Prudential Financial

Top Portfolio
Top Buys
Top Sells
New Buys
Exits
Berkshire Hathaway Inc
BRK.B
$865.69M143.282.06M-3.42%-$30.69M1.22
Public Storage
PSA
$311.82M0.611.08M+44.91%+$96.64M0.44
Welltower Inc.
WELL
$261.25M0.472.8M+2.27%+$5.8M0.37
Prologis, Inc.
PLD
$444.66M0.373.41M-11.61%-$58.39M0.63
Equinix, Inc.
EQIX
$277.45M0.35336,170-14.47%-$46.93M0.39
QUALCOMM Incorporated
QCOM
$344.83M0.182.04M-5.67%-$20.73M0.49
Intel Corporation
INTC
$329.53M0.187.46M-3.2%-$10.88M0.46
ServiceNow, Inc.
NOW
$268.59M0.17352,291+18.35%+$41.64M0.38
Merck & Co., Inc.
MRK
$540.68M0.164.1M+8.99%+$44.59M0.76
International Business Machines Corporation
IBM
$276.41M0.161.45M+33.3%+$69.04M0.39
Wells Fargo & Company
WFC
$306.68M0.155.29M-22.55%-$89.3M0.43
General Electric Company
GE
$288.32M0.151.64M-18.05%-$63.48M0.41
Verizon Communications Inc.
VZ
$260.21M0.156.2M+9.01%+$21.5M0.37
Johnson & Johnson
JNJ
$554.65M0.153.51M-5.06%-$29.54M0.78
The Coca-Cola Company
KO
$382.21M0.156.25M-3.87%-$15.38M0.54
Abbott Laboratories
ABT
$285.36M0.142.51M+23.16%+$53.66M0.4
AbbVie Inc.
ABBV
$463.56M0.142.55M-13.63%-$73.17M0.65
Salesforce, Inc.
CRM
$407.75M0.141.35M-14.62%-$69.83M0.57
Thermo Fisher Scientific Inc.
TMO
$306.72M0.14527,723+1.59%+$4.82M0.43
McDonald's Corporation
MCD
$274.6M0.14973,917+48.93%+$90.22M0.39
The Walt Disney Company
DIS
$290.22M0.132.37M+58.75%+$107.41M0.41
NVIDIA Corporation
NVDA
$2.75B0.123.05M-6.87%-$203.03M3.88
Microsoft Corporation
MSFT
$3.84B0.129.14M-4.02%-$160.94M5.41
Exxon Mobil Corporation
XOM
$639.23M0.125.5M-3.45%-$22.82M0.9
The Procter & Gamble Company
PG
$460.14M0.122.84M-11.85%-$61.85M0.65
The Home Depot, Inc.
HD
$450.62M0.121.17M+11%+$44.67M0.64
JPMorgan Chase & Co.
JPM
$668.52M0.123.34M+4.03%+$25.91M0.94
Bank of America Corporation
BAC
$334.28M0.118.82M-25.11%-$112.08M0.47
Apple Inc.
AAPL
$2.95B0.1117.19M-5.02%-$155.67M4.15
Netflix, Inc.
NFLX
$294.35M0.11484,668-28.19%-$115.56M0.42
Mastercard Incorporated
MA
$497.91M0.111.03M+21.29%+$87.39M0.7
Amazon.com, Inc.
AMZN
$2.07B0.1111.47M-3.6%-$77.31M2.91
UnitedHealth Group Incorporated
UNH
$483.78M0.11977,930-7.57%-$39.6M0.68
Meta Platforms, Inc.
META
$1.3B0.112.67M-11.63%-$170.6M1.83
Costco Wholesale Corporation
COST
$338.73M0.1462,345-6.23%-$22.5M0.48
Visa Inc.
V
$566.43M0.12.03M-14.42%-$95.46M0.8
Broadcom Inc.
AVGO
$599.48M0.1452,297-11.39%-$77.03M0.84
Tesla, Inc.
TSLA
$536.58M0.13.05M+0.28%+$1.51M0.76
Chevron Corporation
CVX
$272.34M0.091.73M-0.1%-$279,357.490.38
Eli Lilly and Company
LLY
$693.68M0.09891,664-0.47%-$3.3M0.98
Alphabet Inc.
GOOGL
$1.12B0.067.4M+1.61%+$17.75M1.57
Walmart Inc.
WMT
$265.84M0.064.42M+218.72%+$182.43M0.37
Alphabet Inc.
GOOG
$934.08M0.056.13M-3.91%-$38.01M1.32
Vanguard Short-Term Corporate Bond Index Fund
VCSH
$1.33B<0.0117.15M+4,426.78%+$1.3B1.87
iShares Russell 1000 Value ETF
IWD
$272.78M<0.011.52M+12.64%+$30.61M0.38
iShares Core S&P 500 ETF
IVV
$1.31B<0.012.5M-51.35%-$1.39B1.85
SPDR S&P 500 ETF Trust
SPY
$624.5M<0.011.19M-5.77%-$38.25M0.88
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$1.17B<0.0110.71M+163.57%+$723.99M1.64
iShares Core U.S. Aggregate Bond ETF
AGG
$713.88M<0.017.29M-1.93%-$14.01M1.01
Vanguard Real Estate Index Fund
VNQ
$383.22M<0.014.43M+4.6%+$16.84M0.54