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 assets | Value (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 9 | 4.24% | $315.04M |
| Amazon.com, Inc. | 3.82% | $283.54M |
| Broadcom Inc | 2.87% | $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 PLC | 1.82% | $135.35M |
| Visa Inc | 1.68% | $124.53M |
| Northrop Grumman Corporation | 1.64% | $121.68M |
| Meta Platforms Inc | 1.60% | $118.49M |
| Parker-Hannifin Corp. | 1.49% | $110.30M |
| M&T Bank Corporation | 1.48% | $110.18M |
| Lam Research Corporation | 1.41% | $104.86M |
| Walmart Inc | 1.41% | $104.47M |
| AbbVie Inc. | 1.39% | $102.94M |
| Eli Lilly & Co. | 1.36% | $100.86M |
| Truist Financial Corp. | 1.35% | $100.45M |
| Cheniere Energy Inc | 1.33% | $98.46M |
| Tesla Inc | 1.26% | $93.70M |
| Prologis Inc. | 1.22% | $90.77M |
| Chubb Ltd. Switzerland | 1.21% | $89.92M |
| International Business Machines Corp. | 1.13% | $84.03M |
| AT&T Inc | 1.09% | $81.03M |
| Micron Technology Inc. | 1.07% | $79.61M |
| Walt Disney Company | 1.05% | $77.73M |
| General Motors Company | 1.04% | $77.24M |
| Union Pacific Corporation | 1.02% | $75.64M |
| MetLife Inc. | 1.01% | $74.69M |
| Amphenol Corporation | 0.99% | $73.36M |
| Dell Technologies Inc | 0.98% | $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 Inc | 0.84% | $62.55M |
| NextEra Energy Inc | 0.83% | $61.94M |
| Cencora Inc | 0.82% | $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 Trust | 0.64% | $47.52M |
| UnitedHealth Group Inc. | 0.63% | $46.92M |
| Gaming and Leisure Properties Inc | 0.62% | $45.98M |
| Johnson Controls International PLC | 0.61% | $45.42M |
| Verizon Communications Inc. | 0.60% | $44.78M |
| GE Aerospace | 0.57% | $42.16M |
| Rockwell Automation, Inc. | 0.57% | $42.12M |
| Centerpoint Energy Inc | 0.56% | $41.73M |
| NiSource Inc. | 0.55% | $40.84M |
| TechnipFMC PLC | 0.54% | $39.85M |
| Markel Group Inc | 0.53% | $39.57M |
| Merck & Co., Inc | 0.53% | $39.50M |
| Renaissancere Holdings Ltd. | 0.53% | $39.46M |
| Five Below Inc | 0.51% | $37.98M |
| Nordson Corp | 0.51% | $37.57M |
| Bank of America Corp. | 0.50% | $37.11M |
| Williams Companies Inc. (The) | 0.50% | $36.77M |
| East West Bancorp Inc | 0.49% | $36.19M |
| GE Vernova Inc. | 0.47% | $35.24M |
| Pepsico Inc | 0.43% | $31.89M |
| (PIPA070) PGIM Core Government Money Market Fund | 0.42% | $31.30M |
| The TJX Companies Inc. | 0.40% | $29.38M |
| Ross Stores Inc | 0.37% | $27.22M |
| Wintrust Financial Corporation | 0.36% | $26.69M |
| Ametek, Inc. | 0.33% | $24.66M |
| Amgen Inc. | 0.32% | $23.39M |
| EQT Corporation | 0.30% | $22.20M |
| Applied Materials Inc. | 0.28% | $20.75M |
| C.H. Robinson Worldwide Inc | 0.28% | $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 Inc | 0.26% | $19.54M |
| Encompass Health Corporation | 0.26% | $19.44M |
| Exxon Mobil Corp. | 0.26% | $19.37M |
| Analog Devices Inc. | 0.26% | $19.21M |
| Spotify Technology SA | 0.26% | $19.10M |
| McDonald's Corp. | 0.25% | $18.69M |
| Lowes Companies, Inc. | 0.25% | $18.65M |
| Dupont De Nemours Inc | 0.25% | $18.58M |
| MasterCard Incorporated | 0.25% | $18.53M |
| GE Healthcare Technologies Inc. | 0.25% | $18.38M |
| Xylem, Inc. | 0.25% | $18.30M |
| Teledyne Technologies Inc | 0.24% | $18.04M |
| Woodward Inc. | 0.24% | $17.94M |
| KLA Corp. | 0.24% | $17.78M |
| Generac Holdings Inc. | 0.24% | $17.75M |
| Elanco Animal Health Inc | 0.24% | $17.50M |
| Corning Incorporated | 0.23% | $17.32M |
| Advanced Micro Devices Inc. | 0.23% | $17.22M |
| Platmin Ltd. | 0.00% | $17 |
C000005715 overview: performance, fees, allocation and SEC filings