Titelia

Holdings of AST Quantitative Modeling Portfolio

Advanced Series Trust ·823 declared positions · as of Mar 31, 2026

Original filing · Net assets 449.7M $ · Ten largest lines: 54 % of the equity sleeve

Sector breakdown

  • Technology 14.7 %
  • Financials 7.2 %
  • Communication 4.7 %
  • Health care 4.6 %
  • Consumer discretionary 4.3 %
  • Industrials 4.2 %
  • Consumer staples 2.3 %
  • Energy 1.5 %
  • Materials 1.3 %
  • Utilities 1.3 %
  • Real estate 0.7 %
  • Funds 0.3 %
  • Unattributed 52.7 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 92.3 %
  • EUR 2.9 %
  • JPY 1.7 %
  • GBP 1.2 %
  • CHF 0.5 %
  • AUD 0.5 %
  • SEK 0.3 %
  • HKD 0.2 %
  • SGD 0.2 %
  • NOK 0.1 %
  • DKK 0.1 %
  • ILS 0.1 %

The quoted currency of each line, as declared.

Country breakdown

  • US 91.8 %
  • JP 1.7 %
  • GB 1.2 %
  • FR 0.8 %
  • DE 0.7 %
  • NL 0.6 %
  • CH 0.5 %
  • AU 0.5 %
  • ES 0.3 %
  • SE 0.3 %
  • IE 0.3 %
  • IT 0.2 %
  • Other countries 1.2 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US557317.8M $91.76 %
2JP745.9M $1.71 %
3GB284.1M $1.18 %
4FR252.7M $0.78 %
5DE212.4M $0.71 %
6NL112M $0.58 %
7CH111.8M $0.51 %
8AU191.7M $0.50 %
9ES111.1M $0.31 %
10SE141M $0.30 %
11IE4948K $0.27 %
12IT6766.8K $0.22 %

Positions

RankCompanySharesValueWeight
1Advanced Series Trust 667,26741.4M $9.19 %
2Advanced Series Trust 370,85437.1M $8.24 %
3Advanced Series Trust 629,49122.7M $5.06 %
4Prudential Investment Portfolios 2 21,662,37221.7M $4.82 %
5Ab Global Bond Fund Inc 2,976,91320.5M $4.55 %
6NVIDIA Corp 65,61011.4M $2.54 %
7Apple Inc 39,97010.1M $2.26 %
8VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF 41,9369M $2.01 %
9Microsoft Corp 21,1657.8M $1.74 %
10Amazon.com Inc 24,8605.2M $1.15 %
11Alphabet Inc 16,1254.6M $1.03 %
12Broadcom Inc 13,2554.1M $0.91 %
13Alphabet Inc 13,1953.8M $0.84 %
14Meta Platforms Inc 6,0403.5M $0.77 %
15Tesla Inc 6,8752.6M $0.57 %
16Exxon Mobil Corp 12,8502.2M $0.48 %
17Berkshire Hathaway Inc 4,4952.2M $0.48 %
18Eli Lilly & Co 2,3102.1M $0.47 %
19JPMorgan Chase & Co 6,8652M $0.45 %
20Prudential Jennison Natural Resources Fund, Inc. 21,4421.9M $0.42 %
21Johnson & Johnson 7,5101.8M $0.41 %
22Prudential Investment Portfolios 12 85,3601.8M $0.40 %
23Prudential World Fund, Inc. 79,8541.7M $0.37 %
24Costco Wholesale Corp 1,4571.5M $0.32 %
25PRUDENTIAL INVESTMENT PORTFOLIOS 9 1,405,1351.4M $0.31 %
26Mastercard Inc 2,6801.3M $0.30 %
27Micron Technology Inc 3,6101.2M $0.27 %
28AbbVie Inc 5,5801.2M $0.27 %
29Netflix Inc 12,4901.2M $0.27 %
30Walmart Inc 9,3801.2M $0.26 %
31Visa Inc 3,6551.1M $0.25 %
32Lam Research Corp 5,1201.1M $0.24 %
33Caterpillar Inc 1,5351.1M $0.24 %
34Chevron Corp 5,2271.1M $0.24 %
35iShares Core S&P 500 ETF 1,450947.2K $0.21 %
36ASML Holding NV 688914.9K $0.20 %
37Citigroup Inc 7,870892.5K $0.20 %
38Verizon Communications Inc 16,880847.4K $0.19 %
39Morgan Stanley 5,080836K $0.19 %
40GE Vernova Inc 940820.5K $0.18 %
41General Electric Co 2,835804.5K $0.18 %
42ConocoPhillips 5,800765.6K $0.17 %
43Advanced Micro Devices Inc 3,660744.6K $0.17 %
44RTX Corp 3,800733K $0.16 %
45Wells Fargo & Co 9,120726K $0.16 %
46Walt Disney Co/The 7,490721.9K $0.16 %
47Merck & Co Inc 5,870706.1K $0.16 %
48Philip Morris International Inc. 4,190692.8K $0.15 %
49Home Depot Inc/The 2,040670.9K $0.15 %
50Booking Holdings Inc 159669.4K $0.15 %
51Procter & Gamble Co/The 4,630668.8K $0.15 %
52Charles Schwab Corp/The 7,100667.3K $0.15 %
53Palantir Technologies Inc 4,550665.6K $0.15 %
54Linde PLC 1,320654.4K $0.15 %
55Applied Materials Inc 1,910652.8K $0.15 %
56UnitedHealth Group Inc 2,360638.6K $0.14 %
57Uber Technologies Inc 8,590617.9K $0.14 %
58Prologis Inc 4,630612K $0.14 %
59Bank of New York Mellon Corp/The 5,110606.2K $0.13 %
60Danaher Corp 3,160599.1K $0.13 %
61Bank of America Corp 12,000585K $0.13 %
62Medtronic PLC 6,750584.9K $0.13 %
63Southern Co/The 5,990578.2K $0.13 %
64Accenture PLC 2,900575K $0.13 %
65Parker-Hannifin Corp 640573K $0.13 %
66PepsiCo Inc 3,670569.9K $0.13 %
67American Electric Power Co Inc 4,280561K $0.12 %
68Cisco Systems, Inc. 7,190557.9K $0.12 %
69Amgen Inc 1,580555.9K $0.12 %
70Analog Devices Inc 1,735552K $0.12 %
71Oracle Corp 3,720547.2K $0.12 %
72McDonald's Corp. 1,740540.8K $0.12 %
73Pfizer Inc 19,000533.5K $0.12 %
74Howmet Aerospace Inc 2,260520.8K $0.12 %
75Gilead Sciences Inc 3,710517.1K $0.12 %
76Adobe Inc 2,120515.3K $0.11 %
77Western Digital Corp 1,905515.3K $0.11 %
78Coca-Cola Co/The 6,720511.1K $0.11 %
79Arista Networks Inc 4,120505.9K $0.11 %
80S&P Global Inc 1,175499.8K $0.11 %
81Chubb Ltd 1,530498.7K $0.11 %
82CVS Health Corp 6,940498.4K $0.11 %
83Goldman Sachs Group Inc/The 580490.7K $0.11 %
84Blackrock Inc 506486.6K $0.11 %
85HSBC Holdings PLC 28,906474.7K $0.11 %
86Ross Stores Inc 2,190474.4K $0.11 %
87Abbott Laboratories 4,610473.3K $0.11 %
88Intuitive Surgical Inc 1,015467.9K $0.10 %
89General Motors Co 6,260466.4K $0.10 %
90Johnson Controls International plc 3,550464.9K $0.10 %
91Salesforce Inc 2,490464.8K $0.10 %
92TJX Cos Inc/The 2,890461.5K $0.10 %
93Thermo Fisher Scientific Inc 935459.6K $0.10 %
94Novartis AG 2,992459.3K $0.10 %
95Freeport-McMoRan Inc 7,790457.9K $0.10 %
96Autodesk Inc 1,890452.5K $0.10 %
97Truist Financial Corp 9,830451.9K $0.10 %
98Sherwin-Williams Co/The 1,405450.4K $0.10 %
99Colgate-Palmolive Co 5,270449.2K $0.10 %
100Cummins Inc 820441.2K $0.10 %