Titelia

Portefeuille d’AST J.P. Morgan Moderate Multi-Asset Portfolio

Advanced Series Trust · 176 positions déclarées · au 31 mars 2026

Document d’origine · Actif net 1,8 Md $ · Dix premières lignes : 81.8 % de la poche actions

Répartition par pays

Parts calculées sur la poche actions, seule partie couverte par ce site.

PaysLignesValeur (USD)Part
US 111969,6 M $86,92 %
GB 821,4 M $1,92 %
JP 717,9 M $1,60 %
FR 414,9 M $1,34 %
HK 513,1 M $1,17 %
DE 412,3 M $1,10 %
CA 610,1 M $0,91 %
TW 29,6 M $0,86 %
KR 38,1 M $0,72 %
CH 25,9 M $0,53 %
SE 25,3 M $0,47 %
IN 23,9 M $0,35 %

La répartition sectorielle n’est publiée dans aucun document réglementaire : ni les formulaires N-PORT ni le référentiel LEI ne portent de code d’activité. Elle est absente plutôt qu’estimée.

Positions

SociétéTitresValeur (USD)Poids
J.P. MORGAN EXCHANGE-TRADED FUND TRUST 5 595 273365,2 M $20,30 %
J.P. MORGAN EXCHANGE-TRADED FUND TRUST 2 030 294145,7 M $8,10 %
JPMorgan Active Growth ETF 1 712 774144,8 M $8,05 %
Prudential Investment Portfolios 2 133 501 677133,5 M $7,42 %
JPMorgan Ultra-Short Income ETF 1 641 73383,1 M $4,62 %
PRUDENTIAL INVESTMENT PORTFOLIOS 9 19 111 50019,1 M $1,06 %
Shell PLC 150 7307 M $0,39 %
Taiwan Semiconductor Manufacturing Co Ltd 85 0004,9 M $0,27 %
Engie SA 147 1854,7 M $0,26 %
Taiwan Semiconductor Manufacturing Co Ltd 13 9294,7 M $0,26 %
Safran SA 12 4834,1 M $0,23 %
Tencent Holdings Ltd 63 9004 M $0,22 %
Mitsubishi UFJ Financial Group Inc 237 2004 M $0,22 %
Siemens AG 15 8953,9 M $0,22 %
DBS Group Holdings Ltd 80 7403,6 M $0,20 %
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 5 6593,6 M $0,20 %
ASML Holding NV 2 6533,5 M $0,20 %
Royal Bank of Canada 21 2563,4 M $0,19 %
Sony Group Corp 162 3003,4 M $0,19 %
Rio Tinto PLC 35 7713,3 M $0,18 %
SK hynix Inc 5 8353,3 M $0,18 %
Nestle SA 32 4533,2 M $0,18 %
Air Liquide SA 15 3163,2 M $0,18 %
Alibaba Group Holding Ltd 198 0003,1 M $0,17 %
Legrand SA 18 7232,9 M $0,16 %
Atlas Copco AB 162 0782,9 M $0,16 %
Sumitomo Electric Industries Ltd. 49 4002,8 M $0,16 %
Obayashi Corp. 114 0002,8 M $0,15 %
British American Tobacco PLC 47 3132,7 M $0,15 %
Deutsche Telekom AG 72 5092,7 M $0,15 %
Novartis AG 17 6252,7 M $0,15 %
KBC Group NV 21 8012,7 M $0,15 %
Telstra Group Ltd. 707 4342,6 M $0,15 %
Kia Corp 25 7432,5 M $0,14 %
HDFC Bank Ltd 100 8662,5 M $0,14 %
Volvo AB 73 2792,4 M $0,13 %
AIA Group Ltd 216 2002,4 M $0,13 %
UniCredit SpA 31 7022,3 M $0,13 %
ITOCHU Corp 177 6002,3 M $0,13 %
Hanwha Aerospace Co Ltd 2 5982,2 M $0,12 %
Infineon Technologies AG 46 7152,1 M $0,12 %
Compass Group PLC 75 4162,1 M $0,12 %
Zijin Mining Group Co Ltd 452 0002 M $0,11 %
Al Rajhi Bank 67 0971,9 M $0,11 %
NatWest Group PLC 246 5971,8 M $0,10 %
National Bank of Greece SA 107 6511,7 M $0,09 %
Standard Chartered PLC 79 1431,6 M $0,09 %
RELX PLC 46 4641,5 M $0,09 %
Midea Group Co Ltd 142 4001,5 M $0,09 %
WSP Global Inc 9 6301,5 M $0,08 %
Canadian Natural Resources Ltd 30 6911,5 M $0,08 %
Novonesis Novozymes B 25 0531,5 M $0,08 %
Intact Financial Corp 7 8811,4 M $0,08 %
Bajaj Finance Ltd 165 5451,4 M $0,08 %
Element Solutions Inc 40 6211,4 M $0,08 %
IHI Corp 66 2001,4 M $0,08 %
Hayward Holdings Inc 100 9741,4 M $0,08 %
Modine Manufacturing Co 5 9301,3 M $0,07 %
Asics Corp 47 1001,3 M $0,07 %
MercadoLibre Inc 7201,2 M $0,07 %
MSA Safety Inc 7 5861,2 M $0,07 %
Fabrinet 2 3281,2 M $0,07 %
RBC Bearings Inc 2 1941,2 M $0,07 %
3i Group PLC 36 5411,2 M $0,07 %
Evercore Inc 3 9251,2 M $0,07 %
Colliers International Group Inc 10 9581,2 M $0,07 %
UCB SA 3 7751,1 M $0,06 %
Badger Meter Inc 7 4461,1 M $0,06 %
Bright Horizons Family Solutions Inc 13 7701,1 M $0,06 %
Cullen/Frost Bankers Inc 8 1941,1 M $0,06 %
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 5 0291,1 M $0,06 %
Loar Holdings Inc 19 3971,1 M $0,06 %
Novanta Inc 9 3761,1 M $0,06 %
Applied Industrial Technologies Inc 4 1651,1 M $0,06 %
Ryman Hospitality Properties Inc 11 8991,1 M $0,06 %
StepStone Group Inc 22 6161,1 M $0,06 %
Wintrust Financial Corp 7 7291,1 M $0,06 %
Envista Holdings Corp 42 3261,1 M $0,06 %
Core & Main Inc 21 6331,1 M $0,06 %
XCMG Construction Machinery Co Ltd 704 8001 M $0,06 %
Planet Fitness Inc 13 8751 M $0,06 %
Kinsale Capital Group Inc 3 0091 M $0,06 %
MarketAxess Holdings Inc 6 2121 M $0,06 %
Morningstar Inc 6 0611 M $0,06 %
WillScot Holdings Corp 58 9441 M $0,06 %
Casella Waste Systems Inc 12 8391 M $0,06 %
Cushman & Wakefield Ltd 81 9731 M $0,06 %
Wyndham Hotels & Resorts Inc 12 249995 k $0,06 %
HealthEquity Inc 11 626971,6 k $0,05 %
First Horizon Corp 42 662971 k $0,05 %
SM Energy Co 30 567953,1 k $0,05 %
Commerce Bancshares Inc/MO 19 288949 k $0,05 %
Pool Corp 4 677946,3 k $0,05 %
Encompass Health Corp 9 498918,7 k $0,05 %
Balchem Corp 5 262891,8 k $0,05 %
Power Integrations Inc 17 036872,2 k $0,05 %
Middleby Corp/The 6 493860,8 k $0,05 %
Primo Brands Corp 45 222851,5 k $0,05 %
ICU Medical Inc 6 591851,2 k $0,05 %
Solstice Advanced Materials Inc 10 899830,1 k $0,05 %
Allegro MicroSystems Inc 26 169825,1 k $0,05 %
Miami International Holdings Inc 20 927814,5 k $0,05 %
WSFS Financial Corp 12 189797,9 k $0,04 %
Concentra Group Holdings Parent Inc 36 283778,3 k $0,04 %
Perimeter Solutions Inc 31 593771,5 k $0,04 %
Hillman Solutions Corp 92 424769 k $0,04 %
Performance Food Group Co 8 961767,6 k $0,04 %
Eagle Materials Inc 4 043765,9 k $0,04 %
Moelis & Co 13 183751,4 k $0,04 %
First Interstate BancSystem Inc 22 472750,6 k $0,04 %
ServisFirst Bancshares Inc 10 266747,7 k $0,04 %
DT Midstream Inc 5 489739,2 k $0,04 %
First Financial Bancorp 26 274732,5 k $0,04 %
Chemed Corp 1 916723,7 k $0,04 %
Chefs' Warehouse Inc/The 12 139721,7 k $0,04 %
Portland General Electric Co 13 600717,7 k $0,04 %
Cactus Inc 14 981709,6 k $0,04 %
Saia Inc 2 011706,4 k $0,04 %
Bel Fuse Inc 3 542701,2 k $0,04 %
BankUnited Inc 15 457698 k $0,04 %
Paylocity Holding Corp 6 357686,8 k $0,04 %
Forgent Power Solutions Inc 23 052674,7 k $0,04 %
Shake Shack Inc 7 571669,8 k $0,04 %
Monarch Casino & Resort Inc 6 870656,8 k $0,04 %
Simpson Manufacturing Co Inc 3 790650,4 k $0,04 %
Karman Holdings Inc 8 121650,1 k $0,04 %
Acushnet Holdings Corp 6 843639,7 k $0,04 %
Verra Mobility Corp 44 479635,6 k $0,04 %
AAON Inc 7 558625,4 k $0,03 %
First Advantage Corp 53 128624,8 k $0,03 %
EastGroup Properties Inc 3 233598,4 k $0,03 %
Neptune Insurance Holdings Inc 24 562594,2 k $0,03 %
Alliance Laundry Holdings Inc 28 588592,9 k $0,03 %
Digi International Inc 12 296592,7 k $0,03 %
Landstar System Inc 3 677589,5 k $0,03 %
Freshpet Inc 9 815578,7 k $0,03 %
First Hawaiian Inc 23 118569,6 k $0,03 %
Janus International Group Inc 110 079566,9 k $0,03 %
Utz Brands Inc 70 539558,7 k $0,03 %
Flowco Holdings Inc 26 913554,4 k $0,03 %
Lincoln Electric Holdings Inc 2 209550,2 k $0,03 %
elf Beauty Inc 8 994545,1 k $0,03 %
Manhattan Associates Inc 3 920521,8 k $0,03 %
Quaker Chemical Corp 4 078506,6 k $0,03 %
Qualys Inc 5 765506,5 k $0,03 %
Wealthfront Corp 53 666496,4 k $0,03 %
Liberty Energy Inc 17 055491,2 k $0,03 %
Andersen Group Inc 17 861485,8 k $0,03 %
RLI Corp 8 076460,7 k $0,03 %
Legence Corp 8 108457,8 k $0,03 %
CCC Intelligent Solutions Holdings Inc 76 068456,4 k $0,03 %
AptarGroup Inc 3 520443,6 k $0,02 %
Warby Parker Inc 20 956441,5 k $0,02 %
Medpace Holdings Inc 914438,9 k $0,02 %
Figure Technology Solutions Inc 12 674430,3 k $0,02 %
Tyler Technologies Inc 1 157396,1 k $0,02 %
Gentex Corp 18 129396,1 k $0,02 %
Xometry Inc 9 632393,4 k $0,02 %
nCino Inc 26 143391,6 k $0,02 %
Accelerant Holdings 29 236390,6 k $0,02 %
Doximity Inc 16 000372,8 k $0,02 %
DigitalOcean Holdings Inc 3 965340,1 k $0,02 %
Five Below Inc 1 475337 k $0,02 %
Driven Brands Holdings Inc 24 626310,5 k $0,02 %
Ridgepost Capital Inc 32 760237,8 k $0,01 %
Woodward Inc 659235,9 k $0,01 %
BJ's Wholesale Club Holdings Inc 2 080204,7 k $0,01 %
Molina Healthcare Inc 1 115148,6 k $0,01 %
SBERBANK OF RUSSIA PJSC 18 6001,9 $
Severstal PAO 11 9491,2 $
Novatek PJSC 5 8220,6 $
Gazprom PJSC 165 4400,2 $
GMK Norilskiy Nickel PAO 143 9000,2 $
Magnitogorsk Iron & Steel Works PJSC 112 6150,1 $
SBERBANK OF RUSSIA PJSC 43 1160,1 $
NEFTYANAYA KOMPANIYA ROSNEFT' PAO 30 6880 $