Titelia

Portfolio von PGIM Quant Solutions Large-Cap Value Fund

Prudential Investment Portfolios 3 · 269 gemeldete Positionen · zum 27.02.2026

Originalmeldung · Nettovermögen 254,6 Mio. $ · Zehn größte Positionen: 18 % des Aktienteils

Aufteilung nach Branche

  • Finanzen 11,3 %
  • Gesundheit 11,1 %
  • Technologie 10,2 %
  • Industrie 8,5 %
  • Kommunikation 8,0 %
  • Energie 2,9 %
  • Basiskonsum 2,7 %
  • Zyklischer Konsum 2,5 %
  • Versorger 1,6 %
  • Rohstoffe 1,2 %
  • Fonds 0,3 %
  • Nicht zugeordnet 39,7 %

Einstufung von Titelia, Gesellschaft für Gesellschaft. Der nicht zugeordnete Anteil bleibt sichtbar.

Aufteilung nach Währung

  • USD 100,0 %

Die gemeldete Notierungswährung jeder Position.

Länderaufteilung

  • US 96,3 %
  • IE 1,6 %
  • BM 0,8 %
  • GB 0,4 %
  • MH 0,4 %
  • KY 0,3 %
  • SG 0,2 %
  • PR 0,0 %

Anteile berechnet auf den Aktienteil.

LandPositionenWertAnteil
US256245 Mio. $96,28 %
IE24,1 Mio. $1,62 %
BM42 Mio. $0,78 %
GB2966.027 $0,38 %
MH1934.724 $0,37 %
KY2851.298 $0,33 %
SG1472.650 $0,19 %
PR1116.215 $0,05 %

Positionen

GesellschaftStückeWertGewicht
Johnson & Johnson 29.4207,3 Mio. $2,87 %
Berkshire Hathaway Inc 9.9985 Mio. $1,98 %
Alphabet Inc 15.3004,8 Mio. $1,87 %
JPMorgan Chase & Co 15.7844,7 Mio. $1,86 %
Micron Technology Inc 11.3004,7 Mio. $1,83 %
Verizon Communications Inc 82.7164,1 Mio. $1,63 %
Goldman Sachs Group Inc/The 4.7904,1 Mio. $1,62 %
AT&T Inc 135.9003,8 Mio. $1,50 %
Morgan Stanley 22.3623,7 Mio. $1,46 %
Altria Group, Inc. 49.7003,4 Mio. $1,35 %
Johnson Controls International plc 22.7003,3 Mio. $1,29 %
General Dynamics Corp 8.9203,2 Mio. $1,25 %
Alphabet Inc 10.1003,1 Mio. $1,24 %
Cisco Systems, Inc. 39.1003,1 Mio. $1,22 %
Exelon Corp 60.2413 Mio. $1,17 %
Analog Devices Inc 8.3003 Mio. $1,16 %
Consolidated Edison Inc 25.2002,8 Mio. $1,11 %
Allstate Corp/The 13.0002,8 Mio. $1,10 %
VICI Properties Inc 91.0002,7 Mio. $1,08 %
FedEx Corp 7.1002,7 Mio. $1,08 %
Devon Energy Corp 61.4002,7 Mio. $1,05 %
Bristol-Myers Squibb Co 42.4002,6 Mio. $1,04 %
EOG Resources Inc 21.3002,6 Mio. $1,04 %
Thermo Fisher Scientific Inc 5.0402,6 Mio. $1,03 %
Exxon Mobil Corp 16.8712,6 Mio. $1,01 %
Merck & Co Inc 20.0002,5 Mio. $0,97 %
Edison International 32.7002,4 Mio. $0,96 %
Smithfield Foods Inc 97.4002,4 Mio. $0,95 %
Amazon.com Inc 11.2002,4 Mio. $0,92 %
Pfizer Inc 84.7862,3 Mio. $0,92 %
Bank of New York Mellon Corp/The 19.6102,3 Mio. $0,92 %
National Fuel Gas Co 25.4002,3 Mio. $0,91 %
Newmont Corp 16.5002,1 Mio. $0,84 %
Cognizant Technology Solutions Corp. 32.9002,1 Mio. $0,83 %
Salesforce Inc 10.8002,1 Mio. $0,83 %
Charles Schwab Corp/The 21.8002,1 Mio. $0,82 %
HCA Healthcare Inc 3.8202 Mio. $0,79 %
Dollar General Corp 12.7002 Mio. $0,78 %
AMETEK Inc 8.0001,9 Mio. $0,75 %
Cheniere Energy Inc 8.1001,9 Mio. $0,75 %
Meta Platforms Inc 2.8801,9 Mio. $0,73 %
Ross Stores Inc 9.0001,9 Mio. $0,73 %
Amgen Inc 4.7401,8 Mio. $0,72 %
International Business Machines Corp. 7.5401,8 Mio. $0,71 %
United Airlines Holdings Inc 17.0001,8 Mio. $0,71 %
Host Hotels & Resorts Inc 86.5001,7 Mio. $0,67 %
Axis Capital Holdings Ltd 15.1001,6 Mio. $0,63 %
Brixmor Property Group Inc 51.7001,6 Mio. $0,61 %
Walmart Inc 12.1561,6 Mio. $0,61 %
Accenture PLC 7.4001,5 Mio. $0,61 %
UnitedHealth Group Inc 5.2401,5 Mio. $0,60 %
American International Group Inc 19.0001,5 Mio. $0,60 %
Comcast Corp 48.2821,5 Mio. $0,59 %
Lockheed Martin Corp 2.2401,5 Mio. $0,58 %
Mueller Industries Inc 12.4001,5 Mio. $0,57 %
Teradata Corp 46.3001,5 Mio. $0,57 %
Western Digital Corp 5.0001,4 Mio. $0,55 %
Rockwell Automation Inc 3.4001,4 Mio. $0,54 %
US Bancorp 24.8001,4 Mio. $0,53 %
Gilead Sciences Inc 9.1001,4 Mio. $0,53 %
Dover Corp 6.0001,4 Mio. $0,53 %
Parker-Hannifin Corp 1.3001,3 Mio. $0,52 %
Zoom Communications Inc 17.7001,3 Mio. $0,51 %
Abbott Laboratories 11.1001,3 Mio. $0,51 %
3M Co 7.7001,3 Mio. $0,50 %
Ovintiv Inc 25.0001,3 Mio. $0,50 %
Universal Health Services Inc 6.1001,3 Mio. $0,49 %
Delta Air Lines Inc 19.1001,3 Mio. $0,49 %
MKS Inc 5.1001,2 Mio. $0,49 %
Honeywell International Inc 5.1001,2 Mio. $0,49 %
Regeneron Pharmaceuticals, Inc. 1.5801,2 Mio. $0,49 %
PG&E Corp 64.5001,2 Mio. $0,48 %
Solventum Corp 16.5001,2 Mio. $0,48 %
Monster Beverage Corp 14.2001,2 Mio. $0,48 %
Albertsons Cos Inc 67.2001,2 Mio. $0,47 %
Travel + Leisure Co 15.7001,2 Mio. $0,45 %
American Electric Power Co Inc 8.5001,1 Mio. $0,45 %
Northern Trust Corp 7.9001,1 Mio. $0,44 %
Caterpillar Inc 1.5201,1 Mio. $0,44 %
CF Industries Holdings Inc 11.3001,1 Mio. $0,44 %
Nucor Corp 6.3001,1 Mio. $0,44 %
Walt Disney Co/The 10.4001,1 Mio. $0,43 %
Allison Transmission Holdings Inc 8.7001,1 Mio. $0,43 %
Carnival Corp 34.2001,1 Mio. $0,42 %
Lincoln National Corp 30.6001 Mio. $0,41 %
Slide Insurance Holdings Inc 54.9001 Mio. $0,41 %
Deluxe Corp 37.5001 Mio. $0,41 %
Jones Lang LaSalle Inc 3.2001 Mio. $0,40 %
General Motors Co 12.7961 Mio. $0,40 %
Lam Research Corp 4.3001 Mio. $0,40 %
Fox Corp 19.100988.043 $0,39 %
Tenet Healthcare Corp 4.000957.560 $0,38 %
Marvell Technology Inc 11.700955.773 $0,38 %
Jabil Inc 3.600953.964 $0,37 %
Costamare Inc 53.200934.724 $0,37 %
Applied Materials Inc 2.500930.750 $0,37 %
Target Corp 8.100921.699 $0,36 %
Fortive Corp 15.400911.680 $0,36 %
Regions Financial Corp 32.300898.909 $0,35 %
Cummins Inc 1.500875.805 $0,34 %
CBRE Group Inc 5.900871.194 $0,34 %
Teekay Corp Ltd 66.200857.290 $0,34 %
nVent Electric PLC 7.200852.192 $0,33 %
Corteva Inc 10.500841.260 $0,33 %
Sandisk Corp/DE 1.300825.968 $0,32 %
United Parcel Service Inc 7.100823.316 $0,32 %
Cirrus Logic Inc 5.800818.496 $0,32 %
EPR Properties 13.500802.035 $0,32 %
Public Service Enterprise Group Inc 9.300800.451 $0,31 %
Valero Energy Corp 3.900798.096 $0,31 %
iShares Trust 3.430773.533,6 $0,30 %
CVS Health Corp 9.500759.050 $0,30 %
Cardinal Health, Inc. 3.300756.459 $0,30 %
L3Harris Technologies Inc 2.040743.661,6 $0,29 %
TechnipFMC PLC 11.100736.041 $0,29 %
Procter & Gamble Co/The 4.372730.998,4 $0,29 %
Gap Inc/The 25.900726.236 $0,29 %
Hamilton Insurance Group Ltd 22.700717.093 $0,28 %
Arch Capital Group Ltd 7.100711.065 $0,28 %
Edwards Lifesciences Corp 8.200709.054 $0,28 %
RTX Corp 3.400688.908 $0,27 %
United Rentals Inc 800672.000 $0,26 %
Gen Digital Inc 29.200659.044 $0,26 %
QUALCOMM Inc 4.600654.856 $0,26 %
Nordson Corp 2.200645.568 $0,25 %
Ford Motor Co 45.600642.504 $0,25 %
Wells Fargo & Co 7.632621.626,4 $0,24 %
Bank OZK 13.200614.592 $0,24 %
Las Vegas Sands Corp 10.600601.232 $0,24 %
Marathon Petroleum Corp 3.000594.630 $0,23 %
Urban Outfitters Inc 8.900589.180 $0,23 %
Sotera Health Co 36.100586.625 $0,23 %
Toro Co/The 5.900583.274 $0,23 %
ConocoPhillips 5.115580.347,9 $0,23 %
Incyte Corp 5.600567.112 $0,22 %
Element Solutions Inc 15.900557.931 $0,22 %
Fresh Del Monte Produce Inc 12.600540.918 $0,21 %
Intel Corp 11.800538.198 $0,21 %
ATI Inc 3.200523.488 $0,21 %
SkyWest Inc 5.000520.400 $0,20 %
ResMed Inc 2.000512.520 $0,20 %
Microsoft Corp 1.260494.852,4 $0,19 %
ScanSource Inc 13.300489.174 $0,19 %
Sysco Corp 5.200474.032 $0,19 %
Dell Technologies Inc 3.200473.856 $0,19 %
Flex Ltd 7.500472.650 $0,19 %
HF Sinclair Corp 9.300465.093 $0,18 %
Gray Media Inc 89.400463.986 $0,18 %
Medtronic PLC 4.700459.002 $0,18 %
United Therapeutics Corp 900453.510 $0,18 %
Cimpress PLC 6.200452.910 $0,18 %
Exelixis Inc 9.800431.788 $0,17 %
STERIS PLC 1.700428.995 $0,17 %
Hartford Insurance Group Inc/The 3.000422.490 $0,17 %
El Pollo Loco Holdings Inc 37.100410.326 $0,16 %
KLA Corp 260396.383 $0,16 %
Bank of NT Butterfield & Son Ltd/The 7.700390.775 $0,15 %
Consensus Cloud Solutions Inc 12.900388.032 $0,15 %
Leidos Holdings Inc 2.200385.220 $0,15 %
Adobe Inc 1.460383.118,6 $0,15 %
Church & Dwight Co Inc 3.500367.010 $0,14 %
Northrop Grumman Corp 500362.190 $0,14 %
Zions Bancorp NA 6.300360.864 $0,14 %
TJX Cos Inc/The 2.200355.652 $0,14 %
McKesson Corp 360355.453,2 $0,14 %
Teradyne Inc 1.100352.033 $0,14 %
Kroger Co/The 5.100348.024 $0,14 %
Fox Corp 6.100343.674 $0,14 %
Alcoa Corp 5.500341.440 $0,13 %
TPG Mortgage Investment Trust Inc 42.000339.780 $0,13 %
IQVIA Holdings Inc 1.900339.739 $0,13 %
Antero Resources Corp 9.000331.290 $0,13 %
Nexstar Media Group Inc 1.300326.326 $0,13 %
Matson Inc 1.900315.647 $0,12 %
GigaCloud Technology Inc 7.000310.380 $0,12 %
DiamondRock Hospitality Co 30.800309.232 $0,12 %
AES Corp/The 17.500302.400 $0,12 %
Autodesk Inc 1.200295.044 $0,12 %
BorgWarner Inc 5.000287.850 $0,11 %
EnerSys 1.700282.455 $0,11 %
Enact Holdings Inc 6.700280.328 $0,11 %
Pilgrim's Pride Corp 6.400276.224 $0,11 %
Crown Holdings Inc 2.400275.040 $0,11 %
Immersion Corp 45.000274.950 $0,11 %
Shore Bancshares Inc 14.600271.268 $0,11 %
SandRidge Energy Inc 15.300268.209 $0,11 %
Medpace Holdings Inc 580262.020,8 $0,10 %
IBEX Holdings Ltd 8.900257.210 $0,10 %
California BanCorp 13.900254.509 $0,10 %
Asbury Automotive Group Inc 1.100235.158 $0,09 %
Steel Dynamics Inc 1.200231.756 $0,09 %
Anglogold Ashanti Plc 1.800229.986 $0,09 %
Blue Bird Corp 3.900227.253 $0,09 %
Emerson Electric Co. 1.500226.125 $0,09 %
Trane Technologies PLC 480221.913,6 $0,09 %
Skyworks Solutions Inc 3.600214.488 $0,08 %
Chevron Corp 1.138212.532,9 $0,08 %
Bath & Body Works Inc 9.200209.392 $0,08 %
Vontier Corp 5.100208.692 $0,08 %
Crocs Inc 2.300208.633 $0,08 %
Boyd Gaming Corp 2.500208.075 $0,08 %
Southwest Airlines Co 4.200206.892 $0,08 %
Bread Financial Holdings Inc 2.900205.494 $0,08 %
Kimball Electronics Inc 8.200204.918 $0,08 %
Bank of America Corp 4.111204.851,1 $0,08 %
PayPal Holdings Inc 4.400203.324 $0,08 %
Elanco Animal Health Inc 7.700203.280 $0,08 %
SSR Mining Inc 6.200199.578 $0,08 %
Garrett Motion Inc 9.700197.492 $0,08 %
Genpact Ltd 4.900194.628 $0,08 %
ADT Inc 23.700190.074 $0,07 %
Hanmi Financial Corp 7.100185.381 $0,07 %
Valmont Industries Inc 400183.972 $0,07 %
Dillard's Inc 300180.837 $0,07 %
APA Corp 5.800176.146 $0,07 %
MGIC Investment Corp 6.400169.792 $0,07 %
Texas Instruments Inc 800169.688 $0,07 %
Docusign Inc 3.700166.759 $0,07 %
Perdoceo Education Corp 5.000166.750 $0,07 %
Radian Group Inc 4.500155.340 $0,06 %
V2X Inc 2.200153.450 $0,06 %
Truist Financial Corp 3.100152.861 $0,06 %
Ameriprise Financial Inc 320150.438,4 $0,06 %
Collegium Pharmaceutical Inc 3.600150.012 $0,06 %
US Foods Holding Corp 1.500144.915 $0,06 %
Charles River Laboratories International Inc 800142.792 $0,06 %
Third Coast Bancshares Inc 3.600142.596 $0,06 %
Antero Midstream Corp 6.300141.624 $0,06 %
Central Garden & Pet Co 4.100141.614 $0,06 %
TD SYNNEX Corp 900141.129 $0,06 %
Advanced Drainage Systems Inc 800137.072 $0,05 %
H&R Block Inc 4.300131.666 $0,05 %
Zumiez Inc 5.000131.100 $0,05 %
Mosaic Co/The 4.700130.848 $0,05 %
Expedia Group Inc 600129.414 $0,05 %
Sally Beauty Holdings Inc 7.900126.953 $0,05 %
Reynolds Consumer Products Inc 5.100126.531 $0,05 %
Avnet Inc 1.900125.096 $0,05 %
Hayward Holdings Inc 7.800124.800 $0,05 %
Phillips 66 800123.464 $0,05 %
Keysight Technologies Inc 400122.932 $0,05 %
Darling Ingredients Inc 2.300122.268 $0,05 %
Civista Bancshares Inc 5.000119.050 $0,05 %
Mercury General Corp 1.300117.754 $0,05 %
First BanCorp/Puerto Rico 5.500116.215 $0,05 %
Expeditors International of Washington Inc 800116.024 $0,05 %
Lincoln Electric Holdings Inc 400114.820 $0,05 %
Embecta Corp 10.700109.782 $0,04 %
Parke Bancorp Inc 3.800105.868 $0,04 %
Linde PLC 200101.616 $0,04 %
Universal Insurance Holdings Inc 2.60091.442 $0,04 %
State Street Corp 61879.487,2 $0,03 %
Aptiv PLC 1.00073.540 $0,03 %
EPAM Systems Inc 50070.500 $0,03 %
Virtu Financial Inc 1.70070.397 $0,03 %
AGCO Corp 50068.250 $0,03 %
Dolby Laboratories Inc 1.00066.570 $0,03 %
Versant Media Group Inc 1.93164.340,9 $0,03 %
PNC Financial Services Group Inc/The 30063.705 $0,03 %
Harmony Biosciences Holdings Inc 2.20062.788 $0,02 %
AutoNation Inc 30058.548 $0,02 %
Maplebear Inc 1.40052.514 $0,02 %
Lear Corp 40052.500 $0,02 %
CBL & Associates Properties Inc 1.20045.336 $0,02 %
Sprinklr Inc 7.60044.232 $0,02 %
Commercial Metals Co 60043.980 $0,02 %
Advanced Micro Devices Inc 20040.042 $0,02 %
Woodward Inc 10038.676 $0,02 %
RenaissanceRe Holdings Ltd 10030.246 $0,01 %