Titelia

Holdings of PGIM Quant Solutions Large-Cap Core Fund

Prudential Investment Portfolios 9 · 177 declared positions · as of Apr 30, 2026

Original filing · Net assets 1B $ · Ten largest lines: 39.4 % of the equity sleeve

Sector breakdown

  • Technology 35.1 %
  • Communication 12.3 %
  • Financials 11.6 %
  • Health care 9.6 %
  • Consumer discretionary 7.8 %
  • Industrials 7.0 %
  • Energy 2.9 %
  • Consumer staples 2.6 %
  • Utilities 1.3 %
  • Real estate 1.1 %
  • Materials 1.0 %
  • Unattributed 7.7 %

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 99.5 %
  • IE 0.3 %
  • JE 0.3 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US174991.4M $99.46 %
IE22.7M $0.27 %
JE12.7M $0.27 %

Positions

CompanySharesValueWeight
NVIDIA Corp 383,30076.5M $7.56 %
Apple Inc 253,08068.7M $6.78 %
Microsoft Corp 116,78447.6M $4.70 %
Alphabet Inc 107,48041.4M $4.09 %
Amazon.com Inc 128,74034.1M $3.37 %
Alphabet Inc 88,56033.8M $3.34 %
Broadcom Inc 78,90032.9M $3.25 %
Meta Platforms Inc 36,78022.5M $2.22 %
Exxon Mobil Corp 126,10019.5M $1.92 %
Mastercard Inc 30,80015.5M $1.53 %
Johnson & Johnson 65,65815.1M $1.49 %
Lam Research Corp 58,10015M $1.48 %
Morgan Stanley 71,90013.7M $1.35 %
Citigroup Inc 105,60013.5M $1.34 %
Eli Lilly & Co 13,60012.7M $1.26 %
Caterpillar Inc 13,50012M $1.19 %
Verizon Communications Inc 241,30011.6M $1.14 %
Bank of New York Mellon Corp/The 85,10011.4M $1.13 %
Costco Wholesale Corp 10,70010.9M $1.07 %
AbbVie Inc 49,15110.4M $1.03 %
Charles Schwab Corp/The 110,80010.2M $1.00 %
Prologis Inc 71,30010.1M $1.00 %
Micron Technology Inc 19,50010.1M $1.00 %
Applied Materials Inc 21,2008.4M $0.83 %
Tesla Inc 21,1008.1M $0.80 %
CVS Health Corp 94,8007.9M $0.78 %
MetLife Inc 97,8007.8M $0.77 %
Cognizant Technology Solutions Corp. 147,5007.8M $0.77 %
General Motors Co 96,2007.4M $0.73 %
ConocoPhillips 58,8007.4M $0.73 %
Chevron Corp 37,7007.3M $0.72 %
Teradyne Inc 21,2007.3M $0.72 %
Analog Devices Inc 17,9007.2M $0.71 %
Cummins Inc 10,7007.2M $0.71 %
GE Vernova Inc 6,6007.2M $0.71 %
Booking Holdings Inc 42,4507.1M $0.71 %
Danaher Corp 39,9007.1M $0.71 %
Western Digital Corp 16,4007.1M $0.70 %
Cisco Systems, Inc. 76,0827M $0.69 %
RTX Corp 39,2006.9M $0.68 %
Fidelity National Information Services Inc 147,3006.9M $0.68 %
JPMorgan Chase & Co 21,7816.8M $0.67 %
TJX Cos Inc/The 43,2006.8M $0.67 %
General Dynamics Corp 19,1006.6M $0.65 %
Wells Fargo & Co 78,6006.5M $0.64 %
Cardinal Health, Inc. 33,4006.4M $0.64 %
Amgen Inc 18,1006.3M $0.62 %
Allstate Corp/The 27,9006.1M $0.60 %
Intel Corp 64,0006M $0.60 %
Fiserv Inc 92,1005.8M $0.57 %
Autodesk Inc 23,4005.5M $0.55 %
Philip Morris International Inc. 33,5005.5M $0.55 %
Accenture PLC 30,3005.4M $0.53 %
UnitedHealth Group Inc 14,3005.3M $0.52 %
General Electric Co 17,8005.2M $0.51 %
American Electric Power Co Inc 37,6005.2M $0.51 %
Berkshire Hathaway Inc 10,7745.1M $0.50 %
Comcast Corp 186,8005.1M $0.50 %
AT&T Inc 188,3004.9M $0.49 %
Northern Trust Corp 29,3004.9M $0.48 %
ADT Inc 643,2004.8M $0.48 %
Gilead Sciences Inc 36,9004.8M $0.48 %
Keysight Technologies Inc 13,6004.8M $0.47 %
Ciena Corp 8,7004.6M $0.45 %
Sandisk Corp/DE 3,9004.3M $0.42 %
Cigna Group/The 14,7004.3M $0.42 %
Aptiv PLC 70,8004.3M $0.42 %
Adobe Inc 16,9004.2M $0.41 %
Arista Networks Inc 23,8004.1M $0.41 %
Crane Co 22,8004.1M $0.40 %
Pfizer Inc 149,4004M $0.39 %
Northrop Grumman Corp 6,4003.7M $0.37 %
Ford Motor Co 302,8003.7M $0.36 %
Ross Stores Inc 15,7003.6M $0.35 %
Howmet Aerospace Inc 14,7003.6M $0.35 %
NPK International Inc 213,3003.5M $0.34 %
ATI Inc 22,4003.5M $0.34 %
Target Corp 25,2003.3M $0.32 %
General Mills, Inc. 92,2003.3M $0.32 %
PG&E Corp 195,0003.2M $0.32 %
Perdoceo Education Corp 94,0003.2M $0.32 %
Uber Technologies Inc 41,5003.1M $0.31 %
Walt Disney Co/The 29,8003.1M $0.31 %
Merck & Co Inc 28,1003.1M $0.30 %
Southern Co/The 31,4003M $0.30 %
Napco Security Technologies Inc 64,8003M $0.30 %
McKesson Corp 3,7003M $0.30 %
Sysco Corp 40,2003M $0.30 %
A10 Networks Inc 109,2002.9M $0.29 %
Dollar General Corp 24,6002.9M $0.28 %
PepsiCo Inc 17,7002.8M $0.28 %
International Business Machines Corp. 11,9002.7M $0.27 %
Linde PLC 5,4002.7M $0.27 %
Clarivate PLC 932,9002.7M $0.26 %
KLA Corp 1,5002.6M $0.26 %
Parker-Hannifin Corp 2,8002.5M $0.25 %
Universal Corp/VA 45,3002.4M $0.24 %
Roper Technologies Inc 6,8002.4M $0.24 %
Newmont Corp 21,7002.4M $0.24 %
American International Group Inc 31,0002.3M $0.23 %
Dana Inc 61,3002.2M $0.22 %
L3Harris Technologies Inc 6,8002.2M $0.22 %
Johnson Controls International plc 14,3002.1M $0.21 %
Bloomin' Brands Inc 329,3002M $0.20 %
Tutor Perini Corp 21,6002M $0.20 %
Medtronic PLC 24,0001.9M $0.19 %
Capital One Financial Corp 10,1001.9M $0.19 %
Heritage Insurance Holdings Inc 61,7001.8M $0.18 %
Proto Labs Inc 27,3001.8M $0.17 %
Union Pacific Corp 6,5001.8M $0.17 %
TE Connectivity PLC 8,2001.7M $0.17 %
Microchip Technology Inc 18,6001.7M $0.17 %
Jones Lang LaSalle Inc 5,4001.7M $0.17 %
Macy's Inc 86,5001.7M $0.17 %
FedEx Corp 3,9001.6M $0.16 %
Regeneron Pharmaceuticals, Inc. 2,2001.6M $0.15 %
Worthington Enterprises Inc 26,6001.4M $0.14 %
Advanced Micro Devices Inc 4,0001.4M $0.14 %
Salesforce Inc 8,0001.4M $0.14 %
Williams Cos Inc/The 18,0001.4M $0.14 %
Raymond James Financial Inc 8,6001.4M $0.13 %
Kemper Corp 39,6001.3M $0.13 %
Warrior Met Coal Inc 14,8001.3M $0.13 %
Remitly Global Inc 57,2001.3M $0.12 %
Bumble Inc 301,7001.3M $0.12 %
Zoom Communications Inc 10,6001M $0.10 %
Tapestry Inc 6,500942.8K $0.09 %
Goldman Sachs Group Inc/The 1,000923.8K $0.09 %
Laureate Education Inc 30,500917.9K $0.09 %
VICI Properties Inc 30,000876K $0.09 %
Boeing Co/The 3,700847.4K $0.08 %
Deluxe Corp 27,000841.1K $0.08 %
Lumentum Holdings Inc 900812.1K $0.08 %
Bank of America Corp 13,500721.7K $0.07 %
Antero Midstream Corp 32,800717K $0.07 %
Viavi Solutions Inc 13,200691.7K $0.07 %
Woodward Inc 1,900689.7K $0.07 %
Devon Energy Corp 13,300683.2K $0.07 %
Biogen Inc 3,600681.4K $0.07 %
American Eagle Outfitters Inc 37,800658.5K $0.07 %
Blackrock Inc 600639.4K $0.06 %
Adient PLC 28,800606.2K $0.06 %
Sempra 6,200589.7K $0.06 %
Intuit Inc 1,500582.8K $0.06 %
Energizer Holdings Inc 29,500577.6K $0.06 %
Thermo Fisher Scientific Inc 1,200574.8K $0.06 %
CBIZ Inc 18,200555.1K $0.05 %
Allient Inc 7,200548.5K $0.05 %
NRG Energy Inc 3,500544.5K $0.05 %
Nucor Corp 2,400540.7K $0.05 %
Avnet Inc 6,300519.8K $0.05 %
Sherwin-Williams Co/The 1,600514.6K $0.05 %
Gen Digital Inc 26,000501.5K $0.05 %
Otis Worldwide Corp 6,400498.4K $0.05 %
First American Financial Corp 7,000490.9K $0.05 %
Alumis Inc 19,600483.9K $0.05 %
Sonos Inc 32,500482K $0.05 %
S&P Global Inc 1,100474.4K $0.05 %
J M Smucker Co/The 4,800470.5K $0.05 %
Herbalife Ltd 26,600441.6K $0.04 %
MGP Ingredients Inc 21,700432.7K $0.04 %
MSCI Inc 700414K $0.04 %
ePlus Inc 4,200355.7K $0.04 %
NextEra Energy Inc 3,600352.4K $0.03 %
Covista Inc 3,000345.7K $0.03 %
Mitek Systems Inc 24,700344.8K $0.03 %
Provident Financial Services Inc 15,000340.2K $0.03 %
Procter & Gamble Co/The 2,200323.6K $0.03 %
Concentrix Corp 13,000309.7K $0.03 %
Bristol-Myers Squibb Co 5,100309K $0.03 %
ASGN Inc 14,300301.7K $0.03 %
CBRE Group Inc 2,100299.7K $0.03 %
Netflix Inc 3,200299.6K $0.03 %
Helix Energy Solutions Group Inc 28,500295K $0.03 %
Ultra Clean Holdings Inc 3,600281.3K $0.03 %
DXC Technology Co 24,000271.7K $0.03 %
Hain Celestial Group Inc/The 226,800148.1K $0.01 %