Titelia

Holdings of PRUDENTIAL FINANCIAL INC

2240 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 32.5 % of the equity sleeve

Sector breakdown

  • Technology 20.2 %
  • Funds 9.1 %
  • Financials 7.7 %
  • Communication 6.6 %
  • Health care 5.9 %
  • Consumer discretionary 5.7 %
  • Industrials 4.9 %
  • Real estate 3.6 %
  • Consumer staples 2.8 %
  • Energy 2.1 %
  • Utilities 1.5 %
  • Materials 1.0 %
  • Unattributed 29.0 %

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 99.9 %
  • IN 0.0 %
  • KY 0.0 %
  • HK 0.0 %
  • IL 0.0 %
  • CN 0.0 %
  • BR 0.0 %
  • SG 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,22580.4B $99.95 %
2IN511M $0.01 %
3KY49.5M $0.01 %
4HK16.8M $0.01 %
5IL16.2M $0.01 %
6CN15.7M $0.01 %
7BR1700K $0.00 %
8SG1240.4K $0.00 %
9TW1211.7K $0.00 %

Positions

RankCompanySharesValueWeight
1,401Wolverine World Wide Inc 84,8911.4M $
1,402Goosehead Insurance Inc 25,4751.4M $
1,403Byline Bancorp Inc 43,6951.4M $
1,404NCR Voyix Corp 215,8941.4M $
1,405Kennedy-Wilson Holdings Inc 125,9671.4M $
1,406Maximus Inc 21,1271.4M $
1,407Polaris Inc 24,8461.4M $
1,408Oil States International Inc 115,8961.3M $
1,409ProAssurance Corp 54,5461.3M $
1,410Old National Bancorp/IN 60,9621.3M $
1,411Enovis Corp 59,2061.3M $
1,412REX American Resources Corp 29,5541.3M $
1,413JetBlue Airways Corp 304,3261.3M $
1,414Newell Brands Inc 391,8041.3M $
1,415Silicon Laboratories Inc 6,4521.3M $
1,41610X Genomics Inc 63,1701.3M $
1,417Westamerica BanCorp 25,6521.3M $
1,418Ellington Financial Inc 112,8581.3M $
1,419Paramount Skydance Corp. 148,1581.3M $
1,420Firstsun Capital Bancorp 36,6151.3M $
1,421Revolution Medicines Inc 13,6821.3M $
1,422Tandem Diabetes Care Inc 69,4041.3M $
1,423Winmark Corp 3,0981.3M $
1,424Knife River Corp 16,2171.3M $
1,425Gentherm Inc 47,5581.3M $
1,426EZCORP Inc 51,5521.3M $
1,427First Mid Bancshares Inc 31,6451.3M $
1,428iShares MBS ETF 13,7191.3M $
1,429Universal Insurance Holdings Inc 38,0661.3M $
1,430AMN Healthcare Services Inc 70,6441.3M $
1,431QCR Holdings Inc 15,0751.3M $
1,432Southside Bancshares Inc 41,3781.3M $
1,433FirstCash Holdings Inc 6,8391.3M $
1,434Petco Health & Wellness Co Inc 460,4901.3M $
1,435Natera Inc 6,3551.3M $
1,436Chatham Lodging Trust 161,1601.3M $
1,437Janus International Group Inc 245,8951.3M $
1,438ICICI Bank Ltd 48,8371.3M $
1,439Merchants Bancorp/IN 29,4151.3M $
1,440Lindsay Corp 10,5811.3M $
1,441Astera Labs Inc 10,5911.3M $
1,442Madison Square Garden Entertainment Corp 21,3221.3M $
1,443Northeast Community Bancorp Inc 52,6351.3M $
1,444Clearway Energy Inc 31,9781.3M $
1,445Chord Energy Corp 8,7931.3M $
1,446Whitestone REIT 77,2131.2M $
1,447Synaptics Inc 17,7741.2M $
1,448MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 5,5891.2M $
1,449Tennant Co 18,6671.2M $
1,450J & J Snack Foods Corp 15,6061.2M $
1,451Invesco Preferred ETF 113,4861.2M $
1,452XPO Inc 6,3181.2M $
1,453Two Harbors Investment Corp 107,5661.2M $
1,454Cable One Inc 13,4441.2M $
1,455Schneider National Inc 46,5171.2M $
1,456Inspire Medical Systems Inc 23,7151.2M $
1,457Visteon Corp 13,4001.2M $
1,458ORIC Pharmaceuticals Inc 96,1451.2M $
1,459Dr Reddy's Laboratories Ltd 87,8001.2M $
1,460BJ's Restaurants Inc 34,5571.2M $
1,461Halozyme Therapeutics Inc 18,6081.2M $
1,462Tencent Music Entertainment Group 129,3961.2M $
1,463Monarch Casino & Resort Inc 12,5161.2M $
1,464Hain Celestial Group Inc/The 1,733,7771.2M $
1,465Azenta Inc 56,2771.2M $
1,466Innovex International Inc 48,3371.2M $
1,467US Physical Therapy Inc 15,6991.2M $
1,468Ormat Technologies Inc 10,4471.2M $
1,469Industrial Logistics Properties Trust 205,7801.2M $
1,470WP Carey Inc 17,1811.2M $
1,471XPEL Inc 26,1971.2M $
1,472QuidelOrtho Corp 70,5311.2M $
1,473Snowflake Inc 7,6831.2M $
1,474Movado Group Inc 47,2811.2M $
1,475Amkor Technology Inc 25,5701.2M $
1,476Alphatec Holdings Inc 105,3511.1M $
1,477Telos Corp 272,9801.1M $
1,478DoubleVerify Holdings Inc 120,2191.1M $
1,479Crocs Inc 13,6881.1M $
1,480Pinnacle Financial Partners Inc 13,1461.1M $
1,481Everpure Inc 19,1281.1M $
1,482Chimera Investment Corp 89,5701.1M $
1,483Stepan Co 22,4391.1M $
1,484Safety Insurance Group Inc 15,3791.1M $
1,485Sezzle Inc 17,5511.1M $
1,486Green Plains Inc 67,3251.1M $
1,487iShares MSCI South Korea ETF 9,0001.1M $
1,488Masterbrand Inc 132,3901.1M $
1,489Omega Healthcare Investors Inc 25,0581.1M $
1,490PDF Solutions Inc 33,5621.1M $
1,491Papa John's International Inc 33,8291.1M $
1,492Business First Bancshares Inc 40,3051.1M $
1,493Autoliv Inc 10,3301.1M $
1,494Astrana Health Inc 43,9301.1M $
1,495Cousins Properties Inc 47,7021.1M $
1,496Cipher Digital Inc 83,1751.1M $
1,497Harley-Davidson Inc 52,9031.1M $
1,498Reynolds Consumer Products Inc 50,4921.1M $
1,499Citi Trends Inc 24,6851.1M $
1,500GATX Corp 6,2581.1M $