HoldingsChannel.com
Prudential PLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Microsoft Corp 8,603,102 -588,413 $1,195,960
     MSFT8,603,102-588,413$1,195,960
ISHARES INTERMEDIATE (IGIB) 16,361,126 +16,361,126 $947,636
     IGIB16,361,126+16,361,126$947,636
VANGUARD INTERMEDIAT (VCIT) 9,561,847 +9,561,847 $872,423
     VCIT9,561,847+9,561,847$872,423
MATERIALS SELECT SEC 12,087,074 +1,934,245 $703,468
     XLB12,087,074+1,934,245$703,468
ISHARES FLOATING RAT (FLOT) 13,341,289 +13,341,289 $680,006
     FLOT13,341,289+13,341,289$680,006
JPMorgan Chase & Co 5,636,918 -788,383 $664,338
     JPM5,636,918-788,383$664,338
Apple Inc 2,404,597 -92,174 $538,565
     AAPL2,404,597-92,174$538,565
VANGUARD SHORT TERM (VCSH) 5,887,735 +5,637,997 $477,201
     VCSH5,887,735+5,637,997$477,201
JOHNSON & JOHNSON 3,678,740 -151,785 $475,264
     JNJ3,678,740-151,785$475,264
Visa Inc 2,733,845 -240,756 $470,236
     V2,733,845-240,756$470,236
PEPSICO INC 3,388,812 +156,984 $464,397
     PEP3,388,812+156,984$464,397
METHANEX CORP 12,397,726 -339,326 $433,920
     MEOH12,397,726-339,326$433,920
Citigroup Inc 5,960,335 -611,814 $411,506
     C5,960,335-611,814$411,506
ISHARES MSCI FRANCE (EWQ) 13,473,918 +9,063,827 $406,104
     EWQ13,473,918+9,063,827$406,104
Amazon.com Inc 233,590 +655 $405,491
     AMZN233,590+655$405,491
Bank of America Corp 13,457,888 -1,209,705 $391,583
     BAC13,457,888-1,209,705$391,583
Wells Fargo & Co 7,683,756 -2,788,073 $385,054
     WFC7,683,756-2,788,073$385,054
CISCO SYSTEMS INC 7,726,638 +184,105 $380,198
     CSCO7,726,638+184,105$380,198
INVESCO SENIOR LOAN 16,714,844 +16,660,644 $377,589
     BKLN16,714,844+16,660,644$377,589
ALIBABA GROUP HOLDIN 2,176,340 +59,319 $363,949
     BABA2,176,340+59,319$363,949
Comcast Corp 8,075,109 -38,471 $363,746
     CMCSA8,075,109-38,471$363,746
Medtronic PLC      $346,932
     MDT3,175,668-249,193$345,508
     MEDTRONIC PLC13,113+13,113$1,424
TRINSEO S A 7,839,044 +81,130 $337,079
     TSE7,839,044+81,130$337,079
American Express Co 2,824,434 -208,219 $333,568
     AXP2,824,434-208,219$333,568
ISHARES MSCI HONG KO (EWH) 14,673,293 +4,988,415 $333,084
     EWH14,673,293+4,988,415$333,084
Alphabet Inc 251,707 -29,726 $307,360
     GOOGL251,707-29,726$307,360
ARTHUR J GALLAGHER & 3,365,326 -254,216 $302,873
     AJG3,365,326-254,216$302,873
Walt Disney Co The 2,306,327 +15,940 $300,146
     DIS2,306,327+15,940$300,146
CHEVRON CORP 2,490,204 -159,775 $295,426
     CVX2,490,204-159,775$295,426
Pfizer Inc 7,771,159 +57,059 $279,310
     PFE7,771,159+57,059$279,310
INVESCO QQQ TRUST SE 1,369,836 +1,369,836 $258,639
     QQQ1,369,836+1,369,836$258,639
XTRACKERS HVST CSI 3 9,057,548 -1,628,974 $245,369
     ASHR9,057,548-1,628,974$245,369
Facebook Inc 1,374,787 -10,304 $244,813
     FB1,374,787-10,304$244,813
BERKSHIRE HATHAWAY I      $243,619
     BRK.B1,171,136+128,028$243,619
AT&T INC 6,397,644 -646,641 $242,188
     T6,397,644-646,641$242,188
Merck & Co Inc 2,786,552 +74,305 $234,486
     MRK2,786,552+74,305$234,486
EXXON MOBIL CORP 3,223,182 +464,678 $227,596
     XOM3,223,182+464,678$227,596
BAIDU INC 2,198,166 -18,030 $225,990
     BIDU2,198,166-18,030$225,990
Home Depot Inc The 958,460 -4,986 $222,380
     HD958,460-4,986$222,380
Boeing Co The 579,748 +43,960 $220,551
     BA579,748+43,960$220,551
CVS Health Corp 3,411,442 -326,432 $215,083
     CVS3,411,442-326,432$215,083
Alphabet Inc 167,312 -3,092 $203,953
     GOOG167,312-3,092$203,953
Anthem Inc 844,096 +22,798 $202,615
     ANTM844,096+22,798$202,615
BRISTOL MYERS SQUIBB 3,956,284 +1,048,783 $201,757
     BMY3,956,284+1,048,783$201,757
Honeywell Internatio 1,166,960 -6,837 $197,415
     HON1,166,960-6,837$197,415
Allstate Corp The 1,781,837 -191,306 $193,651
     ALL1,781,837-191,306$193,651
UNITEDHEALTH GROUP INC 880,916 -318,304 $191,159
     UNH880,916-318,304$191,159
Hartford Financial S 3,132,451 -507,266 $190,016
     HIG3,132,451-507,266$190,016
Abbott Laboratories 2,259,843 -22,769 $189,084
     ABT2,259,843-22,769$189,084
VANGUARD LONG TERM C (VCLT) 1,862,908 +696,702 $188,415
     VCLT1,862,908+696,702$188,415

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 09/30/2019: $33,997,298
At 06/30/2019: $32,985,604

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 Securities Investment Trust Co. Ltd
Eastspring Asset Management Korea Co. Ltd.
TMB Asset Management 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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