C000226563 Holdings — SP Prudential US Emerging Growth Portfolio

All 117 reported holdings of SP Prudential US Emerging Growth Portfolio (C000226563) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Palantir Technologies Inc3.39%$13.66M
Hilton Worldwide Holdings Inc2.09%$8.43M
AppLovin Corp1.96%$7.89M
HubSpot Inc1.82%$7.33M
Alnylam Pharmaceuticals Inc1.81%$7.30M
HEICO Corp1.79%$7.24M
Gartner Inc1.67%$6.73M
Tradeweb Markets Inc1.65%$6.63M
LPL Financial Holdings Inc1.60%$6.45M
PGIM Core Ultra Short Bond Fund1.57%$6.32M
Natera Inc1.55%$6.27M
Tractor Supply Co1.54%$6.22M
Ares Management Corp1.54%$6.21M
Cheniere Energy Inc1.52%$6.15M
Veeva Systems Inc1.35%$5.45M
McKesson Corp1.34%$5.39M
Quanta Services Inc1.34%$5.39M
Arthur J Gallagher & Co1.32%$5.32M
Casey's General Stores Inc1.32%$5.31M
Burlington Stores Inc1.27%$5.14M
Datadog Inc1.25%$5.03M
Bright Horizons Family Solutio1.22%$4.92M
MSCI Inc1.15%$4.65M
DoorDash Inc1.14%$4.58M
Williams Cos Inc/The1.13%$4.57M
Nutanix Inc1.12%$4.51M
AutoZone Inc1.07%$4.34M
Take-Two Interactive Software1.07%$4.31M
FactSet Research Systems Inc1.06%$4.26M
Cloudflare Inc1.04%$4.18M
Saia Inc1.02%$4.10M
Copart Inc1.01%$4.08M
Vistra Corp1.01%$4.06M
ITT Inc1.00%$4.02M
Axon Enterprise Inc1.00%$4.02M
Esab Corp0.99%$3.99M
Pool Corp0.97%$3.91M
Planet Fitness Inc0.96%$3.87M
EOG Resources Inc0.94%$3.81M
TechnipFMC PLC0.93%$3.77M
Ulta Beauty Inc0.93%$3.74M
Tyler Technologies Inc0.92%$3.71M
Flutter Entertainment PLC0.92%$3.70M
Teledyne Technologies Inc0.88%$3.57M
Atlassian Corp0.88%$3.53M
CyberArk Software Ltd0.87%$3.52M
Insmed Inc0.87%$3.50M
AMETEK Inc0.86%$3.47M
Eagle Materials Inc0.86%$3.46M
Howmet Aerospace Inc0.84%$3.39M
Vertiv Holdings Co0.82%$3.32M
Interactive Brokers Group Inc0.81%$3.25M
Robinhood Markets Inc0.80%$3.25M
NU Holdings Ltd/Cayman Islands0.80%$3.22M
Cooper Cos Inc/The0.79%$3.20M
Teradyne Inc0.79%$3.19M
ROBLOX Corp0.76%$3.07M
Confluent Inc0.76%$3.06M
CBRE Group Inc0.75%$3.01M
Comfort Systems USA Inc0.73%$2.96M
Westinghouse Air Brake Technol0.73%$2.93M
Rocket Cos Inc0.72%$2.92M
Mettler-Toledo International I0.72%$2.91M
Penumbra Inc0.71%$2.85M
Okta Inc0.68%$2.74M
On Holding AG0.68%$2.74M
Jefferies Financial Group Inc0.68%$2.73M
Dexcom Inc0.67%$2.70M
Trade Desk Inc/The0.66%$2.68M
Raymond James Financial Inc0.66%$2.66M
Performance Food Group Co0.65%$2.62M
Snowflake Inc0.65%$2.61M
Agilent Technologies Inc0.64%$2.58M
MongoDB Inc0.63%$2.53M
Entegris Inc0.62%$2.49M
AAON Inc0.61%$2.47M
Air Lease Corp0.61%$2.47M
Simpson Manufacturing Co Inc0.61%$2.45M
Garmin Ltd0.59%$2.38M
Twilio Inc0.59%$2.37M
Monday.com Ltd0.59%$2.37M
MSA Safety Inc0.58%$2.34M
Neurocrine Biosciences Inc0.58%$2.33M
JB Hunt Transport Services Inc0.58%$2.33M
Ingersoll Rand Inc0.55%$2.20M
GoDaddy Inc0.54%$2.18M
Somnigroup International Inc0.54%$2.16M
Rambus Inc0.51%$2.05M
Chipotle Mexican Grill Inc0.51%$2.04M
Trane Technologies PLC0.49%$1.99M
IQVIA Holdings Inc0.48%$1.94M
Moody's Corp0.48%$1.92M
Thor Industries Inc0.47%$1.88M
Hubbell Inc0.46%$1.84M
Coinbase Global Inc0.45%$1.80M
Booz Allen Hamilton Holding Co0.44%$1.79M
Alkermes PLC0.43%$1.75M
Floor & Decor Holdings Inc0.43%$1.74M
Onto Innovation Inc0.43%$1.73M
Ciena Corp0.43%$1.72M
Las Vegas Sands Corp0.42%$1.70M
TPG Inc0.42%$1.68M
Crowdstrike Holdings Inc0.41%$1.67M
elf Beauty Inc0.41%$1.65M
ON Semiconductor Corp0.39%$1.59M
West Pharmaceutical Services I0.38%$1.54M
Blueprint Medicines Corp0.37%$1.50M
Marvell Technology Inc0.34%$1.37M
Inspire Medical Systems Inc0.33%$1.35M
Globant SA0.33%$1.35M
Rubrik Inc0.33%$1.34M
Monolithic Power Systems Inc0.33%$1.33M
Gitlab Inc0.32%$1.30M
Viking Therapeutics Inc0.26%$1.06M
Revolution Medicines Inc0.26%$1.04M
Vaxcyte Inc0.13%$544.08K
PGIM Institutional Money Market Fund - D0.07%$272.38K

C000226563 overview: performance, fees, allocation and SEC filings