Titelia

Portefeuille de PGIM Quant Solutions Mid-Cap Value Fund

Prudential Investment Portfolios, Inc. 10 · 254 positions déclarées · au 30 avr. 2026

Document d'origine · Actif net 179,9 M $ · Dix premières lignes : 12.8 % de la poche actions

Répartition par secteur

  • Technologie 10,4 %
  • Finance 7,8 %
  • Énergie 6,7 %
  • Industrie 6,4 %
  • Services publics 6,3 %
  • Matériaux 4,5 %
  • Santé 4,3 %
  • Consommation cyclique 3,8 %
  • Immobilier 2,1 %
  • Communication 1,3 %
  • Consommation de base 1,1 %
  • Non attribué 45,2 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 93,2 %
  • BM 1,7 %
  • IE 1,4 %
  • GB 1,2 %
  • SG 1,1 %
  • KY 0,5 %
  • MH 0,3 %
  • CA 0,2 %
  • VG 0,2 %
  • FR 0,1 %
  • JE 0,0 %

Parts calculées sur la poche actions.

PaysLignesValeurPart
US235167,4 M $93,24 %
BM53,1 M $1,75 %
IE22,5 M $1,37 %
GB32,2 M $1,22 %
SG11,9 M $1,08 %
KY3932,4 k $0,52 %
MH1610 k $0,34 %
CA1440 k $0,25 %
VG1284,3 k $0,16 %
FR1106,4 k $0,06 %
JE119,8 k $0,01 %

Positions

SociétéTitresValeurPoids
Western Digital Corp 8 9003,9 M $2,15 %
Sandisk Corp/DE 2 8003,1 M $1,71 %
Bank of New York Mellon Corp/The 18 8002,5 M $1,40 %
Ross Stores Inc 9 1002,1 M $1,15 %
Nucor Corp 9 2002,1 M $1,15 %
Flex Ltd 21 2001,9 M $1,08 %
Allstate Corp/The 8 9001,9 M $1,07 %
Exelon Corp 41 4001,9 M $1,06 %
Northern Trust Corp 11 2001,9 M $1,04 %
AMETEK Inc 7 7001,8 M $1,01 %
Rockwell Automation Inc 4 4001,8 M $1,00 %
TechnipFMC PLC 23 4001,8 M $0,98 %
Devon Energy Corp 34 1001,8 M $0,97 %
MKS Inc 6 0001,7 M $0,95 %
Cheniere Energy Inc 6 1001,7 M $0,93 %
Consolidated Edison Inc 14 8331,7 M $0,92 %
Dover Corp 7 3001,7 M $0,92 %
Teradyne Inc 4 8001,6 M $0,92 %
United Therapeutics Corp 2 8001,6 M $0,89 %
Edison International 22 9001,6 M $0,88 %
Public Service Enterprise Group Inc 19 4001,6 M $0,88 %
ATI Inc 10 1001,6 M $0,87 %
Jabil Inc 4 6001,6 M $0,86 %
PG&E Corp 91 1001,5 M $0,84 %
TD SYNNEX Corp 6 6001,5 M $0,84 %
Allison Transmission Holdings Inc 11 2001,5 M $0,84 %
Mueller Industries Inc 11 1001,5 M $0,84 %
Ovintiv Inc 24 4001,5 M $0,83 %
Delta Air Lines Inc 21 9001,5 M $0,83 %
CF Industries Holdings Inc 11 9001,5 M $0,82 %
nVent Electric PLC 10 3001,5 M $0,82 %
Royalty Pharma PLC 29 3001,5 M $0,82 %
VICI Properties Inc 49 3001,4 M $0,80 %
Zoom Communications Inc 14 7001,4 M $0,79 %
Valmont Industries Inc 2 8001,4 M $0,79 %
Cirrus Logic Inc 8 7001,4 M $0,79 %
Arch Capital Group Ltd 15 0001,4 M $0,79 %
Dollar General Corp 12 1001,4 M $0,78 %
Valero Energy Corp 5 5001,4 M $0,77 %
Phillips 66 7 7001,4 M $0,77 %
Eversource Energy 19 4001,4 M $0,76 %
United Airlines Holdings Inc 14 9001,3 M $0,75 %
Synchrony Financial 17 5001,3 M $0,74 %
FirstEnergy Corp 27 9001,3 M $0,74 %
Fortive Corp 22 1001,3 M $0,73 %
Jones Lang LaSalle Inc 4 1001,3 M $0,73 %
Cognizant Technology Solutions Corp. 24 6001,3 M $0,72 %
RenaissanceRe Holdings Ltd 4 2001,3 M $0,72 %
Host Hotels & Resorts Inc 60 3001,3 M $0,71 %
Expeditors International of Washington Inc 8 4001,2 M $0,69 %
Nordson Corp 4 3001,2 M $0,69 %
West Pharmaceutical Services Inc 4 1601,2 M $0,69 %
Exelixis Inc 27 7001,2 M $0,68 %
Tenet Healthcare Corp 6 8001,2 M $0,67 %
Church & Dwight Co Inc 12 4001,2 M $0,67 %
Marathon Petroleum Corp 4 8001,2 M $0,66 %
Toro Co/The 12 4001,2 M $0,66 %
Lincoln Electric Holdings Inc 4 4001,2 M $0,65 %
Kimco Realty Corp 48 9001,2 M $0,64 %
Brixmor Property Group Inc 38 3001,2 M $0,64 %
APA Corp 28 1001,1 M $0,64 %
CBRE Group Inc 8 0001,1 M $0,63 %
Masco Corp 15 7001,1 M $0,63 %
BorgWarner Inc 19 7001,1 M $0,62 %
Advanced Drainage Systems Inc 7 4001,1 M $0,61 %
Globe Life Inc 7 1001,1 M $0,61 %
Keysight Technologies Inc 3 1001,1 M $0,60 %
Gen Digital Inc 55 8001,1 M $0,60 %
United Rentals Inc 1 1201,1 M $0,60 %
Biogen Inc 5 6001,1 M $0,59 %
HF Sinclair Corp 15 7001,1 M $0,59 %
Smithfield Foods Inc 39 7001 M $0,58 %
National Fuel Gas Co 12 2001 M $0,57 %
Carnival Corp 38 8001 M $0,57 %
Crown Holdings Inc 10 3001 M $0,56 %
Skyworks Solutions Inc 14 4001 M $0,56 %
EPR Properties 18 1001 M $0,56 %
Cardinal Health, Inc. 5 2001 M $0,56 %
Jazz Pharmaceuticals PLC 4 900994,8 k $0,55 %
Universal Health Services Inc 5 800976 k $0,54 %
Alcoa Corp 15 200969,6 k $0,54 %
Millrose Properties Inc 31 400963 k $0,54 %
Ameriprise Financial Inc 2 000949,6 k $0,53 %
Teradata Corp 35 700940,7 k $0,52 %
Solventum Corp 13 900936,3 k $0,52 %
Corning Inc 5 700936,2 k $0,52 %
State Street Corp 6 100932,3 k $0,52 %
Hartford Insurance Group Inc/The 6 800930,3 k $0,52 %
Fox Corp 16 300929,4 k $0,52 %
Incyte Corp 9 600914,6 k $0,51 %
STERIS PLC 4 200910,9 k $0,51 %
Vontier Corp 25 200904,2 k $0,50 %
Sotera Health Co 57 100888,5 k $0,49 %
JB Hunt Transport Services Inc 3 500880,4 k $0,49 %
Travel + Leisure Co 12 900834,1 k $0,46 %
Textron Inc 8 600825,3 k $0,46 %
Avnet Inc 10 000825,1 k $0,46 %
Pegasystems Inc 22 400818,7 k $0,46 %
Axis Capital Holdings Ltd 8 000803,3 k $0,45 %
CDW Corp/DE 5 700780,4 k $0,43 %
iShares Russell Mid-Cap Value 4 570716,2 k $0,40 %
MGIC Investment Corp 26 000688,5 k $0,38 %
Deluxe Corp 22 100688,4 k $0,38 %
Bath & Body Works Inc 34 100662,9 k $0,37 %
Ingram Micro Holding Corp 21 500661,6 k $0,37 %
Illumina Inc 5 200659 k $0,37 %
Cummins Inc 980657,6 k $0,37 %
Elanco Animal Health Inc 27 900624,1 k $0,35 %
Darling Ingredients Inc 9 700623 k $0,35 %
Regency Centers Corp 7 900615 k $0,34 %
Costamare Inc 36 700610 k $0,34 %
Gaming and Leisure Properties Inc 12 400600,9 k $0,33 %
Sun Communities Inc 4 700600,8 k $0,33 %
Docusign Inc 13 000597,9 k $0,33 %
Coca-Cola Consolidated Inc 2 900594,7 k $0,33 %
ResMed Inc 2 780594,4 k $0,33 %
Pentair PLC 7 300589,2 k $0,33 %
Dollar Tree Inc 6 000582,7 k $0,32 %
AGCO Corp 4 600556,7 k $0,31 %
Antero Midstream Corp 25 100548,7 k $0,31 %
Gray Media Inc 96 800546 k $0,30 %
Woodward Inc 1 500544,5 k $0,30 %
East West Bancorp Inc 4 200531,2 k $0,30 %
PROG Holdings Inc 14 800530,3 k $0,29 %
Fox Corp 8 200520,6 k $0,29 %
Fresh Del Monte Produce Inc 12 200511,1 k $0,28 %
Antero Resources Corp 12 800502,5 k $0,28 %
Applied Industrial Technologies Inc 1 640501,4 k $0,28 %
Slide Insurance Holdings Inc 26 700498 k $0,28 %
Blue Bird Corp 7 700493,6 k $0,27 %
Albertsons Cos Inc 28 400478,5 k $0,27 %
Heritage Insurance Holdings Inc 16 300477,9 k $0,27 %
L3Harris Technologies Inc 1 480474,4 k $0,26 %
T Rowe Price Group Inc 4 600473,2 k $0,26 %
Viatris Inc 30 800460,2 k $0,26 %
NewMarket Corp 680459,4 k $0,26 %
Robinhood Markets Inc 6 300459,2 k $0,26 %
CBL & Associates Properties Inc 9 800441,2 k $0,25 %
Aurinia Pharmaceuticals Inc 28 600440 k $0,24 %
Bread Financial Holdings Inc 5 100432,4 k $0,24 %
Perdoceo Education Corp 12 700431 k $0,24 %
Ball Corp 7 000427,6 k $0,24 %
Mettler-Toledo International Inc 330421,3 k $0,23 %
Riley Exploration Permian Inc 11 600419,6 k $0,23 %
V2X Inc 6 100413,6 k $0,23 %
PulteGroup Inc 3 347409,5 k $0,23 %
Anglogold Ashanti Plc 4 300403 k $0,22 %
Consensus Cloud Solutions Inc 15 500401,1 k $0,22 %
Regions Financial Corp 13 900396,8 k $0,22 %
ScanSource Inc 9 600394,8 k $0,22 %
H&R Block Inc 12 300390,3 k $0,22 %
Genpact Ltd 11 200389,2 k $0,22 %
WESCO International Inc 1 100384 k $0,21 %
Urban Outfitters Inc 5 400379,8 k $0,21 %
Harmony Biosciences Holdings Inc 11 400356,4 k $0,20 %
Ford Motor Co 29 300353,9 k $0,20 %
AECOM 4 200353,2 k $0,20 %
CMS Energy Corp 4 600353 k $0,20 %
IQVIA Holdings Inc 2 200348,4 k $0,19 %
Trimble Inc 5 100343,3 k $0,19 %
Collegium Pharmaceutical Inc 9 900333,9 k $0,19 %
Virtu Financial Inc 6 700332,7 k $0,19 %
Boston Beer Co Inc/The 1 400331,9 k $0,18 %
Maplebear Inc 7 700326,1 k $0,18 %
ADT Inc 43 300326 k $0,18 %
IBEX Holdings Ltd 11 600321,9 k $0,18 %
Southwest Airlines Co 8 400318,5 k $0,18 %
Ciena Corp 600316,5 k $0,18 %
EPAM Systems Inc 2 700307,2 k $0,17 %
GigaCloud Technology Inc 6 800302,5 k $0,17 %
AutoNation Inc 1 400297,3 k $0,17 %
Radian Group Inc 8 000286,6 k $0,16 %
National Energy Services Reunited Corp 11 400284,3 k $0,16 %
Pilgrim's Pride Corp 8 400278 k $0,15 %
Indivior Pharmaceuticals Inc 7 500275,9 k $0,15 %
MasTec Inc 700275,8 k $0,15 %
Crocs Inc 2 700275,3 k $0,15 %
ON Semiconductor Corp 2 700272,2 k $0,15 %
Lumentum Holdings Inc 300270,7 k $0,15 %
Coinbase Global Inc 1 440270,4 k $0,15 %
Charles River Laboratories International Inc 1 600267,2 k $0,15 %
SBA Communications Corp 1 200265,4 k $0,15 %
Sysco Corp 3 500261,5 k $0,15 %
NetApp Inc 2 300254,8 k $0,14 %
SEI Investments Co 2 800253,9 k $0,14 %
El Pollo Loco Holdings Inc 18 700252,8 k $0,14 %
US Foods Holding Corp 2 700252,4 k $0,14 %
Simon Property Group Inc 1 200244,5 k $0,14 %
Strategic Education Inc 3 100243 k $0,14 %
DiamondRock Hospitality Co 23 200236,6 k $0,13 %
Xylem Inc/NY 2 000236,3 k $0,13 %
Universal Insurance Holdings Inc 5 900233,8 k $0,13 %
Kimball Electronics Inc 8 600232,3 k $0,13 %
Carlisle Cos Inc 640227,4 k $0,13 %
Medpace Holdings Inc 540226,1 k $0,13 %
Armstrong World Industries Inc 1 300221,5 k $0,12 %
Sensata Technologies Holding PLC 5 300220,7 k $0,12 %
Kroger Co/The 3 200217,8 k $0,12 %
UGI Corp 5 700205,7 k $0,11 %
Quest Diagnostics Inc 1 000194,2 k $0,11 %
Roivant Sciences Ltd 6 800194 k $0,11 %
Frontdoor Inc 2 800192,2 k $0,11 %
Hayward Holdings Inc 12 200183,1 k $0,10 %
SLM Corp 7 800180 k $0,10 %
OP Bancorp 12 400177,8 k $0,10 %
Amkor Technology Inc 2 400167,4 k $0,09 %
Bank of NT Butterfield & Son Ltd/The 3 000166,4 k $0,09 %
First Solar Inc 800161,5 k $0,09 %
Parke Bancorp Inc 5 300159,6 k $0,09 %
Third Coast Bancshares Inc 4 200156,8 k $0,09 %
Allegion plc 1 100151,2 k $0,08 %
EverQuote Inc 10 400150 k $0,08 %
Omega Healthcare Investors Inc 2 900136,2 k $0,08 %
VeriSign Inc 500134,3 k $0,07 %
Dolby Laboratories Inc 2 000128,3 k $0,07 %
Douglas Dynamics Inc 2 700124,6 k $0,07 %
Photronics Inc 2 500123,7 k $0,07 %
XP Inc 6 200118,8 k $0,07 %
Permian Resources Corp 5 300114,6 k $0,06 %
Seaboard Corp 20113,7 k $0,06 %
Hewlett Packard Enterprise Co 3 800109,3 k $0,06 %
Constellium SE 3 400106,4 k $0,06 %
Cimpress PLC 1 200106,2 k $0,06 %
TPG Mortgage Investment Trust Inc 13 200104,1 k $0,06 %
Nexstar Media Group Inc 500104,1 k $0,06 %
SkyWest Inc 1 20098,5 k $0,05 %
Information Services Group Inc 23 70096,7 k $0,05 %
Las Vegas Sands Corp 1 60087,4 k $0,05 %
Outfront Media Inc 2 80086,4 k $0,05 %
Archer-Daniels-Midland Co 1 10082 k $0,05 %
MSC Industrial Direct Co Inc 80081,8 k $0,05 %
DXC Technology Co 7 00079,2 k $0,04 %
Lear Corp 60076,3 k $0,04 %
Kinder Morgan, Inc. 2 30075,6 k $0,04 %
SiriusPoint Ltd 3 20074,9 k $0,04 %
MediaAlpha Inc 8 80074,9 k $0,04 %
Civista Bancshares Inc 3 00074,6 k $0,04 %
Expedia Group Inc 30074,5 k $0,04 %
RingCentral Inc 1 80072,4 k $0,04 %
Hormel Foods Corp 3 20068,7 k $0,04 %
Digital Realty Trust Inc 30060,3 k $0,03 %
Phibro Animal Health Corp 1 10058,5 k $0,03 %
Credo Technology Group Holding Ltd 30052,2 k $0,03 %
Realty Income Corp 71345,8 k $0,03 %
SandRidge Energy Inc 2 70042 k $0,02 %
Microchip Technology Inc 40037,2 k $0,02 %
Ooma Inc 2 20035,9 k $0,02 %
Roku Inc 30035 k $0,02 %
Central Garden & Pet Co 1 00033,6 k $0,02 %
Charter Communications, Inc. 20033 k $0,02 %
Gates Industrial Corp PLC 90023 k $0,01 %
Churchill Downs Inc 20020,2 k $0,01 %
Versigent PLC 56619,8 k $0,01 %
Toll Brothers Inc 10014,2 k $0,01 %