C000012848 Holdings — PGIM Jennison Diversified Growth Fund

All 80 reported holdings of PGIM Jennison Diversified Growth Fund (C000012848) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.10.55%$46.23M
Alphabet, Inc.7.83%$34.28M
Apple, Inc.6.71%$29.41M
Microsoft Corp.6.16%$26.99M
Broadcom, Inc.5.14%$22.53M
Eli Lilly & Company4.72%$20.69M
Amazon.com, Inc.4.67%$20.46M
Meta Platforms, Inc.4.04%$17.71M
Advanced Micro Devices, Inc.3.89%$17.06M
Visa, Inc.3.34%$14.61M
Netflix, Inc.2.44%$10.67M
Crowdstrike Holdings, Inc.2.10%$9.20M
Taiwan Semiconductor Manufacturing Company Ltd.2.06%$9.02M
Lam Research Corp.1.92%$8.39M
Caterpillar, Inc.1.86%$8.15M
Datadog, Inc.1.82%$7.97M
Cadence Design Systems, Inc.1.77%$7.75M
Tjx Companies, Inc. (the)1.74%$7.60M
Micron Technology, Inc.1.69%$7.39M
Vertex Pharmaceuticals, Inc.1.45%$6.37M
Tesla, Inc.1.36%$5.94M
Walmart, Inc.1.08%$4.72M
Ross Stores, Inc.0.98%$4.29M
Prudential Government Money Market Fund Inc.0.97%$4.23M
Amphenol Corp.0.94%$4.11M
Mastercard, Inc.0.93%$4.09M
Comfort Systems USA, Inc.0.92%$4.04M
American Express Company0.91%$3.97M
Ati, Inc.0.79%$3.48M
Waste Management, Inc.0.77%$3.38M
Ralph Lauren Corp.0.77%$3.36M
Macom Technology Solutions Holdings, Inc.0.76%$3.34M
Ge Aerospace0.75%$3.26M
Dell Technologies, Inc.0.74%$3.23M
Carpenter Technology Corp.0.74%$3.22M
Spotify Technology SA0.72%$3.16M
Sandisk Corp.0.71%$3.10M
Woodward, Inc.0.70%$3.08M
Keysight Technologies, Inc.0.57%$2.48M
On Holding AG0.54%$2.35M
Ttm Technologies, Inc.0.48%$2.09M
Amgen, Inc.0.45%$1.97M
Boeing Company (the)0.43%$1.88M
Technipfmc PLC0.39%$1.71M
Bank Of America Corp.0.36%$1.58M
Snowflake, Inc.0.36%$1.57M
Hilton Worldwide Holdings, Inc.0.35%$1.52M
Churchill Downs, Inc.0.32%$1.42M
Vistra Corp.0.29%$1.27M
Five Below, Inc.0.15%$676.79K
Ge Vernova, Inc.0.15%$643.69K
Rockwell Automation, Inc.0.14%$602.98K
Fastenal Company0.14%$601.10K
Coca-Cola Company (the)0.12%$523.96K
Abbvie, Inc.0.11%$476.28K
Oracle Corp.0.11%$463.51K
Lpl Financial Holdings, Inc.0.10%$458.40K
Appfolio, Inc.0.10%$455.52K
Arista Networks, Inc.0.10%$455.20K
American Tower Corp.0.10%$450.74K
Cloudflare, Inc.0.10%$449.44K
Cbre Group, Inc.0.10%$446.45K
Burlington Stores, Inc.0.10%$445.86K
Steel Dynamics, Inc.0.10%$437.44K
Palo Alto Networks, Inc.0.10%$436.69K
Costco Wholesale Corp.0.10%$435.01K
Cencora, Inc.0.10%$434.32K
Credo Technology Group Holding Ltd.0.10%$431.16K
Walt Disney Company (the)0.10%$430.45K
O'reilly Automotive, Inc.0.10%$430.58K
Moody's Corp.0.10%$429.11K
Targa Resources Corp.0.10%$428.27K
Citigroup, Inc.0.10%$426.62K
Applied Materials, Inc.0.10%$423.40K
Howmet Aerospace, Inc.0.10%$420.00K
Live Nation Entertainment, Inc.0.10%$419.48K
United Rentals, Inc.0.10%$416.59K
Goldman Sachs Group, Inc. (the)0.09%$408.37K
Rbc Bearings, Inc.0.09%$404.66K
Sterling Infrastructure, Inc.0.09%$397.45K

C000012848 overview: performance, fees, allocation and SEC filings