Prudential Plc Portfolio Stock Holdings

According to the SEC 13F filed on August 14, 2026, Prudential Plc disclosed 671 stock positions valued at approximately $18.36B as of quarter-end June 30, 2026. The largest holdings include ISHARES TR, VANGUARD SCOTTSDALE FDS, and NVIDIA CORPORATION.

Report Period
June 30, 2026
No. of Stocks
671
Portfolio Value
$18.36B
Holdings by Sector
Prudential Plc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
ISHARES TRUSHYOther13.07%64,814,347+3,355,890+5.46%$2,399,427,126
VANGUARD SCOTTSDALE FDSVCSHOther5.04%11,709,337-1,297,597-9.98%$925,388,903
NVIDIA CORPORATIONNVDATechnology2.82%2,584,433+82,524+3.30%$517,119,200
APPLE INCAAPLTechnology2.44%1,549,367+72,998+4.94%$448,324,835
VANGUARD SCOTTSDALE FDSVCITOther2.41%5,359,255-12,117,521-69.33%$442,942,426
VANECK ETF TRUSTSMHOther1.69%472,312+318,842+207.76%$309,784,718
MICROSOFT CORPMSFTTechnology1.53%754,177+33,366+4.63%$281,323,104
ISHARES TRIVVOther1.39%339,989-17,955-5.02%$254,614,362
ALPHABET INCGOOGCommunication Services1.31%679,083-138,974-16.99%$239,940,396
AMAZON COM INCAMZNConsumer Cyclical1.24%953,710+57,402+6.40%$227,307,242
ISHARES TRACWIOther1.17%1,365,357+17,360+1.29%$214,320,088
BROADCOM INCAVGOTechnology1.16%563,854+28,248+5.27%$212,995,848
SEA LTDSEConsumer Cyclical1.14%2,187,767-77,251-3.41%$209,653,712
MICRON TECHNOLOGY INCMUTechnology0.96%152,346+10,274+7.23%$175,851,464
ISHARES TRIGLBOther0.88%3,243,485+54,399+1.71%$162,303,989
FIRST TR EXCHANGE-TRADED FDGRIDOther0.85%809,658+755,358+1391.08%$155,251,922
ISHARES INCEWYOther0.84%765,782+749,018+4468.01%$154,611,386
SPDR GOLD TRGLDOther0.72%360,731+4,710+1.32%$132,957,507
ALPHABET INCGOOGLCommunication Services0.72%368,131+163,283+79.71%$131,558,976
META PLATFORMS INCMETACommunication Services0.70%226,659+15,992+7.59%$127,674,748
ANGLOGOLD ASHANTI PLCAUOther0.69%15,628+1,200+8.32%$126,584,592
TESLA INCTSLAConsumer Cyclical0.64%281,294+16,007+6.03%$118,312,257
PDD HOLDINGS INCPDDConsumer Cyclical0.59%1,427,305-193,273-11.93%$108,874,825
JPMORGAN CHASE & COJPMFinancial Services0.56%315,680+42,894+15.72%$103,331,534
JOHNSON & JOHNSONJNJHealthcare0.55%400,991+52,673+15.12%$101,839,684
ADVANCED MICRO DEVICES INCAMDTechnology0.50%157,485+12,994+8.99%$91,484,612
KLA CORPKLACTechnology0.50%301,400+268,165+806.88%$90,935,395
ELI LILLY & COLLYHealthcare0.50%75,814+5,184+7.34%$90,933,585
VANGUARD INDEX FDSVOOOther0.45%119,532+29,000+32.03%$82,095,773
ISHARES TRMCHIOther0.44%1,595,100+1,589,100+26485.00%$81,389,978
Showing 30 of 671 holdings in the latest reporting period.