C000005715 Holdings — Equity Portfolio

All 97 reported holdings of Equity Portfolio (C000005715) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc.8.10%$601.61M
NVIDIA Corp.6.79%$504.35M
Alphabet Inc.6.57%$488.02M
Microsoft Corp.4.57%$339.23M
Prudential Investment Portfolios 94.24%$315.04M
Amazon.com, Inc.3.82%$283.54M
Broadcom Inc2.87%$212.82M
PNC Financial Services Group Inc.2.02%$149.74M
Cisco Systems, Inc.1.94%$144.22M
RTX Corp.1.92%$142.54M
JPMorgan Chase & Co.1.83%$135.86M
Shell PLC1.82%$135.35M
Visa Inc1.68%$124.53M
Northrop Grumman Corporation1.64%$121.68M
Meta Platforms Inc1.60%$118.49M
Parker-Hannifin Corp.1.49%$110.30M
M&T Bank Corporation1.48%$110.18M
Lam Research Corporation1.41%$104.86M
Walmart Inc1.41%$104.47M
AbbVie Inc.1.39%$102.94M
Eli Lilly & Co.1.36%$100.86M
Truist Financial Corp.1.35%$100.45M
Cheniere Energy Inc1.33%$98.46M
Tesla Inc1.26%$93.70M
Prologis Inc.1.22%$90.77M
Chubb Ltd. Switzerland1.21%$89.92M
International Business Machines Corp.1.13%$84.03M
AT&T Inc1.09%$81.03M
Micron Technology Inc.1.07%$79.61M
Walt Disney Company1.05%$77.73M
General Motors Company1.04%$77.24M
Union Pacific Corporation1.02%$75.64M
MetLife Inc.1.01%$74.69M
Amphenol Corporation0.99%$73.36M
Dell Technologies Inc0.98%$72.84M
Toll Brothers, Inc.0.94%$69.48M
Goldman Sachs Group, Inc.0.93%$69.32M
Nu Holdings Ltd.0.88%$65.22M
Uber Technologies Inc0.84%$62.55M
NextEra Energy Inc0.83%$61.94M
Cencora Inc0.82%$61.15M
Gilead Sciences Inc.0.80%$59.03M
Ralph Lauren Corp.0.77%$57.23M
Boeing Co.0.75%$55.76M
Applovin Corp.0.74%$55.31M
Valero Energy Corp.0.65%$48.56M
Camden Property Trust0.64%$47.52M
UnitedHealth Group Inc.0.63%$46.92M
Gaming and Leisure Properties Inc0.62%$45.98M
Johnson Controls International PLC0.61%$45.42M
Verizon Communications Inc.0.60%$44.78M
GE Aerospace0.57%$42.16M
Rockwell Automation, Inc.0.57%$42.12M
Centerpoint Energy Inc0.56%$41.73M
NiSource Inc.0.55%$40.84M
TechnipFMC PLC0.54%$39.85M
Markel Group Inc0.53%$39.57M
Merck & Co., Inc0.53%$39.50M
Renaissancere Holdings Ltd.0.53%$39.46M
Five Below Inc0.51%$37.98M
Nordson Corp0.51%$37.57M
Bank of America Corp.0.50%$37.11M
Williams Companies Inc. (The)0.50%$36.77M
East West Bancorp Inc0.49%$36.19M
GE Vernova Inc.0.47%$35.24M
Pepsico Inc0.43%$31.89M
(PIPA070) PGIM Core Government Money Market Fund0.42%$31.30M
The TJX Companies Inc.0.40%$29.38M
Ross Stores Inc0.37%$27.22M
Wintrust Financial Corporation0.36%$26.69M
Ametek, Inc.0.33%$24.66M
Amgen Inc.0.32%$23.39M
EQT Corporation0.30%$22.20M
Applied Materials Inc.0.28%$20.75M
C.H. Robinson Worldwide Inc0.28%$20.65M
The Estee Lauder Companies Inc.0.28%$20.47M
Dominos Pizza Inc.0.27%$19.84M
Houlihan Lokey Inc.0.27%$19.83M
Crown Holdings Inc0.26%$19.54M
Encompass Health Corporation0.26%$19.44M
Exxon Mobil Corp.0.26%$19.37M
Analog Devices Inc.0.26%$19.21M
Spotify Technology SA0.26%$19.10M
McDonald's Corp.0.25%$18.69M
Lowes Companies, Inc.0.25%$18.65M
Dupont De Nemours Inc0.25%$18.58M
MasterCard Incorporated0.25%$18.53M
GE Healthcare Technologies Inc.0.25%$18.38M
Xylem, Inc.0.25%$18.30M
Teledyne Technologies Inc0.24%$18.04M
Woodward Inc.0.24%$17.94M
KLA Corp.0.24%$17.78M
Generac Holdings Inc.0.24%$17.75M
Elanco Animal Health Inc0.24%$17.50M
Corning Incorporated0.23%$17.32M
Advanced Micro Devices Inc.0.23%$17.22M
Platmin Ltd.0.00%$17

C000005715 overview: performance, fees, allocation and SEC filings