology, Inc. (Semiconductors &
Equip.)
 
17,940
807,838
Appfolio, Inc. Class A (Software)
  (a)
3,838
605,713
Arrow Electronics, Inc. (Electronic Equip., Instr.
& Comp.)
  (a)
8,056
1,155,311
Avnet, Inc. (Electronic Equip., Instr. & Comp.)
 
12,909
795,453
Belden, Inc. (Electronic Equip., Instr. & Comp.)
 
6,197
711,602
Bentley Systems, Inc. Class B (Software)
 
23,485
824,793
BILL Holdings, Inc. (Software)
  (a)
13,889
531,949
Blackbaud, Inc. (Software)
  (a)
5,645
217,953
Cirrus Logic, Inc. (Semiconductors & Equip.)
  (a)
8,044
1,163,323
Cognex Corp. (Electronic Equip., Instr. &
Comp.)
 
26,131
1,280,158
Commvault Systems, Inc. (Software)
  (a)
6,934
540,089
Crane NXT Co. (Electronic Equip., Instr. &
Comp.)
 
7,787
316,074
Docusign, Inc. (Software)
  (a)
31,582
1,497,303
Dolby Laboratories, Inc. Class A (Software)
 
9,601
576,636
Dropbox, Inc. Class A (Software)
  (a)
27,506
624,936
Dynatrace, Inc. (Software)
  (a)
47,033
1,739,280
Entegris, Inc. (Semiconductors & Equip.)
 
23,970
2,810,243
Everpure, Inc. Class A (Tech. Hardware,
Storage & Periph.)
  (a)
49,463
2,920,296
Fabrinet (Electronic Equip., Instr. & Comp.)
  (a)
5,650
2,946,588
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
57,980
3,795,371
Guidewire Software, Inc. (Software)
  (a)
13,407
2,005,151
InterDigital, Inc. (Software)
 
4,051
1,223,402
IPG Photonics Corp. (Electronic Equip., Instr. &
Comp.)
  (a)
3,986
456,756
Kyndryl Holdings, Inc. (IT Svs.)
  (a)
36,043
472,884
Lattice Semiconductor Corp. (Semiconductors
& Equip.)
  (a)
21,570
2,000,833
Littelfuse, Inc. (Electronic Equip., Instr. &
Comp.)
 
3,927
1,332,627
MACOM Technology Solutions Holdings, Inc.
(Semiconductors & Equip.)
  (a)
10,173
2,259,118
Manhattan Associates, Inc. (Software)
  (a)
9,438
1,256,387
MKS, Inc. (Semiconductors & Equip.)
 
10,592
2,434,148
Novanta, Inc. (Electronic Equip., Instr. &
Comp.)
  (a)
5,642
666,377
Nutanix, Inc. Class A (Software)
  (a)
42,641
1,620,784
Okta, Inc. (IT Svs.)
  (a)
26,723
2,103,367
Onto Innovation, Inc. (Semiconductors &
Equip.)
  (a)
7,830
1,605,698
Pegasystems, Inc. (Software)
 
14,395
612,651
Qualys, Inc. (Software)
  (a)
5,655
496,792
53
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P MidCap 400® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Rambus, Inc. (Semiconductors & Equip.)
  (a)
16,976
$1,460,445
Silicon Laboratories, Inc. (Semiconductors &
Equip.)
  (a)
5,197
1,081,756
SiTime Corp. (Semiconductors & Equip.)
  (a)
3,484
1,203,199
Synaptics, Inc. (Semiconductors & Equip.)
  (a)
6,108
427,804
TD SYNNEX Corp. (Electronic Equip., Instr. &
Comp.)
 
11,824
1,994,827
TTM Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
16,295
1,587,459
Twilio, Inc. Class A (IT Svs.)
  (a)
23,909
3,008,230
UiPath, Inc. Class A (Software)
  (a)
67,527
749,550
Universal Display Corp. (Semiconductors &
Equip.)
 
6,972
639,054
Vontier Corp. (Electronic Equip., Instr. &
Comp.)
 
22,330
792,045
 
 
61,890,286
Materials5.8%
 
Alcoa Corp. (Metals & Mining)
 
40,837
2,708,718
AptarGroup, Inc. (Containers & Packaging)
 
10,152
1,279,355
Ashland, Inc. (Chemicals)
 
7,216
401,282
Avient Corp. (Chemicals)
 
14,439
524,136
Axalta Coating Systems Ltd. (Chemicals)
  (a)
33,652
932,160
Cabot Corp. (Chemicals)
 
8,235
620,178
Cleveland-Cliffs, Inc. (Metals & Mining)
  (a)
89,948
760,061
Commercial Metals Co. (Metals & Mining)
 
17,489
1,074,349
Crown Holdings, Inc. (Containers &
Packaging)
 
17,676
1,772,019
Eagle Materials, Inc. (Construction Materials)
 
4,957
939,104
Graphic Packaging Holding Co. (Containers &
Packaging)
 
46,540
462,608
Greif, Inc. Class A (Containers & Packaging)
 
3,903
261,774
Hecla Mining Co. (Metals & Mining)
 
105,671
1,968,651
Knife River Corp. (Construction Materials)
  (a)
8,936
729,624
Louisiana-Pacific Corp. (Paper & Forest
Products)
 
9,994
727,064
MP Materials Corp. (Metals & Mining)
  (a)
21,241
1,025,091
NewMarket Corp. (Chemicals)
 
1,230
788,368
Olin Corp. (Chemicals)
 
17,914
532,583
Reliance, Inc. (Metals & Mining)
 
8,245
2,505,820
Royal Gold, Inc. (Metals & Mining)
 
12,777
3,251,619
RPM International, Inc. (Chemicals)
 
20,197
2,007,582
Scotts Miracle-Gro Co. / The (Chemicals)
 
7,048
428,589
Silgan Holdings, Inc. (Containers & Packaging)
 
13,831
536,643
Solstice Advanced Materials, Inc. (Chemicals)
 
25,034
1,906,589
Sonoco Products Co. (Containers &
Packaging)
 
15,554
841,316
Westlake Corp. (Chemicals)
 
5,259
614,356
 
 
29,599,639
Real Estate6.8%
 
Agree Realty Corp. (Retail REITs)
 
18,897
1,424,456
American Healthcare REIT, Inc. (Health Care
REITs)
 
27,977
1,319,395
American Homes 4 Rent Class A
(Residential REITs)
 
51,411
1,435,395
Brixmor Property Group, Inc. (Retail REITs)
 
48,348
1,392,422
CareTrust REIT, Inc. (Health Care REITs)
 
35,230
1,291,179
COPT Defense Properties (Office REITs)
 
17,815
545,139
Cousins Properties, Inc. (Office REITs)
 
26,490
597,879
CubeSmart (Specialized REITs)
 
35,960
1,317,934
EastGroup Properties, Inc. (Industrial REITs)
 
8,396
1,554,016
EPR Properties (Specialized REITs)
 
12,007
599,870
Equity LifeStyle Properties, Inc.
(Residential REITs)
 
30,567
1,907,992
Common Stocks (Continued)
Shares
Value
Real Estate (continued)
 
First Industrial Realty Trust, Inc.
(Industrial REITs)
 
20,898
$1,208,949
Gaming and Leisure Properties, Inc.
(Specialized REITs)
 
44,629
1,980,189
Healthcare Realty Trust, Inc. (Health Care
REITs)
 
55,012
934,654
Independence Realty Trust, Inc.
(Residential REITs)
 
37,350
556,142
Jones Lang LaSalle, Inc. (Real Estate Mgmt. &
Development)
  (a)
7,442
2,264,749
Kilroy Realty Corp. (Office REITs)
 
17,192
484,986
Kite Realty Group Trust (Retail REITs)
 
34,142
838,186
Lamar Advertising Co. Class A
(Specialized REITs)
 
13,698
1,734,989
National Storage Affiliates Trust
(Specialized REITs)
 
11,162
421,254
NNN REIT, Inc. (Retail REITs)
 
29,952
1,258,883
Omega Healthcare Investors, Inc. (Health Care
REITs)
 
46,610
2,042,450
Park Hotels & Resorts, Inc. (Hotel & Resort
REITs)
 
31,523
331,937
Rayonier, Inc. (Specialized REITs)
 
43,861
904,414
Rexford Industrial Realty, Inc.
(Industrial REITs)
 
36,305
1,188,263
Sabra Health Care REIT, Inc. (Health Care
REITs)
 
39,762
764,623
STAG Industrial, Inc. (Industrial REITs)
 
30,125
1,086,308
Vornado Realty Trust (Office REITs)
 
25,256
656,403
W.P. Carey, Inc. (Diversified REITs)
 
34,558
2,348,562
 
 
34,391,618
Utilities3.4%
 
Black Hills Corp. (Multi-Utilities)
 
11,902
826,118
Essential Utilities, Inc. (Water Utilities)
 
44,624
1,797,008
IDACORP, Inc. (Electric Utilities)
 
8,523
1,218,533
National Fuel Gas Co. (Gas Utilities)
 
14,985
1,407,991
New Jersey Resources Corp. (Gas Utilities)
 
15,903
873,393
Northwestern Energy Group, Inc.
(Multi-Utilities)
 
9,689
638,893
OGE Energy Corp. (Electric Utilities)
 
32,402
1,554,000
ONE Gas, Inc. (Gas Utilities)
 
9,462
814,962
Ormat Technologies, Inc. (Ind. Power &
Renewable Elec.)
 
9,585
1,072,753
Portland General Electric Co. (Electric Utilities)
 
17,739
936,087
Southwest Gas Holdings, Inc. (Gas Utilities)
 
10,131
880,384
Spire, Inc. (Gas Utilities)
 
9,319
843,742
Talen Energy Corp. (Ind. Power & Renewable
Elec.)
  (a)
7,205
2,300,052
TXNM Energy, Inc. (Electric Utilities)
 
15,459
903,733
UGI Corp. (Gas Utilities)
 
33,847
1,232,708
 
 
17,300,357
Total Common Stocks (Cost $438,248,695)
 
$503,449,449
U.S. Treasury Obligations0.0%
Rate
Maturity
Face Amount
Value
U.S. Treasury Bill
 (b)(c)
3.633%
05/14/2026
$205,000
$204,108
Total U.S. Treasury Obligations (Cost $204,116)
$204,108
Total Investments – 99.5% (Cost $438,452,811)
  (d)
$503,653,557
Other Assets in Excess of Liabilities – 0.5%
  (b)
2,598,564
Net Assets – 100.0%
$506,252,121

Percentages are stated as a percent of net assets.
Abbreviations:
 
REITs:
Real Estate Investment Trusts
54
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP S&P MidCap 400® Index Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Footnotes:
 
(a)
Non-income producing security.
(b)
Security is fully pledged, in addition to $41,973 of the Portfolio’s cash holdings, as collateral for the futures contracts outstanding at March 31, 2026. See also the
following Schedule of Open Futures Contracts.
(c)
Zero coupon bond. Rate disclosed is the current yield as of March 31, 2026
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P MidCap 400 Index - Long
10
June 18, 2026
$3,383,774
$3,396,500
$12,726
$95,500
Total Futures Contracts
 
 
$3,383,774
$3,396,500
$12,726
$95,500
The accompanying notes are an integral part of these financial statements.
55

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Growth Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks98.4%
Shares
Value
Communication Services12.1%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
50,003
$14,378,863
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
44,282
12,702,735
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
25,785
14,752,372
Netflix, Inc. (Entertainment)
  (a)
72,207
6,942,703
Spotify Technology SA (Entertainment)
  (a)
3,208
1,555,591
 
 
50,332,264
Consumer Discretionary13.1%
 
Airbnb, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
8,626
1,089,291
Amazon.com, Inc. (Broadline Retail)
  (a)
95,435
19,876,247
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
801
3,372,466
Carnival Corp. (Hotels, Restaurants & Leisure)
 
27,745
718,041
Chipotle Mexican Grill, Inc. (Hotels,
Restaurants & Leisure)
  (a)
40,441
1,294,516
Coupang, Inc. (Broadline Retail)
  (a)
39,595
747,554
DoorDash, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
4,788
718,918
Garmin Ltd. (Household Durables)
 
4,688
1,087,663
Home Depot, Inc. / The (Specialty Retail)
 
8,436
2,774,516
MercadoLibre, Inc. (Broadline Retail)
  (a)
699
1,208,585
NVR, Inc. (Household Durables)
  (a)
85
560,136
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
12,739
1,175,937
Tesla, Inc. (Automobiles)
  (a)
37,625
13,987,094
TJX Cos., Inc. / The (Specialty Retail)
 
26,153
4,176,634
Viking Holdings Ltd. (Hotels, Restaurants &
Leisure)
  (a)
19,426
1,427,423
 
 
54,215,021
Consumer Staples2.5%
 
Coca-Cola Co. / The (Beverages)
 
20,375
1,549,519
Costco Wholesale Corp. (Consumer Staples
Distribution & Retail)
 
8,943
8,911,073
 
 
10,460,592
Energy0.2%
 
Cheniere Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
3,642
1,033,454
Financials5.5%
 
American Express Co. (Consumer Finance)
 
2,668
807,017
Bank of America Corp. (Banks)
 
14,601
711,799
Blackstone, Inc. (Capital Markets)
 
8,192
941,998
Charles Schwab Corp. / The (Capital Markets)
 
31,617
2,971,366
Citigroup, Inc. (Banks)
 
4,764
540,285
Mastercard, Inc. Class A (Financial Services)
 
10,422
5,207,456
Morgan Stanley (Capital Markets)
 
7,844
1,290,887
NU Holdings Ltd. Class A (Banks)
  (a)
57,473
825,887
Travelers Cos., Inc. / The (Insurance)
 
3,156
920,542
Visa, Inc. (Financial Services)
 
28,503
8,614,747
 
 
22,831,984
Health Care8.3%
 
AbbVie, Inc. (Biotechnology)
 
29,061
6,320,477
Alnylam Pharmaceuticals, Inc.
(Biotechnology)
  (a)
2,023
669,350
Amgen, Inc. (Biotechnology)
 
5,564
1,957,694
Boston Scientific Corp. (Health Care Equip. &
Supplies)
  (a)
18,457
1,158,177
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
42,245
2,562,159
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
9,885
2,088,799
Eli Lilly & Co. (Pharmaceuticals)
 
11,743
10,800,859
Intuitive Surgical, Inc. (Health Care Equip. &
Supplies)
  (a)
6,063
2,794,982
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
McKesson Corp. (Health Care Providers &
Svs.)
 
2,242
$1,940,137
Natera, Inc. (Biotechnology)
  (a)
3,982
796,360
Stryker Corp. (Health Care Equip. & Supplies)
 
2,645
869,121
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
5,415
2,418,014
 
 
34,376,129
Industrials7.2%
 
3M Co. (Industrial Conglomerates)
 
15,906
2,310,028
Caterpillar, Inc. (Machinery)
 
1,534
1,086,778
Cintas Corp. (Commercial Svs. & Supplies)
 
10,861
1,837,030
Comfort Systems U.S.A., Inc. (Construction &
Engineering)
 
1,378
1,900,248
Copart, Inc. (Commercial Svs. & Supplies)
  (a)
27,136
900,915
GE Vernova, Inc. (Electrical Equip.)
 
4,154
3,626,027
General Electric Co. (Operating as "GE
Aerospace") (Aerospace & Defense)
 
17,037
4,834,590
Howmet Aerospace, Inc. (Aerospace &
Defense)
 
3,842
885,427
Lockheed Martin Corp. (Aerospace &
Defense)
 
1,375
831,036
MasTec, Inc. (Construction & Engineering)
  (a)
4,138
1,331,360
Parker-Hannifin Corp. (Machinery)
 
3,827
3,426,083
RTX Corp. (Aerospace & Defense)
 
4,594
886,183
Trane Technologies PLC (Building Products)
 
3,901
1,625,703
Uber Technologies, Inc.
(Ground Transportation)
  (a)
22,958
1,651,369
Veralto Corp. (Commercial Svs. & Supplies)
 
7,409
655,104
Vertiv Holdings Co. Class A (Electrical Equip.)
 
5,322
1,333,587
Waste Connections, Inc. (Commercial Svs. &
Supplies)
 
3,642
591,606
 
 
29,713,074
Information Technology49.1%
 
Adobe, Inc. (Software)
  (a)
10,551
2,564,737
Advanced Micro Devices, Inc.
(Semiconductors & Equip.)
  (a)
29,221
5,944,428
Amphenol Corp. Class A (Electronic Equip.,
Instr. & Comp.)
 
29,573
3,736,549
Analog Devices, Inc. (Semiconductors &
Equip.)
 
3,158
1,004,686
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
158,852
40,315,049
Applied Materials, Inc. (Semiconductors &
Equip.)
 
7,363
2,516,600
AppLovin Corp. Class A (Software)
  (a)
2,240
891,520
Arista Networks, Inc. (Communications Equip.)
  (a)
22,327
2,741,309
Autodesk, Inc. (Software)
  (a)
5,998
1,435,921
Broadcom, Inc. (Semiconductors & Equip.)
 
70,026
21,673,747
Cadence Design Systems, Inc. (Software)
  (a)
5,492
1,526,062
Cloudflare, Inc. Class A (IT Svs.)
  (a)
4,113
848,676
Crowdstrike Holdings, Inc. Class A (Software)
  (a)
4,370
1,706,092
Dell Technologies, Inc. Class C (Tech.
Hardware, Storage & Periph.)
 
8,460
1,388,540
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
18,835
1,232,939
Fortinet, Inc. (Software)
  (a)
8,327
680,483
GLOBALFOUNDRIES, Inc. (Semiconductors &
Equip.)
  (a)
20,898
929,543
Intuit, Inc. (Software)
 
4,643
2,007,540
KLA Corp. (Semiconductors & Equip.)
 
1,722
2,535,490
Lam Research Corp. (Semiconductors &
Equip.)
 
31,117
6,648,458
Manhattan Associates, Inc. (Software)
  (a)
5,019
668,129
Marvell Technology, Inc. (Semiconductors &
Equip.)
 
8,748
866,489
Micron Technology, Inc. (Semiconductors &
Equip.)
 
2,746
927,709
Microsoft Corp. (Software)
 
88,202
32,649,734
56
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP BlackRock Advantage Large Cap Growth Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Monolithic Power Systems, Inc.
(Semiconductors & Equip.)
 
692
$756,598
Motorola Solutions, Inc.
(Communications Equip.)
 
4,488
1,947,657
NVIDIA Corp. (Semiconductors & Equip.)
 
242,399
42,274,385
Oracle Corp. (Software)
 
27,828
4,093,777
Palantir Technologies, Inc. Class A (Software)
  (a)
34,581
5,058,509
Palo Alto Networks, Inc. (Software)
  (a)
15,017
2,407,526
QUALCOMM, Inc. (Semiconductors & Equip.)
 
15,559
2,003,688
Salesforce, Inc. (Software)
 
5,952
1,111,060
ServiceNow, Inc. (Software)
  (a)
23,410
2,447,516
Snowflake, Inc. (IT Svs.)
  (a)
5,740
865,707
Synopsys, Inc. (Software)
  (a)
2,630
1,042,742
TE Connectivity PLC (Electronic Equip., Instr. &
Comp.)
 
4,071
850,920
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
7,269
1,411,204
 
 
203,711,719
Common Stocks (Continued)
Shares
Value
Materials0.4%
 
Freeport-McMoRan, Inc. (Metals & Mining)
 
25,098
$1,475,260
Total Common Stocks (Cost $347,331,334)
 
$408,149,497
Total Investments – 98.4% (Cost $347,331,334)
  (b)
$408,149,497
Other Assets in Excess of Liabilities – 1.6%
  (c)
6,457,087
Net Assets – 100.0%
$414,606,584

Percentages are stated as a percent of net assets.
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(c)
Includes $480,436 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini Nasdaq-100 Index - Long
13
June 18, 2026
$6,425,478
$6,217,900
$(207,578
)
$186,215
Total Futures Contracts
 
 
$6,425,478
$6,217,900
$(207,578
)
$186,215
The accompanying notes are an integral part of these financial statements.
57

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Dynamic Risk Balanced Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Exchange Traded Funds70.6%
Shares
Value
Invesco QQQ Trust Series 1 ETF
 
50,026
$28,874,007
iShares Core S&P 500 ETF
 
449,240
293,448,060
iShares Core S&P Total U.S. Stock Market ETF
 
577,000
82,182,110
iShares MBS ETF
 
495,924
47,087,984
Vanguard Intermediate-Term Corporate Bond ETF
 
1,532,125
126,783,344
Vanguard Intermediate-Term Treasury ETF
 
139,000
8,277,450
Vanguard S&P 500 ETF
 
567,000
338,810,850
Vanguard Total Stock Market ETF
 
264,000
84,693,840
Total Exchange Traded Funds (Cost $968,138,309)
 
$1,010,157,645
Asset-Backed Securities11.5%
Rate
Maturity
Face Amount
Value
Financials11.5%
 
 
 
AGL CLO 2021-12A A1R
  (a)
TSFR3M + 121
10/20/2038
$8,000,000
$7,990,253
Aimco CLO 2023-20A A1R
  (a)
TSFR3M + 121
10/16/2038
8,000,000
7,991,660
Apidos CLO XXXIX Ltd. 2022-39A A1R
  (a)
TSFR3M + 123
10/21/2038
8,000,000
7,986,434
Ares LVII CLO Ltd. 2020-57A A1R2
  (a)
TSFR3M + 123
10/25/2038
8,000,000
7,991,582
Ballyrock CLO 2019-2A A1R3
  (a)
TSFR3M + 124
10/25/2038
8,000,000
7,996,000
Benefit Street Partners CLO 44 Ltd. 2025-44A A1
  (a)
TSFR3M + 122
01/15/2039
8,000,000
7,991,040
Carlyle U.S. CLO 2025-7A A1
  (a)
TSFR3M + 121
01/25/2039
8,000,000
7,969,662
Cayuga Park CLO Ltd. 2020-1A AR2
  (a)
TSFR3M + 120
10/17/2038
8,000,000
7,980,051
CIFC Funding 2021-2A A1R
  (a)
TSFR3M + 120
01/15/2039
8,000,000
7,984,234
Dryden 2025-120A A1
  (a)
TSFR3M + 122
01/15/2039
8,000,000
7,970,459
HPS Loan Management 15 2019-15A A1R2
  (a)
TSFR3M + 124
10/22/2038
8,000,000
7,983,557
Invesco CLO 2021-1A A1
  (a)
TSFR3M + 126
04/15/2034
1,700,000
1,700,531
KKR Financial CLO 2013-1A A1R3
  (a)
TSFR3M + 125
10/15/2038
8,000,000
7,992,000
Madison Park Funding XLVIII Ltd. 2021-48A AR
  (a)
TSFR3M + 122
01/19/2039
8,000,000
7,980,001
Midocean Credit Clo XX 2025-20A A1
  (a)
TSFR3M + 123
01/20/2039
8,000,000
7,990,952
NMEF Funding 2024-A LLC
  (a)
5.150%
12/15/2031
473,499
475,782
OHA Credit Funding 16-R Ltd. 2023-16RA A1
  (a)
TSFR3M + 120
10/20/2038
8,000,000
7,991,626
Onemain Direct Auto Receivables Trust 2022-1A C
  (a)
5.310%
06/14/2029
1,100,000
1,101,690
Orion Clo 2023-1A A1R
  (a)
TSFR3M + 122
10/25/2038
8,000,000
7,968,018
Pagaya AI Debt Grantor Trust 2024-9 B
  (a)
5.306%
03/15/2032
549,962
550,894
Regatta XIX Funding Ltd. 2022-1A A1R
  (a)
TSFR3M + 124
10/20/2038
8,000,000
7,999,683
TCW CLO 2025-2A A
  (a)
TSFR3M + 124
01/15/2039
8,000,000
7,987,100
Trinitas CLO XXXVII Ltd. 2025-37A A1
  (a)
TSFR3M + 122
01/22/2039
8,000,000
7,969,175
Voya CLO 2023-1A A1R
  (a)
TSFR3M + 121
01/20/2039
8,000,000
7,991,340
Total Asset-Backed Securities (Cost $163,785,850)
 
 
 
$163,533,724
Corporate Bonds9.1%
Rate
Maturity
Face Amount
Value
Communication Services0.2%
 
 
 
Meta Platforms, Inc. (Interactive Media & Svs.)
 
5.625%
11/15/2055
$1,000,000
$937,390
NTT Finance Corp. (Diversified Telecom. Svs.)
  (a)
5.502%
07/16/2035
1,740,000
1,764,760
 
 
 
 
2,702,150
Consumer Discretionary0.4%
 
 
 
Ford Motor Co. (Automobiles)
 
3.250%
02/12/2032
1,145,000
994,491
Jaguar Land Rover Automotive PLC (Automobiles)
  (a)
5.500%
07/15/2029
1,227,000
1,193,465
Mattel, Inc. (Leisure Products)
  (a)
5.875%
12/15/2027
1,578,000
1,577,925
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
 
5.250%
02/27/2038
950,000
903,749
Sekisui House U.S., Inc. (Household Durables)
 
6.000%
01/15/2043
1,150,000
1,048,686
 
 
 
 
5,718,316
Consumer Staples0.3%
 
 
 
Altria Group, Inc. (Tobacco)
 
3.400%
05/06/2030
734,000
701,425
Imperial Brands Finance PLC (Tobacco)
  (a)
5.625%
07/01/2035
1,500,000
1,512,673
JBS N.V. / JBS U.S.A. Foods Group Holdings, Inc. / JBS U.S.A. Food Co. Holdings
(Food Products)
 
6.375%
04/15/2066
1,700,000
1,668,145
Pilgrim's Pride Corp. (Food Products)
 
4.250%
04/15/2031
1,000,000
955,216
 
 
 
 
4,837,459
Energy1.0%
 
 
 
APA Corp. (Oil, Gas & Consumable Fuels)
 
4.250%
01/15/2030
1,850,000
1,820,707
Chevron Phillips Chemical Co. LLC / Chevron Phillips Chemical Co. LP (Oil, Gas & Consumable
Fuels)
  (a)
4.750%
05/15/2030
2,000,000
2,002,867
Continental Resources, Inc. (Oil, Gas & Consumable Fuels)
  (a)
5.750%
01/15/2031
1,132,000
1,153,690
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
5.600%
09/01/2034
1,183,000
1,205,672
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
5.700%
04/01/2035
2,000,000
2,054,062
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
6.300%
01/15/2056
1,000,000
984,687
58
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Dynamic Risk Balanced Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Energy (continued)
 
 
 
EQT Corp. (Oil, Gas & Consumable Fuels)
  (a)
3.625%
05/15/2031
$1,224,000
$1,141,422
Plains All American Pipeline LP / PAA Finance Corp. (Oil, Gas & Consumable Fuels)
 
5.700%
09/15/2034
1,189,000
1,214,522
Suncor Energy, Inc. (Oil, Gas & Consumable Fuels)
 
6.800%
05/15/2038
848,000
926,573
Western Midstream Operating LP (Oil, Gas & Consumable Fuels)
 
5.500%
12/15/2035
750,000
737,575
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.950%
03/15/2056
1,000,000
984,185
 
 
 
 
14,225,962
Financials5.5%
 
 
 
Apollo Debt Solutions BDC (Capital Markets)
 
6.700%
07/29/2031
5,000,000
5,058,390
Ares Capital Corp. (Capital Markets)
 
5.250%
04/12/2031
1,200,000
1,160,027
Aviation Capital Group LLC (Financial Services)
  (a)
1.950%
09/20/2026
2,008,000
1,984,120
Avolon Holdings Funding Ltd. (Financial Services)
  (a)
4.900%
10/10/2030
4,000,000
3,972,132
Banco Santander SA (Rate is fixed until 03/24/2027, then H15T1Y + 200) (Banks)
  (b)
4.175%
03/24/2028
1,800,000
1,792,070
Bank of America Corp. (Rate is fixed until 04/29/2030, then SOFR + 215) (Banks)
  (b)
2.592%
04/29/2031
1,441,000
1,331,247
Barclays PLC (Rate is fixed until 02/24/2036, then SOFR + 151) (Banks)
  (b)
5.207%
02/24/2037
500,000
483,893
Blackstone Private Credit Fund (Capital Markets)
 
6.000%
01/29/2032
2,000,000
1,939,557
Canadian Imperial Bank of Commerce (Rate is fixed until 07/28/2031, then H15T5Y + 273)
(Banks)
  (b)
6.500%
07/28/2086
2,000,000
1,954,946
Capital One Financial Corp. (Rate is fixed until 01/30/2031, then SOFR + 115)
(Consumer Finance)
  (b)
4.722%
01/30/2032
2,000,000
1,969,668
Carlyle Secured Lending, Inc. (Capital Markets)
 
6.750%
02/18/2030
1,000,000
990,804
Charles Schwab Corp. / The (Rate is fixed until 11/14/2035, then SOFR + 123) (Capital Markets)
  (b)
4.914%
11/14/2036
750,000
729,011
Citigroup, Inc. (Rate is fixed until 09/19/2029, then SOFR + 134) (Banks)
  (b)
4.542%
09/19/2030
1,191,000
1,186,868
Fifth Third Bancorp (Rate is fixed until 04/29/2031, then SOFR + 95) (Banks)
  (b)
4.566%
04/29/2032
1,000,000
980,251
Fifth Third Bank N.A. (Rate is fixed until 08/25/2032, then SOFR + 261) (Banks)
  (b)
5.332%
08/25/2033
1,500,000
1,502,653
First Citizens BancShares, Inc. (Rate is fixed until 09/05/2030, then H15T5Y + 185) (Banks)
  (b)
5.600%
09/05/2035
4,000,000
3,909,499
General Motors Financial Co., Inc. (Consumer Finance)
 
5.750%
02/08/2031
1,200,000
1,238,186
Goldman Sachs Group, Inc. / The (Rate is fixed until 04/22/2031, then SOFR + 128)
(Capital Markets)
  (b)
2.615%
04/22/2032
1,344,000
1,207,252
Goldman Sachs Private Credit Corp. (Capital Markets)
  (a)
6.250%
05/06/2030
4,000,000
3,951,465
Goldman Sachs Private Credit Corp. (Capital Markets)
  (a)
5.875%
01/31/2031
1,000,000
970,199
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.150%
04/02/2029
2,000,000
1,943,299
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.650%
04/02/2031
2,000,000
1,918,590
ING Groep N.V. (Rate is fixed until 11/16/2032, then USISSO05 + 359) (Banks)
  (b)
7.000%
Perpetual
2,000,000
1,997,085
JPMorgan Chase & Co. (Rate is fixed until 01/25/2032, then SOFR + 126) (Banks)
  (b)
2.963%
01/25/2033
1,682,000
1,525,948
JPMorgan Chase & Co. (Rate is fixed until 10/22/2035, then SOFR + 119) (Banks)
  (b)
4.810%
10/22/2036
1,500,000
1,456,448
LPL Holdings, Inc. (Capital Markets)
 
5.200%
03/15/2030
1,500,000
1,510,992
M&T Bank Corp. (Rate is fixed until 07/30/2030, then H15T5Y + 143) (Banks)
  (b)
5.400%
07/30/2035
2,000,000
1,993,567
Main Street Capital Corp. (Capital Markets)
 
6.950%
03/01/2029
3,000,000
3,086,746
MetLife, Inc. (Rate is fixed until 03/15/2036, then H15T5Y + 182) (Insurance)
  (b)
5.850%
03/15/2056
1,000,000
981,492
MSD Investment Corp. (Capital Markets)
 
6.250%
05/31/2030
3,000,000
2,932,970
Nationwide Building Society (Financial Services)
  (a)
4.000%
09/14/2026
1,299,000
1,295,480
Old National Bancorp (Rate is fixed until 02/15/2031, then TSFR3M + 220) (Banks)
  (b)
5.768%
02/15/2036
1,750,000
1,741,546
Pinnacle Bank (Rate is fixed until 01/15/2031, then H15T5Y + 230) (Banks)
  (b)
5.957%
01/15/2036
2,000,000
1,980,714
Santander Holdings U.S.A., Inc. (Rate is fixed until 01/06/2027, then SOFR + 125) (Banks)
  (b)
2.490%
01/06/2028
1,000,000
983,061
Santander U.K. Group Holdings PLC (Rate is fixed until 01/11/2027, then SOFR + 122) (Banks)
  (b)
2.469%
01/11/2028
1,374,000
1,351,396
Sixth Street Lending Partners (Capital Markets)
 
6.125%
07/15/2030
1,500,000
1,491,212
Societe Generale SA (Rate is fixed until 01/19/2027, then H15T1Y + 150) (Banks)
 (a)(b)
5.519%
01/19/2028
1,196,000
1,203,962
Synchrony Financial (Rate is fixed until 07/29/2035, then SOFR + 207) (Consumer Finance)
  (b)
6.000%
07/29/2036
2,000,000
1,972,646
Toronto-Dominion Bank / The (Rate is fixed until 10/31/2030, then H15T5Y + 272) (Banks)
  (b)
6.350%
10/31/2085
1,000,000
983,883
Truist Bank (Rate is fixed until 07/24/2027, then SOFR + 77) (Banks)
  (b)
4.420%
07/24/2028
2,750,000
2,749,857
Webster Financial Corp. (Rate is fixed until 09/11/2030, then H15T5Y + 213) (Banks)
  (b)
5.784%
09/11/2035
2,000,000
2,031,185
Willis North America, Inc. (Insurance)
 
5.150%
03/15/2036
800,000
779,074
Zions Bancorp N.A. (Rate is fixed until 02/09/2028, then SOFR + 106) (Banks)
  (b)
4.483%
02/09/2029
2,000,000
1,985,066
 
 
 
 
78,208,457
Health Care0.0%
 
 
 
Viatris, Inc. (Pharmaceuticals)
 
4.000%
06/22/2050
650,000
426,015
Industrials0.1%
 
 
 
Flowserve Corp. (Machinery)
 
2.800%
01/15/2032
1,001,000
883,593
Information Technology0.6%
 
 
 
CDW LLC / CDW Finance Corp. (Electronic Equip., Instr. & Comp.)
 
4.250%
04/01/2028
1,196,000
1,181,264
Kyndryl Holdings, Inc. (IT Svs.)
 
2.050%
10/15/2026
2,046,000
2,012,794
Oracle Corp. (Software)
 
2.950%
04/01/2030
1,796,000
1,639,455
Oracle Corp. (Software)
 
5.350%
05/04/2033
2,000,000
1,946,958
Oracle Corp. (Software)
 
3.900%
05/15/2035
1,039,000
879,644
59
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Dynamic Risk Balanced Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Information Technology (continued)
 
 
 
Salesforce, Inc. (Software)
 
5.200%
03/15/2033
$892,000
$890,477
Salesforce, Inc. (Software)
 
5.550%
03/15/2036
892,000
889,225
 
 
 
 
9,439,817
Materials0.2%
 
 
 
Anglo American Capital PLC (Metals & Mining)
  (a)
5.250%
03/19/2036
1,000,000
977,781
Corp. Nacional del Cobre de Chile (Metals & Mining)
  (a)
6.330%
01/13/2035
1,000,000
1,042,200
Westlake Corp. (Chemicals)
 
6.375%
11/15/2055
500,000
492,660
 
 
 
 
2,512,641
Real Estate0.5%
 
 
 
American Tower Corp. (Specialized REITs)
 
3.800%
08/15/2029
1,455,000
1,420,140
American Tower Corp. (Specialized REITs)
 
4.700%
12/15/2032
600,000
589,568
Cousins Properties LP (Office REITs)
 
4.875%
03/01/2033
750,000
722,077
Equinix, Inc. (Specialized REITs)
 
3.200%
11/18/2029
1,689,000
1,608,085
GLP Capital LP / GLP Financing II, Inc. (Specialized REITs)
 
3.250%
01/15/2032
1,468,000
1,308,682
Piedmont Operating Partnership LP (Office REITs)
 
5.625%
01/15/2033
1,500,000
1,457,628
 
 
 
 
7,106,180
Utilities0.3%
 
 
 
Dominion Energy, Inc. (Rate is fixed until 02/15/2031, then H15T5Y + 226) (Multi-Utilities)
  (b)
6.000%
02/15/2056
1,500,000
1,490,440
Entergy Corp. (Rate is fixed until 06/15/2036, then H15T5Y + 201) (Electric Utilities)
  (b)
6.100%
06/15/2056
500,000
493,466
PacifiCorp (Electric Utilities)
 
5.800%
04/15/2036
900,000
907,213
PG&E Corp. (Rate is fixed until 09/15/2031, then H15T5Y + 323) (Electric Utilities)
  (b)
6.850%
09/15/2056
1,500,000
1,482,193
 
 
 
 
4,373,312
Total Corporate Bonds (Cost $130,683,294)
 
 
 
$130,433,902
U.S. Treasury Obligations7.6%
Rate
Maturity
Face Amount
Value
U.S. Treasury Bond
 
3.250%
05/15/2042
$23,856,400
$19,657,301
U.S. Treasury Bond
 
4.000%
11/15/2042
1,722,000
1,558,208
U.S. Treasury Bond
 
3.875%
05/15/2043
5,624,900
4,985,287
U.S. Treasury Bond
 
4.375%
08/15/2043
2,998,200
2,829,903
U.S. Treasury Bond
 
4.750%
11/15/2043
4,140,100
4,090,289
U.S. Treasury Bond
 
2.250%
02/15/2052
14,868,400
8,960,534
U.S. Treasury Bond
 
4.625%
02/15/2055
33,000,000
31,475,039
U.S. Treasury Bond
 
4.750%
05/15/2055
26,900,000
26,192,824
U.S. Treasury Inflation Indexed Note
 
0.250%
07/15/2029
7,403,177
7,199,437
U.S. Treasury Note
 
4.125%
02/15/2036
1,500,000
1,476,563
Total U.S. Treasury Obligations (Cost $117,441,997)
 
 
 
$108,425,385
Preferred Securities0.6%
Rate
Quantity
Value
Financials0.6%
 
Bank of America Corp. DR (Rate is fixed until 07/26/2030, then H15T5Y + 235) (Banks)
  (b)
6.250%
4,000,000
$4,024,092
Citigroup, Inc. (Rate is fixed until 05/15/2031, then H15T5Y + 275) (Banks)
  (b)
6.500%
1,000,000
997,574
First Citizens BancShares, Inc. (Rate is fixed until 12/15/2030, then H15T5Y + 330) (Banks)
  (b)
7.000%
3,000,000
3,002,871
Wells Fargo & Co. (Rate is fixed until 06/15/2031, then H15T5Y + 234) (Banks)
  (b)
6.125%
1,000,000
1,003,764
Total Preferred Securities (Cost $9,000,000)
 
$9,028,301
Rights0.0%
Quantity
Value
Health Care0.0%
 
ABIOMED, Inc. CVR (Health Care Equip. & Supplies)
  (c)
4,357
$4,444
Total Rights (Cost $4,444)
 
$4,444
Total Investments – 99.4% (Cost $1,389,053,894)
  (d)
$1,421,583,401
Other Assets in Excess of Liabilities – 0.6%
  (e)
8,798,283
Net Assets – 100.0%
$1,430,381,684

Percentages are stated as a percent of net assets.
60
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Dynamic Risk Balanced Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Abbreviations:
 
CLO:
Collateralized Loan Obligation
CVR:
Contingent Value Right
DR:
Depositary Receipt
ETF:
Exchange Traded Fund
H15T1Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 1 Year, 3.680% at 3/31/2026
H15T5Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 5 Year, 3.920% at 3/31/2026
REITs:
Real Estate Investment Trusts
SOFR:
Secured Overnight Financing Rate, 3.680% at 3/31/2026
TSFR3M:
Quarterly CME Term Secured Overnight Financing Rate ("SOFR"), 3.682% at 3/31/2026
Footnotes:
 
(a)
Security exempt from registration under Regulation D of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,
normally to qualified buyers under Rule 144A. At March 31, 2026, the value of these securities totaled $193,139,754, or 13.5% of the Portfolio’s net assets.
(b)
Security is a fixed-then-variable rate instrument in which the coupon or dividend rate is fixed until a later specified date, then is adjusted periodically. Rates
stated, including interest rate caps and floors, if any, are those in effect at March 31, 2026.
(c)
Non-income producing security.
(d)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(e)
Includes $4,342,764 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Treasury Note - Long
402
June 18, 2026
$45,520,961
$44,640,844
$(880,115
)
$94,219
CBT U.S. Long Bond - Long
348
June 18, 2026
40,931,445
39,628,500
(1,302,945
)
130,500
CBT U.S. Ultra Bond - Long
172
June 18, 2026
20,663,250
20,048,750
(614,500
)
37,625
CME E-mini S&P 500 Index - Long
59
June 18, 2026
19,929,979
19,383,713
(546,266
)
538,375
 
 
 
$127,045,635
$123,701,807
$(3,343,826
)
$800,719
Short Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Ultra Bond - Short
250
June 18, 2026
$(29,011,270
)
$(28,378,906
)
$632,364
$(74,219
)
Total Futures Contracts
 
 
$98,034,365
$95,322,901
$(2,711,462
)
$726,500
The accompanying notes are an integral part of these financial statements.
61

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds36.3%
Rate
Maturity
Face Amount
Value
Communication Services1.5%
 
 
 
Alphabet, Inc. (Interactive Media & Svs.)
 
5.500%
02/15/2046
$1,000,000
$991,966
Alphabet, Inc. (Interactive Media & Svs.)
 
2.050%
08/15/2050
750,000
402,365
AT&T, Inc. (Diversified Telecom. Svs.)
 
5.375%
08/15/2035
800,000
810,389
AT&T, Inc. (Diversified Telecom. Svs.)
 
4.900%
11/01/2035
400,000
390,221
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.500%
08/15/2030
100,000
93,448
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.250%
02/01/2031
125,000
113,932
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.500%
06/01/2033
75,000
65,297
CCO Holdings LLC / CCO Holdings Capital Corp. (Media)
  (a)
4.250%
01/15/2034
75,000
64,162
Charter Communications Operating LLC / Charter Communications Operating Capital Corp.
(Media)
 
6.484%
10/23/2045
250,000
230,491
Comcast Corp. (Diversified Telecom. Svs.)
 
3.450%
02/01/2050
1,400,000
917,904
Discovery Global Holdings, Inc. (Media)
 
5.050%
03/15/2042
50,000
32,940
Lamar Media Corp. (Media)
 
4.875%
01/15/2029
25,000
24,702
Meta Platforms, Inc. (Interactive Media & Svs.)
 
4.450%
08/15/2052
630,000
495,597
Meta Platforms, Inc. (Interactive Media & Svs.)
 
5.550%
08/15/2064
300,000
269,627
Rogers Communications, Inc. (Wireless Telecom. Svs.)
 
4.500%
03/15/2042
315,000
265,635
Sirius XM Radio LLC (Media)
  (a)
3.875%
09/01/2031
150,000
136,188
Stagwell Global LLC (Media)
  (a)
5.625%
08/15/2029
25,000
23,801
T-Mobile U.S.A., Inc. (Wireless Telecom. Svs.)
 
5.050%
07/15/2033
285,000
286,974
T-Mobile U.S.A., Inc. (Wireless Telecom. Svs.)
 
3.300%
02/15/2051
500,000
327,240
Univision Communications, Inc. (Media)
  (a)
7.375%
06/30/2030
25,000
24,498
Univision Communications, Inc. (Media)
  (a)
9.375%
08/01/2032
25,000
25,765
Verizon Communications, Inc. (Diversified Telecom. Svs.)
 
5.000%
01/15/2036
145,000
141,997
Verizon Communications, Inc. (Diversified Telecom. Svs.)
 
4.000%
03/22/2050
600,000
453,055
Verizon Communications, Inc. (Diversified Telecom. Svs.)
 
5.875%
11/30/2055
115,000
111,858
Virgin Media Secured Finance PLC (Media)
  (a)
5.500%
05/15/2029
200,000
191,816
Vodafone Group PLC (Wireless Telecom. Svs.)
 
5.250%
05/30/2048
450,000
405,237
 
 
 
 
7,297,105
Consumer Discretionary1.0%
 
 
 
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
4.375%
01/15/2028
50,000
49,300
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
6.125%
06/15/2029
25,000
25,404
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
5.625%
09/15/2029
25,000
25,054
1011778 B.C. ULC / New Red Finance, Inc. (Hotels, Restaurants & Leisure)
  (a)
4.000%
10/15/2030
100,000
93,993
Adient Global Holdings Ltd. (Automobile Components)
  (a)
7.500%
02/15/2033
25,000
25,275
Advance Auto Parts, Inc. (Specialty Retail)
 
3.900%
04/15/2030
375,000
344,387
Amazon.com, Inc. (Broadline Retail)
 
2.500%
06/03/2050
900,000
525,390
Asbury Automotive Group, Inc. (Specialty Retail)
 
4.750%
03/01/2030
25,000
24,091
Asbury Automotive Group, Inc. (Specialty Retail)
  (a)
5.000%
02/15/2032
50,000
47,351
Beach Acquisition Bidco LLC (Textiles, Apparel & Luxury Goods)
 (a)(b)
10.000%, 10.750% PIK
07/15/2033
210,809
224,515
Belron U.K. Finance PLC (Specialty Retail)
  (a)
5.750%
10/15/2029
250,000
251,579
Boyd Gaming Corp. (Hotels, Restaurants & Leisure)
 
4.750%
12/01/2027
25,000
24,740
Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)
  (a)
7.000%
02/15/2030
25,000
25,309
Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)
  (a)
6.500%
02/15/2032
25,000
24,709
Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)
  (a)
6.000%
10/15/2032
50,000
46,000
Carnival Corp. (Hotels, Restaurants & Leisure)
  (a)
5.750%
03/15/2030
25,000
25,198
Champ Acquisition Corp. (Textiles, Apparel & Luxury Goods)
  (a)
8.375%
12/01/2031
50,000
52,406
Group 1 Automotive, Inc. (Specialty Retail)
  (a)
6.375%
01/15/2030
25,000
25,168
Hilton Domestic Operating Co., Inc. (Hotels, Restaurants & Leisure)
  (a)
3.625%
02/15/2032
50,000
45,434
Hilton Domestic Operating Co., Inc. (Hotels, Restaurants & Leisure)
  (a)
5.750%
09/15/2033
25,000
24,887
Home Depot, Inc. / The (Specialty Retail)
 
3.300%
04/15/2040
1,040,000
830,909
J.B. Poindexter & Co., Inc. (Automobile Components)
  (a)
8.750%
12/15/2031
50,000
50,679
MGM Resorts International (Hotels, Restaurants & Leisure)
 
6.500%
04/15/2032
100,000
100,826
Midwest Gaming Borrower LLC / Midwest Gaming Finance Corp. (Hotels, Restaurants &
Leisure)
  (a)
4.875%
05/01/2029
25,000
24,245
NCL Corp. Ltd. (Hotels, Restaurants & Leisure)
  (a)
6.250%
09/15/2033
25,000
24,258
NCL Finance Ltd. (Hotels, Restaurants & Leisure)
  (a)
6.125%
03/15/2028
25,000
25,215
Patrick Industries, Inc. (Automobile Components)
  (a)
6.375%
11/01/2032
50,000
49,997
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
  (a)
5.625%
09/30/2031
25,000
25,246
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
  (a)
6.250%
03/15/2032
50,000
51,119
Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)
 
5.250%
02/27/2038
950,000
903,749
Sally Holdings LLC / Sally Capital, Inc. (Specialty Retail)
 
6.750%
04/01/2032
50,000
51,183
SeaWorld Parks & Entertainment, Inc. (Hotels, Restaurants & Leisure)
  (a)
5.250%
08/15/2029
50,000
47,757
Six Flags Entertainment Corp. (Hotels, Restaurants & Leisure)
  (a)
7.250%
05/15/2031
25,000
24,070
Sodexo, Inc. (Hotels, Restaurants & Leisure)
  (a)
5.800%
08/15/2035
200,000
204,301
Station Casinos LLC (Hotels, Restaurants & Leisure)
  (a)
4.500%
02/15/2028
25,000
24,503
William Carter Co. / The (Textiles, Apparel & Luxury Goods)
  (a)
7.375%
02/15/2031
50,000
50,998
Wyndham Hotels & Resorts, Inc. (Hotels, Restaurants & Leisure)
  (a)
4.375%
08/15/2028
50,000
48,849
62
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Consumer Discretionary (continued)
 
 
 
Wyndham Hotels & Resorts, Inc. (Hotels, Restaurants & Leisure)
  (a)
5.625%
03/01/2033
$500,000
$491,989
Wynn Resorts Finance LLC / Wynn Resorts Capital Corp. (Hotels, Restaurants & Leisure)
  (a)
7.125%
02/15/2031
75,000
78,618
Yum! Brands, Inc. (Hotels, Restaurants & Leisure)
 
4.625%
01/31/2032
75,000
71,620
 
 
 
 
5,110,321
Consumer Staples2.0%
 
 
 
Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC (Consumer Staples
Distribution & Retail)
  (a)
6.250%
03/15/2033
25,000
25,168
Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC (Consumer Staples
Distribution & Retail)
  (a)
5.750%
03/31/2034
25,000
24,459
Altria Group, Inc. (Tobacco)
 
3.875%
09/16/2046
625,000
457,781
B.A.T. Capital Corp. (Tobacco)
 
4.540%
08/15/2047
650,000
527,756
Campbell's Company / The (Food Products)
 
4.750%
03/23/2035
270,000
248,570
Coca-Cola Europacific Partners PLC (Beverages)
  (a)
1.500%
01/15/2027
600,000
586,379
Coca-Cola Femsa S.A.B. de C.V. (Beverages)
 
2.750%
01/22/2030
750,000
703,344
Constellation Brands, Inc. (Beverages)
 
3.750%
05/01/2050
550,000
396,325
Edgewell Personal Care Co. (Personal Care Products)
  (a)
5.500%
06/01/2028
25,000
24,864
Energizer Holdings, Inc. (Household Products)
  (a)
4.375%
03/31/2029
50,000
47,576
Flowers Foods, Inc. (Food Products)
 
3.500%
10/01/2026
675,000
671,148
Flowers Foods, Inc. (Food Products)
 
2.400%
03/15/2031
185,000
156,471
Froneri Lux FinCo SARL (Food Products)
  (a)
6.000%
08/01/2032
200,000
194,978
Grupo Bimbo S.A.B. de C.V. (Food Products)
  (a)
4.875%
06/27/2044
925,000
831,463
Kenvue, Inc. (Personal Care Products)
 
5.050%
03/22/2028
360,000
365,494
Kenvue, Inc. (Personal Care Products)
 
4.900%
03/22/2033
300,000
302,414
Kraft Heinz Foods Co. (Food Products)
 
4.375%
06/01/2046
225,000
175,914
Kroger Co. / The (Consumer Staples Distribution & Retail)
 
3.950%
01/15/2050
375,000
278,758
Mars, Inc. (Food Products)
  (a)
5.200%
03/01/2035
370,000
373,523
Mars, Inc. (Food Products)
  (a)
5.700%
05/01/2055
200,000
195,014
Performance Food Group, Inc. (Consumer Staples Distribution & Retail)
  (a)
6.125%
09/15/2032
50,000
50,092
Philip Morris International, Inc. (Tobacco)
 
3.875%
08/21/2042
715,000
573,782
Post Holdings, Inc. (Food Products)
  (a)
6.250%
02/15/2032
25,000
25,258
Sysco Corp. (Consumer Staples Distribution & Retail)
 
4.400%
07/25/2031
2,000,000
1,939,711
Tyson Foods, Inc. (Food Products)
 
5.700%
03/15/2034
500,000
517,606
U.S. Foods, Inc. (Consumer Staples Distribution & Retail)
  (a)
4.625%
06/01/2030
50,000
48,685
U.S. Foods, Inc. (Consumer Staples Distribution & Retail)
  (a)
5.750%
04/15/2033
25,000
24,889
 
 
 
 
9,767,422
Energy1.9%
 
 
 
Antero Midstream Partners LP / Antero Midstream Finance Corp. (Oil, Gas & Consumable
Fuels)
  (a)
5.750%
01/15/2028
50,000
50,000
Antero Midstream Partners LP / Antero Midstream Finance Corp. (Oil, Gas & Consumable
Fuels)
  (a)
6.625%
02/01/2032
25,000
25,551
Antero Midstream Partners LP / Antero Midstream Finance Corp. (Oil, Gas & Consumable
Fuels)
  (a)
5.750%
07/01/2034
500,000
492,716
Archrock Partners LP / Archrock Partners Finance Corp. (Oil, Gas & Consumable Fuels)
  (a)
6.250%
04/01/2028
25,000
25,000
Ascent Resources Utica Holdings LLC / ARU Finance Corp. (Oil, Gas & Consumable Fuels)
  (a)
5.875%
06/30/2029
50,000
49,954
Ascent Resources Utica Holdings LLC / ARU Finance Corp. (Oil, Gas & Consumable Fuels)
  (a)
6.625%
07/15/2033
25,000
25,429
BP Capital Markets America, Inc. (Oil, Gas & Consumable Fuels)
 
3.588%
04/14/2027
400,000
397,495
Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)
 
5.000%
12/15/2029
175,000
177,685
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
3.078%
05/11/2050
475,000
319,958
CNX Midstream Partners LP (Oil, Gas & Consumable Fuels)
  (a)
4.750%
04/15/2030
100,000
95,074
CNX Resources Corp. (Oil, Gas & Consumable Fuels)
  (a)
7.250%
03/01/2032
50,000
51,523
Columbia Pipelines Holding Co. LLC (Oil, Gas & Consumable Fuels)
  (a)
5.681%
01/15/2034
425,000
434,868
Comstock Resources, Inc. (Oil, Gas & Consumable Fuels)
  (a)
6.750%
03/01/2029
100,000
98,703
Diamondback Energy, Inc. (Oil, Gas & Consumable Fuels)
 
6.250%
03/15/2053
100,000
101,138
Diamondback Energy, Inc. (Oil, Gas & Consumable Fuels)
 
5.750%
04/18/2054
290,000
274,265
Eastern Gas Transmission & Storage, Inc. (Oil, Gas & Consumable Fuels)
 
3.900%
11/15/2049
150,000
109,242
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
3.750%
05/15/2030
500,000
483,329
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
5.750%
02/15/2033
250,000
260,001
Energy Transfer LP (Oil, Gas & Consumable Fuels)
 
6.300%
01/15/2056
1,000,000
984,687
Eni SpA (Oil, Gas & Consumable Fuels)
  (a)
5.500%
05/15/2034
355,000
363,642
Eni SpA (Oil, Gas & Consumable Fuels)
  (a)
5.950%
05/15/2054
225,000
223,865
EQT Corp. (Oil, Gas & Consumable Fuels)
 
4.750%
01/15/2031
25,000
24,868
Hess Midstream Operations LP (Oil, Gas & Consumable Fuels)
  (a)
5.125%
06/15/2028
50,000
49,853
Hess Midstream Operations LP (Oil, Gas & Consumable Fuels)
  (a)
6.500%
06/01/2029
50,000
51,076
Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels)
 
3.250%
08/01/2050
220,000
142,886
Kodiak Gas Services LLC (Energy Equip. & Svs.)
  (a)
7.250%
02/15/2029
25,000
25,901
Kodiak Gas Services LLC (Energy Equip. & Svs.)
  (a)
6.500%
10/01/2033
50,000
50,540
Matador Resources Co. (Oil, Gas & Consumable Fuels)
  (a)
6.500%
04/15/2032
50,000
50,544
Matador Resources Co. (Oil, Gas & Consumable Fuels)
  (a)
6.250%
04/15/2033
25,000
25,024
63
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Energy (continued)
 
 
 
MPLX LP (Oil, Gas & Consumable Fuels)
 
4.950%
03/14/2052
$375,000
$311,310
Nabors Industries, Inc. (Energy Equip. & Svs.)
  (a)
9.125%
01/31/2030
25,000
26,250
Nabors Industries, Inc. (Energy Equip. & Svs.)
  (a)
7.625%
11/15/2032
25,000
25,591
Northriver Midstream Finance LP (Oil, Gas & Consumable Fuels)
  (a)
6.750%
07/15/2032
75,000
75,221
ONEOK, Inc. (Oil, Gas & Consumable Fuels)
 
6.625%
09/01/2053
275,000
282,203
Ovintiv, Inc. (Oil, Gas & Consumable Fuels)
 
7.100%
07/15/2053
275,000
297,286
Plains All American Pipeline LP / PAA Finance Corp. (Oil, Gas & Consumable Fuels)
 
5.150%
06/01/2042
475,000
426,215
Precision Drilling Corp. (Energy Equip. & Svs.)
  (a)
6.875%
01/15/2029
25,000
25,184
Rockies Express Pipeline LLC (Oil, Gas & Consumable Fuels)
  (a)
6.750%
03/15/2033
75,000
77,204
SM Energy Co. (Oil, Gas & Consumable Fuels)
 
6.500%
07/15/2028
25,000
25,065
Tallgrass Energy Partners LP / Tallgrass Energy Finance Corp. (Oil, Gas & Consumable Fuels)
  (a)
6.750%
03/15/2034
75,000
75,376
TGNR Intermediate Holdings LLC (Oil, Gas & Consumable Fuels)
  (a)
5.500%
10/15/2029
50,000
48,888
U.S.A. Compression Partners LP / U.S.A. Compression Finance Corp. (Energy Equip. & Svs.)
  (a)
7.125%
03/15/2029
75,000
76,738
U.S.A. Compression Partners LP / U.S.A. Compression Finance Corp. (Energy Equip. & Svs.)
  (a)
6.250%
10/01/2033
25,000
24,921
Venture Global Plaquemines LNG LLC (Oil, Gas & Consumable Fuels)
  (a)
7.500%
05/01/2033
50,000
54,960
Venture Global Plaquemines LNG LLC (Oil, Gas & Consumable Fuels)
  (a)
6.500%
01/15/2034
25,000
26,061
Venture Global Plaquemines LNG LLC (Oil, Gas & Consumable Fuels)
  (a)
7.750%
05/01/2035
25,000
28,019
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
3.750%
06/15/2027
675,000
669,891
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.150%
03/15/2034
225,000
225,289
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.600%
03/15/2035
275,000
281,037
Williams Cos., Inc. / The (Oil, Gas & Consumable Fuels)
 
5.950%
03/15/2056
1,000,000
984,185
 
 
 
 
9,531,711
Financials17.0%
 
 
 
Acrisure LLC / Acrisure Finance, Inc. (Financial Services)
  (a)
7.500%
11/06/2030
25,000
25,077
AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Financial Services)
 
5.000%
11/15/2035
250,000
241,487
AIA Group Ltd. (Insurance)
  (a)
4.950%
04/04/2033
260,000
266,180
Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer (Insurance)
  (a)
7.000%
01/15/2031
75,000
75,638
Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer (Insurance)
  (a)
7.375%
10/01/2032
75,000
74,284
American Express Co. (Consumer Finance)
 
3.300%
05/03/2027
775,000
768,477
AmWINS Group, Inc. (Insurance)
  (a)
6.375%
02/15/2029
50,000
50,290
AmWINS Group, Inc. (Insurance)
  (a)
4.875%
06/30/2029
50,000
47,898
Aon North America, Inc. (Insurance)
 
5.750%
03/01/2054
400,000
385,411
Apollo Debt Solutions BDC (Capital Markets)
  (a)
5.700%
01/23/2031
1,000,000
975,527
Ardonagh Group Finance Ltd. (Insurance)
  (a)
8.875%
02/15/2032
200,000
195,952
Ares Capital Corp. (Capital Markets)
 
5.250%
04/12/2031
375,000
362,509
Ares Strategic Income Fund (Capital Markets)
  (a)
5.550%
04/15/2031
1,000,000
957,977
Aviation Capital Group LLC (Financial Services)
  (a)
4.250%
04/30/2029
2,000,000
1,970,844
Azorra Finance Ltd. (Financial Services)
  (a)
6.250%
02/15/2034
1,500,000
1,392,136
Bain Capital Specialty Finance, Inc. (Capital Markets)
 
5.950%
03/01/2031
1,000,000
954,026
Baldwin Insurance Group Holdings LLC / Baldwin Insurance Group Holdings Finance, Inc.
(Insurance)
  (a)
7.125%
05/15/2031
75,000
75,380
Banco Bilbao Vizcaya Argentaria SA (Banks)
 
4.150%
03/03/2029
200,000
197,671
Banco BTG Pactual SA / Cayman Islands (Capital Markets)
  (a)
5.500%
01/27/2031
2,000,000
1,932,000
Bank of America Corp. (Rate is fixed until 04/29/2030, then SOFR + 215) (Banks)
  (c)
2.592%
04/29/2031
1,200,000
1,108,602
Bank of America Corp. (Rate is fixed until 04/22/2031, then SOFR + 132) (Banks)
  (c)
2.687%
04/22/2032
250,000
226,555
Bank of America Corp. (Rate is fixed until 04/25/2033, then SOFR + 191) (Banks)
  (c)
5.288%
04/25/2034
300,000
303,646
Bank of America Corp. (Rate is fixed until 01/24/2035, then SOFR + 131) (Banks)
  (c)
5.511%
01/24/2036
1,100,000
1,121,759
Bank of New York Mellon / The (Rate is fixed until 04/20/2028, then SOFR + 114)
(Capital Markets)
  (c)
4.729%
04/20/2029
350,000
352,489
Bank of New York Mellon Corp. / The (Rate is fixed until 06/13/2027, then SOFR + 115)
(Capital Markets)
  (c)
3.992%
06/13/2028
300,000
298,674
Blackstone Private Credit Fund (Capital Markets)
 
5.350%
03/12/2031
2,000,000
1,899,629
Blackstone Private Credit Fund (Capital Markets)
 
6.000%
01/29/2032
4,500,000
4,364,003
Blackstone Secured Lending Fund (Capital Markets)
 
5.250%
09/04/2029
1,000,000
979,772
Blue Owl Credit Income Corp. (Capital Markets)
 
5.800%
03/15/2030
3,000,000
2,892,704
Broadstreet Partners Group, Inc. (Insurance)
  (a)
5.875%
04/15/2029
175,000
170,548
Canadian Imperial Bank of Commerce (Rate is fixed until 07/28/2031, then H15T5Y + 273)
(Banks)
  (c)
6.500%
07/28/2086
1,200,000
1,172,967
Capital One Financial Corp. (Rate is fixed until 01/30/2031, then SOFR + 115)
(Consumer Finance)
  (c)
4.722%
01/30/2032
2,000,000
1,969,668
Citigroup, Inc. (Rate is fixed until 01/29/2030, then SOFR + 115) (Banks)
  (c)
2.666%
01/29/2031
1,300,000
1,205,995
Citigroup, Inc. (Rate is fixed until 02/13/2034, then SOFR + 206) (Banks)
  (c)
5.827%
02/13/2035
225,000
227,956
Citigroup, Inc. (Rate is fixed until 01/24/2035, then SOFR + 183) (Banks)
  (c)
6.020%
01/24/2036
300,000
306,279
Citizens Financial Group, Inc. (Rate is fixed until 01/29/2031, then H15T5Y + 145) (Banks)
  (c)
5.299%
01/29/2036
750,000
743,248
CNA Financial Corp. (Insurance)
 
5.500%
06/15/2033
600,000
608,424
Corebridge Global Funding (Financial Services)
  (a)
5.900%
09/19/2028
400,000
412,027
Daimler Truck Finance North America LLC (Consumer Finance)
  (a)
2.000%
12/14/2026
540,000
532,030
Daimler Truck Finance North America LLC (Consumer Finance)
  (a)
2.375%
12/14/2028
180,000
170,072
64
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Financials (continued)
 
 
 
Fidelity National Information Services, Inc. (Financial Services)
 
3.100%
03/01/2041
$305,000
$219,128
Fifth Third Bancorp (Rate is fixed until 04/29/2031, then SOFR + 95) (Banks)
  (c)
4.566%
04/29/2032
2,000,000
1,960,501
Fifth Third Bancorp (Rate is fixed until 04/25/2032, then SOFR + 166) (Banks)
  (c)
4.337%
04/25/2033
270,000
260,192
Fifth Third Financial Corp. (Rate is fixed until 01/30/2029, then SOFR + 216) (Banks)
  (c)
5.982%
01/30/2030
320,000
330,194
Fiserv, Inc. (Financial Services)
 
3.500%
07/01/2029
425,000
407,067
FNB Corp. (Rate is fixed until 12/11/2029, then SOFRINDX + 193) (Banks)
  (c)
5.722%
12/11/2030
350,000
352,174
Ford Motor Credit Co. LLC (Consumer Finance)
 
7.122%
11/07/2033
200,000
210,089
General Motors Financial Co., Inc. (Consumer Finance)
 
5.750%
02/08/2031
425,000
438,524
Global Payments, Inc. (Financial Services)
 
5.550%
11/15/2035
360,000
346,910
Goldman Sachs BDC, Inc. (Capital Markets)
 
5.650%
09/09/2030
2,000,000
1,922,390
Goldman Sachs Group, Inc. / The (Rate is fixed until 01/27/2031, then SOFR + 109)
(Capital Markets)
  (c)
1.992%
01/27/2032
250,000
219,408
Goldman Sachs Group, Inc. / The (Rate is fixed until 04/25/2034, then SOFR + 155)
(Capital Markets)
  (c)
5.851%
04/25/2035
250,000
259,418
Goldman Sachs Private Credit Corp. (Capital Markets)
  (a)
5.050%
02/23/2028
1,000,000
984,742
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.150%
04/02/2029
1,000,000
971,649
HPS Corporate Lending Fund (Capital Markets)
  (a)
5.650%
04/02/2031
625,000
599,560
HPS Corporate Lending Fund (Capital Markets)
 
5.950%
04/14/2032
1,250,000
1,207,706
HSBC Holdings PLC (Rate is fixed until 03/24/2036, then H15T5Y + 280) (Banks)
  (c)
7.000%
Perpetual
2,000,000
1,980,169
HUB International Ltd. (Insurance)
  (a)
5.625%
12/01/2029
200,000
194,009
HUB International Ltd. (Insurance)
  (a)
7.250%
06/15/2030
25,000
25,610
Huntington Bancshares, Inc. (Rate is fixed until 08/04/2027, then SOFR + 197) (Banks)
  (c)
4.443%
08/04/2028
450,000
449,674
Huntington Bancshares, Inc. (Rate is fixed until 02/02/2034, then SOFRINDX + 187) (Banks)
  (c)
5.709%
02/02/2035
275,000
280,614
Hyundai Capital America (Consumer Finance)
  (a)
5.300%
01/08/2029
675,000
684,238
Intesa Sanpaolo SpA (Rate is fixed until 06/01/2041, then H15T1Y + 275) (Banks)
 (a)(c)
4.950%
06/01/2042
1,600,000
1,340,004
Jefferies Finance LLC / JFIN Co-Issuer Corp. (Capital Markets)
  (a)
5.000%
08/15/2028
1,000,000
931,862
Jefferies Financial Group, Inc. (Capital Markets)
 
2.750%
10/15/2032
380,000
321,772
John Deere Capital Corp. (Consumer Finance)
 
2.800%
07/18/2029
630,000
602,197
Jones Deslauriers Insurance Management, Inc. (Insurance)
  (a)
8.500%
03/15/2030
50,000
50,821
JPMorgan Chase & Co. (Rate is fixed until 04/22/2030, then SOFR + 204) (Banks)
  (c)
2.522%
04/22/2031
1,025,000
947,210
JPMorgan Chase & Co. (Rate is fixed until 11/19/2030, then TSFR3M + 111) (Banks)
  (c)
1.764%
11/19/2031
100,000
87,788
JPMorgan Chase & Co. (Rate is fixed until 04/22/2031, then TSFR3M + 125) (Banks)
  (c)
2.580%
04/22/2032
100,000
90,366
JPMorgan Chase & Co. (Rate is fixed until 01/25/2032, then SOFR + 126) (Banks)
  (c)
2.963%
01/25/2033
200,000
181,445
JPMorgan Chase & Co. (Rate is fixed until 09/14/2032, then SOFR + 258) (Banks)
  (c)
5.717%
09/14/2033
300,000
310,611
JPMorgan Chase & Co. (Rate is fixed until 06/01/2033, then SOFR + 185) (Banks)
  (c)
5.350%
06/01/2034
400,000
408,114
JPMorgan Chase & Co. (Rate is fixed until 10/23/2033, then SOFR + 181) (Banks)
  (c)
6.254%
10/23/2034
100,000
107,521
JPMorgan Chase & Co. (Rate is fixed until 07/23/2035, then SOFR + 164) (Banks)
  (c)
5.576%
07/23/2036
350,000
354,447
JPMorgan Chase & Co. (Rate is fixed until 02/05/2036, then SOFR + 130) (Banks)
  (c)
5.193%
02/05/2037
3,000,000
2,947,998
KeyCorp (Rate is fixed until 03/06/2034, then SOFRINDX + 242) (Banks)
  (c)
6.401%
03/06/2035
350,000
371,085
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp. (Mortgage REIT)
  (a)
7.000%
07/15/2031
1,000,000
1,033,726
M&T Bank Corp. (Rate is fixed until 01/27/2033, then SOFR + 185) (Banks)
  (c)
5.053%
01/27/2034
495,000
488,925
M&T Bank Corp. (Rate is fixed until 01/16/2035, then SOFR + 161) (Banks)
  (c)
5.385%
01/16/2036
225,000
223,148
Marsh & McLennan Cos., Inc. (Insurance)
 
4.650%
03/15/2030
325,000
327,318
MetLife, Inc. (Insurance)
 
6.375%
06/15/2034
400,000
436,021
MetLife, Inc. (Rate is fixed until 03/15/2036, then H15T5Y + 182) (Insurance)
  (c)
5.850%
03/15/2056
2,000,000
1,962,984
Metropolitan Life Global Funding I (Insurance)
  (a)
5.150%
03/28/2033
230,000
232,274
Mitsubishi HC Finance America LLC (Financial Services)
  (a)
4.558%
01/14/2031
2,000,000
1,981,757
Morgan Stanley (Capital Markets)
 
6.250%
08/09/2026
275,000
276,881
Morgan Stanley (Rate is fixed until 01/24/2028, then TSFR3M + 140) (Capital Markets)
  (c)
3.772%
01/24/2029
425,000
419,306
Morgan Stanley (Rate is fixed until 02/13/2031, then SOFR + 103) (Capital Markets)
  (c)
1.794%
02/13/2032
295,000
255,452
Morgan Stanley (Rate is fixed until 04/28/2031, then SOFR + 102) (Capital Markets)
  (c)
1.928%
04/28/2032
250,000
216,704
Morgan Stanley (Rate is fixed until 04/21/2033, then SOFR + 187) (Capital Markets)
  (c)
5.250%
04/21/2034
195,000
195,609
Morgan Stanley (Rate is fixed until 07/21/2033, then SOFR + 188) (Capital Markets)
  (c)
5.424%
07/21/2034
100,000
101,466
Morgan Stanley (Rate is fixed until 01/18/2034, then SOFR + 173) (Capital Markets)
  (c)
5.466%
01/18/2035
140,000
142,313
Morgan Stanley (Rate is fixed until 01/18/2035, then SOFR + 142) (Capital Markets)
  (c)
5.587%
01/18/2036
200,000
203,905
Morgan Stanley (Rate is fixed until 10/22/2035, then SOFR + 131) (Capital Markets)
  (c)
4.892%
10/22/2036
125,000
120,838
Morgan Stanley (Rate is fixed until 04/20/2032, then SOFR + 262) (Capital Markets)
  (c)
5.297%
04/20/2037
3,000,000
2,992,701
MSD Investment Corp. (Capital Markets)
  (a)
6.125%
02/05/2031
1,500,000
1,454,599
Northern Trust Corp. (Capital Markets)
 
6.125%
11/02/2032
380,000
405,204
Old National Bancorp (Rate is fixed until 02/15/2031, then TSFR3M + 220) (Banks)
  (c)
5.768%
02/15/2036
1,750,000
1,741,546
Pacific Life Global Funding II (Insurance)
  (a)
4.900%
01/11/2029
700,000
707,538
Panther Escrow Issuer LLC (Insurance)
  (a)
7.125%
06/01/2031
100,000
100,336
PNC Financial Services Group, Inc. / The (Rate is fixed until 06/06/2032, then SOFRINDX + 185)
(Banks)
  (c)
4.626%
06/06/2033
630,000
612,363
PNC Financial Services Group, Inc. / The (Rate is fixed until 01/29/2035, then SOFR + 139)
(Banks)
  (c)
5.575%
01/29/2036
140,000
142,927
Prudential Financial, Inc. (Rate is fixed until 09/15/2027, then QL + 238) (Insurance)
  (c)
4.500%
09/15/2047
1,000,000
975,407
Prudential Financial, Inc. (Insurance)
 
3.700%
03/13/2051
650,000
465,345
Raymond James Financial, Inc. (Capital Markets)
 
4.900%
09/11/2035
100,000
97,385
65
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Financials (continued)
 
 
 
Regions Financial Corp. (Rate is fixed until 06/06/2029, then SOFR + 149) (Banks)
  (c)
5.722%
06/06/2030
$330,000
$338,429
Rocket Cos., Inc. (Financial Services)
  (a)
6.375%
08/01/2033
25,000
25,269
Rocket Mortgage LLC / Rocket Mortgage Co-Issuer, Inc. (Financial Services)
  (a)
3.625%
03/01/2029
50,000
47,350
Rocket Mortgage LLC / Rocket Mortgage Co-Issuer, Inc. (Financial Services)
  (a)
4.000%
10/15/2033
50,000
44,818
Ryan Specialty LLC (Insurance)
  (a)
4.375%
02/01/2030
50,000
48,439
Ryan Specialty LLC (Insurance)
  (a)
5.875%
08/01/2032
25,000
24,709
S&P Global, Inc. (Capital Markets)
 
2.900%
03/01/2032
390,000
355,645
Synchrony Financial (Rate is fixed until 02/25/2031, then SOFR + 153) (Consumer Finance)
  (c)
4.947%
02/25/2032
1,000,000
970,502
Texas Capital Bancshares, Inc. (Rate is fixed until 02/27/2031, then SOFR + 194) (Banks)
  (c)
5.301%
02/27/2032
1,000,000
985,955
Travelers Cos., Inc. / The (Insurance)
 
5.450%
05/25/2053
180,000
172,157
Truist Financial Corp. (Rate is fixed until 06/08/2033, then SOFR + 236) (Banks)
  (c)
5.867%
06/08/2034
150,000
156,289
U.S. Bancorp (Rate is fixed until 07/22/2032, then SOFR + 211) (Banks)
  (c)
4.967%
07/22/2033
500,000
494,540
U.S. Bancorp (Rate is fixed until 06/10/2033, then SOFR + 226) (Banks)
  (c)
5.836%
06/12/2034
200,000
208,746
United Wholesale Mortgage LLC (Financial Services)
  (a)
5.500%
04/15/2029
50,000
46,799
USI, Inc. (Insurance)
  (a)
7.500%
01/15/2032
150,000
151,974
UWM Holdings LLC (Financial Services)
  (a)
6.625%
02/01/2030
25,000
23,579
UWM Holdings LLC (Financial Services)
  (a)
6.250%
03/15/2031
25,000
22,767
Wells Fargo & Co. (Rate is fixed until 02/11/2030, then TSFR3M + 126) (Banks)
  (c)
2.572%
02/11/2031
525,000
485,614
Wells Fargo & Co. (Rate is fixed until 07/25/2032, then SOFR + 210) (Banks)
  (c)
4.897%
07/25/2033
550,000
547,187
Wells Fargo & Co. (Rate is fixed until 04/24/2033, then SOFR + 202) (Banks)
  (c)
5.389%
04/24/2034
150,000
152,246
Wells Fargo & Co. (Rate is fixed until 10/23/2033, then SOFR + 206) (Banks)
  (c)
6.491%
10/23/2034
200,000
216,551
Wells Fargo & Co. (Rate is fixed until 01/23/2034, then SOFR + 178) (Banks)
  (c)
5.499%
01/23/2035
200,000
203,590
Willis North America, Inc. (Insurance)
 
5.150%
03/15/2036
800,000
779,074
Zions Bancorp N.A. (Rate is fixed until 02/09/2028, then SOFR + 106) (Banks)
  (c)
4.483%
02/09/2029
4,000,000
3,970,132
 
 
 
 
84,159,357
Health Care2.3%
 
 
 
180 Medical, Inc. (Health Care Equip. & Supplies)
  (a)
5.300%
10/08/2035
200,000
196,061
Abbott Laboratories (Health Care Equip. & Supplies)
 
3.750%
11/30/2026
510,000
509,207
AbbVie, Inc. (Biotechnology)
 
4.875%
03/15/2030
400,000
407,979
AbbVie, Inc. (Biotechnology)
 
4.250%
11/21/2049
750,000
608,800
Aetna, Inc. (Health Care Providers & Svs.)
 
6.625%
06/15/2036
1,000,000
1,077,618
AHP Health Partners, Inc. (Health Care Providers & Svs.)
  (a)
5.750%
07/15/2029
75,000
74,169
Alcon Finance Corp. (Health Care Equip. & Supplies)
  (a)
2.600%
05/27/2030
400,000
369,970
Amgen, Inc. (Biotechnology)
 
5.250%
03/02/2033
265,000
271,950
Amgen, Inc. (Biotechnology)
 
3.375%
02/21/2050
500,000
351,852
Amgen, Inc. (Biotechnology)
 
5.650%
03/02/2053
165,000
159,809
AstraZeneca PLC (Pharmaceuticals)
 
3.125%
06/12/2027
810,000
802,145
Avantor Funding, Inc. (Health Care Equip. & Supplies)
  (a)
4.625%
07/15/2028
50,000
48,801
Becton Dickinson & Co. (Health Care Equip. & Supplies)
 
3.794%
05/20/2050
40,000
28,921
Biogen, Inc. (Biotechnology)
 
3.150%
05/01/2050
300,000
189,060
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
3.700%
03/15/2052
270,000
194,668
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
5.550%
02/22/2054
185,000
178,138
CVS Health Corp. (Health Care Providers & Svs.)
 
4.250%
04/01/2050
550,000
417,618
Danaher Corp. (Life Sciences Tools & Svs.)
 
2.600%
10/01/2050
820,000
490,043
Elevance Health, Inc. (Health Care Providers & Svs.)
 
4.750%
02/15/2033
380,000
374,203
Elevance Health, Inc. (Health Care Providers & Svs.)
 
5.000%
01/15/2036
250,000
244,910
GE HealthCare Technologies, Inc. (Health Care Equip. & Supplies)
 
6.377%
11/22/2052
255,000
270,836
HCA, Inc. (Health Care Providers & Svs.)
 
5.200%
06/01/2028
115,000
116,730
HCA, Inc. (Health Care Providers & Svs.)
 
3.500%
07/15/2051
600,000
397,112
HCA, Inc. (Health Care Providers & Svs.)
 
6.000%
04/01/2054
110,000
106,172
HealthEquity, Inc. (Health Care Providers & Svs.)
  (a)
4.500%
10/01/2029
75,000
72,562
IQVIA, Inc. (Life Sciences Tools & Svs.)
  (a)
6.250%
06/01/2032
50,000
50,775
Medline Borrower LP (Health Care Equip. & Supplies)
  (a)
3.875%
04/01/2029
25,000
24,184
Medline Borrower LP (Health Care Equip. & Supplies)
  (a)
5.250%
10/01/2029
150,000
148,679
Opal Bidco SAS (Pharmaceuticals)
  (a)
6.500%
03/31/2032
200,000
200,193
Pfizer Investment Enterprises Pte Ltd. (Pharmaceuticals)
 
4.750%
05/19/2033
350,000
348,667
Pfizer Investment Enterprises Pte Ltd. (Pharmaceuticals)
 
5.300%
05/19/2053
275,000
255,577
Raven Acquisition Holdings LLC (Health Care Providers & Svs.)
  (a)
6.875%
11/15/2031
50,000
48,203
Regeneron Pharmaceuticals, Inc. (Biotechnology)
 
2.800%
09/15/2050
527,000
318,982
Select Medical Corp. (Health Care Providers & Svs.)
  (a)
6.250%
12/01/2032
75,000
71,482
Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals)
 
2.050%
03/31/2030
350,000
318,012
Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals)
 
3.025%
07/09/2040
400,000
300,805
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
4.625%
06/15/2028
50,000
49,552
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
6.125%
10/01/2028
17,000
17,040
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
4.250%
06/01/2029
25,000
24,241
Tenet Healthcare Corp. (Health Care Providers & Svs.)
 
6.750%
05/15/2031
25,000
25,553
UnitedHealth Group, Inc. (Health Care Providers & Svs.)
 
5.050%
04/15/2053
400,000
351,878
66
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Health Care (continued)
 
 
 
Viatris, Inc. (Pharmaceuticals)
 
4.000%
06/22/2050
$650,000
$426,015
Zoetis, Inc. (Pharmaceuticals)
 
3.000%
05/15/2050
600,000
386,291
 
 
 
 
11,325,463
Industrials2.5%
 
 
 
Air Lease Corp. (Trading Companies & Distributors)
 
5.850%
12/15/2027
270,000
275,641
Airbus SE (Aerospace & Defense)
  (a)
3.150%
04/10/2027
800,000
790,590
Allied Universal Holdco LLC (Commercial Svs. & Supplies)
  (a)
7.875%
02/15/2031
100,000
103,122
BAE Systems PLC (Aerospace & Defense)
  (a)
3.000%
09/15/2050
500,000
329,910
Boeing Co. / The (Aerospace & Defense)
 
5.805%
05/01/2050
350,000
338,354
Boeing Co. / The (Aerospace & Defense)
 
6.858%
05/01/2054
1,000,000
1,100,575
Brink's Co. / The (Commercial Svs. & Supplies)
  (a)
6.500%
06/15/2029
25,000
25,387
Brink's Co. / The (Commercial Svs. & Supplies)
  (a)
6.750%
06/15/2032
25,000
25,305
Burlington Northern Santa Fe LLC (Ground Transportation)
 
5.200%
04/15/2054
350,000
322,078
CACI International, Inc. (Professional Svs.)
  (a)
6.375%
06/15/2033
25,000
25,448
Canadian Pacific Railway Co. (Ground Transportation)
 
1.750%
12/02/2026
90,000
88,604
Canadian Pacific Railway Co. (Ground Transportation)
 
3.000%
12/02/2041
75,000
55,119
Canadian Pacific Railway Co. (Ground Transportation)
 
3.500%
05/01/2050
675,000
476,803
Carrier Global Corp. (Building Products)
 
6.200%
03/15/2054
160,000
167,189
Clarivate Science Holdings Corp. (Professional Svs.)
  (a)
4.875%
07/01/2029
75,000
65,076
CNH Industrial N.V. (Machinery)
 
3.850%
11/15/2027
425,000
420,665
EMRLD Borrower LP / Emerald Co-Issuer, Inc. (Electrical Equip.)
  (a)
6.625%
12/15/2030
75,000
76,279
EMRLD Borrower LP / Emerald Co-Issuer, Inc. (Electrical Equip.)
  (a)
6.750%
07/15/2031
25,000
25,711
ERAC U.S.A. Finance LLC (Ground Transportation)
  (a)
4.600%
05/01/2028
150,000
150,726
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
6.000%
06/01/2029
25,000
23,796
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
6.500%
01/15/2031
25,000
25,346
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
8.250%
08/01/2032
50,000
49,477
Garda World Security Corp. (Commercial Svs. & Supplies)
  (a)
8.375%
11/15/2032
100,000
100,068
Gates Corp. (Machinery)
  (a)
6.875%
07/01/2029
50,000
51,302
General Dynamics Corp. (Aerospace & Defense)
 
1.150%
06/01/2026
745,000
741,386
HEICO Corp. (Aerospace & Defense)
 
5.350%
08/01/2033
330,000
335,742
Herc Holdings, Inc. (Trading Companies & Distributors)
  (a)
7.000%
06/15/2030
50,000
51,268
Honeywell International, Inc. (Industrial Conglomerates)
 
2.800%
06/01/2050
370,000
239,665
Huntington Ingalls Industries, Inc. (Aerospace & Defense)
 
3.483%
12/01/2027
560,000
551,140
Ingersoll Rand, Inc. (Machinery)
 
5.700%
06/15/2054
180,000
175,801
Madison IAQ LLC (Commercial Svs. & Supplies)
  (a)
5.875%
06/30/2029
100,000
98,066
Masco Corp. (Building Products)
 
3.500%
11/15/2027
200,000
197,125
Masterbrand, Inc. (Building Products)
  (a)
7.000%
07/15/2032
25,000
24,426
Miter Brands Acquisition Holdco, Inc. / MIWD Borrower LLC (Building Products)
  (a)
6.750%
04/01/2032
25,000
23,944
Northrop Grumman Corp. (Aerospace & Defense)
 
3.250%
01/15/2028
625,000
613,832
Republic Services, Inc. (Commercial Svs. & Supplies)
 
4.875%
04/01/2029
200,000
202,995
Republic Services, Inc. (Commercial Svs. & Supplies)
 
2.375%
03/15/2033
200,000
172,622
RTX Corp. (Aerospace & Defense)
 
5.150%
02/27/2033
630,000
642,506
Ryder System, Inc. (Ground Transportation)
 
5.250%
06/01/2028
250,000
253,991
Science Applications International Corp. (Professional Svs.)
  (a)
4.875%
04/01/2028
50,000
49,206
SPX FLOW, Inc. (Machinery)
  (a)
8.750%
04/01/2030
75,000
76,641
SS&C Technologies, Inc. (Professional Svs.)
  (a)
5.500%
09/30/2027
75,000
75,051
Standard Building Solutions, Inc. (Building Products)
  (a)
6.500%
08/15/2032
50,000
50,026
Standard Building Solutions, Inc. (Building Products)
  (a)
6.250%
08/01/2033
25,000
24,719
Textron, Inc. (Aerospace & Defense)
 
3.650%
03/15/2027
500,000
496,378
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.750%
08/15/2028
25,000
25,304
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.375%
03/01/2029
25,000
25,467
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.875%
12/15/2030
25,000
25,616
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.625%
03/01/2032
25,000
25,497
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.375%
05/31/2033
50,000
49,733
TransDigm, Inc. (Aerospace & Defense)
  (a)
6.750%
01/31/2034
25,000
25,328
Uber Technologies, Inc. (Ground Transportation)
 
4.300%
01/15/2030
245,000
242,936
Union Pacific Corp. (Ground Transportation)
 
2.375%
05/20/2031
585,000
530,137
United Rentals North America, Inc. (Trading Companies & Distributors)
 
4.875%
01/15/2028
25,000
24,891
United Rentals North America, Inc. (Trading Companies & Distributors)
 
3.875%
02/15/2031
50,000
47,003
Verisk Analytics, Inc. (Professional Svs.)
 
4.125%
03/15/2029
400,000
397,796
Waste Connections, Inc. (Commercial Svs. & Supplies)
 
2.600%
02/01/2030
200,000
188,191
Waste Connections, Inc. (Commercial Svs. & Supplies)
 
4.200%
01/15/2033
200,000
193,521
Watco Cos. LLC / Watco Finance Corp. (Ground Transportation)
  (a)
7.125%
08/01/2032
25,000
25,675
WESCO Distribution, Inc. (Trading Companies & Distributors)
  (a)
7.250%
06/15/2028
25,000
25,136
WESCO Distribution, Inc. (Trading Companies & Distributors)
  (a)
6.375%
03/15/2029
25,000
25,448
WESCO Distribution, Inc. (Trading Companies & Distributors)
  (a)
6.375%
03/15/2033
25,000
25,469
67
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Industrials (continued)
 
 
 
White Cap Supply Holdings LLC (Building Products)
  (a)
7.375%
11/15/2030
$50,000
$48,500
Xylem, Inc. (Machinery)
 
2.250%
01/30/2031
155,000
139,526
 
 
 
 
12,300,275
Information Technology2.0%
 
 
 
Apple, Inc. (Tech. Hardware, Storage & Periph.)
 
2.375%
02/08/2041
475,000
336,886
AppLovin Corp. (Software)
 
5.500%
12/01/2034
155,000
153,717
Autodesk, Inc. (Software)
 
5.300%
06/15/2035
140,000
140,180
Broadcom, Inc. (Semiconductors & Equip.)
 
3.469%
04/15/2034
435,000
391,691
Broadcom, Inc. (Semiconductors & Equip.)
 
4.900%
02/15/2038
265,000
255,772
Capstone Borrower, Inc. (Software)
  (a)
8.000%
06/15/2030
75,000
71,661
Cisco Systems, Inc. (Communications Equip.)
 
4.750%
02/24/2030
350,000
356,726
Cloud Software Group, Inc. (Software)
  (a)
6.500%
03/31/2029
50,000
48,779
Cloud Software Group, Inc. (Software)
  (a)
9.000%
09/30/2029
75,000
72,350
Cloud Software Group, Inc. (Software)
  (a)
8.250%
06/30/2032
50,000
47,422
Coherent Corp. (Electronic Equip., Instr. & Comp.)
  (a)
5.000%
12/15/2029
50,000
49,041
CoreWeave, Inc. (IT Svs.)
  (a)
9.000%
02/01/2031
25,000
23,788
Dell International LLC / EMC Corp. (Tech. Hardware, Storage & Periph.)
 
5.100%
02/15/2036
300,000
293,341
Elastic N.V. (Software)
  (a)
4.125%
07/15/2029
50,000
46,904
Ellucian Holdings, Inc. (Software)
  (a)
6.500%
12/01/2029
25,000
24,419
Entegris, Inc. (Semiconductors & Equip.)
  (a)
5.950%
06/15/2030
75,000
75,473
Gen Digital, Inc. (Software)
  (a)
6.250%
04/01/2033
75,000
72,909
Hewlett Packard Enterprise Co. (Tech. Hardware, Storage & Periph.)
 
5.000%
10/15/2034
400,000
387,195
Hewlett Packard Enterprise Co. (Tech. Hardware, Storage & Periph.)
 
5.600%
10/15/2054
180,000
160,680
Insight Enterprises, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
6.625%
05/15/2032
50,000
48,258
Keysight Technologies, Inc. (Electronic Equip., Instr. & Comp.)
 
5.350%
07/30/2030
200,000
205,459
Keysight Technologies, Inc. (Electronic Equip., Instr. & Comp.)
 
4.950%
10/15/2034
240,000
237,489
Leidos, Inc. (IT Svs.)
 
4.375%
05/15/2030
325,000
319,746
NCR Voyix Corp. (Software)
  (a)
5.125%
04/15/2029
25,000
23,911
Open Text Corp. (Software)
  (a)
6.900%
12/01/2027
25,000
25,659
Open Text Corp. (Software)
  (a)
3.875%
12/01/2029
25,000
22,341
Oracle Corp. (Software)
 
4.950%
02/04/2031
2,000,000
1,956,880
Oracle Corp. (Software)
 
6.250%
11/09/2032
300,000
307,834
Oracle Corp. (Software)
 
5.375%
09/27/2054
315,000
243,660
Rocket Software, Inc. (Software)
  (a)
9.000%
11/28/2028
25,000
24,962
Roper Technologies, Inc. (Software)
 
4.900%
10/15/2034
525,000
506,912
Salesforce, Inc. (Software)
 
5.200%
03/15/2033
893,000
891,475
Salesforce, Inc. (Software)
 
5.550%
03/15/2036
893,000
890,222
Seagate Data Storage Technology Pte. Ltd. (Tech. Hardware, Storage & Periph.)
  (a)
8.250%
12/15/2029
25,000
26,255
Seagate Data Storage Technology Pte. Ltd. (Tech. Hardware, Storage & Periph.)
  (a)
5.875%
07/15/2030
25,000
25,411
Seagate Data Storage Technology Pte. Ltd. (Tech. Hardware, Storage & Periph.)
  (a)
9.625%
12/01/2032
39,000
43,345
Synaptics, Inc. (Semiconductors & Equip.)
  (a)
4.000%
06/15/2029
50,000
47,346
Trimble, Inc. (Software)
 
6.100%
03/15/2033
250,000
261,575
TTM Technologies, Inc. (Electronic Equip., Instr. & Comp.)
  (a)
4.000%
03/01/2029
25,000
24,009
UKG, Inc. (Software)
  (a)
6.875%
02/01/2031
75,000
73,299
VeriSign, Inc. (IT Svs.)
 
2.700%
06/15/2031
510,000
456,614
Viavi Solutions, Inc. (Communications Equip.)
  (a)
3.750%
10/01/2029
50,000
46,912
VMware LLC (Software)
 
1.400%
08/15/2026
240,000
237,475
Zebra Technologies Corp. (Electronic Equip., Instr. & Comp.)
  (a)
6.500%
06/01/2032
25,000
25,170
 
 
 
 
9,981,153
Materials0.6%
 
 
 
Anglo American Capital PLC (Metals & Mining)
  (a)
2.875%
03/17/2031
375,000
343,008
Anglo American Capital PLC (Metals & Mining)
  (a)
5.250%
03/19/2036
1,000,000
977,781
Ardagh Metal Packaging Finance U.S.A. LLC / Ardagh Metal Packaging Finance PLC
(Containers & Packaging)
  (a)
4.000%
09/01/2029
200,000
183,140
Ball Corp. (Containers & Packaging)
 
6.000%
06/15/2029
25,000
25,359
Celanese U.S. Holdings LLC (Chemicals)
 
6.750%
04/15/2033
50,000
51,298
Clydesdale Acquisition Holdings, Inc. (Containers & Packaging)
  (a)
6.875%
01/15/2030
50,000
48,599
Clydesdale Acquisition Holdings, Inc. (Containers & Packaging)
  (a)
8.750%
04/15/2030
25,000
23,327
Clydesdale Acquisition Holdings, Inc. (Containers & Packaging)
  (a)
6.750%
04/15/2032
50,000
47,307
Coeur Mining, Inc. (Metals & Mining)
  (a)
5.125%
02/15/2029
25,000
24,673
Freeport-McMoRan, Inc. (Metals & Mining)
 
5.400%
11/14/2034
250,000
253,668
Glencore Funding LLC (Metals & Mining)
  (a)
3.375%
09/23/2051
350,000
229,627
Graphic Packaging International LLC (Containers & Packaging)
  (a)
3.500%
03/01/2029
25,000
23,405
Graphic Packaging International LLC (Containers & Packaging)
  (a)
3.750%
02/01/2030
25,000
22,944
Illuminate Buyer LLC / Illuminate Holdings IV, Inc. (Chemicals)
  (a)
9.000%
07/01/2028
11,000
11,009
Quikrete Holdings, Inc. (Construction Materials)
  (a)
6.375%
03/01/2032
25,000
25,350
Quikrete Holdings, Inc. (Construction Materials)
  (a)
6.750%
03/01/2033
25,000
25,391
Sealed Air Corp. (Containers & Packaging)
  (a)
4.000%
12/01/2027
25,000
24,937
68
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Materials (continued)
 
 
 
Sealed Air Corp. (Containers & Packaging)
  (a)
6.500%
07/15/2032
$25,000
$26,224
Sealed Air Corp. / Sealed Air Corp. U.S. (Containers & Packaging)
  (a)
7.250%
02/15/2031
25,000
26,216
Solstice Advanced Materials, Inc. (Chemicals)
  (a)
5.625%
09/30/2033
25,000
24,651
Trivium Packaging Finance B.V. (Containers & Packaging)
  (a)
12.250%
01/15/2031
200,000
216,542
W.R. Grace Holdings LLC (Chemicals)
  (a)
6.625%
08/15/2032
25,000
24,359
WRKCo, Inc. (Containers & Packaging)
 
4.000%
03/15/2028
325,000
323,137
 
 
 
 
2,981,952
Real Estate2.0%
 
 
 
Alexandria Real Estate Equities, Inc. (Health Care REITs)
 
1.875%
02/01/2033
530,000
429,031
American Tower Corp. (Specialized REITs)
 
2.700%
04/15/2031
500,000
453,674
AvalonBay Communities, Inc. (Residential REITs)
 
3.350%
05/15/2027
725,000
717,959
Camden Property Trust (Residential REITs)
 
4.900%
01/15/2034
500,000
497,043
Cousins Properties LP (Office REITs)
 
4.875%
03/01/2033
1,000,000
962,769
Healthcare Realty Holdings LP (Health Care REITs)
 
2.000%
03/15/2031
525,000
455,866
Healthpeak OP LLC (Health Care REITs)
 
4.750%
01/15/2033
300,000
293,460
Howard Hughes Corp. / The (Real Estate Mgmt. & Development)
  (a)
6.125%
03/01/2034
500,000
480,165
Iron Mountain, Inc. (Specialized REITs)
  (a)
7.000%
02/15/2029
50,000
50,961
Iron Mountain, Inc. (Specialized REITs)
  (a)
6.250%
01/15/2033
25,000
24,920
Kimco Realty OP LLC (Retail REITs)
 
2.700%
10/01/2030
650,000
604,270
Outfront Media Capital LLC / Outfront Media Capital Corp. (Specialized REITs)
  (a)
4.250%
01/15/2029
50,000
48,200
Outfront Media Capital LLC / Outfront Media Capital Corp. (Specialized REITs)
  (a)
7.375%
02/15/2031
25,000
26,068
Piedmont Operating Partnership LP (Office REITs)
 
2.750%
04/01/2032
300,000
252,067
Regency Centers LP (Retail REITs)
 
2.950%
09/15/2029
875,000
834,031
RHP Hotel Properties LP / RHP Finance Corp. (Hotel & Resort REITs)
  (a)
6.500%
04/01/2032
25,000
25,453
Safehold GL Holdings LLC (Specialized REITs)
 
5.650%
01/15/2035
2,000,000
2,022,670
UDR, Inc. (Residential REITs)
 
3.500%
01/15/2028
800,000
786,861
W.P. Carey, Inc. (Diversified REITs)
 
3.850%
07/15/2029
350,000
341,719
Welltower OP LLC (Health Care REITs)
 
4.250%
04/01/2026
475,000
475,000
XHR LP (Hotel & Resort REITs)
  (a)
6.625%
05/15/2030
50,000
50,480
 
 
 
 
9,832,667
Utilities3.5%
 
 
 
Ameren Corp. (Multi-Utilities)
 
1.750%
03/15/2028
1,000,000
950,883
American Electric Power Co., Inc. (Electric Utilities)
 
5.625%
03/01/2033
380,000
392,663
Black Hills Corp. (Multi-Utilities)
 
2.500%
06/15/2030
370,000
337,679
Constellation Energy Generation LLC (Electric Utilities)
  (a)
5.000%
02/01/2031
50,000
50,135
Constellation Energy Generation LLC (Electric Utilities)
  (a)
3.750%
03/01/2031
25,000
23,853
Constellation Energy Generation LLC (Electric Utilities)
 
5.800%
03/01/2033
400,000
418,935
Constellation Energy Generation LLC (Electric Utilities)
 
6.125%
01/15/2034
90,000
96,041
Dominion Energy, Inc. (Multi-Utilities)
 
1.450%
04/15/2026
670,000
669,182
Duke Energy Corp. (Electric Utilities)
 
4.950%
09/15/2035
300,000
292,453
Duke Energy Corp. (Electric Utilities)
 
3.750%
09/01/2046
450,000
332,059
Electricite de France SA (Electric Utilities)
  (a)
6.250%
05/23/2033
445,000
476,243
Emera U.S. Finance LP (Electric Utilities)
 
3.550%
06/15/2026
400,000
399,081
Emera U.S. Finance LP (Electric Utilities)
 
4.750%
06/15/2046
200,000
164,993
ENEL Finance International N.V. (Electric Utilities)
  (a)
2.500%
07/12/2031
750,000
665,713
Exelon Corp. (Electric Utilities)
 
4.050%
04/15/2030
1,175,000
1,150,694
Exelon Corp. (Electric Utilities)
 
4.100%
03/15/2052
155,000
116,996
FirstEnergy Corp. (Electric Utilities)
 
2.650%
03/01/2030
250,000
231,448
National Fuel Gas Co. (Gas Utilities)
 
2.950%
03/01/2031
220,000
199,995
NextEra Energy Capital Holdings, Inc. (Electric Utilities)
 
3.550%
05/01/2027
600,000
594,773
NextEra Energy Capital Holdings, Inc. (Electric Utilities)
 
5.050%
03/15/2030
250,000
254,631
NextEra Energy Capital Holdings, Inc. (Electric Utilities)
 
2.250%
06/01/2030
600,000
546,757
Niagara Mohawk Power Corp. (Multi-Utilities)
  (a)
5.996%
07/03/2055
2,000,000
1,964,021
NiSource, Inc. (Multi-Utilities)
 
5.250%
03/30/2028
105,000
106,655
NiSource, Inc. (Multi-Utilities)
 
5.400%
06/30/2033
500,000
511,594
NRG Energy, Inc. (Electric Utilities)
  (a)
5.750%
07/15/2029
25,000
24,963
NRG Energy, Inc. (Electric Utilities)
  (a)
3.875%
02/15/2032
28,000
25,669
NRG Energy, Inc. (Electric Utilities)
  (a)
6.250%
11/01/2034
25,000
25,199
NRG Energy, Inc. (Electric Utilities)
  (a)
6.000%
01/15/2036
25,000
24,773
PacifiCorp (Electric Utilities)
 
5.800%
04/15/2036
900,000
907,213
PacifiCorp (Rate is fixed until 08/15/2031, then H15T5Y + 329) (Electric Utilities)
  (c)
7.125%
08/15/2056
1,000,000
944,679
PG&E Corp. (Rate is fixed until 09/15/2031, then H15T5Y + 323) (Electric Utilities)
  (c)
6.850%
09/15/2056
1,500,000
1,482,192
PPL Capital Funding, Inc. (Electric Utilities)
 
3.100%
05/15/2026
200,000
199,671
Puget Energy, Inc. (Electric Utilities)
 
2.379%
06/15/2028
685,000
652,877
Sempra (Multi-Utilities)
 
3.700%
04/01/2029
590,000
576,278
TerraForm Power Operating LLC (Ind. Power & Renewable Elec.)
  (a)
5.000%
01/31/2028
75,000
74,173
TerraForm Power Operating LLC (Ind. Power & Renewable Elec.)
  (a)
4.750%
01/15/2030
25,000
23,945
Vistra Operations Co. LLC (Ind. Power & Renewable Elec.)
  (a)
7.750%
10/15/2031
25,000
26,187
69
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Corporate Bonds (Continued)
Rate
Maturity
Face Amount
Value
Utilities (continued)
 
 
 
VoltaGrid LLC (Electric Utilities)
  (a)
7.375%
11/01/2030
$25,000
$25,820
WBI Operating LLC (Water Utilities)
  (a)
6.250%
10/15/2030
25,000
25,149
WEC Energy Group, Inc. (Multi-Utilities)
 
2.200%
12/15/2028
190,000
179,427
Xcel Energy, Inc. (Rate is fixed until 12/03/2031, then H15T5Y + 217) (Electric Utilities)
  (c)
5.750%
12/03/2056
1,000,000
976,178
XPLR Infrastructure Operating Partners LP (Electric Utilities)
  (a)
7.250%
01/15/2029
50,000
51,458
XPLR Infrastructure Operating Partners LP (Electric Utilities)
  (a)
8.625%
03/15/2033
25,000
26,411
 
 
 
 
17,219,739
Total Corporate Bonds (Cost $187,543,308)
 
 
 
$179,507,165
U.S. Treasury Obligations21.6%
Rate
Maturity
Face Amount
Value
U.S. Treasury Bond
 
1.375%
11/15/2040
$525,000
$338,174
U.S. Treasury Bond
 
1.875%
02/15/2041
180,000
124,699
U.S. Treasury Bond
 
2.000%
02/15/2050
3,750,000
2,183,203
U.S. Treasury Bond
 
1.875%
02/15/2051
3,940,000
2,187,777
U.S. Treasury Bond
 
4.000%
11/15/2052
2,800,000
2,405,703
U.S. Treasury Bond
 
4.250%
08/15/2054
17,900,000
16,031,688
U.S. Treasury Note
 
2.625%
05/31/2027
1,500,000
1,479,668
U.S. Treasury Note
 
3.750%
06/30/2027
825,000
824,355
U.S. Treasury Note
 
1.250%
03/31/2028
575,000
546,834
U.S. Treasury Note
 
4.125%
07/31/2028
2,000,000
2,013,750
U.S. Treasury Note
 
4.000%
01/31/2029
2,800,000
2,812,688
U.S. Treasury Note
 
2.375%
03/31/2029
500,000
479,551
U.S. Treasury Note
 
3.875%
11/30/2029
1,600,000
1,599,625
U.S. Treasury Note
 
4.000%
02/28/2030
7,000,000
7,026,523
U.S. Treasury Note
 
4.375%
11/30/2030
2,200,000
2,239,789
U.S. Treasury Note
 
3.750%
08/31/2031
5,750,000
5,678,574
U.S. Treasury Note
 
4.125%
03/31/2032
36,000,000
36,126,562
U.S. Treasury Note
 
4.000%
07/31/2032
3,900,000
3,880,348
U.S. Treasury Note
 
3.750%
10/31/2032
6,200,000
6,070,914
U.S. Treasury Note
 
4.250%
11/15/2034
4,100,000
4,098,879
U.S. Treasury Note
 
4.625%
02/15/2035
4,000,000
4,104,063
U.S. Treasury Note
 
4.000%
11/15/2035
4,500,000
4,389,609
Total U.S. Treasury Obligations (Cost $113,017,752)
 
 
 
$106,642,976
Asset-Backed / Mortgage-Backed Securities20.4%
Rate
Maturity
Face Amount
Value
Financials20.4%
 
 
 
AB BSL CLO 7 Ltd. 2025-7A A1
  (a)
TSFR3M + 123
01/15/2039
$7,500,000
$7,491,257
AB BSL CLO 7 Ltd. 2025-7A B
  (a)
TSFR3M + 160
01/15/2039
2,500,000
2,491,776
ARES Loan Funding I Ltd. 2021-ALFA AR
  (a)
TSFR3M + 117
04/15/2039
7,500,000
7,479,608
ARES Loan Funding I Ltd. 2021-ALFA BR
  (a)
TSFR3M + 150
04/15/2039
2,500,000
2,495,361
BANK 2022-BNK40 A4
 
3.389%
03/15/2064
660,000
612,504
BBCMS Mortgage Trust 2024-5C27 A2
 
5.550%
07/15/2057
1,372,031
1,401,491
Benchmark 2020-B19 A5
 
1.850%
09/15/2053
1,150,000
1,022,734
Benchmark 2021-B26 A2
 
1.957%
06/15/2054
263,351
260,170
Diameter Capital CLO 4 Ltd. 2022-4A ARR
  (a)
TSFR3M + 123
01/15/2039
7,500,000
7,487,250
Diameter Capital CLO 4 Ltd. 2022-4A BRR
  (a)
TSFR3M + 155
01/15/2039
2,500,000
2,489,997
Freddie Mac Multifamily Structured Pass Through Certificates K108 A2
 
1.517%
03/25/2030
400,000
363,060
Freddie Mac Multifamily Structured Pass Through Certificates K109 A2
 
1.558%
04/25/2030
400,000
362,135
GS Mortgage-Backed Securities Trust 2022-PJ3 A4
  (a)
2.500%
08/25/2052
1,516,782
1,255,126
Home Partners of America 2022-1 B
  (a)
4.330%
04/17/2039
724,547
719,153
J.P. Morgan Mortgage Trust 2022-1 A2
  (a)
3.000%
07/25/2052
1,130,126
983,438
J.P. Morgan Mortgage Trust 2022-2 A3
  (a)
2.500%
08/25/2052
1,502,277
1,244,175
J.P. Morgan Mortgage Trust 2022-3 A3
  (a)
2.500%
08/25/2052
1,514,875
1,261,192
Madison Park Funding LXI Ltd. 2023-61A AR
  (a)
TSFR3M + 122
01/20/2039
7,500,000
7,480,099
Madison Park Funding LXI Ltd. 2023-61A BR
  (a)
TSFR3M + 160
01/20/2039
2,500,000
2,492,047
MidOcean Credit CLO XIII Ltd. 2023-13A AR1
  (a)
TSFR3M + 120
01/21/2039
7,500,000
7,491,910
MidOcean Credit CLO XIII Ltd. 2023-13A BR
  (a)
TSFR3M + 150
01/21/2039
2,500,000
2,490,321
MMAF Equipment Finance LLC 2020-A5
  (a)
1.560%
10/09/2042
750,000
727,013
Navient Private Education Refi Loan Trust 2020-FA A
  (a)
1.220%
07/15/2069
65,803
62,158
Palmer Square CLO 2023-3A AR
  (a)
TSFR3M + 122
01/20/2039
7,500,000
7,491,855
Palmer Square CLO 2023-3A BR
  (a)
TSFR3M + 155
01/20/2039
2,500,000
2,490,343
Pikes Peak Clo 2026-22A A1
  (a)
TSFR3M + 119
04/20/2039
7,500,000
7,499,670
Pikes Peak Clo 2026-22A B
  (a)
TSFR3M + 150
04/20/2039
2,500,000
2,499,665
Progress Residential 2022-SFR4 B
  (a)
4.788%
05/17/2041
800,000
790,481
Regatta XVI Funding Ltd. 2019-2A A1R2
  (a)
TSFR3M + 119
04/15/2039
7,500,000
7,479,750
Regatta XVI Funding Ltd. 2019-2A BR2
  (a)
TSFR3M + 145
04/15/2039
2,500,000
2,492,635
Sixth Street CLO XVI Ltd. 2020-16A A1R2
  (a)
TSFR3M + 117
01/21/2039
7,500,000
7,480,257
70
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Asset-Backed / Mortgage-Backed Securities (Continued)
Rate
Maturity
Face Amount
Value
Financials (continued)
 
 
 
Sixth Street CLO XVI Ltd. 2020-16A BR2
  (a)
TSFR3M + 145
01/21/2039
$2,500,000
$2,488,711
SMB Private Education Loan Trust 2020-B A1A
  (a)
1.290%
07/15/2053
159,418
152,322
Total Asset-Backed / Mortgage-Backed Securities (Cost $102,213,542)
 
 
 
$101,029,664
U.S. Government Agency Mortgage-Backed Securities20.4%
Rate
Maturity
Face Amount
Value
Fannie Mae Pool FN BM4333
 
3.500%
12/01/2047
$742,598
$691,055
Fannie Mae Pool FN BN6715
 
4.000%
06/01/2049
2,039,864
1,952,727
Fannie Mae Pool FN BP2797
 
2.500%
05/01/2050
1,095,018
931,289
Fannie Mae Pool FN BP6700
 
2.500%
09/01/2050
3,047,238
2,618,375
Fannie Mae Pool FN BP8188
 
2.000%
09/01/2050
4,750,103
3,885,457
Fannie Mae Pool FN BR1844
 
2.500%
01/01/2051
869,676
747,654
Fannie Mae Pool FN BW7264
 
5.500%
11/01/2052
967,602
976,030
Fannie Mae Pool FN BW7449
 
5.000%
11/01/2052
827,410
819,815
Fannie Mae Pool FN BX5678
 
5.500%
01/01/2053
1,434,898
1,446,304
Fannie Mae Pool FN CA4819
 
4.000%
12/01/2049
724,005
692,327
Fannie Mae Pool FN CA5348
 
3.500%
03/01/2050
1,082,324
1,002,673
Fannie Mae Pool FN CA5706
 
2.500%
05/01/2050
1,470,857
1,256,922
Fannie Mae Pool FN CA6998
 
3.000%
09/01/2050
2,207,497
1,956,870
Fannie Mae Pool FN CA8118
 
2.000%
12/01/2050
1,420,107
1,156,000
Fannie Mae Pool FN CB3335
 
4.500%
04/01/2052
2,686,487
2,635,767
Fannie Mae Pool FN CB9426
 
4.500%
11/01/2054
1,907,486
1,846,178
Fannie Mae Pool FN FA0970
 
6.000%
03/01/2055
2,395,280
2,442,861
Fannie Mae Pool FN FA1974
 
6.500%
06/01/2055
1,520,096
1,584,049
Fannie Mae Pool FN FM3734
 
3.500%
09/01/2049
815,420
765,709
Fannie Mae Pool FN FM3919
 
4.000%
05/01/2049
562,765
536,723
Fannie Mae Pool FN FM4122
 
2.000%
08/01/2050
4,703,710
3,869,045
Fannie Mae Pool FN FM4532
 
3.000%
09/01/2050
2,301,160
2,046,340
Fannie Mae Pool FN FM6708
 
2.500%
01/01/2051
2,382,503
2,048,213
Fannie Mae Pool FN FM7706
 
3.500%
08/01/2050
2,334,373
2,166,535
Fannie Mae Pool FN FM8745
 
2.500%
09/01/2051
2,434,882
2,050,828
Fannie Mae Pool FN FS2037
 
1.500%
05/01/2037
3,154,299
2,836,493
Fannie Mae Pool FN MA4138
 
1.500%
09/01/2050
3,358,478
2,596,048
Fannie Mae Pool FN MA4255
 
2.000%
02/01/2051
1,330,235
1,082,008
Fannie Mae Pool FN MA4536
 
2.000%
02/01/2037
1,775,638
1,634,644
Fannie Mae Pool FN MA4593
 
4.000%
03/01/2052
540,455
512,028
Fannie Mae Pool FN MA5389
 
6.000%
06/01/2054
949,778
969,207
Fannie Mae Pool FN MA5498
 
6.000%
10/01/2054
1,033,722
1,054,173
Freddie Mac Pool FR QF1237
 
5.000%
10/01/2052
2,104,589
2,085,655
Freddie Mac Pool FR QF1648
 
5.000%
10/01/2052
614,284
610,958
Freddie Mac Pool FR QJ3044
 
5.500%
09/01/2054
1,513,194
1,521,944
Freddie Mac Pool FR RA3575
 
2.000%
09/01/2050
4,597,382
3,760,696
Freddie Mac Pool FR RA7279
 
3.500%
05/01/2052
1,151,627
1,064,173
Freddie Mac Pool FR SB8148
 
2.000%
04/01/2037
1,566,243
1,440,953
Freddie Mac Pool FR SB8149
 
2.500%
04/01/2037
1,521,647
1,438,558
Freddie Mac Pool FR SD0625
 
2.500%
05/01/2051
1,662,407
1,417,647
Freddie Mac Pool FR SD5958
 
6.500%
08/01/2054
1,243,141
1,288,178
Freddie Mac Pool FR SD7505
 
4.500%
08/01/2049
523,767
514,785
Freddie Mac Pool FR SD8148
 
3.000%
05/01/2051
1,118,600
988,474
Freddie Mac Pool FR SD8214
 
3.500%
05/01/2052
494,073
453,490
Freddie Mac Pool FR SD8218
 
2.000%
06/01/2052
1,238,939
1,001,802
Freddie Mac Pool FR SD8220
 
3.000%
06/01/2052
1,195,502
1,052,442
Freddie Mac Pool FR SD8342
 
5.500%
07/01/2053
1,887,787
1,903,309
Freddie Mac Pool FR SD8368
 
6.000%
10/01/2053
1,253,121
1,283,314
Freddie Mac Pool FR SD8469
 
5.500%
10/01/2054
835,115
839,455
Freddie Mac Pool FR SD8491
 
5.000%
12/01/2054
1,571,753
1,551,301
Freddie Mac Pool FR ZT1257
 
3.000%
01/01/2046
505,375
464,723
Ginnie Mae II Pool G2 MA7589
 
2.500%
09/20/2051
4,795,366
4,129,825
Ginnie Mae II Pool G2 MA7706
 
3.000%
11/20/2051
4,434,618
3,961,881
Ginnie Mae II Pool G2 MA8041
 
2.000%
05/20/2052
5,050,770
4,174,821
Ginnie Mae II Pool G2 MA8044
 
3.500%
05/20/2052
1,457,956
1,348,432
Ginnie Mae II Pool G2 MA8800
 
5.000%
04/20/2053
2,429,892
2,416,203
Ginnie Mae II Pool G2 MA8945
 
4.000%
06/20/2053
2,835,235
2,679,972
Ginnie Mae II Pool G2 MA8946
 
4.500%
06/20/2053
2,084,904
2,023,825
Ginnie Mae II Pool G2 MA8948
 
5.500%
06/20/2053
1,047,043
1,062,104
Ginnie Mae II Pool G2 MA8949
 
6.000%
06/20/2053
523,709
535,479
Ginnie Mae II Pool G2 MA9906
 
5.500%
09/20/2054
1,119,574
1,131,269
Total U.S. Government Agency Mortgage-Backed Securities (Cost $108,512,374)
 
 
 
$100,956,015
71
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Preferred Securities0.8%
Rate
Quantity
Value
Financials0.8%
 
Citigroup, Inc. (Rate is fixed until 05/15/2031, then H15T5Y + 275) (Banks)
  (c)
6.500%
3,000,000
$2,992,722
Wells Fargo & Co. (Rate is fixed until 06/15/2031, then H15T5Y + 234) (Banks)
  (c)
6.125%
1,000,000
1,003,764
Total Preferred Securities (Cost $4,000,000)
 
$3,996,486
Sovereign Debt Issues0.3%
Rate
Maturity
Face
Amount
Value
Mexico Government International Bond
 
3.750%
01/11/2028
$625,000
$615,700
Mexico Government International Bond
 
5.625%
09/22/2035
400,000
387,000
Mexico Government International Bond
 
4.500%
01/31/2050
525,000
385,298
Total Sovereign Debt Issues (Cost $1,593,371)
 
 
 
$1,387,998
Common Stocks0.0%
Shares
Value
Communication Services0.0%
 
Audacy, Inc. (Media)
 (d)(e)
113
$3,098
Total Common Stocks (Cost $77,815)
 
$3,098
Warrants0.0%
Expiration
Strike Price
Quantity
Value
Communication Services0.0%
 
Audacy, Inc. Second Lien Warrants (Media)
 (d)(e)
09/30/2028
$77.10
23
$
Audacy, Inc. Second Lien Warrants (with Black-Scholes protections) (Media)
 (d)(e)
09/30/2028
77.10
137
Total Warrants (Cost $47)
 
$
Total Investments – 99.8% (Cost $516,958,209)
  (f)
$493,523,402
Other Assets in Excess of Liabilities – 0.2%
  (g)
1,152,714
Net Assets – 100.0%
 
$494,676,116

Percentages are stated as a percent of net assets.
Abbreviations:
 
CLO:
Collateralized Loan Obligation
H15T1Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 1 Year, 3.680% at 3/31/2026
H15T5Y:
U.S. Treasury Yield Curve Rate T-Note Constant Maturity 5 Year, 3.920% at 3/31/2026
PIK:
Payment-in-Kind
QL:
Quarterly U.S. LIBOR Rate. This rate is linked to U.S. LIBOR, which is no longer published. An alternate reference rate will be determined by the issuer
prior to the date the security becomes a variable rate instrument.
REITs:
Real Estate Investment Trusts
SOFR:
Secured Overnight Financing Rate, 3.680% at 3/31/2026
SOFRINDX:
Secured Overnight Financing Rate ("SOFR") Compounded Index, 1.238% at 3/31/2026
TSFR3M:
Quarterly CME Term Secured Overnight Financing Rate ("SOFR"), 3.682% at 3/31/2026
Footnotes:
 
(a)
Security exempt from registration under Regulation D of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,
normally to qualified buyers under Rule 144A. At March 31, 2026, the value of these securities totaled $137,769,431, or 27.9% of the Portfolio’s net assets.
(b)
Issuer of the security has the option to make coupon payments in cash or in additional par value of this bond (Payment-in-Kind).
(c)
Security is a fixed-then-variable rate instrument in which the coupon or dividend rate is fixed until a later specified date, then is adjusted periodically. Rates
stated, including interest rate caps and floors, if any, are those in effect at March 31, 2026.
(d)
Level 3 security in accordance with the fair value hierarchy, value determined using significant unobservable inputs.
(e)
Non-income producing security.
(f)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(g)
Includes $1,377,496 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
72
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Core Plus Bond Portfolio (Continued)
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Ultra Bond - Long
185
June 18, 2026
$21,384,911
$21,000,391
$(384,520
)
$54,923
CBT U.S. Long Bond - Long
143
June 18, 2026
16,819,532
16,284,125
(535,407
)
53,625
CBT U.S. Ultra Bond - Long
23
June 18, 2026
2,771,007
2,680,938
(90,069
)
5,031
CBT 5-Year U.S. Treasury Note - Long
277
June 30, 2026
30,239,347
29,965,774
(273,573
)
38,953
 
 
 
$71,214,797
$69,931,228
$(1,283,569
)
$152,532
Short Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Treasury Note - Short
175
June 18, 2026
$(19,814,337
)
$(19,433,203
)
$381,134
$(41,016
)
Total Futures Contracts
 
 
$51,400,460
$50,498,025
$(902,435
)
$111,516
The accompanying notes are an integral part of these financial statements.
73

AuguStar Variable Insurance Products Fund, Inc.
AVIP Intech U.S. Low Volatility Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.6%
Shares
Value
Communication Services11.4%
 
Alphabet, Inc. Class A (Interactive Media &
Svs.)
 
42,646
$12,263,284
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
33,488
9,606,368
AT&T, Inc. (Diversified Telecom. Svs.)
 
204,999
5,942,921
Electronic Arts, Inc. (Entertainment)
 
15,031
3,064,370
Fox Corp. Class A (Media)
 
7,689
449,038
Fox Corp. Class B (Media)
 
27,123
1,440,231
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
14,273
8,166,011
Netflix, Inc. (Entertainment)
  (a)
31,310
3,010,456
Take-Two Interactive Software, Inc.
(Entertainment)
  (a)
11,751
2,320,822
TKO Group Holdings, Inc. (Entertainment)
 
7,564
1,525,281
T-Mobile U.S., Inc. (Wireless Telecom. Svs.)
 
23,395
4,913,652
Verizon Communications, Inc. (Diversified
Telecom. Svs.)
 
107,857
5,414,421
Walt Disney Co. / The (Entertainment)
 
10,705
1,031,748
 
 
59,148,603
Consumer Discretionary8.6%
 
Amazon.com, Inc. (Broadline Retail)
  (a)
62,675
13,053,322
Aptiv PLC (Automobile Components)
  (a)
7,894
548,159
Booking Holdings, Inc. (Hotels, Restaurants &
Leisure)
 
706
2,972,486
Domino's Pizza, Inc. (Hotels, Restaurants &
Leisure)
 
2,660
954,381
DoorDash, Inc. Class A (Hotels, Restaurants &
Leisure)
  (a)
12,534
1,881,980
General Motors Co. (Automobiles)
 
35,812
2,667,994
Genuine Parts Co. (Distributors)
 
13,244
1,400,553
Hasbro, Inc. (Leisure Products)
 
8,916
834,538
Las Vegas Sands Corp. (Hotels, Restaurants &
Leisure)
 
27,613
1,487,788
McDonald's Corp. (Hotels, Restaurants &
Leisure)
 
7,854
2,440,945
NVR, Inc. (Household Durables)
  (a)
294
1,937,410
O'Reilly Automotive, Inc. (Specialty Retail)
  (a)
29,832
2,753,792
Ralph Lauren Corp. (Textiles, Apparel & Luxury
Goods)
 
2,496
858,599
Ross Stores, Inc. (Specialty Retail)
 
9,637
2,087,663
Tesla, Inc. (Automobiles)
  (a)
14,717
5,471,045
TJX Cos., Inc. / The (Specialty Retail)
 
14,478
2,312,137
Yum! Brands, Inc. (Hotels, Restaurants &
Leisure)
 
6,408
996,316
 
 
44,659,108
Consumer Staples10.3%
 
Altria Group, Inc. (Tobacco)
 
86,022
5,676,592
Bunge Global SA (Food Products)
 
13,205
1,679,676
Church & Dwight Co., Inc.
(Household Products)
 
24,964
2,329,640
Coca-Cola Co. / The (Beverages)
 
66,104
5,027,209
Colgate-Palmolive Co. (Household Products)
 
49,197
4,193,060
Dollar General Corp. (Consumer Staples
Distribution & Retail)
 
38,713
4,596,395
Dollar Tree, Inc. (Consumer Staples
Distribution & Retail)
  (a)
6,281
687,832
General Mills, Inc. (Food Products)
 
1,409
52,443
Hershey Co. / The (Food Products)
 
12,336
2,564,531
Keurig Dr Pepper, Inc. (Beverages)
 
19,499
513,409
Kroger Co. / The (Consumer Staples
Distribution & Retail)
 
79,801
5,774,400
Mondelez International, Inc. Class A
(Food Products)
 
6,061
349,356
Monster Beverage Corp. (Beverages)
  (a)
36,145
2,619,067
PepsiCo, Inc. (Beverages)
 
22,446
3,485,639
Philip Morris International, Inc. (Tobacco)
 
29,991
4,958,712
Procter & Gamble Co. / The
(Household Products)
 
14,560
2,103,046
Sysco Corp. (Consumer Staples Distribution &
Retail)
 
35,948
2,564,171
Tyson Foods, Inc. Class A (Food Products)
 
13,770
882,244
Walmart, Inc. (Consumer Staples Distribution &
Retail)
 
25,367
3,152,611
 
 
53,210,033
Energy2.2%
 
Coterra Energy, Inc. (Oil, Gas & Consumable
Fuels)
 
33,164
1,165,383
Common Stocks (Continued)
Shares
Value
Energy (continued)
 
EOG Resources, Inc. (Oil, Gas & Consumable
Fuels)
 
18,266
$2,640,716
Expand Energy Corp. (Oil, Gas & Consumable
Fuels)
 
11,309
1,241,502
Exxon Mobil Corp. (Oil, Gas & Consumable
Fuels)
 
13,913
2,360,480
Kinder Morgan, Inc. (Oil, Gas & Consumable
Fuels)
 
18,912
634,119
Marathon Petroleum Corp. (Oil, Gas &
Consumable Fuels)
 
2,849
695,669
Williams Cos., Inc. / The (Oil, Gas &
Consumable Fuels)
 
33,402
2,430,997
 
 
11,168,866
Financials7.5%
 
Allstate Corp. / The (Insurance)
 
13,769
2,854,865
American International Group, Inc. (Insurance)
 
27,185
2,045,671
Aon PLC Class A (Insurance)
 
10,171
3,282,995
Berkshire Hathaway, Inc. Class B
(Financial Services)
  (a)
6,609
3,167,033
CBOE Global Markets, Inc. (Capital Markets)
 
9,098
2,557,175
Chubb Ltd. (Insurance)
 
12,913
4,208,734
CME Group, Inc. (Capital Markets)
 
9,669
2,855,739
Hartford Insurance Group, Inc. / The
(Insurance)
 
6,034
815,978
Jack Henry & Associates, Inc.
(Financial Services)
 
7,164
1,132,199
JPMorgan Chase & Co. (Banks)
 
8,555
2,516,539
Loews Corp. (Insurance)
 
17,009
1,815,541
Progressive Corp. / The (Insurance)
 
10,809
2,142,776
Travelers Cos., Inc. / The (Insurance)
 
16,709
4,873,681
W. R. Berkley Corp. (Insurance)
 
22,126
1,466,511
Willis Towers Watson PLC (Insurance)
 
10,186
2,961,070
 
 
38,696,507
Health Care12.5%
 
Abbott Laboratories (Health Care Equip. &
Supplies)
 
44,953
4,615,325
Boston Scientific Corp. (Health Care Equip. &
Supplies)
  (a)
21,107
1,324,464
Bristol-Myers Squibb Co. (Pharmaceuticals)
 
37,813
2,293,358
Cardinal Health, Inc. (Health Care Providers &
Svs.)
 
21,364
4,514,427
Cencora, Inc. (Health Care Providers & Svs.)
 
17,619
5,534,833
CVS Health Corp. (Health Care Providers &
Svs.)
 
12,784
918,147
Edwards Lifesciences Corp. (Health Care
Equip. & Supplies)
  (a)
30,185
2,417,215
Elevance Health, Inc. (Health Care Providers &
Svs.)
 
5,939
1,738,642
Eli Lilly & Co. (Pharmaceuticals)
 
3,775
3,472,132
Gilead Sciences, Inc. (Biotechnology)
 
34,704
4,836,696
HCA Healthcare, Inc. (Health Care Providers &
Svs.)
 
9,953
4,710,158
Hologic, Inc. (Health Care Equip. & Supplies)
  (a)
20,491
1,548,915
Incyte Corp. (Biotechnology)
  (a)
29,254
2,753,386
Insulet Corp. (Health Care Equip. & Supplies)
  (a)
5,678
1,191,472
Intuitive Surgical, Inc. (Health Care Equip. &
Supplies)
  (a)
2,726
1,256,659
Johnson & Johnson (Pharmaceuticals)
 
10,953
2,677,351
McKesson Corp. (Health Care Providers &
Svs.)
 
5,890
5,096,970
Medtronic PLC (Health Care Equip. & Supplies)
 
7,084
613,829
Merck & Co., Inc. (Pharmaceuticals)
 
6,841
822,904
Quest Diagnostics, Inc. (Health Care Providers
& Svs.)
 
9,596
1,880,624
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
855
660,607
ResMed, Inc. (Health Care Equip. & Supplies)
 
2,327
522,365
STERIS PLC (Health Care Equip. & Supplies)
 
3,642
805,355
UnitedHealth Group, Inc. (Health Care
Providers & Svs.)
 
14,856
4,019,885
Universal Health Services, Inc. Class B (Health
Care Providers & Svs.)
 
4,754
850,823
Vertex Pharmaceuticals, Inc. (Biotechnology)
  (a)
5,722
2,555,102
Zoetis, Inc. (Pharmaceuticals)
 
7,173
847,920
 
 
64,479,564
74
(continued)

AuguStar Variable Insurance Products Fund, Inc.
AVIP Intech U.S. Low Volatility Portfolio (Continued)
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks (Continued)
Shares
Value
Industrials6.6%
 
3M Co. (Industrial Conglomerates)
 
10,455
$1,518,380
C.H. Robinson Worldwide, Inc. (Air Freight &
Logistics)
 
3,701
614,625
EMCOR Group, Inc. (Construction &
Engineering)
 
841
620,919
FedEx Corp. (Air Freight & Logistics)
 
5,786
2,060,858
GE Vernova, Inc. (Electrical Equip.)
 
2,396
2,091,468
General Dynamics Corp. (Aerospace &
Defense)
 
6,371
2,186,655
Howmet Aerospace, Inc. (Aerospace &
Defense)
 
6,312
1,454,664
L3Harris Technologies, Inc. (Aerospace &
Defense)
 
7,989
2,757,403
Leidos Holdings, Inc. (Professional Svs.)
 
3,331
518,037
Lockheed Martin Corp. (Aerospace &
Defense)
 
8,195
4,952,976
Masco Corp. (Building Products)
 
11,366
686,165
Northrop Grumman Corp. (Aerospace &
Defense)
 
7,707
5,258,024
Republic Services, Inc. (Commercial Svs. &
Supplies)
 
8,786
1,924,310
Rollins, Inc. (Commercial Svs. & Supplies)
 
29,806
1,591,938
RTX Corp. (Aerospace & Defense)
 
10,977
2,117,463
United Parcel Service, Inc. Class B (Air Freight
& Logistics)
 
7,911
778,284
Veralto Corp. (Commercial Svs. & Supplies)
 
21,061
1,862,214
Waste Management, Inc. (Commercial Svs. &
Supplies)
 
5,118
1,176,065
 
 
34,170,448
Information Technology27.6%
 
Adobe, Inc. (Software)
  (a)
12,510
3,040,931
Akamai Technologies, Inc. (IT Svs.)
  (a)
12,914
1,483,173
Amphenol Corp. Class A (Electronic Equip.,
Instr. & Comp.)
 
7,637
964,935
Apple, Inc. (Tech. Hardware, Storage &
Periph.)
 
115,726
29,370,101
Applied Materials, Inc. (Semiconductors &
Equip.)
 
115
39,306
Autodesk, Inc. (Software)
  (a)
4,214
1,008,832
Broadcom, Inc. (Semiconductors & Equip.)
 
29,967
9,275,086
Cisco Systems, Inc. (Communications Equip.)
 
66,612
5,168,425
Corning, Inc. (Electronic Equip., Instr. & Comp.)
 
5,764
783,731
Fortinet, Inc. (Software)
  (a)
23,316
1,905,383
Gen Digital, Inc. (Software)
 
46,475
875,124
GoDaddy, Inc. Class A (IT Svs.)
  (a)
13,390
1,106,951
International Business Machines Corp.
(IT Svs.)
 
13,887
3,366,070
Intuit, Inc. (Software)
 
3,826
1,654,286
Keysight Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
7,181
2,027,699
Lam Research Corp. (Semiconductors &
Equip.)
 
1,537
328,395
Micron Technology, Inc. (Semiconductors &
Equip.)
 
7,726
2,610,152
Microsoft Corp. (Software)
 
61,175
22,645,150
Motorola Solutions, Inc.
(Communications Equip.)
 
9,424
4,089,733
NetApp, Inc. (Tech. Hardware, Storage &
Periph.)
 
6,635
679,358
NVIDIA Corp. (Semiconductors & Equip.)
 
207,929
36,262,818
Common Stocks (Continued)
Shares
Value
Information Technology (continued)
 
Oracle Corp. (Software)
 
17,629
$2,593,402
Palantir Technologies, Inc. Class A (Software)
  (a)
32,693
4,782,332
Palo Alto Networks, Inc. (Software)
  (a)
4,580
734,266
Roper Technologies, Inc. (Software)
 
981
347,137
Salesforce, Inc. (Software)
 
6,364
1,187,968
Seagate Technology Holdings PLC (Tech.
Hardware, Storage & Periph.)
 
2,192
858,738
ServiceNow, Inc. (Software)
  (a)
469
49,034
TE Connectivity PLC (Electronic Equip., Instr. &
Comp.)
 
2,671
558,292
Teledyne Technologies, Inc. (Electronic Equip.,
Instr. & Comp.)
  (a)
274
165,773
Tyler Technologies, Inc. (Software)
  (a)
1,121
383,808
VeriSign, Inc. (IT Svs.)
 
8,222
2,042,016
 
 
142,388,405
Materials1.4%
 
CF Industries Holdings, Inc. (Chemicals)
 
19,985
2,594,853
Corteva, Inc. (Chemicals)
 
4,086
342,039
Newmont Corp. (Metals & Mining)
 
41,289
4,469,534
 
 
7,406,426
Real Estate3.9%
 
American Tower Corp. (Specialized REITs)
 
14,564
2,513,455
CBRE Group, Inc. Class A (Real Estate Mgmt. &
Development)
  (a)
17,346
2,349,689
Host Hotels & Resorts, Inc. (Hotel & Resort
REITs)
 
31,208
597,945
Invitation Homes, Inc. (Residential REITs)
 
7,369
183,120
Realty Income Corp. (Retail REITs)
 
14,153
865,881
Regency Centers Corp. (Retail REITs)
 
502
37,981
SBA Communications Corp.
(Specialized REITs)
 
8,588
1,478,081
Ventas, Inc. (Health Care REITs)
 
60,785
4,970,997
VICI Properties, Inc. (Specialized REITs)
 
88,232
2,410,498
Welltower, Inc. (Health Care REITs)
 
23,802
4,705,894
 
 
20,113,541
Utilities7.6%
 
Ameren Corp. (Multi-Utilities)
 
7,836
861,333
American Electric Power Co., Inc.
(Electric Utilities)
 
38,479
5,043,827
American Water Works Co., Inc.
(Water Utilities)
 
5,889
801,434
Atmos Energy Corp. (Gas Utilities)
 
17,963
3,318,125
CenterPoint Energy, Inc. (Multi-Utilities)
 
31,742
1,369,985
Consolidated Edison, Inc. (Multi-Utilities)
 
53,439
6,048,226
Duke Energy Corp. (Electric Utilities)
 
43,138
5,648,490
Evergy, Inc. (Electric Utilities)
 
1,115
91,341
Exelon Corp. (Electric Utilities)
 
56,337
2,761,640
FirstEnergy Corp. (Electric Utilities)
 
46,863
2,374,080
NiSource, Inc. (Multi-Utilities)
 
11,802
550,681
PG&E Corp. (Electric Utilities)
 
149,167
2,620,864
Southern Co. / The (Electric Utilities)
 
47,449
4,579,777
Vistra Corp. (Ind. Power & Renewable Elec.)
 
14,687
2,207,897
WEC Energy Group, Inc. (Multi-Utilities)
 
7,156
828,450
 
 
39,106,150
Total Common Stocks (Cost $476,998,938)
 
$514,547,651
Total Investments – 99.6% (Cost $476,998,938)
  (b)
$514,547,651
Other Assets in Excess of Liabilities – 0.4%
 
2,210,982
Net Assets – 100.0%
$516,758,633

Percentages are stated as a percent of net assets.
Abbreviations:
 
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
75

AuguStar Variable Insurance Products Fund, Inc.
AVIP AB Relative Value Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Common Stocks99.0%
Shares
Value
Communication Services7.1%
 
Alphabet, Inc. Class C (Interactive Media &
Svs.)
 
11,254
$3,228,322
AT&T, Inc. (Diversified Telecom. Svs.)
 
59,651
1,729,283
Meta Platforms, Inc. Class A (Interactive
Media & Svs.)
 
3,420
1,956,685
Walt Disney Co. / The (Entertainment)
 
17,972
1,732,141
 
 
8,646,431
Consumer Discretionary8.0%
 
BorgWarner, Inc. (Automobile Components)
 
10,850
588,721
Dick's Sporting Goods, Inc. (Specialty Retail)
 
8,023
1,590,881
Genuine Parts Co. (Distributors)
 
5,686
601,294
Lowe's Cos., Inc. (Specialty Retail)
 
11,292
2,668,074
Pool Corp. (Distributors)
 
5,696
1,152,472
Ross Stores, Inc. (Specialty Retail)
 
7,337
1,589,414
Yum! Brands, Inc. (Hotels, Restaurants &
Leisure)
 
10,542
1,639,070
 
 
9,829,926
Consumer Staples8.3%
 
Casey's General Stores, Inc. (Consumer
Staples Distribution & Retail)
 
1,717
1,249,736
Philip Morris International, Inc. (Tobacco)
 
22,183
3,667,737
Target Corp. (Consumer Staples Distribution &
Retail)
 
9,186
1,113,343
U.S. Foods Holding Corp. (Consumer Staples
Distribution & Retail)
  (a)
10,605
977,887
Walmart, Inc. (Consumer Staples Distribution &
Retail)
 
25,152
3,125,891
 
 
10,134,594
Energy8.8%
 
APA Corp. (Oil, Gas & Consumable Fuels)
 
27,365
1,161,371
Cactus, Inc. Class A (Energy Equip. & Svs.)
 
15,399
729,451
Chevron Corp. (Oil, Gas & Consumable Fuels)
 
15,319
3,169,501
ConocoPhillips (Oil, Gas & Consumable Fuels)
 
13,423
1,771,836
EOG Resources, Inc. (Oil, Gas & Consumable
Fuels)
 
16,157
2,335,817
Phillips 66 (Oil, Gas & Consumable Fuels)
 
3,530
643,095
SLB Ltd. (Energy Equip. & Svs.)
 
19,212
987,305
 
 
10,798,376
Financials16.7%
 
Axis Capital Holdings Ltd. (Insurance)
 
11,791
1,195,725
Berkshire Hathaway, Inc. Class B
(Financial Services)
  (a)
10,030
4,806,376
Citigroup, Inc. (Banks)
 
15,035
1,705,120
East West Bancorp, Inc. (Banks)
 
8,782
937,566
Jack Henry & Associates, Inc.
(Financial Services)
 
8,901
1,406,714
JPMorgan Chase & Co. (Banks)
 
14,413
4,239,728
Mastercard, Inc. Class A (Financial Services)
 
3,489
1,743,314
Progressive Corp. / The (Insurance)
 
5,696
1,129,175
Raymond James Financial, Inc.
(Capital Markets)
 
6,790
983,124
S&P Global, Inc. (Capital Markets)
 
1,277
543,159
Wells Fargo & Co. (Banks)
 
21,263
1,692,748
 
 
20,382,749
Health Care19.1%
 
Agilent Technologies, Inc. (Life Sciences Tools
& Svs.)
 
16,158
1,841,689
Align Technology, Inc. (Health Care Equip. &
Supplies)
  (a)
4,842
830,064
Cencora, Inc. (Health Care Providers & Svs.)
 
2,923
918,231
Charles River Laboratories International, Inc.
(Life Sciences Tools & Svs.)
  (a)
8,680
1,497,300
GE HealthCare Technologies, Inc. (Health Care
Equip. & Supplies)
 
18,137
1,290,992
Common Stocks (Continued)
Shares
Value
Health Care (continued)
 
Gilead Sciences, Inc. (Biotechnology)
 
13,229
$1,843,726
HCA Healthcare, Inc. (Health Care Providers &
Svs.)
 
2,228
1,054,379
Johnson & Johnson (Pharmaceuticals)
 
21,988
5,374,747
Quest Diagnostics, Inc. (Health Care Providers
& Svs.)
 
9,280
1,818,694
Regeneron Pharmaceuticals, Inc.
(Biotechnology)
 
2,920
2,256,109
ResMed, Inc. (Health Care Equip. & Supplies)
 
5,778
1,297,045
United Therapeutics Corp. (Biotechnology)
  (a)
1,888
1,119,546
UnitedHealth Group, Inc. (Health Care
Providers & Svs.)
 
8,334
2,255,097
 
 
23,397,619
Industrials18.1%
 
Allegion PLC (Building Products)
 
5,622
816,820
Allison Transmission Holdings, Inc.
(Machinery)
 
8,014
938,119
CSX Corp. (Ground Transportation)
 
32,146
1,319,593
Curtiss-Wright Corp. (Aerospace & Defense)
 
1,109
755,362
Generac Holdings, Inc. (Electrical Equip.)
  (a)
4,332
846,170
ITT, Inc. (Machinery)
 
7,970
1,518,524
J.B. Hunt Transport Services, Inc.
(Ground Transportation)
 
4,804
1,017,968
Landstar System, Inc. (Ground Transportation)
 
10,044
1,610,154
MSC Industrial Direct Co., Inc. Class A (Trading
Companies & Distributors)
 
10,290
949,458
nVent Electric PLC (Electrical Equip.)
 
5,353
633,153
Otis Worldwide Corp. (Machinery)
 
9,655
744,207
Owens Corning (Building Products)
 
9,920
1,073,542
PACCAR, Inc. (Machinery)
 
15,571
1,798,451
Paycom Software, Inc. (Professional Svs.)
 
4,793
582,541
RTX Corp. (Aerospace & Defense)
 
23,882
4,606,838
Veralto Corp. (Commercial Svs. & Supplies)
 
18,627
1,646,999
Westinghouse Air Brake Technologies Corp.
(Machinery)
 
5,409
1,351,763
 
 
22,209,662
Information Technology9.3%
 
Cisco Systems, Inc. (Communications Equip.)
 
38,542
2,990,474
Flex Ltd. (Electronic Equip., Instr. & Comp.)
  (a)
6,947
454,751
NetApp, Inc. (Tech. Hardware, Storage &
Periph.)
 
11,063
1,132,741
Salesforce, Inc. (Software)
 
3,400
634,678
Taiwan Semiconductor Manufacturing Co. Ltd.
– ADR (Semiconductors & Equip.)
 
7,152
2,417,018
Texas Instruments, Inc. (Semiconductors &
Equip.)
 
13,275
2,577,208
Zebra Technologies Corp. Class A (Electronic
Equip., Instr. & Comp.)
  (a)
5,457
1,140,949
 
 
11,347,819
Materials1.8%
 
CF Industries Holdings, Inc. (Chemicals)
 
3,966
514,945
Freeport-McMoRan, Inc. (Metals & Mining)
 
6,532
383,951
Steel Dynamics, Inc. (Metals & Mining)
 
7,409
1,333,620
 
 
2,232,516
Real Estate1.8%
 
Jones Lang LaSalle, Inc. (Real Estate Mgmt. &
Development)
  (a)
3,913
1,190,804
Public Storage (Specialized REITs)
 
3,596
974,085
 
 
2,164,889
Total Common Stocks (Cost $101,956,780)
 
$121,144,581
Total Investments – 99.0% (Cost $101,956,780)
  (b)
$121,144,581
Other Assets in Excess of Liabilities – 1.0%
 
1,230,129
Net Assets – 100.0%
$122,374,710

Percentages are stated as a percent of net assets.
Abbreviations:
 
ADR:
American Depositary Receipts
REITs:
Real Estate Investment Trusts
Footnotes:
 
(a)
Non-income producing security.
(b)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
The accompanying notes are an integral part of these financial statements.
76

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Managed Risk Balanced Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Exchange Traded Funds99.3%
Shares
Value
Invesco QQQ Trust Series 1 ETF
 
32,000
$18,469,760
iShares AAA CLO Active ETF
 
27,000
1,399,545
iShares Core MSCI EAFE ETF
 
217,905
19,726,939
iShares Core MSCI Emerging Markets ETF
 
105,402
7,351,789
iShares Core S&P 500 ETF
 
185,678
121,286,726
iShares Core S&P Mid-Cap ETF
 
205,000
13,843,650
iShares Core S&P Total U.S. Stock Market ETF
 
34,000
4,842,620
iShares Core U.S. Aggregate Bond ETF
 
1,865,199
185,158,305
iShares iBoxx $ Investment Grade Corporate Bond ETF
 
249,317
27,173,060
iShares MSCI EAFE ETF
 
69,613
6,761,511
iShares Russell 1000 ETF
 
23,153
8,255,434
State Street SPDR Portfolio S&P 500 Value ETF
 
220,000
12,447,600
Vanguard S&P 500 ETF
 
38,000
22,706,900
Vanguard Total Stock Market ETF
 
55,000
17,644,550
Total Exchange Traded Funds (Cost $400,946,291)
 
$467,068,389
Total Investments – 99.3% (Cost $400,946,291)
  (a)
$467,068,389
Other Assets in Excess of Liabilities – 0.7%
  (b)
3,232,088
Net Assets – 100.0%
$470,300,477

Percentages are stated as a percent of net assets.
Abbreviations:
 
CLO:
Collateralized Loan Obligation
ETF:
Exchange Traded Fund
Footnotes:
 
(a)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(b)
Includes $1,035,143 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CBT 10-Year U.S. Treasury Note - Long
137
June 18, 2026
$15,513,362
$15,213,422
$(299,940
)
$32,109
MSCI EAFE Index - Long
18
June 19, 2026
2,658,730
2,610,990
(47,740
)
81,990
MSCI Emerging Markets Index - Long
168
June 19, 2026
12,693,613
12,218,640
(474,973
)
441,000
Total Futures Contracts
 
 
$30,865,705
$30,043,052
$(822,653
)
$555,099
The accompanying notes are an integral part of these financial statements.
77

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Managed Risk Moderate Growth Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Exchange Traded Funds99.7%
Shares
Value
Invesco QQQ Trust Series 1 ETF
 
46,000
$26,550,280
iShares Core MSCI EAFE ETF
 
264,694
23,962,748
iShares Core MSCI Emerging Markets ETF
 
176,946
12,341,983
iShares Core S&P 500 ETF
 
499,352
326,181,720
iShares Core S&P Total U.S. Stock Market ETF
 
428,000
60,960,040
iShares Core U.S. Aggregate Bond ETF
 
3,299,067
327,498,381
iShares MSCI EAFE ETF
 
24,921
2,420,577
iShares Russell 1000 ETF
 
46,454
16,563,638
State Street SPDR Portfolio S&P 500 Value ETF
 
257,000
14,541,060
Vanguard S&P 500 ETF
 
325,800
194,681,790
Vanguard S&P 500 Value ETF
 
7,000
1,426,530
Vanguard Total Bond Market ETF
 
1,100,000
81,004,000
Vanguard Total Stock Market ETF
 
193,923
62,212,438
Total Exchange Traded Funds (Cost $1,112,353,182)
 
$1,150,345,185
Total Investments – 99.7% (Cost $1,112,353,182)
  (a)
$1,150,345,185
Other Assets in Excess of Liabilities – 0.3%
  (b)
3,251,366
Net Assets – 100.0%
$1,153,596,551

Percentages are stated as a percent of net assets.
Abbreviations:
 
ETF:
Exchange Traded Fund
Footnotes:
 
(a)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(b)
Includes $1,954,603 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P 500 Index - Long
55
June 18, 2026
$18,578,794
$18,069,563
$(509,231
)
$501,875
MSCI EAFE Index - Long
32
June 19, 2026
4,726,631
4,641,760
(84,871
)
145,760
MSCI Emerging Markets Index - Long
73
June 19, 2026
5,515,677
5,309,290
(206,387
)
191,625
Total Futures Contracts
 
 
$28,821,102
$28,020,613
$(800,489
)
$839,260
The accompanying notes are an integral part of these financial statements.
78

AuguStar Variable Insurance Products Fund, Inc.
AVIP Constellation Managed Risk Growth Portfolio
Schedule of Investments
March 31, 2026 (Unaudited) 
Exchange Traded Funds98.9%
Shares
Value
Invesco QQQ Trust Series 1 ETF
 
51,000
$29,436,180
iShares Core MSCI EAFE ETF
 
296,899
26,878,266
iShares Core MSCI Emerging Markets ETF
 
83,134
5,798,597
iShares Core S&P 500 ETF
 
224,120
146,397,425
iShares Core S&P Mid-Cap ETF
 
250,000
16,882,500
iShares Core S&P Total U.S. Stock Market ETF
 
69,000
9,827,670
iShares Core U.S. Aggregate Bond ETF
 
756,640
75,111,653
iShares MSCI EAFE ETF
 
93,897
9,120,216
iShares Russell 1000 ETF
 
31,834
11,350,731
State Street SPDR Portfolio S&P 500 Value ETF
 
235,000
13,296,300
Vanguard S&P 500 ETF
 
26,000
15,536,300
Vanguard S&P 500 Value ETF
 
7,000
1,426,530
Vanguard Total Stock Market ETF
 
75,000
24,060,750
Total Exchange Traded Funds (Cost $288,898,452)
 
$385,123,118
Total Investments – 98.9% (Cost $288,898,452)
  (a)
$385,123,118
Other Assets in Excess of Liabilities – 1.1%
  (b)
4,363,185
Net Assets – 100.0%
$389,486,303

Percentages are stated as a percent of net assets.
Abbreviations:
 
ETF:
Exchange Traded Fund
Footnotes:
 
(a)
Represents cost for financial reporting purposes, which may differ from cost basis for federal income tax purposes. See also Note 4 of the Notes to Schedules of
Investments.
(b)
Includes $1,959,708 of cash pledged as collateral for the futures contracts outstanding at March 31, 2026. See also the following Schedule of Open Futures
Contracts.
The accompanying notes are an integral part of these financial statements.
Schedule of Open Futures Contracts
March 31, 2026 (Unaudited)
Long Futures Contracts
Description
Number of
contracts
Expiration Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
Variation Margin
Receivable
(Payable)
CME E-mini S&P 500 Index - Long
71
June 18, 2026
$23,983,534
$23,326,163
$(657,371
)
$647,875
MSCI EAFE Index - Long
4
June 19, 2026
590,829
580,220
(10,609
)
18,220
MSCI Emerging Markets Index - Long
9
June 19, 2026
680,015
654,570
(25,445
)
23,625
Total Futures Contracts
 
 
$25,254,378
$24,560,953
$(693,425
)
$689,720
The accompanying notes are an integral part of these financial statements.
79

AuguStar Variable Insurance Products Fund, Inc.
AVIP Moderately Conservative Model Portfolio
Schedule of Investments in Unaffiliated Issuers
March 31, 2026 (Unaudited) 
Open-End Mutual Funds34.1%
Shares
Value
DFA Emerging Markets Portfolio Institutional
 
40,341
$1,550,304
DFA International Core Equity Portfolio Institutional
 
223,474
4,652,720
PIMCO Low Duration Institutional
 
2,010,933
18,641,345
PIMCO Total Return Institutional
 
3,023,454
26,424,987
Vanguard International Growth Fund Admiral Class
 
14,316
1,548,173
Total Open-End Mutual Funds
 
$52,817,529
Total Investments in Securities of Unaffiliated Issuers – 34.1% (Cost $52,528,922)
 
$52,817,529
Total Investments in Affiliates – 66.0% (Cost $96,274,362) (see schedule below)
 
102,179,436
Liabilities in Excess of Other Assets – (0.1)%
 
(93,763
)
Net Assets – 100.0%
$154,903,202

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
Schedule of Investments in Affiliates
March 31, 2026 (Unaudited)
Affiliate
 
Value at
January 1, 2026
Cost of
Purchases
Proceeds
from Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation
(Depreciation)
Shares at
March 31,
2026
Value at
March 31,
2026
Open-End Mutual Funds – 66.0%
 
AVIP AB Mid Cap Core Portfolio
  (a)
$1,654,491
$69,747
$198,195
$57,403
$(35,273
)
44,488
$1,548,173
AVIP AB Relative Value Portfolio
  (a)
1,654,491
7,975
163,887
37,384
12,210
121,616
1,548,173
AVIP AB Small Cap Portfolio
  (a)
1,654,491
91,436
211,122
62,195
(48,827
)
104,254
1,548,173
AVIP BlackRock Advantage International Equity Portfolio
  (a)
6,617,964
222,454
716,549
228,171
(159,347
)
300,762
6,192,693
AVIP BlackRock Advantage Large Cap Core Portfolio
  (a)
3,308,982
49,152
141,489
48,878
(169,176
)
81,333
3,096,347
AVIP BlackRock Advantage Large Cap Value Portfolio
  (a)
4,963,473
16,863
498,876
130,083
32,977
219,703
4,644,520
AVIP Bond Portfolio
  (a)
16,544,911
23,340
1,020,706
(115,518
)
49,706
893,865
15,481,733
AVIP Core Plus Bond Portfolio
  (a)
24,817,366
58,565
1,664,755
(145,607
)
157,030
2,532,454
23,222,599
AVIP High Income Bond Portfolio
  (a)
9,926,947
51,694
678,364
(21,625
)
10,388
476,605
9,289,040
AVIP Nasdaq-100® Index Portfolio
  (a)
1,654,491
61,554
72,699
22,033
(117,206
)
93,151
1,548,173
AVIP S&P 500® Index Portfolio
  (a)
23,162,875
327,641
834,425
163,226
(1,144,891
)
499,066
21,674,426
AVIP S&P MidCap 400® Index Portfolio
  (a)
13,235,929
559,939
1,782,781
257,335
114,964
574,461
12,385,386
Total Open-End Mutual Funds
 
$723,958
$(1,297,445
)
$102,179,436

Percentages are stated as a percent of net assets.
Footnotes:
 
(a)
Pursuant to Section 2(a)(3) of the Investment Company Act of 1940, the investment meets the definition of “affiliated person”, as the Portfolio directly or indirectly
owns, controls, or holds with power to vote 5 percent or more of the outstanding voting securities of the holding at March 31, 2026.
The accompanying notes are an integral part of these financial statements.
80

AuguStar Variable Insurance Products Fund, Inc.
AVIP Balanced Model Portfolio
Schedule of Investments in Unaffiliated Issuers
March 31, 2026 (Unaudited) 
Open-End Mutual Funds29.1%
Shares
Value
DFA Emerging Markets Portfolio Institutional
 
336,927
$12,948,097
DFA International Core Equity Portfolio Institutional
 
1,555,376
32,382,924
PIMCO Low Duration Institutional
 
5,598,523
51,898,309
PIMCO Total Return Institutional
 
8,912,574
77,895,901
Vanguard International Growth Fund Admiral Class
 
119,568
12,930,138
Total Open-End Mutual Funds
 
$188,055,369
Total Investments in Securities of Unaffiliated Issuers – 29.1% (Cost $177,562,607)
 
$188,055,369
Total Investments in Affiliates – 70.9% (Cost $415,459,882) (see schedule below)
 
459,019,901
Liabilities in Excess of Other Assets – 0.0%
 
(265,280
)
Net Assets – 100.0%
$646,809,990

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
Schedule of Investments in Affiliates
March 31, 2026 (Unaudited)
Affiliate
 
Value at
January 1, 2026
Cost of
Purchases
Proceeds
from Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation
(Depreciation)
Shares at
March 31,
2026
Value at
March 31,
2026
Open-End Mutual Funds – 70.9%
 
AVIP AB Mid Cap Core Portfolio
  (a)
$6,783,395
$100,829
$499,727
$143,566
$(62,994
)
185,778
$6,465,069
AVIP AB Relative Value Portfolio
  (a)
27,133,582
10,785
2,077,124
356,289
436,744
2,031,444
25,860,276
AVIP AB Small Cap Portfolio
  (a)
6,783,395
155,555
515,945
150,013
(107,949
)
435,358
6,465,069
AVIP BlackRock Advantage International Equity Portfolio
  (a)
47,483,768
1,311,179
3,975,338
1,707,532
(1,271,658
)
2,197,935
45,255,483
AVIP BlackRock Advantage Large Cap Core Portfolio
  (a)
13,566,791
228,832
353,258
(8,234
)
(503,993
)
339,641
12,930,138
AVIP BlackRock Advantage Large Cap Growth Portfolio
  (a)
6,783,395
428,289
136,241
32,331
(642,705
)
751,752
6,465,069
AVIP BlackRock Advantage Large Cap Value Portfolio
  (a)
27,133,582
1,852
2,154,023
(118,788
)
997,653
1,223,287
25,860,276
AVIP BlackRock Advantage Small Cap Growth Portfolio
  (a)
13,566,791
665,706
963,686
310,214
(648,887
)
493,894
12,930,138
AVIP Bond Portfolio
  (a)
47,483,768
138,401
2,158,996
(255,962
)
48,272
2,612,903
45,255,483
AVIP Core Plus Bond Portfolio
  (a)
67,833,954
322,663
3,521,933
(300,558
)
316,564
7,050,239
64,650,690
AVIP High Income Bond Portfolio
  (a)
27,133,582
63,738
1,296,877
74,571
(114,738
)
1,326,848
25,860,276
AVIP Nasdaq-100® Index Portfolio
  (a)
6,783,395
286,097
202,395
44,184
(446,212
)
388,993
6,465,069
AVIP S&P 500® Index Portfolio
  (a)
108,534,327
1,915,369
2,250,136
540,211
(5,298,666
)
2,381,789
103,441,105
AVIP S&P MidCap 400® Index Portfolio
  (a)
74,617,350
1,031,798
6,522,699
(167,416
)
2,156,727
3,298,505
71,115,760
Total Open-End Mutual Funds
 
$2,507,953
$(5,141,842
)
$459,019,901

Percentages are stated as a percent of net assets.
Footnotes:
 
(a)
Pursuant to Section 2(a)(3) of the Investment Company Act of 1940, the investment meets the definition of “affiliated person”, as the Portfolio directly or indirectly
owns, controls, or holds with power to vote 5 percent or more of the outstanding voting securities of the holding at March 31, 2026.
The accompanying notes are an integral part of these financial statements.
81

AuguStar Variable Insurance Products Fund, Inc.
AVIP Moderate Growth Model Portfolio
Schedule of Investments in Unaffiliated Issuers
March 31, 2026 (Unaudited) 
Open-End Mutual Funds21.1%
Shares
Value
DFA Emerging Markets Portfolio Institutional
 
682,174
$26,215,958
DFA International Core Equity Portfolio Institutional
 
4,408,848
91,792,207
PIMCO Low Duration Institutional
 
4,250,739
39,404,345
PIMCO Total Return Institutional
 
10,526,469
92,001,340
Vanguard International Growth Fund Admiral Class
 
242,086
26,179,214
Total Open-End Mutual Funds
 
$275,593,064
Total Investments in Securities of Unaffiliated Issuers – 21.1% (Cost $240,506,240)
 
$275,593,064
Total Investments in Affiliates – 78.9% (Cost $914,522,429) (see schedule below)
 
1,034,078,954
Liabilities in Excess of Other Assets – 0.0%
 
(493,842
)
Net Assets – 100.0%
$1,309,178,176

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
Schedule of Investments in Affiliates
March 31, 2026 (Unaudited)
Affiliate
 
Value at
January 1, 2026
Cost of
Purchases
Proceeds
from Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation
(Depreciation)
Shares at
March 31,
2026
Value at
March 31,
2026
Open-End Mutual Funds – 78.9%
 
AVIP AB Mid Cap Core Portfolio
  (a)
$13,738,620
$75,148
$882,828
$100,781
$57,886
376,138
$13,089,607
AVIP AB Relative Value Portfolio
  (a)
68,693,098
 —
5,248,715
896,918
1,106,734
5,141,244
65,448,035
AVIP AB Small Cap Portfolio
  (a)
27,477,239
483,897
1,937,098
553,789
(398,613
)
1,762,910
26,179,214
AVIP BlackRock Advantage International Equity Portfolio
  (a)
109,908,957
1,720,524
7,879,331
2,589,742
(1,623,036
)
5,085,811
104,716,856
AVIP BlackRock Advantage Large Cap Core Portfolio
  (a)
54,954,479
777,104
1,273,723
302,831
(2,402,263
)
1,375,320
52,358,428
AVIP BlackRock Advantage Large Cap Growth Portfolio
  (a)
27,477,239
1,865,013
673,881
154,338
(2,643,495
)
3,044,095
26,179,214
AVIP BlackRock Advantage Large Cap Value Portfolio
  (a)
82,431,718
1
6,560,216
(366,247
)
3,032,386
3,715,120
78,537,642
AVIP BlackRock Advantage Small Cap Growth Portfolio
  (a)
41,215,859
1,500,881
2,384,830
764,848
(1,827,937
)
1,499,955
39,268,821
AVIP Bond Portfolio
  (a)
68,693,098
659,070
3,597,703
(355,034
)
48,604
3,778,755
65,448,035
AVIP Core Plus Bond Portfolio
  (a)
96,170,338
1,099,840
5,661,697
(489,377
)
508,145
9,992,066
91,627,249
AVIP High Income Bond Portfolio
  (a)
27,477,239
331,105
1,586,529
23,303
(65,904
)
1,343,213
26,179,214
AVIP Nasdaq-100® Index Portfolio
  (a)
27,477,239
1,142,597
795,098
164,325
(1,809,849
)
1,575,163
26,179,214
AVIP S&P 500® Index Portfolio
  (a)
261,033,774
3,972,621
4,723,922
1,745,942
(13,325,881
)
5,726,515
248,702,534
AVIP S&P MidCap 400® Index Portfolio
  (a)
178,602,056
856,118
14,032,891
5,293,350
(553,742
)
7,892,620
170,164,891
Total Open-End Mutual Funds
 
$11,379,509
$(19,896,965
)
$1,034,078,954

Percentages are stated as a percent of net assets.
Footnotes:
 
(a)
Pursuant to Section 2(a)(3) of the Investment Company Act of 1940, the investment meets the definition of “affiliated person”, as the Portfolio directly or indirectly
owns, controls, or holds with power to vote 5 percent or more of the outstanding voting securities of the holding at March 31, 2026.
The accompanying notes are an integral part of these financial statements.
82

AuguStar Variable Insurance Products Fund, Inc.
AVIP Growth Model Portfolio
Schedule of Investments in Unaffiliated Issuers
March 31, 2026 (Unaudited) 
Open-End Mutual Funds17.0%
Shares
Value
DFA Emerging Markets Portfolio Institutional
 
257,668
$9,902,205
DFA International Core Equity Portfolio Institutional
 
1,427,396
29,718,384
PIMCO Low Duration Institutional
 
356,801
3,307,543
PIMCO Total Return Institutional
 
757,350
6,619,236
Vanguard International Growth Fund Admiral Class
 
60,960
6,592,221
Total Open-End Mutual Funds
 
$56,139,589
Total Investments in Securities of Unaffiliated Issuers – 17.0% (Cost $44,818,526)
 
$56,139,589
Total Investments in Affiliates – 83.0% (Cost $236,989,172) (see schedule below)
 
273,577,169
Liabilities in Excess of Other Assets – 0.0%
 
(152,753
)
Net Assets – 100.0%
$329,564,005

Percentages are stated as a percent of net assets.
The accompanying notes are an integral part of these financial statements.
Schedule of Investments in Affiliates
March 31, 2026 (Unaudited)
Affiliate
 
Value at
January 1, 2026
Cost of
Purchases
Proceeds
from Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation
(Depreciation)
Shares at
March 31,
2026
Value at
March 31,
2026
Open-End Mutual Funds – 83.0%
 
AVIP AB Mid Cap Core Portfolio
  (a)
$3,398,157
$7,147
$145,382
$(93,494
)
$129,683
94,716
$3,296,111
AVIP AB Relative Value Portfolio
  (a)
20,388,940
284
1,201,641
267,636
321,444
1,553,548
19,776,663
AVIP AB Small Cap Portfolio
  (a)
10,194,470
153,222
506,869
143,485
(95,977
)
665,881
9,888,331
AVIP BlackRock Advantage International Equity Portfolio
  (a)
37,379,724
609,000
2,036,207
684,040
(379,342
)
1,760,914
36,257,215
AVIP BlackRock Advantage Large Cap Core Portfolio
  (a)
20,388,940
611,459
425,046
(70,165
)
(728,525
)
519,482
19,776,663
AVIP BlackRock Advantage Large Cap Growth Portfolio
  (a)
6,796,313
577,463
156,083
29,398
(654,870
)
766,537
6,592,221
AVIP BlackRock Advantage Large Cap Value Portfolio
  (a)
23,787,097
 —
1,478,014
(82,310
)
846,000
1,091,427
23,072,773
AVIP BlackRock Advantage Small Cap Growth Portfolio
  (a)
13,592,627
468,767
505,083
35,642
(407,511
)
503,607
13,184,442
AVIP Bond Portfolio
  (a)
6,796,313
159,282
331,274
16,749
(48,849
)
380,613
6,592,221
AVIP Core Plus Bond Portfolio
  (a)
10,194,470
249,212
555,898
(10,114
)
10,661
1,078,335
9,888,331
AVIP High Income Bond Portfolio
  (a)
3,398,157
100,457
196,677
7,241
(13,068
)
169,118
3,296,110
AVIP Nasdaq-100® Index Portfolio
  (a)
10,194,470
576,632
259,546
53,287
(676,511
)
594,966
9,888,332
AVIP S&P 500® Index Portfolio
  (a)
64,564,977
2,080,001
1,084,870
343,278
(3,277,287
)
1,442,001
62,626,099
AVIP S&P MidCap 400® Index Portfolio
  (a)
50,972,350
113,113
2,961,981
955,941
362,234
2,293,212
49,441,657
Total Open-End Mutual Funds
 
$2,280,614
$(4,611,918
)
$273,577,169

Percentages are stated as a percent of net assets.
Footnotes:
 
(a)
Pursuant to Section 2(a)(3) of the Investment Company Act of 1940, the investment meets the definition of “affiliated person”, as the Portfolio directly or indirectly
owns, controls, or holds with power to vote 5 percent or more of the outstanding voting securities of the holding at March 31, 2026.
The accompanying notes are an integral part of these financial statements.
83

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments
March 31, 2026 (Unaudited) 
(1)Organization
AuguStar Variable Insurance Products Fund, Inc. (the “Fund”) is a Maryland corporation registered under the Investment Company Act of 1940, as amended (the "40 Act").  The Fund is an open-end investment company and follows accounting and reporting guidance under Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) Topic 946, “Financial Services-Investment Companies”.  The Fund consists of twenty-five separate investment portfolios (the “Portfolios”).
The AVIP Constellation Managed Risk Balanced Portfolio, AVIP Constellation Managed Risk Moderate Growth Portfolio, and AVIP Constellation Managed Risk Growth Portfolio are collectively referred to as the "AVIP Constellation Managed Risk Portfolios". The AVIP Moderately Conservative Model Portfolio, AVIP Balanced Model Portfolio, AVIP Moderate Growth Model Portfolio, and AVIP Growth Model Portfolio are collectively referred to as the "AVIP Model Portfolios". Each of the AVIP Constellation Managed Risk Portfolios and AVIP Model Portfolios, as well as the AVIP Constellation Dynamic Risk Balanced Portfolio, is a “Fund of Funds”, which means each Portfolio significantly invests in other open-end mutual funds or exchange traded funds (“ETFs”).  Those underlying mutual funds or ETFs invest in stocks, bonds, and other securities that are consistently recorded at fair value, but involve varying amounts of potential investment risk and reward.  The portfolio management team of each of those Portfolios periodically adjusts the investment allocation to allow each of those Portfolios to achieve its investment objective.  Additional information about the underlying fund holdings is available at www.sec.gov.
Details regarding Portfolio-specific objectives, policies, and investment strategies are provided in the Portfolios' Prospectuses and Statements of Additional Information.  There are no assurances that these objectives will be met.  Each Portfolio, except the AVIP Nasdaq-100® Index Portfolio and  AVIP S&P 500® Index Portfolio, is classified as diversified for purposes of Section 5(b) of the 40 Act. 
The Fund issues its shares to separate accounts of AuguStar Life Insurance Company ("ALIC") and National Security Life and Annuity Company (“NSLA”) to support certain benefits under variable contracts issued by those entities, as well as for purchases by other Portfolios of the Fund.  In the future, Fund shares may be used for other purposes but, unless there is a change in applicable law, they will not be sold directly to the public.
ALIC and NSLA, at present, do not market or issue variable annuities. ALIC and NSLA will continue to service the in-force variable annuity contracts, the variable separate accounts, and underlying subaccounts regardless of new sales.
Interest in each Portfolio is represented by a separate class of the Fund’s capital stock, par value $1.  Each share of a Portfolio participates equally in the Portfolio’s dividends, distributions, net assets, and voting matters.
The Fund is authorized to issue 1.55 billion of its capital shares.  The Fund's Board of Directors (the "Board") periodically reallocates authorized shares among the Portfolios of the Fund and may authorize additional shares as deemed necessary.  In a meeting on August 28, 2025, the Board designated two share classes for certain Portfolios.  The Board authorized shares to be allocated to specific Portfolios of the Fund as follows: 
Class I:    
Portfolio
Authorized Shares
Portfolio
Authorized Shares
AVIP Bond
25,000,000
AVIP BlackRock Advantage Large Cap Growth
62,000,000
AVIP BlackRock Balanced Allocation
15,000,000
AVIP Constellation Dynamic Risk Balanced
170,000,000
AVIP BlackRock Advantage International Equity
35,000,000
AVIP Core Plus Bond
95,000,000
AVIP Fidelity Institutional AM® Equity Growth
19,000,000
AVIP Intech U.S. Low Volatility
65,000,000
AVIP AB Small Cap
27,000,000
AVIP AB Relative Value
16,000,000
AVIP AB Mid Cap Core
5,000,000
AVIP Constellation Managed Risk Balanced
83,000,000
AVIP S&P 500® Index
50,000,000
AVIP Constellation Managed Risk Moderate Growth
140,000,000
AVIP BlackRock Advantage Large Cap Value
14,000,000
AVIP Constellation Managed Risk Growth
50,000,000
AVIP High Income Bond
10,000,000
AVIP Moderately Conservative Model
26,000,000
AVIP Nasdaq-100® Index
21,000,000
AVIP Balanced Model
107,000,000
AVIP BlackRock Advantage Large Cap Core
12,000,000
AVIP Moderate Growth Model
200,000,000
AVIP BlackRock Advantage Small Cap Growth
8,000,000
AVIP Growth Model
48,000,000
AVIP S&P MidCap 400® Index
37,000,000
 
Class II:
Portfolio
Authorized Shares
Portfolio
Authorized Shares
AVIP Bond
10,000,000
AVIP Nasdaq-100® Index
10,000,000
AVIP BlackRock Balanced Allocation
10,000,000
AVIP BlackRock Advantage Large Cap Core
10,000,000
AVIP BlackRock Advantage International Equity
10,000,000
AVIP BlackRock Advantage Small Cap Growth
10,000,000
84
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Portfolio
Authorized Shares
Portfolio
Authorized Shares
AVIP Fidelity Institutional AM® Equity Growth
10,000,000
AVIP S&P MidCap 400® Index
10,000,000
AVIP AB Small Cap
10,000,000
AVIP BlackRock Advantage Large Cap Growth
10,000,000
AVIP AB Mid Cap Core
10,000,000
AVIP Constellation Dynamic Risk Balanced
20,000,000
AVIP S&P 500® Index
30,000,000
AVIP Core Plus Bond
10,000,000
AVIP BlackRock Advantage Large Cap Value
10,000,000
AVIP Intech U.S. Low Volatility
10,000,000
AVIP High Income Bond
10,000,000
AVIP AB Relative Value
10,000,000
While the Class II shares are authorized, there were no shares issued or outstanding through March 31, 2026.  As such, all financial statements and corresponding notes to the financial statements are reflective of Class I shares only.
Under the Fund’s organizational documents, its Officers and Directors are indemnified against certain liabilities arising out of the performance of their duties to the Fund.  In addition, in the normal course of business, the Fund enters into contracts with its vendors and others that provide for general indemnifications.  The Fund’s maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Fund.  However, based on experience, the risk of loss to the Fund is expected to be remote.
(2)Significant Accounting Policies
The following is a summary of significant accounting policies followed by the Fund in preparation of its financial statements:
Use of Estimates
The preparation of financial statements, in conformity with U.S. generally accepted accounting principles (“U.S. GAAP”), requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates.
Cash Balance Credit Risk
The Fund may place portions of its uninvested cash with financial institutions in the United States, which are insured by the Federal Deposit Insurance Corporation (“FDIC”) up to $250,000 for each account holder. The Fund may be subject to credit risk to the extent amounts on deposit are in excess of the insured limits.
Security Valuation and Fair Value Measurement
The Board has adopted policies for the valuation of the Fund’s securities, which include guidelines for valuation when active market quotations are not readily available.  The Board has designated authority to the Fund’s adviser, Constellation Investments, Inc. (“CINV”) to apply those guidelines in the determination of fair value, subject to oversight by the Board.
The Portfolios are valued each day the New York Stock Exchange ("NYSE") is open for unrestricted trading.  The Portfolios' investments are valued as follows:
Domestic equity securities that are traded on U.S. exchanges, other than the Nasdaq Stock Market, are valued at the last trade price reported by the primary exchange of each security (4:00 pm Eastern Time for normal trading sessions). Domestic equity securities that are listed on the Nasdaq Stock Market are valued at the Nasdaq Official Closing Price (“NOCP”). Over-the-counter domestic equity securities are valued at the last trade price reported daily as of 4:00 pm Eastern Time (normal trading sessions).  If, on a particular day, a domestic equity security does not trade, or otherwise cannot be priced by independent pricing services, then a broker quotation as of the end of the current trading session, the evaluated mean between the bid and ask prices, as reported by an approved independent pricing source, or a previous last trade price may be used when appropriate.
Over-the-counter traded American Depositary Receipts ("ADRs") may also be valued at an evaluated price based on the value of the underlying securities. If an underlying equity security is not traded on a particular day, the mean between the bid and ask prices reported at 4:00 pm Eastern Time (normal trading sessions) by the primary exchange will generally be used for valuation purposes. The principal sources for market quotations are independent pricing services that have been approved by the Board or its designee.
Futures contracts are valued at the daily quoted settlement prices as reported by an approved independent pricing source.
85
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Swap contracts are valued on the basis of evaluations as of 4:00 pm Eastern Time that are provided by an approved independent pricing source.  Evaluations are based on methodologies that consider market observable inputs such as interest rates, payment frequencies, and maturities.
Shares of open-end mutual funds are valued at each fund’s last calculated net asset value per share.
Shares of closed-end mutual funds that are traded on U.S. exchanges are valued similarly to other domestic equity securities, typically at the last trade price reported by the primary exchange of each fund (4:00 pm Eastern Time for normal trading sessions).
Foreign equity securities are initially priced at the reported close price of the exchange on which a security is primarily traded.  Securities not traded on a particular day are valued at the mean between the last reported bid and ask quotes at daily close, or the last sale price when appropriate. The principal sources for market quotations are independent pricing services that have been approved by the Board or its designee.
Equity securities that are primarily traded on foreign exchanges, other than those with close times that are consistent with the normal 4:00 pm Eastern Time close of U.S. equity markets, are further subjected to fair valuation pricing procedures provided by an independent fair valuation service.  The service provides data that can be used to estimate the price of a foreign issue that would prevail in a liquid market given market information available at 4:00 pm Eastern Time (normal trading sessions) each day that the NYSE is open for trading and net asset values are calculated for the Portfolios. Multiple factors may be considered in performing this valuation, including U.S. intraday market and sector returns, currency valuations, and pricing of related depository receipts, exchange traded funds, and futures.  Backtesting analysis is performed on a quarterly basis to monitor the effectiveness of these procedures.  The testing is reviewed by management of the Fund and the results of testing are reported to the Board. Prior results have indicated that these procedures have been effective in reaching pre-determined valuation objectives.
Fixed income securities that have a remaining maturity exceeding sixty days are generally valued at the evaluated bid price reported at 4:00 pm Eastern Time (normal trading sessions), as provided by independent pricing services approved by the Board or its designee. Many fixed income securities, including investment grade and high-yield corporate bonds, U.S. Treasury and government agency obligations, and other asset-backed instruments are not actively traded on a daily basis.  As such, the approved pricing services may use asset type-specific valuation models to provide good faith determinations of value that the holders of securities would receive in an orderly transaction under current market conditions.  The valuation models may use observable market data such as recent transaction data, benchmark yields, broker/dealer inputs, valuations and yields of comparable instruments, relative credit information, observed market movements, and market research and news.  
Asset-backed securities and mortgage-backed securities may use valuation models that heavily consider predicted cash flows of each tranche of an issue, benchmark spreads, and unique attributes of the tranche.  The last trade or last evaluated bid may be used if an evaluated bid price is not available.
Fixed income instruments that mature in sixty days or less, and of sufficient credit quality, are valued at amortized cost. Amortized cost valuation involves valuing a security at its cost initially and thereafter amortizing to maturity any discounts or premiums on the level-yield method, regardless of the impact of fluctuating market interest rates on the value of the security. In these instances, amortized cost approximates fair value.
Restricted securities, illiquid securities, or other investments for which market quotations or other observable market inputs are not readily available are valued using methods determined in good faith by CINV's Pricing Committee, which is subjected to oversight by the Board.
U.S exchange-traded options are valued at the composite basis last sale price as reported to a Board-approved independent pricing service by the Options Price Reporting Authority ("OPRA"). If there are no reported trades for a trading session, the evaluated composite-basis bid price or other method will be used for valuation purposes.
The differences between the aggregate cost and values of investments are reflected as unrealized appreciation or unrealized depreciation.
86
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Pricing inputs used in the determination of investment values are categorized according to a three-tier hierarchy framework.  The hierarchy is summarized in three broad levels:
Level 1:   Quoted prices in active markets for identical securities.
Level 2:   Other significant observable inputs, including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.
Level 3:   Significant unobservable inputs, including the Fund’s own assumptions used to determine the value of securities.
The following is a summary of the inputs used in valuing each of the Portfolio’s assets (liabilities) at value as of March 31, 2026:
Portfolio
Financial Instrument Type
Level 1
Level 2
Level 3
AVIP Bond
Corporate Bonds***
$
$199,426,242
$
 
Asset-Backed Securities***
45,260,658
 
Preferred Securities***
4,395,230
 
U.S. Treasury Obligations
1,463,203
 
 
$ —
$250,545,333
$ —
 
Long Futures Contracts
$(557,748
)
$
$
AVIP BlackRock Balanced Allocation
Common Stocks***
$241,859,783
$
$
 
Corporate Bonds***
83,626,255
 
Asset-Backed Securities***
2,975,427
 
Preferred Securities***
2,600,967
 
 
$241,859,783
$89,202,649
$ —
 
Long Futures Contracts
$(190,116
)
$
$
 
Short Futures Contracts
$108,564
$
$
AVIP BlackRock Advantage International
Equity
Common Stocks***
$
$322,509,651
$
 
Long Futures Contracts
$(76,789
)
$
$
AVIP Fidelity Institutional AM® Equity
Growth
Common Stocks***
$204,789,378
$11,374,176
$
 
Rights***
183
 
 
$204,789,378
$11,374,359
$ —
AVIP AB Small Cap
Common Stocks***
$267,579,734
$
$
 
Exchange Traded Funds
1,156,953
 
 
$268,736,687
$ —
$ —
AVIP AB Mid Cap Core
Common Stocks***
$97,904,381
$
$
 
Exchange Traded Funds
104,231
 
 
$98,008,612
$ —
$ —
AVIP S&P 500® Index
Common Stocks***
$1,091,264,923
$
$
 
U.S. Treasury Obligations
469,947
 
 
$1,091,264,923
$469,947
$ —
 
Long Futures Contracts
$(59,531
)
$
$
AVIP BlackRock Advantage Large Cap
Value
Common Stocks***
$179,953,323
$
$
 
Long Futures Contracts
$(38,658
)
$
$
87
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Portfolio
Financial Instrument Type
Level 1
Level 2
Level 3
AVIP High Income Bond
Corporate Bonds***
$
$110,658,619
$
 
Preferred Securities***
3,140,087
 
Common Stocks***
14,450
 
 
$ —
$113,798,706
$14,450
AVIP Nasdaq-100® Index
Common Stocks***
$237,374,545
$
$
 
U.S. Treasury Obligations
112,509
 
 
$237,374,545
$112,509
$ —
 
Long Futures Contracts
$(28,151
)
$
$
AVIP BlackRock Advantage Large Cap
Core
Common Stocks***
$301,162,410
$
$
 
Long Futures Contracts
$(63,337
)
$
$
AVIP BlackRock Advantage Small Cap
Growth
Common Stocks***
$120,338,763
$
$
 
Rights***
11,608
 
 
$120,338,763
$11,608
$ —
 
Long Futures Contracts
$(9,025
)
$
$
AVIP S&P MidCap 400® Index
Common Stocks***
$503,449,449
$
$
 
U.S. Treasury Obligations
204,108
 
 
$503,449,449
$204,108
$ —
 
Long Futures Contracts
$12,726
$
$
AVIP BlackRock Advantage Large Cap
Growth
Common Stocks***
$408,149,497
$
$
 
Long Futures Contracts
$(207,578
)
$
$
AVIP Constellation Dynamic Risk
Balanced
Exchange Traded Funds
$1,010,157,645
$
$
 
Asset-Backed Securities***
163,533,724
 
Corporate Bonds***
130,433,902
 
U.S. Treasury Obligations
108,425,385
 
Preferred Securities***
9,028,301
 
Rights***
4,444
 
 
$1,010,157,645
$411,425,756
$ —
 
Long Futures Contracts
$(3,343,826
)
$
$
 
Short Futures Contracts
$632,364
$
$
88
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Portfolio
Financial Instrument Type
Level 1
Level 2
Level 3
AVIP Core Plus Bond
Corporate Bonds***
$
$179,507,165
$
 
U.S. Treasury Obligations
106,642,976
 
Asset-Backed / Mortgage-Backed
Securities***
101,029,664
 
U.S. Government Agency Mortgage-Backed
Securities
100,956,015
 
Preferred Securities***
3,996,486
 
Sovereign Debt Issues
1,387,998
 
Common Stocks***
3,098
 
 
$ —
$493,520,304
$3,098
 
Long Futures Contracts
$(1,283,569
)
$
$
 
Short Futures Contracts
$381,134
$
$
AVIP Intech U.S. Low Volatility
Common Stocks***
$514,547,651
$
$
AVIP AB Relative Value
Common Stocks***
$121,144,581
$
$
AVIP Constellation Managed Risk
Balanced
Exchange Traded Funds
$467,068,389
$
$
 
Long Futures Contracts
$(822,653
)
$
$
AVIP Constellation Managed Risk
Moderate Growth
Exchange Traded Funds
$1,150,345,185
$
$
 
Long Futures Contracts
$(800,489
)
$
$
AVIP Constellation Managed Risk
Growth
Exchange Traded Funds
$385,123,118
$
$
 
Long Futures Contracts
$(693,425
)
$
$
AVIP Moderately Conservative Model
Open-End Mutual Funds
$154,996,965
$
$
AVIP Balanced Model
Open-End Mutual Funds
$647,075,270
$
$
AVIP Moderate Growth Model
Open-End Mutual Funds
$1,309,672,018
$
$
AVIP Growth Model
Open-End Mutual Funds
$329,716,758
$
$
***
Each of the Portfolio's Schedule of Investments includes detailed industry descriptions.
Level 3 investments held during and at the end of the period ended March 31, 2026, in relation to net assets of the AVIP High Income Bond Portfolio and AVIP Core Plus Bond Portfolio, were not significant (0.0% and 0.0% of total net assets, respectively) and accordingly, a reconciliation of level 3 assets for the period ended March 31, 2026 is not presented. The valuation technique usedto value the Level 3 securities in the AVIP High Income Bond Portfolio and AVIP Core Plus Bond Portfolio at March 31, 2026 was fair valuation pursuant to procedures approved by the Board.
Foreign Securities and Currency
The books and records of the Portfolios are maintained in U.S. dollars. All investments and cash quoted in foreign currencies are valued daily in U.S. dollars on the basis of the foreign currency exchange rates provided by an independent source.  These exchange rates are determined daily at 4:00 pm Eastern Time for normal trading sessions.  Purchases and sales of foreign-denominated investments are recorded at rates of exchange prevailing on the respective dates of such transactions.
The Fund may not fully isolate the portion of the results of operations resulting from changes in foreign exchange rates from fluctuations arising from changes in market prices on foreign currency-denominated investments. For the portion that is isolated, amounts are reflected in the Statements of Operations as other foreign currency related transactions. However, for tax purposes, the Fund does fully isolate the effect of fluctuations in foreign exchange rates when determining the gain or loss upon sale or maturity of such investments to the extent required by federal income tax regulations.
89
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
All Portfolios of the Fund may invest in securities of foreign issuers. The AVIP BlackRock Advantage International Equity Portfolio may be invested entirely in foreign securities. Investments in securities of foreign issuers, including investments in foreign companies through the use of depositary receipts, carry certain risks not ordinarily associated with investments in securities of domestic issuers.  Such risks include future political and economic developments, and the possible imposition of exchange controls or other foreign governmental laws and restrictions.  In addition, with respect to certain countries, there is the possibility of expropriation of assets, confiscatory taxation, political or social instability, or diplomatic developments that could adversely affect capital investment within those countries.
Restricted Securities
Restricted securities are typically those securities purchased through a private offering and cannot be resold to the general public without prior registration under the Securities Act of 1933 (“the 1933 Act”) or pursuant to the resale limitations provided by Rule 144A under the 1933 Act, or an exemption from the registration requirements of the 1933 Act. 144A securities are issued by corporations without registration in reliance on 1933 Act provisions allowing for the private resale of unregistered securities to qualified institutional buyers. Section 4(a)(2) commercial paper is issued pursuant to Section 4(a)(2) of the 1933 Act which exempts an issue from registration. This paper may be used to finance non-current transactions, such as acquisitions, stock repurchase programs, and other long-term assets. Investments by a Portfolio in Rule 144A and Section 4(a)(2) securities could have the effect of decreasing the liquidity of a Portfolio during any period in which qualified institutional investors were no longer interested in purchasing these securities.
Investment Transactions and Related Income
For financial reporting purposes, investment transactions are accounted for on a trade date (T+0) basis.  For purposes of executing separate account shareholder transactions in the normal course of business, however, the Fund’s investment transactions are recorded no later than the first calculation on the first business day following the trade date (T+1), in accordance with Rule 2a-4 of the 40 Act.  Accordingly, differences between the net asset values for financial reporting and for executing separate account shareholder transactions may arise. Net realized gain or loss on investments and foreign exchange transactions are determined using the specific identification method.
Dividend income is recognized on the ex-dividend date, except in the case of those Portfolios holding foreign securities, in which dividends are recorded as soon after the ex-dividend date as the Fund’s information agents become aware of such dividends. 
Interest income is accrued daily as earned and includes the amortization of premium and accretion of discount using the interest method.  The period of amortization or accretion extends from the purchase date to the maturity date, except for securities that are purchased at a premium and have explicit, noncontingent call features, whereby the securities are callable at fixed prices and on pre-determined dates.  The premium amounts related to those securities are generally amortized to the earliest call date.  Payments received for interest-only mortgage-backed securities are included in interest income. Because no principal is received at the maturity of an interest-only security, adjustments are made to the cost of the security until maturity. These amortization/accretion adjustments are also included in interest income on the Statements of Operations.
Distributions to Shareholders and Federal Taxes   
The Fund may satisfy its distribution requirements, as required for each of the Portfolios to qualify as a regulated investment company pursuant to Subchapter M of the Internal Revenue Code by using consent dividends or cash distributions.  Consent dividends, when authorized, become taxable to the Fund's shareholders as if they were paid in cash.  The Fund has the intent to continue to comply with tax provisions pertaining to regulated investment companies and make distributions of taxable income sufficient to relieve it from substantially all federal income and excise taxes.  As such, no provisions for federal income or excise taxes have been recorded. Also, no tax-related interest or penalties have been incurred or accrued. The Board's intent is that the Fund will not initiate any realized gain distributions until any applicable capital loss carryforwards have been offset.
The character of ordinary income distributions, realized capital gains distributions, and return of capital, if any, are determined in accordance with federal income tax regulations and may differ from net investment income and realized gains for financial reporting purposes.  These “book/tax” differences are either considered temporary or permanent in nature.  To the extent these differences are permanent in nature, they are reclassified within the composition of net assets; temporary differences do not require such reclassification.  Distributions to shareholders that exceed taxable income and net taxable realized gains are reported as return of capital distributions.
90
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
The Fund’s management and its tax agent perform an affirmative evaluation of tax positions taken or expected to be taken in the course of preparing the Fund’s tax returns to determine whether it is more-likely-than-not (i.e. greater than 50 percent) that each tax position will be sustained upon examination by a taxing authority based on the technical merits of the position.  Implementation of the evaluation included a review of tax positions taken in tax years that remain subject to examination by all major tax jurisdictions, including federal tax and the state of Maryland.  The determination has been made that there are no uncertain tax positions that would require the Portfolios to record a tax liability or provision.
Expense Allocation
Expenses directly attributable to a Portfolio are charged to that Portfolio. Expenses that cannot be directly attributed to a Portfolio are allocated among all the benefited Portfolios on a basis of relative net assets or other appropriate method.
Foreign Withholding Taxes
Certain Portfolios in the Fund may be subject to taxes imposed by countries in which they invest with respect to their investments in issuers existing or operating in such countries.  Such taxes are generally withheld based on income earned.  These Portfolios accrue such taxes as the related income is earned.
TBA Commitments
To-Be-Announced (“TBA”) commitments are agreements for the purchase or sale of mortgage-backed securities for a fixed price, with payment and delivery on an agreed upon future settlement date beyond the customary settlement period for such securities. The specific securities to be delivered are not identified at the trade date. However, delivered securities must meet specified terms, including issuer, rate and term, and be within industry-accepted “good delivery” standards. When entering into TBA commitments, a Portfolio may take possession of or deliver the underlying mortgage-backed securities but can extend the settlement or roll the transaction. TBA commitments involve a risk of loss if the value of the security to be purchased or sold decreases or increases, respectively, prior to settlement date.
Transition of LIBOR-linked Reference Rates
Certain Portfolios have fixed income instruments that transitioned from using reference rates that were directly or indirectly linked to a U.S. Dollar London Interbank Offered Rate (“LIBOR”) setting to determine payment obligations, financing terms, or investment values. The Portfolios may also have fixed income instruments with current fixed rates in which future scheduled variable rates are derived from a LIBOR rate that has yet to be transitioned by the issuer to an alternative representative reference rate. Not all instruments may have alternative rate-setting provisions and some uncertainty remains regarding the willingness and ability of issuers to add future alternative rate-setting provisions. Parties to instruments that utilized LIBOR rates may disagree on transition rates or the application of applicable transition regulation, potentially resulting in uncertainty that could impact future performance and valuation of affected instruments.
Subsequent Events
Management has evaluated events and transactions through the date the financial statements were issued, for purposes of recognition or disclosure in these financial statements, and there are no subsequent events to report.
(3)Financial Instruments
The Portfolios may trade in financial instruments with off-balance sheet risk for hedging purposes or, otherwise, in accordance with stated investment objectives.  These financial instruments may include swaps, options, futures, and foreign currency contracts that may involve, to a varying degree, elements of risk in excess of the amounts recognized on financial statements.
Swap Contracts
Swap contracts are bilaterally negotiated agreements between a party and a counterparty to exchange or swap investment cash flows, assets, foreign currencies, or market-linked returns at specified, future intervals. Swap contracts may be either executed and centrally cleared with a centralized Derivatives Clearing Organization or privately negotiated in the OTC market.  Certain Portfolios may engage in swap contracts to manage their respective exposure to various asset types or other market inputs such as interest rates.
91
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
Entering into swap contracts involves varying degrees of interest, credit, market, and documentation risk in excess of the unrealized gain or loss recorded by a Portfolio. Such risks include that there may be no liquid market, that the counterparty to the contracts may default on an obligation to perform or otherwise disagree as to the meaning of contractual terms in the agreement, or that there may be unfavorable changes in underlying terms, indices, or securities that severely impact the valuation of the swap contract.  In connection with the terms of these contracts, a Portfolio’s securities or cash may be identified as collateral or margin to provide assets of value and recourse in the event of default.
Swap contracts are marked-to-market daily, and the change in value is recorded as a change in unrealized appreciation (depreciation). Premiums paid or received at the beginning of the measurement period are recorded as an asset or liability and represent payments made or received upon entering into the swap contract to compensate for differences between the stated terms of the swap and prevailing market conditions relating to credit spreads, interest rates, currency exchange rates, and other relevant factors, as appropriate. These upfront payments are recorded as a realized gain or loss upon termination or maturity of the swap. A liquidation payment received or made at the termination of the swap contract is recorded as a realized gain or loss. Net periodic payments received or paid are included in the calculation of realized gain or loss.
Credit default swap contracts involve one party making a stream of payments (referred to as the buyer of protection) to another party (the seller of protection) in exchange for the right to receive a specified return if a credit event occurs for the referenced entity, obligation or index.  As a seller of protection, a party will generally receive from the buyer of protection a premium in return for such protection and/or a fixed rate of income throughout the term of the swap if there is no credit event. As a buyer of protection, a party will generally pay the seller of protection a premium in return for such protection and/or a fixed rate of income throughout the term of the swap if there is no credit event.
A credit event is defined by the terms of each swap contract and may include, but is not limited to, underlying entity default, bankruptcy, restructuring, write-down, principal shortfall or interest shortfall.  If a party is a seller or buyer of protection and a credit event occurs, as defined under the terms of that particular credit default swap contract, the party will either (i) pay or receive an amount equal to the notional amount of the referenced obligation agreement and take delivery or deliver the referenced obligation, other deliverable obligations or underlying securities comprising the referenced index or (ii) pay or receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap contract less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
Either as a seller of protection or a buyer of protection of a credit default swap contract, a party’s maximum risk of loss from counterparty risk is the fair value of the contract. The maximum potential amount a party could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs is limited to the total notional amount which is defined under the terms of each swap contract. The potential amounts of loss realized as a seller would be partially offset by any recovery values of the respective referenced obligations, upfront payments received upon entering into the contract or net amounts received from the settlement of buy protection credit default swap contracts entered into for the same referenced entity or entities.
A Portfolio may engage in credit default swap contracts on credit indices (“CDX”). A credit index is a basket of credit instruments or exposures designed to represent a portion of the credit market. These indices consist of reference credits that are considered to be the liquid entities in the credit default swap market based on the index sector. Components of the indices may include, but are not limited to, investment grade securities, high yield securities, asset-backed securities and emerging market securities. These components can be determined based upon various credit ratings within each sector. Implied credit spreads, the prices, and resulting values for credit default swap contracts on credit indices serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. An index credit default swap references all the issuers in the index, and if there is a credit event, the credit event is settled based on that issuer’s weight in the index. The composition of underlying indices may change periodically.
Futures Contracts
A Portfolio may buy or sell futures contracts relating to stock indices, foreign currencies, or interest rates.  Stock index futures contracts are contracts developed by and traded on national commodity exchanges whereby the buyer will, on a specified future date, pay or receive a final cash payment equal to the difference between the actual value of the stock index on the last day of the contract and the value of the stock index established by the contract multiplied by the specific dollar amount set by the exchange.  Futures contracts may be based on broad-based stock indices such as the S&P 500® Index or on narrow-based stock indices.  A particular index will be selected pursuant to the investment strategy for the particular Portfolio.  Foreign currency futures contracts are contracts traded on commodity exchanges whereby the buyer will, on a specified future date, pay or receive a final cash payment equal to the difference between the value of a stated foreign currency in relation to the U.S. dollar, or other currency, on the last day of the contract and the relative value of those currencies on the date of executing the contract.  Foreign currency futures may be valued by exchange rates that are based on the relative value of a variety of foreign currencies.  An interest rate futures contract is an agreement whereby one party agrees to sell and another party agrees to purchase a specified amount of a specified
92
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
financial instrument (debt security) at a specified price at a specified date, time and place. Although interest rate futures contracts typically require actual future delivery of and payment for financial instruments, the contracts are usually closed out before the delivery date. A public market exists in interest rate futures contracts covering primarily the following financial instruments: U.S. Treasury bonds; U.S. Treasury notes; Government National Mortgage Association ("GNMA") modified pass-through mortgage-backed securities; three-month U.S. Treasury bills; 90-day commercial paper; bank certificates of deposit; and Eurodollar certificates of deposit. U.S. futures contracts are traded on exchanges which have been designated “contract markets” by the Commodities Futures Trading Commission (“CFTC”) and must be executed through a futures commission merchant (“FCM”), or brokerage firm, which is a member of the relevant contract market.
The Fund, on behalf of each Portfolio, has filed with the National Futures Association, a notice claiming an exclusion from the definition of the term “commodity pool operator” under the Commodity Exchange Act, as amended, and the rules of the CFTC promulgated thereunder, with respect to each Portfolio's operation. Accordingly, the Portfolios are not subject to registration or regulation as a commodity pool operator.
The buyer or seller of a futures contract is not required to deliver or pay for the underlying instrument unless the contract is held until the delivery date. However, both the buyer and seller are required to deposit “initial margin” for the benefit of the broker when the contract is entered into. Initial margin deposits are equal to a percentage of the contract's value, as set by the exchange on which the contract is traded, and are similar to good faith deposits or performance bonds.
Unlike margin extended by a securities broker, initial margin payments do not constitute purchasing securities on margin for purposes of a Portfolio’s investment limitations. A Portfolio, its futures commission merchant and the Custodian retain control of the initial margin until the contract is liquidated. If the value of either party's position declines, the party on the side of the declining position will be required to make additional “variation margin” payments to settle the change in value on a daily basis. The party that has a gain may be entitled to receive all or a portion of this amount. Variation margin is recognized as a receivable and/or payable for variation margin on futures contracts on the Statement of Assets and Liabilities. In the event of a bankruptcy of the FCM that holds margin on behalf of a Portfolio, the Portfolio may be entitled to return of margin owed to the Portfolio only in proportion to the amount received by the FCM’s other customers. CINV and the sub-advisers will attempt to minimize this risk by carefully monitoring the creditworthiness of the FCMs with which the Portfolios do business.
Portions of certain Portfolios’ securities and cash holdings, as noted on those Portfolios’ Schedules of Investments, were pledged at March 31, 2026 as collateral for the Portfolios’ futures contracts.  The futures contracts, except those held by the AVIP Constellation Dynamic Risk Balanced, AVIP Core Plus Bond, and AVIP Constellation Managed Risk Portfolios, were used for the purpose of gaining equity exposure for cash and cash equivalents, thereby seeking to lessen a performance difference between the Portfolios and their respective benchmark indices. For the AVIP Constellation Dynamic Risk Balanced and AVIP Constellation Managed Risk Portfolios, futures contracts were used to provide for the Portfolios' respective stated risk management strategies. For the AVIP Core Plus Bond Portfolio, futures contracts were used to manage total exposure to underlying investments, to manage interest rate risk, or to otherwise execute the Portfolio's stated investment strategy.  There were other futures contracts executed and closed in the Portfolios during the three-month period ended March 31, 2026.  Those contracts were executed for similar purposes as the contracts outstanding at March 31, 2026. 
(4)Federal Income Tax Information
The cost basis for Federal income tax purposes may differ from the cost basis for financial reporting purposes. The table below details the unrealized appreciation (depreciation) and aggregate cost of investments at March 31, 2026 for federal income tax purposes.
 
AVIP Bond
AVIP BlackRock
Balanced
Allocation
AVIP BlackRock
Advantage
International
Equity
AVIP Fidelity
Institutional AM®
Equity Growth
AVIP AB Small
Cap
AVIP AB Mid Cap
Core
Gross unrealized:
Appreciation
$361,698
$68,698,452
$45,866,422
$25,848,199
$31,254,646
$13,467,169
Depreciation
(11,496,759
)
(13,942,064
)
(21,003,666
)
(17,640,675
)
(24,606,537
)
(9,429,513
)
Net unrealized appreciation (depreciation)
$(11,135,061
)
$54,756,388
$24,862,756
$8,207,524
$6,648,109
$4,037,656
Aggregate cost of investments:
$261,122,647
$276,224,492
$297,566,614
$207,956,213
$262,088,578
$93,970,956
93
(continued)

AuguStar Variable Insurance Products Fund, Inc.
Notes to Schedules of Investments (Continued)
March 31, 2026 (Unaudited) 
 
AVIP S&P 500®
Index
AVIP BlackRock
Advantage Large
Cap Value
AVIP High Income
Bond
AVIP
Nasdaq-100®
Index
AVIP BlackRock
Advantage Large
Cap Core
AVIP BlackRock
Advantage Small
Cap Growth
Gross unrealized:
Appreciation
$543,953,009
$35,142,675
$702,439
$96,811,283
$87,425,023
$21,662,407
Depreciation
(38,219,908
)
(9,291,912
)
(2,655,498
)
(9,930,718
)
(10,851,747
)
(13,948,779
)
Net unrealized appreciation (depreciation)
$505,733,101
$25,850,763
$(1,953,059
)
$86,880,565
$76,573,276
$7,713,628
Aggregate cost of investments:
$585,942,238
$154,063,902
$115,766,215
$150,578,338
$224,525,797
$112,627,718
 
AVIP S&P MidCap
400® Index
AVIP BlackRock
Advantage Large
Cap Growth
AVIP
Constellation
Dynamic Risk
Balanced
AVIP Core Plus
Bond
AVIP Intech
U.S. Low Volatility
AVIP AB Relative
Value
Gross unrealized:
Appreciation
$107,954,792
$76,377,976
$46,808,843
$2,413,824
$58,131,892
$23,125,158
Depreciation
(50,088,344
)
(16,737,065
)
(16,247,346
)
(28,988,664
)
(22,838,023
)
(4,546,171
)
Net unrealized appreciation (depreciation)
$57,866,448
$59,640,911
$30,561,497
$(26,574,840
)
$35,293,869
$18,578,987
Aggregate cost of investments:
$445,799,835
$348,301,008
$1,388,310,441
$519,195,807
$479,253,782
$102,565,594
 
AVIP
Constellation
Managed Risk
Balanced
AVIP
Constellation
Managed Risk
Moderate Growth
AVIP
Constellation
Managed Risk
Growth
AVIP Moderately
Conservative
Model
AVIP Balanced
Model
AVIP Moderate
Growth Model
Gross unrealized:
Appreciation
$66,126,152
$46,150,514
$96,224,666
$9,677,219
$60,463,211
$158,094,539
Depreciation
(7,133,772
)
(9,575,560
)
(2,348,708
)
(3,483,538
)
(6,410,430
)
(3,451,190
)
Net unrealized appreciation (depreciation)
$58,992,380
$36,574,954
$93,875,958
$6,193,681
$54,052,781
$154,643,349
Aggregate cost of investments:
$407,253,356
$1,112,969,742
$290,553,735
$148,803,284
$593,022,489
$1,155,028,669
 
AVIP Growth
Model
Gross unrealized:
Appreciation
$47,947,646
Depreciation
(38,586
)
Net unrealized appreciation
$47,909,060
Aggregate cost of investments:
$281,807,698
94