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Size ($ in 1000's)
At 12/31/2023: $9,394,466 At 09/30/2023: $8,603,540
Combined Holding Report Includes:
PRUDENTIAL PLC Eastspring Asset Management Thailand Co. Ltd. Eastspring Asset Management Korea Co. Ltd. EASTSPRING INVESTMENTS SINGAPORE LTD Eastspring Securities Investment Trust Co. Ltd
Prudential PLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Prudential PLC 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, below is a summary of the Prudential PLC top holdings by largest position size, as per the latest 13f filing made by Prudential PLC.
In the Prudential PLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Prudential PLC in that top holding, then the share count change between reporting periods, and finally the Prudential PLC top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
VANGUARD SCOTTSDALE FDS (VCSH) |
22,879,068 |
-1,611,033 |
$1,770,153 | VCSH | 22,879,068 | -1,611,033 | $1,770,153 | SPDR SER TR (SPYD) |
21,268,633 |
+4,635,075 |
$833,518 | SPYD | 21,268,633 | +4,635,075 | $833,518 | VANGUARD SCOTTSDALE FDS (VCIT) |
6,230,731 |
-3,547,784 |
$506,434 | VCIT | 6,230,731 | -3,547,784 | $506,434 | ISHARES TR (IGIB) |
7,922,223 |
+4,340,904 |
$411,956 | IGIB | 7,922,223 | +4,340,904 | $411,956 | ISHARES TR (USHY) |
11,008,444 |
+1,001,334 |
$400,157 | USHY | 11,008,444 | +1,001,334 | $400,157 | APPLE INC |
768,824 |
-45,282 |
$148,022 | AAPL | 768,824 | -45,282 | $148,022 | FIRST TR EXCHANGE TRADED FD (CIBR) |
2,732,301 |
+172,069 |
$147,107 | CIBR | 2,732,301 | +172,069 | $147,107 | ISHARES TR (IGLB) |
2,704,212 |
+151,405 |
$142,485 | IGLB | 2,704,212 | +151,405 | $142,485 | SEA LTD |
3,229,249 |
-51,426 |
$130,785 | SE | 3,229,249 | -51,426 | $130,785 | MICROSOFT CORP |
341,720 |
-31,274 |
$128,500 | MSFT | 341,720 | -31,274 | $128,500 | ISHARES TR (ACWI) |
1,176,025 |
-334,775 |
$119,684 | ACWI | 1,176,025 | -334,775 | $119,684 | ISHARES INC (URTH) |
821,630 |
-17,770 |
$109,293 | URTH | 821,630 | -17,770 | $109,293 | ISHARES TR (INDA) |
2,046,764 |
+141,281 |
$99,903 | INDA | 2,046,764 | +141,281 | $99,903 | PDD HOLDINGS INC |
674,654 |
+15,079 |
$98,709 | PDD | 674,654 | +15,079 | $98,709 | ISHARES TR (IVV) |
206,226 |
+6,064 |
$98,500 | IVV | 206,226 | +6,064 | $98,500 | NVIDIA CORPORATION |
197,312 |
+4,725 |
$97,713 | NVDA | 197,312 | +4,725 | $97,713 | ISHARES TR (LQD) |
791,316 |
-487,622 |
$87,567 | LQD | 791,316 | -487,622 | $87,567 | AMAZON COM INC |
468,975 |
+15,271 |
$71,256 | AMZN | 468,975 | +15,271 | $71,256 | VIPSHOP HLDGS LTD |
3,920,369 |
-364,138 |
$69,626 | VIPS | 3,920,369 | -364,138 | $69,626 | ALPHABET INC |
435,319 |
-35,618 |
$60,810 | GOOGL | 435,319 | -35,618 | $60,810 | SPDR GOLD TR (GLD) |
312,489 |
-20,720 |
$59,882 | GLD | 312,489 | -20,720 | $59,882 | META PLATFORMS INC |
149,944 |
-10,115 |
$53,074 | META | 149,944 | -10,115 | $53,074 | GRAB HOLDINGS LIMITED |
15,176,454 |
+279,196 |
$51,145 | GRAB | 15,176,454 | +279,196 | $51,145 | INVESCO EXCH TRADED FD TR II (BKLN) |
2,398,926 |
+259,862 |
$50,809 | BKLN | 2,398,926 | +259,862 | $50,809 | VANGUARD INTL EQUITY INDEX F (VT) |
466,210 |
UNCH |
$47,964 | VT | 466,210 | UNCH | $47,964 | VANECK ETF TRUST (MOAT) |
559,523 |
+553,070 |
$47,487 | MOAT | 559,523 | +553,070 | $47,487 | BROADCOM INC |
39,187 |
+39,187 |
$43,742 | AVGO | 39,187 | +39,187 | $43,742 | TERNIUM SA |
971,791 |
-3,099 |
$41,272 | TX | 971,791 | -3,099 | $41,272 | ALPHABET INC |
291,602 |
-3,489 |
$41,095 | GOOG | 291,602 | -3,489 | $41,095 | ISHARES TR (TLT) |
411,588 |
-262,705 |
$40,698 | TLT | 411,588 | -262,705 | $40,698 | JPMORGAN CHASE & CO |
236,451 |
+73,389 |
$40,220 | JPM | 236,451 | +73,389 | $40,220 | VISA INC |
150,427 |
+1,695 |
$39,164 | V | 150,427 | +1,695 | $39,164 | TESLA INC |
152,860 |
+3,586 |
$37,983 | TSLA | 152,860 | +3,586 | $37,983 | STELLANTIS N.V |
1,574,912 |
+156,112 |
$36,777 | STLA | 1,574,912 | +156,112 | $36,777 | ADOBE INC |
60,595 |
+2,321 |
$36,151 | ADBE | 60,595 | +2,321 | $36,151 | DBX ETF TR (HYLB) |
1,002,460 |
+215,321 |
$35,637 | HYLB | 1,002,460 | +215,321 | $35,637 | MASTERCARD INCORPORATED |
80,473 |
-1,436 |
$34,323 | MA | 80,473 | -1,436 | $34,323 | ABBVIE INC |
220,224 |
+10,933 |
$34,128 | ABBV | 220,224 | +10,933 | $34,128 | FUTU HLDGS LTD |
597,476 |
+112,497 |
$32,640 | FUTU | 597,476 | +112,497 | $32,640 | SOCIEDAD QUIMICA Y MINERA DE |
507,665 |
+507,665 |
$30,572 | SQM | 507,665 | +507,665 | $30,572 | UNITEDHEALTH GROUP INC |
58,001 |
+4,062 |
$30,536 | UNH | 58,001 | +4,062 | $30,536 | JOHNSON & JOHNSON |
193,035 |
+1,781 |
$30,256 | JNJ | 193,035 | +1,781 | $30,256 | ELI LILLY & CO |
50,910 |
+2,425 |
$29,676 | LLY | 50,910 | +2,425 | $29,676 | GRUPO TELEVISA S A B |
8,519,013 |
+33,005 |
$28,454 | TV | 8,519,013 | +33,005 | $28,454 | BERKSHIRE HATHAWAY INC DEL |
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$27,118 | BRK.B | 76,033 | +15,604 | $27,118 | MERCK & CO INC |
243,794 |
-24,444 |
$26,578 | MRK | 243,794 | -24,444 | $26,578 | MANULIFE FINL CORP |
1,141,942 |
+114,213 |
$25,235 | MFC | 1,141,942 | +114,213 | $25,235 | ISHARES TR (HYG) |
322,505 |
-5,570 |
$24,959 | HYG | 322,505 | -5,570 | $24,959 | ADVANCED MICRO DEVICES INC |
162,376 |
+21,575 |
$23,936 | AMD | 162,376 | +21,575 | $23,936 | PROCTER AND GAMBLE CO |
162,831 |
+1,463 |
$23,861 | PG | 162,831 | +1,463 | $23,861 |
See Full List: All Stocks Held By Prudential PLC
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Prudential PLC
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