C000135561 Holdings — AST T. Rowe Price Growth Opportunities Portfolio

All 255 reported holdings of AST T. Rowe Price Growth Opportunities Portfolio (C000135561) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Advanced Series Trust14.42%$329.36M
J.p. Morgan Exchange-Traded Fund Trust10.79%$246.40M
J.p. Morgan Exchange-Traded Fund Trust10.48%$239.48M
Prudential Investment Portfolios 29.03%$206.26M
J.p. Morgan Exchange-Traded Fund Trust8.09%$184.75M
J.p. Morgan Exchange-Traded Fund Trust5.70%$130.16M
Prudential Investment Portfolios 95.62%$128.37M
United States Of America - Bureau Of The Public Debt2.55%$58.19M
NVIDIA Corp.1.40%$31.92M
Asml Holding NV1.05%$24.07M
Amazon.com, Inc.0.92%$20.96M
Safran SA0.89%$20.40M
Microsoft Corp.0.89%$20.26M
Alphabet, Inc.0.88%$20.11M
Taiwan Semiconductor Manufacturing Company Ltd.0.81%$18.52M
Shell PLC0.78%$17.82M
Mastercard, Inc.0.71%$16.14M
Apple, Inc.0.70%$16.04M
Taiwan Semiconductor Manufacturing Company Ltd.0.66%$15.07M
Sk Hynix, Inc.0.66%$14.97M
Mitsubishi Ufj Financial Group, Inc.0.58%$13.26M
Johnson & Johnson0.57%$13.13M
Volvo Ab0.52%$11.95M
Nextera Energy, Inc.0.48%$10.88M
Dbs Group Holdings Ltd.0.48%$10.88M
Infineon Technologies AG0.46%$10.51M
Sumitomo Electric Industries Ltd.0.43%$9.87M
Muenchener Rueckversicherungs-Gesellschaft AG0.43%$9.73M
Unicredit Spa0.42%$9.58M
Keyence Corp.0.42%$9.55M
Rio Tinto PLC0.40%$9.16M
Siemens AG0.37%$8.47M
Broadcom, Inc.0.35%$7.94M
Unitedhealth Group, Inc.0.35%$7.92M
Engie SA0.34%$7.74M
Meta Platforms, Inc.0.33%$7.48M
Compass Group PLC0.33%$7.47M
Tokio Marine Holdings, Inc.0.33%$7.44M
Lowe's Companies, Inc.0.33%$7.43M
Royal Bank Of Canada0.32%$7.35M
Walt Disney Company (the)0.29%$6.65M
Hdfc Bank Ltd.0.29%$6.64M
Abbvie, Inc.0.29%$6.52M
Morgan Stanley0.28%$6.40M
Yum! Brands, Inc.0.28%$6.32M
Bank Of America Corp.0.27%$6.13M
Ventas, Inc.0.26%$6.01M
Tokyo Electron Ltd.0.26%$5.92M
3m Company0.25%$5.73M
Nestle' Sa/ag0.24%$5.58M
Autozone, Inc.0.24%$5.57M
Sony Group Corp.0.24%$5.43M
Mcdonald's Corp.0.24%$5.38M
Legrand SA0.23%$5.26M
Micron Technology, Inc.0.23%$5.18M
Natwest Group PLC0.22%$5.12M
Tencent Holdings Ltd.0.22%$5.08M
L'air Liquide SA0.22%$5.06M
Samsung Electronics Co. Ltd.0.22%$5.04M
Kbc Group Sa/nv0.22%$4.97M
British American Tobacco PLC0.21%$4.89M
United Rentals, Inc.0.21%$4.89M
Stryker Corp.0.21%$4.87M
Roche Holding AG0.21%$4.86M
American Express Company0.21%$4.84M
Baker Hughes Company0.21%$4.81M
Novo Nordisk A/s0.21%$4.79M
Advanced Micro Devices, Inc.0.21%$4.75M
Aon PLC0.20%$4.58M
Novartis AG0.20%$4.56M
Trane Technologies PLC0.20%$4.52M
Bristol-Myers Squibb Company0.19%$4.41M
Alibaba Group Holding Ltd.0.17%$3.95M
Toyota Motor Corp.0.17%$3.94M
Kia Corp.0.17%$3.87M
Obayashi Corp.0.17%$3.83M
Wells Fargo & Company0.17%$3.83M
Charles Schwab Corp. (the)0.16%$3.68M
Dover Corp.0.16%$3.65M
Itausa SA0.16%$3.63M
Amphenol Corp.0.16%$3.60M
Standard Chartered PLC0.16%$3.58M
Relx PLC0.15%$3.46M
Ajinomoto (japan) Company, Inc.0.15%$3.45M
Recruit Holdings Co. Ltd.0.15%$3.37M
Itochu Corp.0.15%$3.37M
Lvmh Moet Hennessy Louis Vuitton SE0.15%$3.34M
Deutsche Telekom AG0.14%$3.31M
Aia Group Ltd.0.14%$3.30M
Ecolab, Inc.0.14%$3.25M
US Bancorp0.14%$3.25M
Yum China Holdings, Inc.0.14%$3.23M
Crowdstrike Holdings, Inc.0.14%$3.18M
National Bank Of Greece SA0.14%$3.12M
Al Rajhi Bank0.13%$2.93M
Burlington Stores, Inc.0.13%$2.92M
Edwards Lifesciences Corp.0.13%$2.89M
Atlas Copco Ab0.12%$2.86M
Hanwha Aerospace Co. Ltd.0.12%$2.82M
Telstra Group Ltd.0.12%$2.80M
Murata Manufacturing Company Ltd.0.12%$2.79M
Marriott International, Inc.0.12%$2.79M
Delta Electronics, Inc.0.12%$2.70M
Element Solutions, Inc.0.12%$2.70M
Palantir Technologies, Inc.0.12%$2.69M
Zijin Mining Group Co. Ltd.0.12%$2.66M
Novonesis A/s0.12%$2.64M
Western Digital Corp.0.11%$2.62M
Hong Kong Exchanges And Clearing Ltd.0.11%$2.61M
Asics Corp.0.11%$2.60M
Ferrari NV0.11%$2.59M
Midea Group Co. Ltd.0.11%$2.51M
Tesla, Inc.0.11%$2.42M
Novanta, Inc.0.10%$2.38M
Loar Holdings, Inc.0.10%$2.20M
Bel Fuse, Inc.0.09%$2.12M
Allegro Microsystems, Inc.0.09%$2.05M
Mercadolibre, Inc.0.09%$2.03M
Msa Safety, Inc.0.09%$2.02M
Canadian Natural Resources Ltd.0.09%$2.01M
Hayward Holdings, Inc.0.09%$1.99M
Cullen/frost Bankers, Inc.0.09%$1.94M
Envista Holdings Corp.0.09%$1.94M
Ucb SA0.08%$1.91M
Exxonmobil Holdings Corp.0.08%$1.87M
Wintrust Financial Corp.0.08%$1.87M
Ryman Hospitality Properties, Inc.0.08%$1.86M
Casella Waste Systems, Inc.0.08%$1.85M
Cushman & Wakefield Ltd.0.08%$1.84M
Rbc Bearings, Inc.0.08%$1.83M
Sm Energy Company0.08%$1.81M
Power Integrations, Inc.0.08%$1.78M
Colliers International Group, Inc.0.08%$1.78M
Arista Networks, Inc.0.08%$1.75M
Pepsico, Inc.0.08%$1.75M
Fabrinet0.08%$1.75M
Middleby Corp. (the)0.08%$1.75M
Willscot Holdings Corp.0.08%$1.74M
Evercore, Inc.0.08%$1.73M
Healthequity, Inc.0.08%$1.72M
Wyndham Hotels & Resorts, Inc.0.07%$1.71M
Macom Technology Solutions Holdings, Inc.0.07%$1.68M
Modine Manufacturing Company0.07%$1.68M
Kinsale Capital Group, Inc.0.07%$1.67M
Badger Meter, Inc.0.07%$1.66M
Cisco Systems, Inc.0.07%$1.66M
Concentra Group Holdings Parent, Inc.0.07%$1.64M
Nxp Semiconductors NV0.07%$1.63M
Intel Corp.0.07%$1.63M
Stepstone Group, Inc.0.07%$1.63M
Encompass Health Corp.0.07%$1.61M
Commerce Bancshares, Inc. (mo)0.07%$1.59M
First Horizon Corp.0.07%$1.59M
Primo Brands Corp.0.07%$1.54M
Solstice Advanced Materials, Inc.0.07%$1.53M
Legence Corp.0.07%$1.52M
Digi International, Inc.0.07%$1.49M
Pool Corp.0.06%$1.48M
Icu Medical, Inc.0.06%$1.48M
Chefs' Warehouse, Inc. (the)0.06%$1.44M
Xcmg Construction Machinery Co. Ltd.0.06%$1.42M
Servisfirst Bancshares, Inc.0.06%$1.38M
Karman Holdings, Inc.0.06%$1.37M
Eagle Materials, Inc.0.06%$1.36M
Core & Main, Inc.0.06%$1.35M
Dt Midstream, Inc.0.06%$1.31M
Elf Beauty, Inc.0.06%$1.30M
Planet Fitness, Inc.0.06%$1.28M
Miami International Holdings, Inc.0.06%$1.26M
First Financial Bancorp0.05%$1.25M
First Interstate Bancsystem, Inc.0.05%$1.24M
Bright Horizons Family Solutions LLC0.05%$1.22M
Marketaxess Holdings, Inc.0.05%$1.22M
Neptune Insurance Holdings, Inc.0.05%$1.22M
Saia, Inc.0.05%$1.21M
Performance Food Group Company0.05%$1.20M
Bj's Wholesale Club Holdings, Inc.0.05%$1.18M
Medpace Holdings, Inc.0.05%$1.18M
Applied Industrial Technologies, Inc.0.05%$1.17M
Hillman Solutions Corp.0.05%$1.17M
Goldman Sachs & Co. LLC0.05%$1.15M
Balchem Corp.0.05%$1.15M
Perimeter Solutions, Inc.0.05%$1.15M
Ryan Specialty Holdings, Inc.0.05%$1.15M
Bankunited, Inc.0.05%$1.14M
Liberty Energy, Inc.0.05%$1.14M
Entegris, Inc.0.05%$1.13M
Flowco Holdings, Inc.0.05%$1.12M
Cactus, Inc.0.05%$1.11M
Eastgroup Properties, Inc.0.05%$1.10M
Monarch Casino & Resort, Inc.0.05%$1.09M
Gold Fields Ltd.0.05%$1.08M
Digitalocean Holdings, Inc.0.05%$1.08M
Chemed Corp.0.05%$1.05M
Arxis, Inc.0.05%$1.04M
Xometry, Inc.0.05%$1.04M
Alliance Laundry Holdings, Inc.0.04%$1.03M
First Hawaiian, Inc.0.04%$1.02M
Wsfs Financial Corp.0.04%$1.01M
Warby Parker, Inc.0.04%$992.94K
Forgent Power Solutions, Inc.0.04%$979.00K
Portland General Electric Company0.04%$973.78K
First Advantage Corp.0.04%$937.32K
Plexus Corp.0.04%$921.85K
Figure Technology Solutions, Inc.0.04%$906.87K
Janus International Group, Inc.0.04%$905.49K
Morningstar, Inc.0.04%$896.18K
Acushnet Holdings Corp.0.04%$877.83K
Simpson Manufacturing Co., Inc.0.04%$866.50K
Aaon, Inc.0.04%$848.06K
Nextpower, Inc.0.04%$847.80K
Quaker Chemical Corp.0.04%$843.28K
Shake Shack, Inc.0.04%$837.27K
Construction Partners, Inc.0.04%$803.00K
Commercial Metals Company0.04%$799.18K
Zurn Elkay Water Solutions Corp.0.03%$793.47K
Wesco International, Inc.0.03%$782.05K
Rli Corp.0.03%$778.07K
Moelis & Company0.03%$774.97K
Osaka Exchange,Inc0.03%$770.21K
Tyler Technologies, Inc.0.03%$761.86K
Transunion0.03%$739.65K
Manhattan Associates, Inc.0.03%$739.42K
Utz Brands, Inc.0.03%$730.16K
Wealthfront Corp.0.03%$727.20K
Ccc Intelligent Solutions Holdings, Inc.0.03%$710.82K
Jack Henry & Associates, Inc.0.03%$705.23K
Paylocity Holding Corp.0.03%$684.67K
Gentex Corp.0.03%$663.77K
Molina Healthcare, Inc.0.03%$657.97K
Accelerant Holdings0.03%$654.33K
Qualys, Inc.0.03%$647.58K
Ncino, Inc.0.03%$639.19K
Dpc Holdings PLC0.03%$638.03K
Andersen Group, Inc.0.03%$623.13K
Innio NV0.03%$615.91K
Freshpet, Inc.0.03%$603.56K
Nlight, Inc.0.03%$599.85K
Lincoln Electric Holdings, Inc.0.02%$501.55K
Deutsche Boerse AG0.02%$477.04K
Jfrog Ltd.0.02%$467.94K
Ridgepost Capital, Inc.0.02%$435.09K
Bnp Paribas Securities Corp.0.01%$298.11K
Barclays Bank PLC0.01%$203.89K
Standex International Corp.0.00%$106.23K
EUREX Clearing Aktiengesellschaft0.00%$27.41K
Standard Chartered Securities (north America) LLC0.00%$3.23K
Ozon Holdings PLC0.00%$1
Gazprom Pjsc0.00%$0
Headhunter Group PLC0.00%$1
Ice Futures U.s.-0.01%$-126.02K
Board Of Trade Of The City Of Chicago, Inc.-0.01%$-204.65K
Chicago Mercantile Exchange-0.01%$-287.13K
Morgan Stanley & Co. LLC-0.02%$-386.42K
Hsbc Securities (usa) Inc.-0.12%$-2.73M

C000135561 overview: performance, fees, allocation and SEC filings