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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

PRUDENTIAL PLC INSTITUTION : PRUDENTIAL PLC
PRUDENTIAL PLC Portfolio (reported on 2020-05-01)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
VANGUARD INTERMEDIAT    (VANGUARD INTERMEDIATE-TERM COR) VCIT 707,934,000 8,128,760 3.77%
ALIBABA GROUP HOLDIN    (ALIBABA GROUP HOLDING ADR REPR) BABA 528,889,000 2,719,507 2.81%
ISHARES IBOXX $ INVE    (ISHARES IBOXX $ INV GRADE CORP) LQD 464,179,000 3,758,225 2.47%
Microsoft Corp    (Microsoft Corp) MSFT 448,325,000 2,842,717 2.39%
Apple Inc    (Apple Inc) AAPL 369,877,000 1,454,546 1.97%
VANGUARD SHORT-TERM    (VANGUARD SHORT-TERM CORPORATE ) VCSH 360,580,000 4,558,530 1.92%
INVESCO SENIOR LOAN    (INVESCO SENIOR LOAN ETF) 346,261,000 16,923,793 1.84%
Amazon.com Inc    (Amazon.com Inc) AMZN 333,648,000 171,126 1.77%
Vanguard Long Term C    (VANGUARD LONG-TERM CORPORATE B) VCLT 332,881,000 3,427,169 1.77%
CONSUMER STAPLES SEL    (CONSUMER STAPLES SELECT SECTOR) XLP 269,915,000 4,955,298 1.43%
ISHARES LONG-TERM CO    (ISHARES LONG-TERM CORPORATE BO) CLY 261,890,000 4,116,476 1.39%
BAIDU INC    (BAIDU ADR REPTG INC CLASS A) BIDU 237,391,000 2,355,304 1.26%
JPMorgan Chase & Co    (JPMorgan Chase & Co) JPM 207,711,000 2,307,135 1.10%
Johnson & Johnson    (Johnson & Johnson) JNJ 203,258,000 1,550,044 1.08%
Berkshire Hathaway I    (BERKSHIRE HATHAWAY INC CLASS B) BRK/B 200,948,000 1,099,100 1.07%
Chevron Corp    (Chevron Corp) CVX 192,841,000 2,661,350 1.02%
AT&T Inc    (AT&T Inc) T 186,805,000 6,408,370 0.99%
Pfizer Inc    (Pfizer Inc) PFE 182,699,000 5,597,414 0.97%
Facebook Inc    (Facebook Inc) FB 170,521,000 1,022,304 0.90%
AbbVie Inc    (AbbVie Inc) ABBV 168,803,000 2,215,550 0.89%
Visa Inc    (VISA INC CLASS A) V 166,915,000 1,035,972 0.88%
ISHARES BROAD USD HI    (ISHARES BROAD USD HIGH YIELD C) 156,230,000 4,400,854 0.83%
MATERIALS SELECT SEC    (MATERIALS SELECT SECTOR SPDR F) XLB 155,988,000 3,463,320 0.83%
Exxon Mobil Corp    (Exxon Mobil Corp) XOM 151,519,000 3,990,500 0.80%
Alphabet Inc    (ALPHABET INC CLASS A) GOOGL 149,815,000 128,934 0.79%
Altria Group Inc    (Altria Group Inc) MO 147,899,000 3,824,650 0.78%
Verizon Communicatio    (Verizon Communications Inc) VZ 143,811,000 2,676,548 0.76%
Allstate Corp/The    (Allstate Corp/The) ALL 139,285,000 1,518,425 0.74%
Merck & Co Inc    (Merck & Co Inc) MRK 135,363,000 1,759,333 0.72%
Alphabet Inc    (ALPHABET INC CLASS C) GOOG 134,840,000 115,961 0.71%
General Motors Co    (General Motors Co) GM 127,963,000 6,158,000 0.68%
Dominion Energy Inc    (Dominion Energy Inc) D 126,596,000 1,753,650 0.67%
Procter & Gamble Co/    (Procter & Gamble Co/The) PG 124,166,000 1,128,777 0.66%
Medtronic PLC    (Medtronic PLC) MDT 120,823,000 1,339,800 0.64%
Home Depot Inc/The    (Home Depot Inc/The) HD 117,239,000 627,919 0.62%
Comcast Corp    (COMCAST CORP CLASS A) CMCSA 116,770,000 3,396,457 0.62%
Cigna Corp    (Cigna Corp) 116,558,000 657,850 0.62%
Cisco Systems Inc    (Cisco Systems Inc) CSCO 115,301,000 2,933,122 0.61%
Abbott Laboratories    (Abbott Laboratories) ABT 114,310,000 1,448,618 0.60%
Newell Brands Inc    (Newell Brands Inc) NWL 108,229,000 8,149,750 0.57%
Caterpillar Inc    (Caterpillar Inc) CAT 108,045,000 931,100 0.57%
PepsiCo Inc    (PepsiCo Inc) PEP 107,988,000 899,160 0.57%
Gilead Sciences Inc    (Gilead Sciences Inc) GILD 107,083,000 1,432,341 0.57%
ISHARES MSCI SOUTH K    (ISHARES MSCI SOUTH KOREA ETF) EWY 105,971,000 2,258,542 0.56%
Walmart Inc    (Walmart Inc) WMT 105,503,000 928,563 0.56%
Honeywell Internatio    (Honeywell International Inc) HON 104,677,000 782,400 0.55%
Citigroup Inc    (Citigroup Inc) C 102,649,000 2,437,050 0.54%
Philip Morris Intern    (Philip Morris International In) PM 100,282,000 1,374,479 0.53%
Danaher Corp    (Danaher Corp) DHR 98,942,000 714,850 0.52%
CVS Health Corp    (CVS Health Corp) CVS 96,524,000 1,626,900 0.51%
Digital Realty Trust    (Digital Realty Trust Inc) DLR 95,140,000 684,901 0.50%
Walt Disney Co/The    (Walt Disney Co/The) DIS 94,914,000 982,550 0.50%
QUALCOMM Inc    (QUALCOMM Inc) QCOM 93,709,000 1,385,204 0.49%
McKesson Corp    (McKesson Corp) MCK 90,056,000 665,800 0.48%
American Express Co    (American Express Co) AXP 89,694,000 1,047,700 0.47%
Intel Corp    (INTEL CORPORATION CORP) INTC 89,578,000 1,655,182 0.47%
Leidos Holdings Inc    (Leidos Holdings Inc) LDOS 89,382,000 975,250 0.47%
Bank of America Corp    (Bank of America Corp) BAC 89,126,000 4,198,147 0.47%
Mastercard Inc    (MASTERCARD INC CLASS A) MA 88,762,000 367,452 0.47%
Fidelity National In    (Fidelity National Information ) FIS 87,590,000 720,077 0.46%
General Mills Inc    (General Mills Inc) GIS 87,248,000 1,653,365 0.46%
INTERNATIONAL BUSINE    (International Business Machine) IBM 86,481,000 779,600 0.46%
Vistra Energy Corp    (Vistra Energy Corp) 86,352,000 5,410,530 0.46%
INDUSTRIAL SELECT SE    (INDUSTRIAL SELECT SECTOR SPDR ) XLI 86,070,000 1,458,573 0.45%
Crown Castle Interna    (Crown Castle International Cor) CCI 84,619,000 586,001 0.45%
Prologis Inc    (Prologis Inc) PLD 82,335,000 1,024,450 0.43%
Texas Instruments In    (Texas Instruments Inc) TXN 81,878,000 819,360 0.43%
TRIP.COM GROUP LTD    (TRIP COM GROUP ADR LTD) 81,734,000 3,485,445 0.43%
Hartford Financial S    (Hartford Financial Services Gr) HIG 80,782,000 2,292,339 0.43%
ISHARES ESG MSCI EM    (ISHARES ESG MSCI EM ETF) 79,130,000 2,890,067 0.42%
Cardinal Health Inc    (Cardinal Health Inc) CAH 79,034,000 1,648,601 0.42%
Morgan Stanley    (Morgan Stanley) MS 78,851,000 2,319,150 0.42%
SPDR GOLD SHARES    (SPDR GOLD SHARES) GLD 78,015,000 526,953 0.41%
Huntington Bancshare    (Huntington Bancshares Inc/OH) HBAN 77,681,000 9,461,800 0.41%
Kellogg Co    (Kellogg Co) K 77,114,000 1,285,453 0.41%
Simon Property Group    (Simon Property Group Inc) SPG 76,302,000 1,390,850 0.40%
HOLLYSYS AUTOMATION    (HOLLYSYS AUTOMATION TECHNOLOGI) HOLI 75,687,000 5,867,183 0.40%
3M Co    (3M Co) MMM 75,333,000 551,850 0.40%
Advanced Micro Devic    (Advanced Micro Devices Inc) AMD 74,874,000 1,646,305 0.39%
Duke Energy Corp    (Duke Energy Corp) DUK 74,277,000 918,359 0.39%
FirstEnergy Corp    (FirstEnergy Corp) FE 73,105,000 1,824,427 0.38%
salesforce.com Inc    (salesforce.com Inc) CRM 71,673,000 497,807 0.38%
ISHARES S&P 500    (ISHARES CORE S&P ETF) IVV 71,540,000 276,859 0.38%
Kraft Heinz Co/The    (Kraft Heinz Co/The) KHC 71,466,000 2,888,701 0.38%
Booking Holdings Inc    (Booking Holdings Inc) 71,275,000 52,980 0.37%
Amgen Inc    (Amgen Inc) AMGN 71,006,000 350,250 0.37%
Valero Energy Corp    (Valero Energy Corp) VLO 69,344,000 1,528,750 0.36%
Southern Co/The    (Southern Co/The) SO 68,746,000 1,269,779 0.36%
Amcor PLC    (Amcor PLC) 67,999,000 8,374,301 0.36%
Seagate Technology P    (Seagate Technology PLC) STX 67,798,000 1,389,301 0.36%
Iron Mountain Inc    (Iron Mountain Inc) IRM 66,266,000 2,784,301 0.35%
Broadcom Inc    (Broadcom Inc) 65,143,000 274,749 0.34%
Delta Air Lines Inc    (Delta Air Lines Inc) DAL 63,740,000 2,234,130 0.33%
Sempra Energy    (Sempra Energy) SRE 63,412,000 561,218 0.33%
International Paper    (International Paper Co) IP 63,392,000 2,036,370 0.33%
Mondelez Internation    (MONDELEZ INTERNATIONAL INC CLA) MDLZ 63,354,000 1,265,053 0.33%
Baxter International    (Baxter International Inc) BAX 63,166,000 778,000 0.33%
Cognizant Technology    (Cognizant Technology Solutions) CTSH 62,653,000 1,348,250 0.33%
Edison International    (Edison International) EIX 62,570,000 1,142,001 0.33%
BlackRock Inc    (BlackRock Inc) BLK 61,772,000 140,400 0.32%
Interpublic Group of    (Interpublic Group of Cos Inc/T) IPG 61,243,000 3,782,776 0.32%
People's United Fina    (People's United Financial Inc) PBCT 61,242,000 5,542,301 0.32%
Molson Coors Beverag    (Molson Coors Beverage Co) TAP 61,062,000 1,565,301 0.32%
Westrock Co    (Westrock Co) WRK 60,640,000 2,145,795 0.32%
Nuance Communication    (Nuance Communications Inc) NUAN 59,902,000 3,569,868 0.31%
Regency Centers Corp    (Regency Centers Corp) REG 59,728,000 1,554,200 0.31%
PPL Corp    (PPL Corp) PPL 59,350,000 2,404,801 0.31%
Kinder Morgan Inc/DE    (Kinder Morgan Inc/DE) KMI 58,817,000 4,225,330 0.31%
Boeing Co/The    (Boeing Co/The) BA 58,157,000 389,950 0.31%
Franklin Resources I    (Franklin Resources Inc) BEN 58,043,000 3,477,701 0.30%
Emerson Electric Co    (Emerson Electric Co) EMR 57,950,000 1,216,150 0.30%
Host Hotels & Resort    (HOST HOTELS & RESORTS REIT INC) HST 57,399,000 5,199,200 0.30%
Williams Cos Inc/The    (WILLIAMS INC) WMB 57,088,000 4,034,490 0.30%
Realty Income Corp    (Realty Income Corp) O 57,035,000 1,143,901 0.30%
Healthpeak Propertie    (Healthpeak Properties Inc) 56,625,000 2,374,201 0.30%
CenturyLink Inc    (CenturyLink Inc) CTL 56,494,000 5,971,901 0.30%
Las Vegas Sands Corp    (Las Vegas Sands Corp) LVS 54,986,000 1,294,701 0.29%
Dow Inc    (Dow Inc) 54,852,000 1,875,900 0.29%
MetLife Inc    (MetLife Inc) MET 53,493,000 1,749,826 0.28%
Oracle Corp    (Oracle Corp) ORCL 53,408,000 1,105,064 0.28%
Anthem Inc    (Anthem Inc) ANTM 53,320,000 234,850 0.28%
SPDR S&P 500 ETF TRU    (SPDR S&P ETF TRUST) SPY 53,247,000 206,583 0.28%
Wells Fargo & Co    (Wells Fargo & Co) WFC 53,000,000 1,846,701 0.28%
H&R Block Inc    (H&R Block Inc) HRB 51,954,000 3,689,931 0.27%
LyondellBasell Indus    (LyondellBasell Industries NV) LALLF 51,322,000 1,034,101 0.27%
CenterPoint Energy I    (CenterPoint Energy Inc) CNP 51,294,000 3,320,001 0.27%
Archer-Daniels-Midla    (Archer-Daniels-Midland Co) ADM 51,248,000 1,456,725 0.27%
Colgate-Palmolive Co    (Colgate-Palmolive Co) CL 51,046,000 769,219 0.27%
Regions Financial Co    (Regions Financial Corp) RF 50,802,000 5,663,522 0.27%
Principal Financial    (Principal Financial Group Inc) PFG 50,645,000 1,616,001 0.26%
United Parcel Servic    (UNITED PARCEL SERVICE INC CLAS) UPS 50,265,000 538,050 0.26%
Kimberly-Clark Corp    (Kimberly-Clark Corp) KMB 49,140,000 384,300 0.26%
Electronic Arts Inc    (Electronic Arts Inc) ERTS 49,008,000 489,250 0.26%
Prudential Financial    (Prudential Financial Inc) PRU 48,975,000 939,301 0.26%
L Brands Inc    (L Brands Inc) LTD 48,964,000 4,235,601 0.26%
Weyerhaeuser Co    (Weyerhaeuser Co) WY 48,772,000 2,877,401 0.26%
Hanesbrands Inc    (Hanesbrands Inc) HBI 48,515,000 6,164,601 0.25%
KeyCorp    (KeyCorp) KEY 48,023,000 4,630,908 0.25%
JD.COM INC    (JD.COM ADR REPRESENTING INC C) JD 47,974,000 1,184,532 0.25%
Phillips 66    (Phillips 66) PSX 47,314,000 881,900 0.25%
Vornado Realty Trust    (Vornado Realty Trust) VNO 47,258,000 1,305,101 0.25%
Harley-Davidson Inc    (Harley-Davidson Inc) HOG 47,202,000 2,493,501 0.25%
Unum Group    (Unum Group) UNM 46,924,000 3,126,201 0.25%
PNC Financial Servic    (PNC Financial Services Group I) PNC 46,716,000 488,050 0.24%
Best Buy Co Inc    (Best Buy Co Inc) BBY 46,509,000 815,950 0.24%
Coca-Cola Co/The    (Coca-Cola Co/The) KO 46,419,000 1,049,024 0.24%
Welltower Inc    (Welltower Inc) HCN 46,252,000 1,010,301 0.24%
Invesco Ltd    (Invesco Ltd) IVZ 43,899,000 4,834,701 0.23%
AES Corp/VA    (AES Corp/VA) AES 43,230,000 3,178,650 0.23%
Coty Inc    (Coty Inc) COTY 43,006,000 8,334,501 0.22%
Kroger Co/The    (Kroger Co/The) KR 42,999,000 1,427,602 0.22%
CMS Energy Corp    (CMS Energy Corp) CMS 42,916,000 730,479 0.22%
Nucor Corp    (Nucor Corp) NUE 42,702,000 1,185,500 0.22%
Kimco Realty Corp    (Kimco Realty Corp) KIM 41,743,000 4,316,801 0.22%
Tapestry Inc    (Tapestry Inc) 41,686,000 3,219,001 0.22%
Ventas Inc    (Ventas Inc) VTR 41,146,000 1,535,301 0.21%
SL Green Realty Corp    (SL Green Realty Corp) SLG 40,553,000 940,901 0.21%
ViacomCBS Inc    (ViacomCBS Inc) 39,189,000 2,797,247 0.20%
Henry Schein Inc    (Henry Schein Inc) HSIC 37,782,000 747,858 0.20%
JOYY INC    (JOYY ADR INC) 37,638,000 706,677 0.20%
Royal Caribbean Crui    (Royal Caribbean Cruises Ltd) RCL 37,494,000 1,165,500 0.19%
Corteva Inc    (Corteva Inc) 37,126,000 1,579,850 0.19%
Gap Inc/The    (Gap Inc/The) GPS 35,019,000 4,974,301 0.18%
Nordstrom Inc    (Nordstrom Inc) JWN 34,848,000 2,271,701 0.18%
ISHARES MSCI ACWI ET    (ISHARES MSCI ACWI ETF) ACWI 34,593,000 552,870 0.18%
Exelon Corp    (Exelon Corp) EXC 34,495,000 937,101 0.18%
MasTec Inc    (MasTec Inc) MTZ 34,447,000 1,052,450 0.18%
United Technologies    (United Technologies Corp) UTX 33,386,000 619,100 0.17%
Schlumberger Ltd    (Schlumberger Ltd) SLB 33,130,000 2,455,901 0.17%
ISHARES INTERMEDIATE    (ISHARES INTERMEDIATE-TERM CORP) CIU 32,918,000 599,387 0.17%
GLOBAL X CLOUD COMPU    (GLOBAL X CLOUD COMPUTING ETF) 32,732,000 2,241,950 0.17%
Helmerich & Payne In    (Helmerich & Payne Inc) HP 32,555,000 2,080,201 0.17%
Campbell Soup Co    (Campbell Soup Co) CPB 31,130,000 674,404 0.16%
Semtech Corp    (Semtech Corp) SMTC 30,842,000 822,450 0.16%
Berry Global Group I    (Berry Global Group Inc) BERY 30,533,000 905,750 0.16%
INFOSYS LTD    (INFOSYS ADR REPRESENTING ONE L) INFY 28,415,000 3,461,007 0.15%
Kohl's Corp    (Kohl's Corp) KSS 28,175,000 1,931,101 0.15%
MOBIL'NYE TELESISTEM    (MOBILE TELESYSTEMS ADR REP) MBT 26,100,000 3,434,264 0.13%
Synovus Financial Co    (Synovus Financial Corp) SNV 25,949,000 1,477,750 0.13%
Macy's Inc    (MACYS INC) M 25,799,000 5,254,400 0.13%
INVESCO QQQ TRUST SE    (INVESCO QQQ TRUST SERIES) 25,725,000 135,113 0.13%
ONEOK Inc    (ONEOK Inc) OKE 25,601,000 1,173,801 0.13%
Robert Half Internat    (Robert Half International Inc) RHI 24,377,000 645,751 0.12%
Carnival Corp    (Carnival Corp) CCL 24,346,000 1,848,601 0.12%
Occidental Petroleum    (Occidental Petroleum Corp) OXY 24,095,000 2,080,701 0.12%
Dropbox Inc    (Dropbox Inc) 23,788,000 1,314,250 0.12%
SVB Financial Group    (SVB Financial Group) SIVB 23,726,000 157,037 0.12%
XTRACKERS HVST CSI 3    (XTRACKERS HVST CSI CHINA A-SH) ASHR 22,687,000 876,264 0.12%
AUTOHOME INC    (AUTOHOME ADR REPRESENTING INC ) ATHM 22,019,000 310,038 0.11%
TERNIUM SA    (TERNIUM ADR EACH REPRESENTING ) TX 21,937,000 1,843,485 0.11%
Spirit AeroSystems H    (Spirit AeroSystems Holdings In) SPR 20,571,000 859,650 0.10%
ISHARES FLOATING RAT    (ISHARES FLOATING RATE BOND ETF) FLOT 20,184,000 414,107 0.10%
DuPont de Nemours In    (DuPont de Nemours Inc) 19,923,000 584,250 0.10%
PNM Resources Inc    (PNM Resources Inc) PNM 18,426,000 484,900 0.09%
Helen of Troy Ltd    (Helen of Troy Ltd) HELE 17,903,000 124,300 0.09%
Foot Locker Inc    (Foot Locker Inc) FL 17,304,000 784,750 0.09%
FLIR Systems Inc    (FLIR Systems Inc) FLIR 17,287,000 542,097 0.09%
ISHARES MSCI EMERGIN    (ISHARES MSCI EMERGING MARKETS ) EEM 16,969,000 497,176 0.09%
Avnet Inc    (Avnet Inc) AVT 16,195,000 645,200 0.08%
Magellan Health Inc    (Magellan Health Inc) MGLN 15,434,000 320,800 0.08%
1 2 3 Next >Full Portfolio View
Total Value As 2020-03-31: 18,757,838,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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