Titelia

Holdings of PRUDENTIAL FINANCIAL INC

2240 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 32.5 % of the equity sleeve

Sector breakdown

  • Technology 20.2 %
  • Funds 9.1 %
  • Financials 7.7 %
  • Communication 6.6 %
  • Health care 5.9 %
  • Consumer discretionary 5.7 %
  • Industrials 4.9 %
  • Real estate 3.6 %
  • Consumer staples 2.8 %
  • Energy 2.1 %
  • Utilities 1.5 %
  • Materials 1.0 %
  • Unattributed 29.0 %

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 99.9 %
  • IN 0.0 %
  • KY 0.0 %
  • HK 0.0 %
  • IL 0.0 %
  • CN 0.0 %
  • BR 0.0 %
  • SG 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,22580.4B $99.95 %
2IN511M $0.01 %
3KY49.5M $0.01 %
4HK16.8M $0.01 %
5IL16.2M $0.01 %
6CN15.7M $0.01 %
7BR1700K $0.00 %
8SG1240.4K $0.00 %
9TW1211.7K $0.00 %

Positions

RankCompanySharesValueWeight
2,001TPG RE Finance Trust Inc 26,065203.6K $
2,002Aurora Innovation Inc 49,365203.4K $
2,003Ingles Markets Inc 2,261203.2K $
2,004Rubrik Inc 4,145203K $
2,005RMR Group Inc/The 13,034201.6K $
2,006TIC Solutions Inc 30,484200.6K $
2,007Orchid Island Capital Inc 28,175198.1K $
2,008Amylyx Pharmaceuticals Inc 14,120196.3K $
2,009Ivanhoe Electric Inc / US 16,500195K $
2,010Five9 Inc 12,535190.2K $
2,011Novavax Inc 23,343190K $
2,012Tredegar Corp 23,759188.9K $
2,013PagerDuty Inc 30,135187.1K $
2,014Kyndryl Holdings Inc 14,151185.7K $
2,015Iovance Biotherapeutics Inc 51,945182.3K $
2,016Perella Weinberg Partners 10,030182.1K $
2,017UMH Properties Inc 12,538180.9K $
2,018Digital Turbine Inc 61,745177.8K $
2,019Array Technologies Inc 24,405176.4K $
2,020Trevi Therapeutics Inc 14,726175.7K $
2,021Shoals Technologies Group Inc 26,660175.4K $
2,022Ladder Capital Corp 17,946175.3K $
2,023Corvus Pharmaceuticals Inc 11,675170.8K $
2,024C3.ai Inc 20,040168.7K $
2,025Alkami Technology Inc 10,665167.1K $
2,026Esperion Therapeutics Inc 60,330165.3K $
2,027Editas Medicine Inc 66,360163.9K $
2,028United States Antimony Corp 18,290159.7K $
2,029Nuvation Bio Inc 37,030158.9K $
2,030Rapid7 Inc 28,460156.8K $
2,031Enovix Corp 29,910154.9K $
2,032Fluence Energy Inc 11,240154.7K $
2,033DENTSPLY SIRONA Inc 13,302154.3K $
2,034EyePoint Inc 11,920153.6K $
2,035Teladoc Health Inc 27,967152.4K $
2,036CCC Intelligent Solutions Holdings Inc 25,227151.4K $
2,037Taysha Gene Therapies Inc 33,820151.2K $
2,038RealReal Inc/The 16,640151.1K $
2,039Larimar Therapeutics Inc 32,793147.6K $
2,040RLJ Lodging Trust 19,874147.5K $
2,041Designer Brands Inc 25,907147.4K $
2,042Evolv Technologies Holdings Inc 24,150146.1K $
2,043ADTRAN Holdings Inc 11,593145.8K $
2,044First Advantage Corp 12,335145.1K $
2,045Surgery Partners Inc 12,025143.3K $
2,046Concrete Pumping Holdings Inc 19,945142.4K $
2,047Redwire Corp 16,370139.1K $
2,048T1 Energy Inc 31,550138.5K $
2,049Park Hotels & Resorts Inc 12,963136.5K $
2,050Omeros Corp 12,905136.3K $
2,051Blue Owl Capital Inc 14,925136.3K $
2,052Nkarta Inc 62,240131.3K $
2,053Geron Corp 87,752130.8K $
2,054BrightView Holdings Inc 11,025130K $
2,055Vertex Inc 10,790128.3K $
2,056Coursera Inc 22,035128.2K $
2,057Snap Inc 27,772127.8K $
2,058AngioDynamics Inc 11,136126.6K $
2,059Methode Electronics Inc 22,581124.6K $
2,060Green Dot Corp 10,945122.8K $
2,061Butterfly Network Inc 30,140121.8K $
2,062SELLAS Life Sciences Group Inc 28,690121.4K $
2,063QuantumScape Corp 18,979121.1K $
2,064Savara Inc 22,175121.1K $
2,065Global Business Travel Group I 20,820116.2K $
2,066Talkspace Inc 22,280115.2K $
2,067Empire State Realty Trust Inc 22,055114.7K $
2,068MannKind Corp 46,810114.7K $
2,069BrightSpire Capital Inc 20,475114.7K $
2,070Rayonier Advanced Materials Inc 10,336114.4K $
2,071Orion Group Holdings Inc 10,375113.1K $
2,072Clover Health Investments Corp 63,570111.9K $
2,073Annexon Inc 20,180111.8K $
2,074ACV Auctions Inc 26,180111K $
2,075Porch Group Inc 13,280109K $
2,076Stitch Fix Inc 32,055106.1K $
2,077PureCycle Technologies Inc 20,375105.7K $
2,078iHeartMedia Inc 35,965105K $
2,079VAALCO Energy Inc 16,410104K $
2,080REGENXBIO Inc 12,410104K $
2,081Flowers Foods Inc 12,619102.8K $
2,082Amplitude Inc 14,965102.1K $
2,083Gevo Inc 37,035101.1K $
2,084GCM Grosvenor Inc 10,03598.3K $
2,085Xerox Holdings Corp 76,20298.3K $
2,086indie Semiconductor Inc 30,39997.9K $
2,087Thryv Holdings Inc 34,84995.5K $
2,088Angel Oak Mortgage REIT Inc 11,44094K $
2,089Eastman Kodak Co 10,13091.7K $
2,090Utz Brands Inc 11,57091.6K $
2,091Asana Inc 13,64087.3K $
2,092Alto Ingredients Inc 17,93386.8K $
2,093Rumble Inc 16,70585.2K $
2,094Radiant Logistics Inc 12,07085.1K $
2,095Replimune Group Inc 11,03084.4K $
2,096FTAI Infrastructure Inc 17,03584.2K $
2,097Sweetgreen Inc 16,19584.1K $
2,098Strata Critical Medical Inc 19,78082.7K $
2,099Compass Diversified Holdings 10,44582.1K $
2,100Oncology Institute Inc/The 26,52581.4K $