PSCCX Holdings — PGIM Jennison Small Company Fund

All 119 reported holdings of PGIM Jennison Small Company Fund (PSCCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Eldorado Gold Corp3.01%$96.11M
(PIPA070) PGIM Core Government Money Market Fund3.01%$95.89M
Ralph Lauren Corp.2.53%$80.61M
Idacorp Inc2.24%$71.40M
NiSource Inc.2.15%$68.47M
Wesco International, Inc.1.90%$60.42M
Markel Group Inc1.86%$59.33M
Gaming and Leisure Properties Inc1.78%$56.80M
Eastern Bankshares Inc1.74%$55.55M
Gulfport Energy Corp.1.59%$50.80M
Macom Technology Solutions Holdings, Inc.1.57%$50.00M
Onto Innovation Inc.1.51%$48.17M
Regal Rexnord Corporation1.49%$47.50M
Lattice Semiconductor Corporation1.47%$46.70M
AXIS Capital Holdings Limited1.45%$46.14M
Wintrust Financial Corporation1.43%$45.57M
East West Bancorp Inc1.42%$45.27M
Ero Copper Corp1.41%$44.85M
Element Solutions Inc1.40%$44.74M
Kirby Corp1.39%$44.44M
Permian Resources Corp1.38%$43.93M
Tower Semiconductor Limited1.36%$43.26M
Acadian Asset Management Inc1.33%$42.51M
Arcutis Biotherapeutics, Inc.1.29%$41.03M
Generac Holdings Inc.1.29%$40.99M
Scholar Rock Holding Corp.1.25%$39.80M
Urban Edge Properties1.24%$39.69M
Lincoln National Corp.1.24%$39.38M
Ameris Bancorp1.16%$37.02M
Dorman Products Inc.1.15%$36.77M
Nordson Corp1.15%$36.70M
Huron Consulting Group Inc.1.15%$36.51M
Heritage Financial Corp.1.13%$36.15M
Hexcel Corporation1.12%$35.77M
Trinity Industries, Inc.1.12%$35.74M
Kontoor Brands Inc1.10%$35.12M
Churchill Downs Inc1.10%$35.07M
Expro Group Holdings NV1.08%$34.29M
VSE Corp.1.04%$33.28M
Renaissancere Holdings Ltd.1.04%$33.24M
Rush Enterprises Inc.1.04%$33.24M
Protagonist Therapeutics Inc1.04%$33.10M
Gates Industrial Corp PLC1.02%$32.45M
RBC Bearings Inc0.99%$31.46M
Ladder Capital Corporation0.98%$31.35M
Five Below Inc0.96%$30.60M
Tarsus Pharmaceuticals Inc0.96%$30.50M
Toll Brothers, Inc.0.96%$30.45M
Cactus Inc0.89%$28.26M
Helios Technologies Inc0.88%$27.92M
LifeStance Health Group Inc0.86%$27.29M
Marex Group Plc0.84%$26.72M
Hayward Holdings Inc0.83%$26.49M
Immunovant Inc0.81%$25.97M
Prudential Investment Portfolios 90.80%$25.64M
Cousins Properties Inc.0.79%$25.03M
Terawulf Inc0.77%$24.52M
Elanco Animal Health Inc0.77%$24.51M
Flywire Corporation0.76%$24.34M
TTM Technologies Inc0.70%$22.29M
Avient Corporation0.70%$22.28M
Glaukos Corp.0.70%$22.24M
Burlington Stores Inc.0.70%$22.23M
Encompass Health Corporation0.68%$21.55M
Vaxcyte Inc0.61%$19.29M
Independence Realty Trust Inc0.60%$19.05M
National Storage Affiliates Trust0.60%$19.01M
Concentra Group Holdings Parent Inc0.59%$18.93M
Moelis & Co.0.59%$18.79M
Argan Inc0.59%$18.72M
Solaris Energy Infrastructure Inc0.58%$18.59M
Performance Food Group Co.0.57%$18.14M
Lendingtree Inc0.56%$17.89M
Mercury Systems Inc0.56%$17.84M
Intapp Inc0.56%$17.75M
On Holding AG0.55%$17.56M
Korn Ferry0.54%$17.31M
Crown Holdings Inc0.53%$16.90M
Celsius Holdings, Inc.0.53%$16.84M
Renasant Corp.0.50%$15.95M
NewAmsterdam Pharma Company NV0.50%$15.91M
Boot Barn Holdings Inc0.49%$15.51M
Option Care Health Inc0.43%$13.67M
Cipher Digital Inc.0.43%$13.61M
Chord Energy Corp.0.42%$13.54M
Summit Hotel Properties, Inc.0.42%$13.34M
Crescent Energy Co.0.41%$13.12M
Dominos Pizza Inc.0.41%$13.10M
Q2 Holdings Inc0.39%$12.57M
C.H. Robinson Worldwide Inc0.39%$12.50M
Guardian Pharmacy Services, Inc.0.38%$12.18M
Lindsay Corp0.38%$12.00M
Avepoint, Inc.0.36%$11.59M
Freshpet Inc0.34%$10.99M
Cg Oncology, Inc.0.34%$10.75M
Semtech Corporation0.33%$10.56M
Karman Holdings, Inc.0.33%$10.40M
Align Technology Inc.0.30%$9.61M
Sotera Health Co.0.30%$9.58M
Terex Corporation0.30%$9.43M
Agilysys Inc0.29%$9.22M
JFrog Ltd0.28%$9.06M
Houlihan Lokey Inc.0.28%$8.96M
Vertex Inc0.26%$8.34M
Core & Main Inc0.23%$7.42M
I3 Verticals INC0.22%$7.06M
Palvella Therapeutics Inc.0.21%$6.64M
AppFolio Inc.0.20%$6.38M
Nicolet Bankshares, Inc.0.20%$6.26M
Enerpac Tool Group Corp0.18%$5.86M
Allient Inc0.18%$5.73M
Universal Display Corp.0.17%$5.41M
First Bancorp0.15%$4.84M
Waystar Holding Corp0.13%$4.21M
Exzeo Group, Inc.0.12%$3.68M
H2O America0.09%$2.84M
Great Lakes Dredge & Dock Corporation0.08%$2.67M
Janus Living Inc.0.07%$2.27M
Riskified Ltd.0.06%$1.96M

PSCCX overview: performance, fees, allocation and SEC filings