Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
MICROSOFT CORP | 9,518,275 | -1,171,757 | $3,583,096 |
MSFT | 9,518,275 | -1,171,757 | $3,583,096 |
APPLE INC | 18,094,170 | -2,210,890 | $3,476,837 |
AAPL | 18,094,170 | -2,210,890 | $3,476,837 |
ISHARES TR (IVV) | 5,133,382 | +2,624,141 | $2,448,669 |
IVV | 5,133,382 | +2,624,141 | $2,448,669 |
AMAZON COM INC | 11,898,129 | -1,100,575 | $1,798,228 |
AMZN | 11,898,129 | -1,100,575 | $1,798,228 |
NVIDIA CORPORATION | 3,272,653 | -397,689 | $1,608,431 |
NVDA | 3,272,653 | -397,689 | $1,608,431 |
META PLATFORMS INC | 3,022,288 | -35,521 | $1,059,026 |
META | 3,022,288 | -35,521 | $1,059,026 |
ALPHABET INC | 7,282,139 | -1,293,083 | $1,009,585 |
GOOGL | 7,282,139 | -1,293,083 | $1,009,585 |
ALPHABET INC | 6,384,377 | -1,095,767 | $893,373 |
GOOG | 6,384,377 | -1,095,767 | $893,373 |
BERKSHIRE HATHAWAY INC DEL | $762,976 | ||
BRK.B | 2,131,590 | -249,692 | $761,348 |
BRK.A | 3 | -2 | $1,628 |
TESLA INC | 3,043,810 | -622,502 | $752,145 |
TSLA | 3,043,810 | -622,502 | $752,145 |
ISHARES TR (AGG) | 7,431,992 | +2,960,378 | $737,625 |
AGG | 7,431,992 | +2,960,378 | $737,625 |
VISA INC | 2,371,694 | -60,685 | $616,402 |
V | 2,371,694 | -60,685 | $616,402 |
SPDR S&P 500 ETF TR (SPY) | 1,267,038 | -105,786 | $601,112 |
SPY | 1,267,038 | -105,786 | $601,112 |
JOHNSON & JOHNSON | 3,692,939 | -292,668 | $577,930 |
JNJ | 3,692,939 | -292,668 | $577,930 |
EXXON MOBIL CORP | 5,695,543 | -466,787 | $571,452 |
XOM | 5,695,543 | -466,787 | $571,452 |
UNITEDHEALTH GROUP INC | 1,057,988 | -144,270 | $561,423 |
UNH | 1,057,988 | -144,270 | $561,423 |
BROADCOM INC | 510,416 | +31,723 | $554,730 |
AVGO | 510,416 | +31,723 | $554,730 |
JPMORGAN CHASE & CO | 3,208,270 | -423,248 | $538,351 |
JPM | 3,208,270 | -423,248 | $538,351 |
ELI LILLY & CO | 895,901 | -436,840 | $523,406 |
LLY | 895,901 | -436,840 | $523,406 |
PROLOGIS INC. | 3,863,043 | +278,946 | $511,883 |
PLD | 3,863,043 | +278,946 | $511,883 |
PROCTER AND GAMBLE CO | 3,217,210 | -166,967 | $474,416 |
PG | 3,217,210 | -166,967 | $474,416 |
ABBVIE INC | 2,947,469 | -38,070 | $452,769 |
ABBV | 2,947,469 | -38,070 | $452,769 |
ISHARES TR (LQD) | 4,063,629 | -3,084,905 | $449,681 |
LQD | 4,063,629 | -3,084,905 | $449,681 |
SALESFORCE INC | 1,585,707 | -150,262 | $415,291 |
CRM | 1,585,707 | -150,262 | $415,291 |
MERCK & CO INC | 3,759,647 | +472,696 | $406,885 |
MRK | 3,759,647 | +472,696 | $406,885 |
BANK AMERICA CORP | 11,771,144 | +1,616,568 | $392,372 |
BAC | 11,771,144 | +1,616,568 | $392,372 |
INTEL CORP | 7,706,930 | -519,461 | $383,084 |
INTC | 7,706,930 | -519,461 | $383,084 |
COCA COLA CO | 6,498,595 | -466,446 | $382,618 |
KO | 6,498,595 | -466,446 | $382,618 |
VANGUARD INDEX FDS (VNQ) | 4,236,611 | -174,414 | $374,347 |
VNQ | 4,236,611 | -174,414 | $374,347 |
MASTERCARD INCORPORATED | 852,450 | -521,732 | $361,666 |
MA | 852,450 | -521,732 | $361,666 |
HOME DEPOT INC | 1,058,276 | -98,653 | $360,720 |
HD | 1,058,276 | -98,653 | $360,720 |
WELLS FARGO CO NEW | 6,831,925 | -165,684 | $333,214 |
WFC | 6,831,925 | -165,684 | $333,214 |
NETFLIX INC | 674,946 | -198,438 | $327,586 |
NFLX | 674,946 | -198,438 | $327,586 |
COSTCO WHSL CORP NEW | 493,053 | -34,241 | $320,066 |
COST | 493,053 | -34,241 | $320,066 |
ADOBE INC | 533,796 | -38,842 | $319,646 |
ADBE | 533,796 | -38,842 | $319,646 |
EQUINIX INC | 393,036 | +131,959 | $316,710 |
EQIX | 393,036 | +131,959 | $316,710 |
PEPSICO INC | 1,851,618 | -214,787 | $314,093 |
PEP | 1,851,618 | -214,787 | $314,093 |
QUALCOMM INC | 2,159,238 | -93,053 | $309,158 |
QCOM | 2,159,238 | -93,053 | $309,158 |
INTUIT | 495,788 | -42,099 | $307,179 |
INTU | 495,788 | -42,099 | $307,179 |
CISCO SYS INC | 5,557,174 | -1,733,836 | $279,178 |
CSCO | 5,557,174 | -1,733,836 | $279,178 |
ISHARES TR (IWF) | 913,436 | +404,469 | $276,926 |
IWF | 913,436 | +404,469 | $276,926 |
THERMO FISHER SCIENTIFIC INC | 519,437 | -7,366 | $273,276 |
TMO | 519,437 | -7,366 | $273,276 |
S&P GLOBAL INC | 601,256 | +293,167 | $263,415 |
SPGI | 601,256 | +293,167 | $263,415 |
COMCAST CORP NEW | 5,888,632 | +168,746 | $256,763 |
CMCSA | 5,888,632 | +168,746 | $256,763 |
CHEVRON CORP NEW | 1,728,262 | -615,603 | $256,008 |
CVX | 1,728,262 | -615,603 | $256,008 |
GENERAL ELECTRIC CO | 2,004,213 | -175,757 | $254,656 |
GE | 2,004,213 | -175,757 | $254,656 |
WELLTOWER INC | 2,733,851 | -169,570 | $246,405 |
WELL | 2,733,851 | -169,570 | $246,405 |
AT&T INC | 13,568,158 | -1,007,376 | $227,403 |
T | 13,568,158 | -1,007,376 | $227,403 |
CONOCOPHILLIPS | 1,952,038 | +692,920 | $226,465 |
COP | 1,952,038 | +692,920 | $226,465 |
PUBLIC STORAGE | 741,839 | +120,543 | $224,941 |
PSA | 741,839 | +120,543 | $224,941 |
See Full List: All Stocks Held By Prudential Financial Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Prudential Financial Inc.
Size ($ in 1000's)
At 12/31/2023: $66,177,854 At 09/30/2023: $63,759,914 Combined Holding Report Includes:
Prudential Financial Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Prudential Financial Inc. 13F filings. Link to 13F filings: SEC filings |