C000012794 Holdings — PGIM Income Builder Fund

All 67 reported holdings of PGIM Income Builder Fund (C000012794) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Prudential World Fund, Inc.13.52%$34.45M
Prudential World Fund, Inc.13.44%$34.23M
Prudential Investment Portfolios 913.31%$33.90M
Prudential Investment Portfolios 912.03%$30.64M
Prudential Investment Portfolios 1811.15%$28.39M
PGIM ETF Trust8.50%$21.65M
PGIM ETF Trust7.34%$18.70M
Prudential Investment Portfolios 23.33%$8.47M
Spdr Series Trust2.87%$7.30M
Ishares Trust1.98%$5.04M
Prudential Investment Portfolios 21.43%$3.64M
Ishares Trust1.01%$2.56M
Cisco Systems, Inc.0.55%$1.41M
Invesco Exchange-Traded Fund Trust Ii0.50%$1.28M
Siemens Energy AG0.48%$1.22M
Abbvie, Inc.0.45%$1.14M
Entergy Corp.0.43%$1.10M
Apple, Inc.0.42%$1.07M
Caterpillar, Inc.0.40%$1.03M
Safran SA0.40%$1.03M
Walmart, Inc.0.39%$989.79K
Rtx Corp.0.39%$989.80K
Williams Companies, Inc. (the)0.39%$987.61K
Jp Morgan Chase & Company0.37%$941.04K
Citigroup, Inc.0.35%$883.04K
Cvs Health Corp.0.33%$844.63K
Amgen, Inc.0.33%$841.96K
Shell PLC0.33%$831.04K
International Business Machines Corp.0.33%$829.29K
Truist Financial Corp.0.32%$827.31K
Visa, Inc.0.31%$791.21K
Metlife, Inc.0.30%$764.81K
Antero Midstream Corp.0.27%$686.94K
Eli Lilly & Company0.26%$670.92K
Vistra Corp.0.26%$668.49K
O'reilly Automotive, Inc.0.26%$657.97K
Astrazeneca PLC0.26%$652.94K
Starbucks Corp.0.24%$622.45K
At&t, Inc.0.24%$619.22K
Alphabet, Inc.0.23%$574.08K
Ge Vernova, Inc.0.21%$543.67K
American Express Company0.21%$525.56K
Lam Research Corp.0.20%$516.89K
Digital Realty Trust, Inc.0.20%$497.13K
Nextera Energy, Inc.0.19%$493.02K
Rio Tinto PLC0.19%$492.58K
Broadcom, Inc.0.18%$456.24K
Lincoln National Corp.0.17%$443.33K
Slb Ltd.0.17%$432.28K
Johnson Controls International PLC0.17%$431.03K
Coca-Cola Company (the)0.17%$425.07K
Prologis, Inc.0.17%$423.27K
Texas Instruments, Inc.0.16%$407.27K
Parker-Hannifin Corp.0.16%$405.26K
Applied Materials, Inc.0.16%$400.55K
Nextera Energy, Inc.0.13%$342.46K
Ppl Corp.0.13%$329.39K
Rheinmetall AG0.12%$314.62K
Oneok, Inc.0.12%$308.66K
Bell Canada Enterprises, Inc.0.11%$283.75K
Union Pacific Corp.0.10%$253.57K
Microsoft Corp.0.09%$220.28K
Boeing Company (the)0.09%$217.73K
Mcdonald's Corp.0.07%$169.69K
Starwood Property Trust, Inc.0.07%$168.92K
Waste Management, Inc.0.06%$163.34K
Procter & Gamble Company (the)0.06%$146.95K

C000012794 overview: performance, fees, allocation and SEC filings