HoldingsChannel.com
Prudential PLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Microsoft Corp 9,414,259 -759,043 $1,110,318
     MSFT9,414,259-759,043$1,110,318
METHANEX CORP 12,738,068 -20,089 $724,287
     MEOH12,738,068-20,089$724,287
iShares MSCI Hong Ko (EWH) 27,370,696 -2,018,368 $717,386
     EWH27,370,696-2,018,368$717,386
JPMORGAN CHASE &CO 6,231,682 -283,802 $630,834
     JPM6,231,682-283,802$630,834
Materials Select Sec 10,463,746 +6,558,801 $580,738
     XLB10,463,746+6,558,801$580,738
WELLS FARGO & CO 11,085,011 -1,243,077 $535,628
     WFC11,085,011-1,243,077$535,628
Johnson & Johnson 3,387,479 +240,369 $473,535
     JNJ3,387,479+240,369$473,535
Visa Inc 2,909,910 +446,490 $454,499
     V2,909,910+446,490$454,499
iShares iBoxx High Y (HYG) 5,241,747 +5,193,625 $453,254
     HYG5,241,747+5,193,625$453,254
Apple Inc 2,312,138 +203,531 $439,191
     AAPL2,312,138+203,531$439,191
Cisco Systems Inc 7,862,646 -255,594 $424,505
     CSCO7,862,646-255,594$424,505
CITIGROUP INC 6,786,242 -756,360 $422,240
     C6,786,242-756,360$422,240
iShares Edge MSCI Mi (USMV) 7,158,967 +7,158,967 $420,947
     USMV7,158,967+7,158,967$420,947
BK OF AMERICA CORP 13,887,336 -1,850,025 $383,151
     BAC13,887,336-1,850,025$383,151
PepsiCo Inc 2,831,714 +913,606 $347,027
     PEP2,831,714+913,606$347,027
TRINSEO S.A. 7,221,168 +646,324 $327,119
     TSE7,221,168+646,324$327,119
Amazon.com Inc 182,683 +1,123 $325,313
     AMZN182,683+1,123$325,313
Alibaba Group Holdin 1,723,600 -2,867 $314,472
     BABA1,723,600-2,867$314,472
UNITEDHEALTH GRP 1,265,928 -115,625 $313,013
     UNH1,265,928-115,625$313,013
American Express Co 2,852,016 -365,282 $311,725
     AXP2,852,016-365,282$311,725
COMCAST CORP 7,743,542 +1,781,445 $309,586
     CMCSA7,743,542+1,781,445$309,586
Chevron Corp 2,461,864 -34,477 $303,253
     CVX2,461,864-34,477$303,253
Pfizer Inc 7,118,409 +239,316 $302,319
     PFE7,118,409+239,316$302,319
Alphabet Inc 247,688 +22,248 $291,501
     GOOGL247,688+22,248$291,501
GALLAGHER AJ &CO 3,666,041 -299,124 $286,318
     AJG3,666,041-299,124$286,318
Medtronic PLC      $286,312
     MDT3,141,123-402,117$286,093
     MEDTRONIC ORD SHS2,400-4,900$219
Baidu Inc 1,534,226 +75,142 $252,918
     BIDU1,534,226+75,142$252,918
BROADCOM INC 803,083 -702,118 $241,495
     AVGO803,083-702,118$241,495
iShares MSCI China E (MCHI) 3,823,819 +3,823,819 $238,721
     MCHI3,823,819+3,823,819$238,721
AT&T Inc 6,961,498 +160,193 $218,313
     T6,961,498+160,193$218,313
FACEBOOK INC 1,275,829 -17,441 $212,668
     FB1,275,829-17,441$212,668
Gilead Sciences Inc 3,122,398 +32,583 $202,988
     GILD3,122,398+32,583$202,988
Merck & Co Inc 2,351,458 -104,887 $195,571
     MRK2,351,458-104,887$195,571
Google LLC 166,504 -92,352 $195,360
     GOOG166,504-92,352$195,360
iShares MSCI Emergin (EEM) 4,510,630 -6,564,466 $193,596
     EEM4,510,630-6,564,466$193,596
General Motors Co 5,140,975 -207,678 $190,730
     GM5,140,975-207,678$190,730
HARTFORD FINL SVCS 3,778,494 -118,942 $187,866
     HIG3,778,494-118,942$187,866
AbbVie Inc 2,317,369 +69,098 $186,757
     ABBV2,317,369+69,098$186,757
GW PHARMACEUTICALS 1,106,678 -216,420 $186,553
     GWPH1,106,678-216,420$186,553
Intel Corp 3,460,868 +71,294 $185,849
     INTC3,460,868+71,294$185,849
Las Vegas Sands Corp 3,006,537 +90,930 $183,279
     LVS3,006,537+90,930$183,279
Allstate Corp The 1,942,689 -274,211 $182,962
     ALL1,942,689-274,211$182,962
LINCOLN NATL CORP 3,103,200 -147,500 $182,158
     LNC3,103,200-147,500$182,158
Hollysys Automation 8,691,553 +691,852 $182,001
     HOLI8,691,553+691,852$182,001
EXXON MOBIL CORP 2,239,506 +6,706 $180,952
     XOM2,239,506+6,706$180,952
HONEYWELL INTL INC 1,107,153 -187,781 $175,948
     HON1,107,153-187,781$175,948
Berkshire Hathaway I      $173,449
     BRK.B863,408-862$173,449
CATERPILLAR INC 1,251,691 -126,500 $169,591
     CAT1,251,691-126,500$169,591
Royal Caribbean Crui 1,455,025 -52,475 $166,775
     RCL1,455,025-52,475$166,775
AMGEN INC 836,124 -67,933 $158,847
     AMGN836,124-67,933$158,847

See Full List: All Stocks Held By Prudential PLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Prudential PLC

Size ($ in 1000's)
At 03/31/2019: $29,158,569
At 12/31/2018: $25,340,649

Combined Holding Report Includes:
PRUDENTIAL PLC
JACKSON NATIONAL ASSET MANAGEMENT LLC
PPM AMERICA INC IL
M&G INVESTMENT MANAGEMENT LTD
EASTSPRING INVESTMENTS SINGAPORE LTD
Eastspring Investments Hong Kong Ltd
Eastspring Securities Investment Trust Co. Ltd
Eastspring Asset Management Korea Co. Ltd.

Prudential PLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Prudential PLC 13F filings. Link to 13F filings: SEC filings

Prudential PLC Top Holdings 13F Filings | www.HoldingsChannel.com

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