C000005698 Holdings — Jennison Portfolio

All 47 reported holdings of Jennison Portfolio (C000005698) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.10.10%$413.52M
Amazon.com, Inc.7.66%$313.41M
Apple Inc.6.19%$253.41M
Broadcom Inc5.60%$229.45M
Microsoft Corp.5.17%$211.72M
Meta Platforms Inc4.38%$179.16M
Eli Lilly & Co.4.26%$174.22M
Alphabet Inc.3.92%$160.62M
Tesla Inc3.74%$153.06M
Alphabet Inc.3.46%$141.62M
MasterCard Incorporated2.82%$115.26M
GE Aerospace2.50%$102.19M
Taiwan Semiconductor Manufacturing Co., Ltd.2.35%$96.25M
Walmart Inc2.28%$93.53M
Netflix, Inc.2.21%$90.44M
Boeing Co.2.05%$83.85M
Visa Inc1.86%$76.29M
Costco Wholesale Corporation1.83%$74.87M
Advanced Micro Devices Inc.1.74%$71.37M
Constellation Energy Corp.1.60%$65.57M
Spotify Technology SA1.45%$59.24M
Shopify Inc1.36%$55.69M
Cadence Design Systems, Inc.1.31%$53.66M
Palantir Technologies Inc1.24%$50.60M
Walt Disney Company1.20%$49.32M
Amphenol Corporation1.16%$47.60M
Intuitive Surgical Inc.1.16%$47.56M
Crowdstrike Holdings Inc1.16%$47.36M
Goldman Sachs Group, Inc.1.12%$45.81M
Vertex Pharmaceuticals Incorporated1.10%$45.15M
Edwards Lifesciences Corporation1.10%$45.02M
O'Reilly Automotive Inc.1.09%$44.76M
Hilton Worldwide Holdings Inc1.08%$44.25M
Prudential Investment Portfolios 91.02%$41.87M
Snowflake Inc0.88%$35.94M
Oracle Corp.0.87%$35.47M
Applovin Corp.0.82%$33.41M
(PIPA070) PGIM Core Government Money Market Fund0.78%$32.12M
Datadog Inc0.77%$31.35M
Texas Instruments Inc.0.76%$30.91M
KLA Corp.0.75%$30.70M
Cloudflare Inc0.64%$26.40M
The TJX Companies Inc.0.56%$22.76M
Merck & Co., Inc0.54%$22.08M
Airbnb Inc0.52%$21.16M
Mercadolibre Inc0.49%$19.87M
Axon Enterprise Inc0.44%$17.92M

C000005698 overview: performance, fees, allocation and SEC filings