Titelia

Holdings of PGIM Jennison Small-Cap Core Equity Fund

Prudential Investment Portfolios 2 · 123 declared positions · as of Apr 30, 2026

Original filing · Net assets 12.4M $ · Ten largest lines: 17.5 % of the equity sleeve

Sector breakdown

  • Technology 1.0 %
  • Unattributed 99.0 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 92.1 %
  • CA 3.4 %
  • GB 2.0 %
  • IL 1.7 %
  • NL 0.8 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US11711.4M $92.06 %
2CA2420.4K $3.40 %
3GB2253.1K $2.05 %
4IL1211.1K $1.71 %
5NL198.2K $0.79 %

Positions

RankCompanySharesValueWeight
1Eldorado Gold Corp 8,479263.6K $2.12 %
2Onto Innovation Inc 861254K $2.04 %
3IDACORP Inc 1,547228.6K $1.84 %
4Semtech Corp 2,076218.1K $1.76 %
5Tower Semiconductor Ltd 955211.1K $1.70 %
6Eastern Bankshares Inc 10,274207.8K $1.67 %
7Ameris Bancorp 2,433207.4K $1.67 %
8Acadian Asset Management Inc 2,994201.6K $1.62 %
9Hexcel Corp 2,009188.6K $1.52 %
10TTM Technologies Inc 1,173185.6K $1.49 %
11Chefs' Warehouse Inc/The 2,341181.7K $1.46 %
12Element Solutions Inc 4,228180.1K $1.45 %
13Gulfport Energy Corp 916176.4K $1.42 %
14First Bancorp/Southern Pines NC 2,997173K $1.39 %
15Gates Industrial Corp PLC 6,503166.5K $1.34 %
16Urban Edge Properties 7,438163K $1.31 %
17Axis Capital Holdings Ltd 1,581158.7K $1.28 %
18Glaukos Corp 1,103158.5K $1.28 %
19Rush Enterprises Inc 2,125157.3K $1.27 %
20ERO Copper Corp 6,065156.8K $1.26 %
21Tarsus Pharmaceuticals Inc 2,426154.3K $1.24 %
22Crescent Energy Co 11,381153.1K $1.23 %
23Shake Shack Inc 1,467150.3K $1.21 %
24Lincoln National Corp 3,933148.7K $1.20 %
25Kirby Corp 969145.9K $1.17 %
26Chesapeake Utilities Corp 1,146144.5K $1.16 %
27Enterprise Financial Services Corp 2,493144.1K $1.16 %
28Arcutis Biotherapeutics Inc 6,135142.5K $1.15 %
29Dorman Products Inc 1,238139.3K $1.12 %
30Viavi Solutions Inc 2,652139K $1.12 %
31Kontoor Brands Inc 1,892138.8K $1.12 %
32Scholar Rock Holding Corp 2,859133.3K $1.07 %
33Solaris Energy Infrastructure Inc 1,767130.5K $1.05 %
34EXPRO GROUP HOLDINGS NV 7,090129.1K $1.04 %
35VSE Corp 745127.9K $1.03 %
36Lattice Semiconductor Corp 1,041127.3K $1.02 %
37Twist Bioscience Corp 2,148125.6K $1.01 %
38Huron Consulting Group Inc 960125.4K $1.01 %
39LifeStance Health Group Inc 16,258123.1K $0.99 %
40Cactus Inc 2,183121.6K $0.98 %
41Horizon Bancorp Inc/IN 6,389115.6K $0.93 %
42SiTime Corp 202113.6K $0.91 %
43Heritage Financial Corp/WA 4,122113.4K $0.91 %
44Terawulf Inc 5,218113.4K $0.91 %
45Flywire Corp 8,341112.7K $0.91 %
46Renasant Corp 2,809112.1K $0.90 %
47Protagonist Therapeutics Inc 1,122111K $0.89 %
48Chord Energy Corp 753109.6K $0.88 %
49Freshpet Inc 1,613108.7K $0.87 %
50Avient Corp 2,927108.5K $0.87 %
51Helios Technologies Inc 1,583108.3K $0.87 %
52Cousins Properties Inc 4,218108K $0.87 %
53Powell Industries Inc 385106.7K $0.86 %
54Mercury Systems Inc 1,348106.4K $0.86 %
55Trinity Industries Inc 3,186103.9K $0.84 %
56Hayward Holdings Inc 6,804102.1K $0.82 %
57Immunovant Inc 3,742101.6K $0.82 %
58National Storage Affiliates Trust 2,34499.8K $0.80 %
59Five Below Inc 42399.7K $0.80 %
60Churchill Downs Inc 98599.5K $0.80 %
61Ladder Capital Corp 9,67099.4K $0.80 %
62Newamsterdam Pharma Co NV 3,43798.2K $0.79 %
63Q2 Holdings Inc 1,89296K $0.77 %
64Nicolet Bankshares Inc 63492.9K $0.75 %
65Griffon Corp 1,01392.4K $0.74 %
66Credo Technology Group Holding Ltd 51790K $0.72 %
67Figs Inc 5,91988.5K $0.71 %
68Independence Realty Trust Inc 5,33587K $0.70 %
69Marex Group PLC 1,62286.5K $0.70 %
70Concentra Group Holdings Parent Inc 3,76884.7K $0.68 %
71Construction Partners Inc 68484.6K $0.68 %
72Boot Barn Holdings Inc 48182.5K $0.66 %
73Warby Parker Inc 3,65180.8K $0.65 %
74RadNet Inc 1,39779K $0.64 %
75Moelis & Co 1,19577.8K $0.63 %
76Allient Inc 1,01677.4K $0.62 %
77Century Communities Inc 1,34275.2K $0.61 %
78Palvella Therapeutics Inc 57974.3K $0.60 %
79LendingTree Inc 1,48973.8K $0.59 %
80Intapp Inc 3,22972.5K $0.58 %
81Mirion Technologies Inc 3,49068.9K $0.55 %
82Guardant Health Inc 78668.4K $0.55 %
83Cipher Digital Inc 3,76566.8K $0.54 %
84Argan Inc 9966.3K $0.53 %
85IRhythm Holdings Inc 50365K $0.52 %
86AvePoint Inc 6,46663K $0.51 %
87ServiceTitan Inc 1,04262K $0.50 %
88Wintrust Financial Corp 40661.1K $0.49 %
89Skyward Specialty Insurance Group Inc 1,33360.6K $0.49 %
90CG oncology Inc 90660.5K $0.49 %
91Impinj Inc 41059.4K $0.48 %
92Enerpac Tool Group Corp 1,59055.8K $0.45 %
93Guardian Pharmacy Services Inc 1,45053.8K $0.43 %
94Summit Hotel Properties Inc 10,80853.7K $0.43 %
95Casella Waste Systems Inc 66352.5K $0.42 %
96JFrog Ltd 1,12852.4K $0.42 %
97Sotera Health Co 3,35152.1K $0.42 %
98Cushman & Wakefield Ltd 3,66651.5K $0.41 %
99Herc Holdings Inc 40251K $0.41 %
100Concrete Pumping Holdings Inc 6,33250.1K $0.40 %