C000005219 Holdings — AST J.P. Morgan Strategic Opportunities Portfolio

All 213 reported holdings of AST J.P. Morgan Strategic Opportunities Portfolio (C000005219) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Advanced Series Trust60.96%$2.15B
J.p. Morgan Exchange-Traded Fund Trust11.23%$396.75M
J.p. Morgan Exchange-Traded Fund Trust5.69%$201.00M
J.p. Morgan Exchange-Traded Fund Trust5.57%$196.73M
J.p. Morgan Exchange-Traded Fund Trust5.34%$188.80M
United States Treasury Notes1.73%$60.97M
Prudential Investment Portfolios 21.68%$59.27M
Prudential Investment Portfolios 90.68%$24.00M
Shell PLC0.24%$8.41M
Taiwan Semiconductor Manufacturing Co., Ltd.0.17%$6.13M
Engie SA0.17%$5.86M
Taiwan Semiconductor Manufacturing Co., Ltd.0.16%$5.61M
Safran SA0.14%$5.04M
Tencent Holdings Ltd.0.14%$4.96M
Mitsubishi UFJ Financial Group Inc.0.14%$4.96M
Siemens AG0.14%$4.77M
DBS Group Holdings Ltd.0.13%$4.43M
Munich Reinsurance AG0.12%$4.41M
ASML Holding N.V.0.12%$4.35M
Royal Bank of Canada0.12%$4.24M
Sony Group Corp.0.12%$4.15M
Rio Tinto PLC0.12%$4.10M
SK Hynix Inc.0.12%$4.08M
Nestle' Capital Markets SA0.11%$3.98M
Air Liquide S.A.(L')0.11%$3.88M
Alibaba Group Holding Ltd.0.11%$3.81M
Legrand SA0.10%$3.59M
Atlas Copco AB0.10%$3.51M
Roche Holding AG0.10%$3.48M
Sumitomo Electric Industries Ltd.0.10%$3.47M
Obayashi Corp.0.10%$3.41M
British American Tobacco PLC0.10%$3.39M
Deutsche Telekom AG0.09%$3.34M
Novartis AG0.09%$3.34M
KBC Group NV0.09%$3.29M
Telstra Group Ltd.0.09%$3.22M
HDFC Bank Ltd.0.09%$3.15M
Kia Corp.0.09%$3.14M
Volvo AB0.08%$2.97M
AIA Group Ltd, Hong Kong0.08%$2.96M
Eurex Clearing Aktiengesellschaft0.08%$2.85M
UniCredit S.p.A.0.08%$2.81M
ITOCHU Corp.0.08%$2.79M
Hanwha Aerospace Co Ltd0.08%$2.73M
Infineon Technologies AG0.07%$2.61M
Compass Group PLC0.07%$2.60M
Zijin Mining Group Co Ltd.0.07%$2.51M
AL Rajhi Bank0.07%$2.36M
NatWest Group PLC0.06%$2.27M
Osaka Exchange,inc0.06%$2.15M
Itau Unibanco Holding SA0.06%$2.11M
National Bank of Greece SA0.06%$2.06M
Standard Chartered PLC0.06%$2.03M
Relx PLC0.05%$1.91M
Midea Group Co Ltd.0.05%$1.89M
WSP Global Inc0.05%$1.85M
Canadian Natural Resources Limited0.05%$1.85M
Novonesis (Novozymes) B0.05%$1.84M
Chicago Mercantile Exchange Inc.0.05%$1.78M
Intact Financial Corp.0.05%$1.76M
Bajaj Finance Ltd.0.05%$1.75M
Element Solutions Inc0.05%$1.69M
IHI Corp.0.05%$1.68M
Hayward Holdings Inc0.05%$1.65M
Modine Manufacturing Co.0.04%$1.57M
Asics Corp0.04%$1.56M
Mercadolibre Inc0.04%$1.54M
MSA Safety Inc.0.04%$1.52M
Fabrinet0.04%$1.48M
3i Group PLC0.04%$1.47M
RBC Bearings Inc0.04%$1.45M
Board Of Trade Of The City Of Chicago, Inc.0.04%$1.44M
Evercore Inc.0.04%$1.43M
Colliers International Group Inc0.04%$1.43M
Ucb SA0.04%$1.40M
Badger Meter Inc0.04%$1.38M
Bright Horizons Family Solutions LLC0.04%$1.38M
Cullen/Frost Bankers, Inc.0.04%$1.37M
Macom Technology Solutions Holdings, Inc.0.04%$1.36M
Loar Holdings Inc0.04%$1.35M
Novanta Inc0.04%$1.35M
Applied Industrial Technologies Inc.0.04%$1.35M
Ryman Hospitality Properties Inc0.04%$1.34M
StepStone Group Inc0.04%$1.32M
Envista Holdings Corporation0.04%$1.31M
Wintrust Financial Corporation0.04%$1.31M
Core & Main Inc0.04%$1.30M
Xcmg0.04%$1.28M
Planet Fitness Inc.0.04%$1.26M
Kinsale Capital Group Inc0.04%$1.25M
Morningstar Inc0.04%$1.25M
MarketAxess Holdings Inc.0.04%$1.25M
WillScot Holdings Corporation0.04%$1.25M
Casella Waste Systems, Inc.0.04%$1.24M
Cushman & Wakefield Ltd.0.03%$1.23M
Wyndham Hotels & Resorts Inc0.03%$1.21M
Healthequity Inc0.03%$1.19M
First Horizon Corporation0.03%$1.18M
SM Energy Co.0.03%$1.16M
Commerce Bancshares, Inc. (mo)0.03%$1.16M
Pool Corporation0.03%$1.15M
Encompass Health Corporation0.03%$1.12M
Balchem Corp0.03%$1.09M
Power Integrations Inc.0.03%$1.06M
Middleby Corp.0.03%$1.05M
ICU Medical Inc0.03%$1.04M
Primo Brands Corp.0.03%$1.04M
Solstice Advanced Materials Inc.0.03%$1.01M
Allegro MicroSystems Inc0.03%$1.01M
Miami International Holdings Inc.0.03%$992.97K
WSFS Financial Corporation0.03%$972.74K
Concentra Group Holdings Parent Inc0.03%$949.40K
Perimeter Solutions, Inc.0.03%$940.59K
Performance Food Group Co.0.03%$935.84K
Hillman Solutions Corp0.03%$937.49K
Eagle Materials Inc.0.03%$933.99K
Barclays Bank PLC0.03%$925.18K
First Interstate Bancsystem Inc.0.03%$915.06K
Moelis & Co.0.03%$916.16K
Servisfirst Bancshares, Inc.0.03%$912.12K
DT Midstream Inc0.03%$901.21K
First Financial Bancorp.0.03%$893.05K
Board Of Trade Of The City Of Chicago, Inc.0.03%$891.26K
Chemed Corporation0.03%$882.02K
Chefs Warehouse Inc.0.02%$879.80K
Portland General Electric Company0.02%$875.45K
Cactus Inc0.02%$865.17K
Saia Inc0.02%$861.34K
BEL Fuse Inc0.02%$854.88K
BankUnited Inc.0.02%$851.04K
Paylocity Holding Corporation0.02%$837.85K
Forgent Power Solutions, Inc.0.02%$817.83K
Shake Shack Inc0.02%$816.58K
Monarch Casino & Resort Inc0.02%$801.22K
Karman Holdings, Inc.0.02%$796.10K
Simpson Manufacturing Co Inc.0.02%$793.40K
Acushnet Holdings Corp0.02%$780.46K
Verra Mobility Corporation0.02%$774.90K
First Advantage Corp New0.02%$762.19K
Aaon Inc0.02%$762.96K
Eastgroup Properties, Inc.0.02%$729.44K
Digi International Inc.0.02%$723.00K
Neptune Insurance Holdings Inc.0.02%$724.35K
Alliance Laundry Holdings, Inc.0.02%$716.32K
Landstar System Inc.0.02%$718.67K
Freshpet Inc0.02%$705.99K
First Hawaiian Inc.0.02%$694.45K
Janus International Group Inc0.02%$691.54K
Utz Brands Inc.0.02%$681.52K
Flowco Holdings, Inc.0.02%$675.91K
Lincoln Electric Holdings Inc.0.02%$671.02K
E L F Beauty Inc0.02%$664.53K
Manhattan Associates Inc0.02%$636.31K
Qualys Inc0.02%$617.41K
Quaker Chemical Corp.0.02%$617.92K
Liberty Energy Inc0.02%$598.87K
Wealthfront Corp.0.02%$599.55K
Citibank, National Association0.02%$598.06K
Andersen Group, Inc.0.02%$591.82K
RLI Corp0.02%$561.96K
Legence Corp.0.02%$558.11K
CCC Intelligent Solutions Holdings Inc0.02%$556.44K
Aptargroup Inc.0.02%$541.13K
Warby Parker Inc0.02%$538.32K
Medpace Holdings Inc.0.02%$535.41K
Figure Technology Solutions, Inc.0.01%$524.56K
Gentex Corp0.01%$483.21K
Tyler Technologies Inc.0.01%$483.10K
Xometry Inc0.01%$479.62K
Ncino Inc.0.01%$477.74K
Accelerant Holdings0.01%$471.85K
Doximity Inc0.01%$454.51K
DigitalOcean Holdings Inc0.01%$414.75K
Five Below Inc0.01%$411.04K
Driven Brands Holdings Inc0.01%$378.56K
Asx Clearing Corporation Limited0.01%$310.68K
Ridgepost Capital, Inc.0.01%$289.98K
Woodward Inc.0.01%$287.41K
BJ Wholesale Club Holdings Inc0.01%$249.59K
Ice Futures U.s., Inc.0.01%$206.06K
Molina Healthcare, Inc.0.01%$181.15K
Goldman Sachs & Co. LLC0.00%$121.59K
Moran Foods LLC0.00%$120.33K
Citibank, National Association0.00%$108.31K
Chicago Mercantile Exchange Inc.0.00%$80.58K
Altice International0.00%$77.41K
Merrill Lynch, Pierce, Fenner & Smith Incorporated0.00%$69.96K
Moran Foods0.00%$12.73K
Citibank, National Association0.00%$2.15K
Expand Energy Corp.0.00%$0
NMC Health PLC0.00%$0
Severstal Public Joint Stock Company0.00%$2
Citibank, National Association0.00%$1.00K
Expand Energy Corp.0.00%$0
High Ridge Brands Co ESCROW0.00%$0
Fgi Operating Co. LLC0.00%$918
Moran Foods LLC0.00%$0
SAL TopCo LLC Equity Units0.00%$171
Barclays Bank PLC-0.00%$-43.52K
Merrill Lynch, Pierce, Fenner & Smith Incorporated-0.00%$-169.68K
Barclays Bank PLC-0.01%$-202.18K
Goldman Sachs & Co. LLC-0.01%$-212.63K
Chicago Mercantile Exchange Inc.-0.02%$-656.00K
Chicago Mercantile Exchange Inc.-0.02%$-839.81K
Barclays Bank PLC-0.02%$-869.71K
Citibank, National Association-0.03%$-1.16M
Board Of Trade Of The City Of Chicago, Inc.-0.04%$-1.27M
Chicago Mercantile Exchange Inc.-0.04%$-1.27M
Ice Futures U.s., Inc.-0.04%$-1.45M
Osaka Exchange,inc-0.06%$-1.96M
Eurex Clearing Aktiengesellschaft-0.11%$-3.88M
Chicago Mercantile Exchange Inc.-0.17%$-6.08M
Ice Futures Europe-0.25%$-8.98M

C000005219 overview: performance, fees, allocation and SEC filings