Prudential Financial — Position History

Quarter-by-quarter 13F position matrix. Each cell shows the reported share count; New marks a fresh position, a dash means the position was fully exited that quarter.

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SymbolCompany Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023Q4 2023Q1 2024Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
IVV ISHARES TR 753.56K New 3.16M Add 2.59M Reduce 1.95M Reduce 1.82M Reduce 2.18M Add 2.48M Add 2.57M Add 2.51M Reduce 5.13M Add 2.50M Reduce 4.34M Add 4.80M Add 11.61M Add 9.25M Reduce 5.08M Reduce 6.47M Add 7.65M Add 7.89M Add 8.27M Add
NVDA NVIDIA CORPORATION 3.03M New 4.02M Add 3.24M Reduce 3.14M Reduce 2.98M Reduce 2.97M 3.84M Add 3.77M Reduce 3.67M Reduce 3.27M Reduce 3.05M Reduce 27.01M Add 26.48M Reduce 24.52M Reduce 24.19M Reduce 25.24M Add 24.21M Reduce 22.30M Reduce 21.55M Reduce 20.85M Reduce
AAPL APPLE INC 22.75M New 22.63M Reduce 22.38M Reduce 22.06M Reduce 21.12M Reduce 20.96M Reduce 21.31M Add 21.31M 20.31M Reduce 18.09M Reduce 17.19M Reduce 15.32M Reduce 16.09M Add 15.01M Reduce 14.93M Reduce 15.36M Add 14.84M Reduce 13.64M Reduce 13.29M Reduce 13.14M Reduce
DFUS DIMENSIONAL US EQ MKT ETF — — — — — — — 4.46K New 4.42K Reduce 8.15K Add 11.18K Add 17.85K Add 8.75M Add 26.38M Add 42.57M Add 45.11M Add 50.64M Add 44.47M Reduce 44.07M Reduce 39.75M Reduce
PAAA PGIM AAA CLO ETF — — — — — — — — 500.00K New 500.00K 500.00K 1.25M Add 1.87M Add 13.00M Add 20.20M Add 20.67M Add 30.90M Add 45.93M Add 44.28M Reduce 52.49M Add
MSFT MICROSOFT CORP 11.72M New 11.58M Reduce 11.31M Reduce 11.12M Reduce 10.89M Reduce 10.71M Reduce 10.77M Add 10.88M Add 10.69M Reduce 9.52M Reduce 9.14M Reduce 8.20M Reduce 7.64M Reduce 7.11M Reduce 7.38M Add 7.87M Add 7.70M Reduce 7.14M Reduce 6.95M Reduce 6.61M Reduce
AMZN AMAZON COM INC 621.03K New 620.52K 609.73K Reduce 11.99M Add 12.38M Add 11.86M Reduce 12.10M Add 12.59M Add 13.00M Add 11.90M Reduce 11.47M Reduce 10.29M Reduce 10.12M Reduce 9.56M Reduce 9.54M 9.38M Reduce 9.14M Reduce 8.56M Reduce 8.23M Reduce 8.93M Add
GOOGL ALPHABET INC 482.03K New 475.48K Reduce 462.71K Reduce 449.94K Reduce 8.62M Add 8.40M Reduce 8.53M Add 8.39M Reduce 8.58M Add 7.28M Reduce 7.40M Add 6.58M Reduce 6.44M Reduce 5.93M Reduce 5.86M Reduce 6.04M Add 5.97M Reduce 5.33M Reduce 5.43M Add 5.28M Reduce
GOOG ALPHABET INC 444.66K New 443.06K 427.71K Reduce 416.01K Reduce 8.11M Add 7.76M Reduce 7.70M Reduce 7.42M Reduce 7.48M Add 6.38M Reduce 6.13M Reduce 5.55M Reduce 5.39M Reduce 4.92M Reduce 4.82M Reduce 4.95M Add 4.90M Reduce 4.37M Reduce 4.39M 4.32M Reduce
AVGO BROADCOM INC 812.54K New 768.18K Reduce 747.53K Reduce 706.94K Reduce 729.48K Add 727.43K 688.28K Reduce 653.00K Reduce 478.69K Reduce 510.42K Add 452.30K Reduce 410.58K Reduce 4.50M Add 4.57M Add 4.98M Add 5.29M Add 5.08M Reduce 4.35M Reduce 4.30M Reduce 3.97M Reduce
PULS PGIM ULTRA SHORT BOND ETF 2.80M New 2.80M 2.50M Reduce 3.50M Add 3.50M 3.50M 2.60M Reduce 2.60M 2.60M 2.60M 3.09M Add 6.91M Add 14.56M Add 22.12M Add 21.95M Reduce 24.95M Add 24.95M 22.45M Reduce 22.45M 27.21M Add
LQD ISHARES TR 7.51M New 11.52M Add 7.39M Reduce 3.59M Reduce 13.28M Add 12.44M Reduce 12.46M 15.76M Add 7.15M Reduce 4.06M Reduce 10.71M Add 5.66M Reduce 2.86M Reduce 2.99M Add 1.68M Reduce 1.66M Reduce 1.66M 1.66M 10.60M Add 10.60M
MU MICRON TECHNOLOGY INC 1.11M New 1.04M Reduce 1.95M Add 2.71M Add 1.79M Reduce 1.01M Reduce 1.02M Add 1.00M Reduce 975.86K Reduce 1.03M Add 1.80M Add 1.09M Reduce 1.76M Add 1.31M Reduce 608.05K Reduce 879.27K Add 1.33M Add 1.16M Reduce 1.14M Reduce 979.99K Reduce
META META PLATFORMS INC. CLASS A 3.80M New 3.36M Reduce 3.33M Reduce 3.68M Add 3.71M Add 3.68M Reduce 3.61M Reduce 3.45M Reduce 3.06M Reduce 3.02M Reduce 2.67M Reduce 2.26M Reduce 2.26M 2.16M Reduce 2.19M Add 2.31M Add 2.24M Reduce 2.07M Reduce 2.01M Reduce 1.78M Reduce
VOO VANGUARD INDEX FDS 69.87K New 76.42K Add 94.15K Add 97.81K Add 98.10K 105.51K Add 117.17K Add 125.39K Add 142.47K Add 158.39K Add 158.68K 174.49K Add 181.62K Add 2.95K Reduce 2.95K 1.25K Reduce 172.68K Add 931.30K Add 1.45M Add 1.45M
TSLA TESLA INC 1.06M New 1.22M Add 1.30M Add 1.31M Add 4.01M Add 3.91M Reduce 3.92M 3.55M Reduce 3.67M Add 3.04M Reduce 3.05M 2.48M Reduce 2.62M Add 2.64M 2.40M Reduce 2.52M Add 2.45M Reduce 2.26M Reduce 2.18M Reduce 2.11M Reduce
LLY ELI LILLY & CO 814.64K New 816.22K 1.19M Add 1.24M Add 925.87K Reduce 945.74K Add 1.06M Add 1.01M Reduce 1.33M Add 895.90K Reduce 891.66K 878.63K Reduce 928.32K Add 850.02K Reduce 903.89K Add 816.46K Reduce 739.22K Reduce 753.25K Add 731.55K Reduce 734.15K
SPY STATE STR SPDR S&P 500 ETF T 867.55K New 1.72M Add 1.70M Reduce 2.01M Add 1.72M Reduce 1.89M Add 1.71M Reduce 1.68M Reduce 1.37M Reduce 1.27M Reduce 1.19M Reduce 832.44K Reduce 830.69K 792.50K Reduce 792.23K 789.40K 786.70K 784.13K 783.84K 1.05M Add
IWD ISHARES RUSSELL 1000 VALUE E 44.15K New 997.37K Add 1.32M Add 990.45K Reduce 970.20K Reduce 1.05M Add 1.04M 1.01M Reduce 615.99K Reduce 1.35M Add 1.52M Add 1.32M Reduce 1.94M Add 2.97M Add 2.65M Reduce 2.41M Reduce 3.81M Add 3.42M Reduce 3.74M Add 3.11M Reduce
AMD ADVANCED MICRO DEVICES INC 1.21M New 1.41M Add 1.72M Add 1.72M 1.43M Reduce 1.39M Reduce 1.46M Add 1.51M Add 1.49M Reduce 1.31M Reduce 1.36M Add 1.21M Reduce 1.12M Reduce 946.07K Reduce 1.12M Add 987.22K Reduce 1.14M Add 1.54M Add 1.14M Reduce 1.28M Add
BRKB BERKSHIRE HATHAWAY INC DEL 2.51M New 2.44M Reduce 2.49M Add 2.50M 2.44M Reduce 2.45M 2.45M 2.40M Reduce 2.38M Reduce 2.13M Reduce 2.06M Reduce 1.84M Reduce 1.82M Reduce 1.70M Reduce 1.70M 1.73M Add 1.66M Reduce 1.52M Reduce 1.47M Reduce 1.41M Reduce
PHYL PGIM ACTIVE HIGH YIELD BOND 625.00K New 625.00K 1.39M Add 1.53M Add 1.53M 1.53M 1.53M 1.53M 1.53M 1.38M Reduce 1.36M Reduce 1.09M Reduce 792.20K Reduce 1.25M Add 1.43M Add 1.90M Add 3.57M Add 13.33M Add 19.79M Add 19.75M
WELL WELLTOWER INC 2.96M New 2.82M Reduce 2.86M Add 3.34M Add 2.96M Reduce 3.52M Add 3.12M Reduce 3.00M Reduce 2.90M Reduce 2.73M Reduce 2.80M Add 2.57M Reduce 2.96M Add 2.78M Reduce 2.51M Reduce 2.77M Add 3.11M Add 2.93M Reduce 3.04M Add 3.03M
JPM JPMORGAN CHASE & CO 4.01M New 4.01M 4.02M 3.79M Reduce 3.88M Add 3.67M Reduce 3.73M Add 3.67M Reduce 3.63M Reduce 3.21M Reduce 3.34M Add 3.40M Add 3.18M Reduce 2.88M Reduce 2.73M Reduce 2.54M Reduce 2.86M Add 2.24M Reduce 2.23M Reduce 2.02M Reduce
AMAT APPLIED MATLS INC 2.28M New 1.53M Reduce 1.19M Reduce 1.07M Reduce 1.09M Add 794.01K Reduce 783.89K Reduce 971.87K Add 953.98K Reduce 1.20M Add 1.20M 1.04M Reduce 918.45K Reduce 657.97K Reduce 641.26K Reduce 667.14K Add 509.36K Reduce 509.86K 764.61K Add 912.38K Add
IEFA ISHARES TR 397.86K New 540.75K Add 661.87K Add 175.51K Reduce 161.08K Reduce 290.20K Add 498.92K Add 702.41K Add 810.96K Add 1.15M Add 1.06M Reduce 2.59M Add 5.18M Add 5.17M 3.61M Reduce 2.66M Reduce 2.79M Add 2.41M Reduce 5.32M Add 6.47M Add
INTC INTEL CORP 8.20M New 6.93M Reduce 6.23M Reduce 8.28M Add 8.88M Add 8.88M 3.99M Reduce 3.96M Reduce 8.23M Add 7.71M Reduce 7.46M Reduce 7.12M Reduce 2.87M Reduce 2.34M Reduce 2.34M 2.55M Add 2.57M Add 5.48M Add 2.89M Reduce 4.44M Add
DFAI DIMENSIONAL INTERNATIONAL CO — — — — — — — — — — — — — — 18.75M New 16.11M Reduce 16.11M 14.70M Reduce 11.26M Reduce 14.95M Add
PCS PGIM CORP BOND 0-5 YEAR ETF — — — — — — — — — — — — — — — — 650.00K New 3.57M Add 10.16M Add 12.16M Add
LRCX LAM RESEARCH CORP — — — — — — — — — — — — — 2.10M New 1.32M Reduce 1.37M Add 2.15M Add 1.76M Reduce 1.72M Reduce 1.40M Reduce
XOM EXXON MOBIL CORP 8.56M New 8.45M Reduce 7.35M Reduce 6.27M Reduce 6.02M Reduce 5.97M Reduce 6.71M Add 6.56M Reduce 6.16M Reduce 5.70M Reduce 5.50M Reduce 5.23M Reduce 4.93M Reduce 4.87M Reduce 3.91M Reduce 4.60M Add 5.31M Add 4.94M Reduce 4.19M Reduce 4.36M Add
PLD PROLOGIS INC. 3.05M New 2.96M Reduce 2.82M Reduce 3.28M Add 2.78M Reduce 3.55M Add 3.53M Reduce 3.09M Reduce 3.58M Add 3.86M Add 3.41M Reduce 3.45M Add 3.89M Add 3.88M 4.06M Add 3.10M Reduce 3.15M Add 4.43M Add 4.74M Add 4.39M Reduce
CAT CATERPILLAR INC 593.18K New 794.46K Add 786.53K Reduce 807.48K Add 678.11K Reduce 804.13K Add 839.73K Add 656.87K Reduce 758.02K Add 408.54K Reduce 373.01K Reduce 380.40K Add 341.94K Reduce 301.32K Reduce 274.56K Reduce 292.04K Add 299.92K Add 520.66K Add 517.96K Reduce 526.09K Add
JNJ JOHNSON & JOHNSON 4.68M New 4.34M Reduce 4.09M Reduce 3.56M Reduce 3.44M Reduce 3.81M Add 4.04M Add 4.27M Add 3.99M Reduce 3.69M Reduce 3.51M Reduce 3.23M Reduce 2.96M Reduce 2.81M Reduce 1.98M Reduce 2.03M Add 2.22M Add 2.27M Add 2.62M Add 2.21M Reduce
VIG VANGUARD SPECIALIZED FUNDS 33.05K New 39.98K Add 32.37K Reduce 210.32K Add 215.32K Add 215.26K 170.54K Reduce 77.29K Reduce 55.37K Reduce 48.45K Reduce 33.93K Reduce 17.98K Reduce 20.26K Add 1.60M Add 3.99M Add 4.07M Add 2.71M Reduce 2.70M 2.49M Reduce 2.31M Reduce
DFCF DIMENSIONAL CORE FIXED INC — — — — — — — — — — — — — — — — 10.43M New 9.46M Reduce 10.82M Add 12.88M Add
PCI PGIM CORPRT BOND 5-10 YR ETF — — — — — — — — — — — — — — — — 775.00K New 1.52M Add 10.87M Add 10.66M Reduce
ABBV ABBVIE INC 3.28M New 3.09M Reduce 2.83M Reduce 2.69M Reduce 2.47M Reduce 2.42M Reduce 2.45M Add 2.70M Add 2.99M Add 2.95M Reduce 2.55M Reduce 2.27M Reduce 2.11M Reduce 1.73M Reduce 1.70M Reduce 1.92M Add 1.86M Reduce 1.72M Reduce 1.80M Add 1.90M Add
VNQ VANGUARD INDEX FDS 3.63M New 4.00M Add 3.47M Reduce 3.48M 3.90M Add 4.30M Add 4.29M 4.34M Add 4.41M Add 4.24M Reduce 4.43M Add 4.83M Add 4.38M Reduce 4.16M Reduce 4.17M 4.26M Add 4.68M Add 4.85M Add 4.20M Reduce 4.92M Add
IWF ISHARES TR 1.09M New 815.76K Reduce 814.75K 1.10M Add 704.97K Reduce 866.36K Add 724.70K Reduce 584.15K Reduce 508.97K Reduce 913.44K Add 755.77K Reduce 815.77K Add 413.69K Reduce 831.20K Add 725.07K Reduce 669.83K Reduce 755.86K Add 469.83K Reduce 537.25K Add 3.66M Add
MA MASTERCARD INCORPORATED 1.17M New 1.22M Add 1.31M Add 1.47M Add 1.49M Add 1.30M Reduce 1.32M Add 1.33M Add 1.37M Add 852.45K Reduce 1.03M Add 963.39K Reduce 955.25K Reduce 875.56K Reduce 946.82K Add 1.03M Add 1.04M Add 974.47K Reduce 959.36K Reduce 874.33K Reduce
V VISA INC 2.96M New 2.70M Reduce 2.83M Add 2.82M Reduce 2.58M Reduce 2.47M Reduce 2.64M Add 2.38M Reduce 2.43M Add 2.37M Reduce 2.03M Reduce 1.72M Reduce 1.56M Reduce 1.46M Reduce 1.64M Add 1.80M Add 1.48M Reduce 1.27M Reduce 1.09M Reduce 1.22M Add
EQIX EQUINIX INC 205.74K New 210.94K Add 192.20K Reduce 232.89K Add 241.37K Add 325.15K Add 318.88K Reduce 266.56K Reduce 261.08K Reduce 393.04K Add 336.17K Reduce 312.95K Reduce 359.67K Add 422.63K Add 534.47K Add 425.94K Reduce 314.14K Reduce 360.00K Add 391.80K Add 392.56K
CSCO CISCO SYS INC 5.52M New 5.37M Reduce 5.04M Reduce 6.39M Add 7.27M Add 7.49M Add 7.95M Add 7.75M Reduce 7.29M Reduce 5.56M Reduce 4.51M Reduce 3.25M Reduce 4.86M Add 5.21M Add 5.40M Add 5.99M Add 5.73M Reduce 3.70M Reduce 2.94M Reduce 3.15M Add
C CITIGROUP INC 4.81M New 3.81M Reduce 2.88M Reduce 3.66M Add 4.24M Add 4.60M Add 4.78M Add 4.77M 4.18M Reduce 3.29M Reduce 1.69M Reduce 1.31M Reduce 1.64M Add 2.21M Add 2.54M Add 1.84M Reduce 1.50M Reduce 2.45M Add 2.76M Add 2.58M Reduce
UNH UNITEDHEALTH GROUP INCORPORATED 1.50M New 1.40M Reduce 1.50M Add 1.55M Add 1.50M Reduce 1.52M Add 1.54M Add 1.24M Reduce 1.20M Reduce 1.06M Reduce 977.93K Reduce 873.89K Reduce 890.11K Add 806.76K Reduce 859.46K Add 743.74K Reduce 677.76K Reduce 822.09K Add 844.66K Add 866.27K Add
SNDK SANDISK CORP — — — — — — — — — — — — — — 110.76K New 132.37K Add 131.65K Reduce 229.43K Add 174.36K Reduce 148.69K Reduce
COST COSTCO WHOLESALE CORPORATION 413.64K New 427.86K Add 691.40K Add 744.98K Add 648.20K Reduce 629.00K Reduce 695.99K Add 669.72K Reduce 527.29K Reduce 493.05K Reduce 462.35K Reduce 393.07K Reduce 385.40K Reduce 386.38K 357.07K Reduce 393.84K Add 392.13K 416.85K Add 440.30K Add 353.76K Reduce
GEV GE VERNOVA INC — — — — — — — — — — — 189.59K New 191.18K Add 166.58K Reduce 179.75K Add 370.54K Add 368.64K Reduce 333.42K Reduce 291.37K Reduce 275.55K Reduce
SPG SIMON PPTY GROUP INC NEW 1.44M New 1.24M Reduce 1.46M Add 1.11M Reduce 975.45K Reduce 1.01M Add 768.68K Reduce 853.48K Add 1.43M Add 1.48M Add 1.47M Reduce 1.12M Reduce 1.43M Add 1.34M Reduce 1.24M Reduce 1.28M Add 1.45M Add 1.40M Reduce 1.54M Add 1.44M Reduce
BAC BANK OF AMER CORP 8.16M New 8.89M Add 9.69M Add 9.69M 9.63M Reduce 9.50M Reduce 9.41M Reduce 8.87M Reduce 10.15M Add 11.77M Add 8.82M Reduce 5.46M Reduce 5.50M Add 6.25M Add 5.54M Reduce 5.74M Add 5.80M Add 5.34M Reduce 4.18M Reduce 5.61M Add
WMT WALMART INC 2.39M New 2.32M Reduce 1.88M Reduce 1.43M Reduce 1.43M 1.69M Add 1.65M Reduce 1.82M Add 2.01M Add 1.39M Reduce 4.42M Add 3.64M Reduce 4.06M Add 4.77M Add 3.48M Reduce 3.66M Add 3.38M Reduce 2.97M Reduce 2.94M Reduce 2.80M Reduce
KLAC KLA CORP 279.61K New 181.68K Reduce 369.32K Add 209.26K Reduce 144.22K Reduce 160.73K Add 157.39K Reduce 143.83K Reduce 188.73K Add 105.25K Reduce 100.92K Reduce 89.79K Reduce 88.96K Reduce 78.17K Reduce 79.13K Add 98.08K Add 81.77K Reduce 116.56K Add 99.30K Reduce 954.53K Add
CVX CHEVRON CORPORATION 2.55M New 3.19M Add 2.89M Reduce 3.17M Add 2.98M Reduce 2.79M Reduce 2.40M Reduce 2.06M Reduce 2.34M Add 1.73M Reduce 1.73M 2.10M Add 1.51M Reduce 1.22M Reduce 1.92M Add 1.88M Reduce 2.02M Add 1.74M Reduce 1.73M 1.64M Reduce
MS MORGAN STANLEY 1.60M New 2.94M Add 2.36M Reduce 2.48M Add 1.80M Reduce 1.78M Reduce 1.81M Add 1.34M Reduce 1.40M Add 1.57M Add 933.37K Reduce 1.47M Add 1.43M Reduce 1.49M Add 1.61M Add 1.08M Reduce 1.54M Add 1.74M Add 1.82M Add 1.27M Reduce
WFC WELLS FARGO & CO 8.78M New 8.44M Reduce 7.97M Reduce 8.08M Add 7.84M Reduce 7.54M Reduce 7.75M Add 7.28M Reduce 7.00M Reduce 6.83M Reduce 5.29M Reduce 4.71M Reduce 4.53M Reduce 2.30M Reduce 3.15M Add 2.83M Reduce 3.89M Add 3.76M Reduce 3.15M Reduce 3.20M Add
DLR DIGITAL RLTY TR INC 778.25K New 730.01K Reduce 517.90K Reduce 908.18K Add 981.35K Add 1.09M Add 1.47M Add 1.46M Reduce 1.72M Add 696.46K Reduce 1.37M Add 1.49M Add 1.57M Add 1.34M Reduce 779.10K Reduce 1.46M Add 1.40M Reduce 981.51K Reduce 1.05M Add 1.47M Add
WDC WESTERN DIGITAL CORP 1.51M New 1.25M Reduce 375.23K Reduce 542.90K Add 449.74K Reduce 404.92K Reduce 370.53K Reduce 319.37K Reduce 276.08K Reduce 230.56K Reduce 322.05K Add 377.40K Add 205.06K Reduce 185.86K Reduce 182.87K Reduce 230.83K Add 464.03K Add 1.02M Add 616.64K Reduce 408.97K Reduce
ADI ANALOG DEVICES INC 457.67K New 587.90K Add 455.19K Reduce 467.49K Add 444.18K Reduce 671.13K Add 619.26K Reduce 456.41K Reduce 447.46K Reduce 373.16K Reduce 361.36K Reduce 571.77K Add 349.78K Reduce 269.40K Reduce 900.73K Add 960.06K Add 788.60K Reduce 768.84K Reduce 643.86K Reduce 639.48K Reduce
BK BANK OF NY MELLON CORP 916.41K New 877.63K Reduce 1.05M Add 1.90M Add 1.74M Reduce 2.11M Add 2.89M Add 3.09M Add 3.08M 2.60M Reduce 2.37M Reduce 2.17M Reduce 1.91M Reduce 1.95M Add 1.56M Reduce 1.76M Add 1.86M Add 1.88M Add 1.93M Add 1.75M Reduce
IRM IRON MTN INC DEL 245.94K New 250.67K Add 249.43K 246.40K Reduce 474.81K Add 256.94K Reduce 470.71K Add 1.31M Add 1.24M Reduce 2.23M Add 1.86M Reduce 2.10M Add 1.61M Reduce 1.36M Reduce 1.34M Reduce 1.95M Add 2.11M Add 2.31M Add 2.42M Add 1.97M Reduce
VZ VERIZON COMMUNICATIONS INC. 8.08M New 7.76M Reduce 7.10M Reduce 6.94M Reduce 7.05M Add 5.85M Reduce 4.73M Reduce 4.65M Reduce 5.92M Add 5.69M Reduce 6.20M Add 5.41M Reduce 5.29M Reduce 5.15M Reduce 4.71M Reduce 3.87M Reduce 4.07M Add 6.12M Add 5.72M Reduce 5.86M Add
MRK MERCK & CO INC 2.45M New 4.65M Add 4.75M Add 4.84M Add 4.42M Reduce 4.47M Add 4.59M Add 4.26M Reduce 3.29M Reduce 3.76M Add 4.10M Add 3.68M Reduce 3.40M Reduce 2.65M Reduce 3.35M Add 3.83M Add 3.58M Reduce 2.12M Reduce 1.96M Reduce 1.91M Reduce
TIP ISHARES TR 200.54K New 462.88K Add 419.35K Reduce 413.78K Reduce 298.75K Reduce 237.30K Reduce 212.11K Reduce 217.75K Add 149.73K Reduce 287.98K Add 269.21K Reduce 361.88K Add 362.24K 110.95K Reduce 16.01K Reduce 248.91K Add 243.73K Reduce 243.73K 243.73K 2.20M Add
SCHW SCHWAB CHARLES CORP 1.29M New 1.32M Add 1.30M Reduce 1.57M Add 2.58M Add 2.87M Add 1.37M Reduce 1.31M Reduce 1.31M Reduce 1.09M Reduce 1.06M Reduce 935.94K Reduce 919.69K Reduce 813.56K Reduce 914.46K Add 1.17M Add 1.67M Add 2.29M Add 2.53M Add 2.60M Add
DIS DISNEY WALT CO 1.96M New 1.96M 3.08M Add 2.72M Reduce 3.18M Add 3.13M Reduce 2.16M Reduce 1.80M Reduce 1.75M Reduce 1.49M Reduce 2.37M Add 1.91M Reduce 1.61M Reduce 2.26M Add 2.62M Add 2.68M Add 2.24M Reduce 2.19M Reduce 1.96M Reduce 2.49M Add
PG PROCTER & GAMBLE CO 3.58M New 3.51M Reduce 3.63M Add 3.43M Reduce 3.37M Reduce 3.38M 3.51M Add 3.54M Add 3.38M Reduce 3.22M Reduce 2.84M Reduce 2.16M Reduce 2.08M Reduce 2.03M Reduce 1.82M Reduce 1.83M 1.70M Reduce 1.79M Add 1.73M Reduce 1.62M Reduce
HWM HOWMET AEROSPACE INC 598.80K New 368.79K Reduce 329.64K Reduce 2.32M Add 2.27M Reduce 1.47M Reduce 1.77M Add 2.45M Add 1.90M Reduce 2.22M Add 1.83M Reduce 1.19M Reduce 1.01M Reduce 530.80K Reduce 476.16K Reduce 522.04K Add 484.74K Reduce 438.86K Reduce 584.52K Add 880.09K Add
EXR EXTRA SPACE STORAGE INC 692.33K New 646.79K Reduce 564.45K Reduce 406.55K Reduce 288.45K Reduce 336.83K Add 329.01K Reduce 231.88K Reduce 807.67K Add 764.74K Reduce 458.78K Reduce 368.74K Reduce 1.12M Add 1.44M Add 1.13M Reduce 671.23K Reduce 473.29K Reduce 253.01K Reduce 1.32M Add 1.62M Add
GE GE AEROSPACE 1.62M New 957.20K Reduce 949.60K Reduce 952.71K 958.76K Add 1.19M Add 1.34M Add 2.34M Add 2.18M Reduce 2.00M Reduce 1.64M Reduce 1.46M Reduce 783.89K Reduce 1.37M Add 1.39M Add 1.26M Reduce 1.50M Add 1.42M Reduce 937.95K Reduce 626.22K Reduce
RTX RTX CORPORATION 2.24M New 2.74M Add 2.81M Add 2.34M Reduce 1.71M Reduce 1.46M Reduce 2.96M Add 2.76M Reduce 1.33M Reduce 1.30M Reduce 1.01M Reduce 899.39K Reduce 1.51M Add 1.09M Reduce 1.01M Reduce 848.62K Reduce 830.93K Reduce 1.09M Add 1.41M Add 1.22M Reduce
HD HOME DEPOT INC 1.33M New 1.31M Reduce 1.34M Add 1.36M Add 1.35M Reduce 1.35M 1.32M Reduce 1.19M Reduce 1.16M Reduce 1.06M Reduce 1.17M Add 1.01M Reduce 1.03M Add 863.94K Reduce 946.44K Add 1.05M Add 979.02K Reduce 671.39K Reduce 650.70K Reduce 647.98K
TXN TEXAS INSTRS INC 1.63M New 1.11M Reduce 1.11M 888.07K Reduce 838.34K Reduce 851.48K Add 864.61K Add 856.66K Reduce 839.50K Reduce 697.02K Reduce 675.15K Reduce 603.72K Reduce 606.94K Add 526.15K Reduce 512.71K Reduce 757.26K Add 514.27K Reduce 521.75K Add 514.82K Reduce 761.11K Add
GILD GILEAD SCIENCES INC 1.95M New 1.66M Reduce 2.17M Add 2.69M Add 2.71M Add 2.13M Reduce 2.11M Reduce 2.05M Reduce 1.28M Reduce 1.40M Add 914.87K Reduce 854.25K Reduce 1.03M Add 981.25K Reduce 1.22M Add 1.71M Add 2.35M Add 2.03M Reduce 1.28M Reduce 1.76M Add
DHR DANAHER CORP DEL 1.35M New 1.04M Reduce 1.10M Add 1.11M Add 871.05K Reduce 824.62K Reduce 674.95K Reduce 655.38K Reduce 624.10K Reduce 513.92K Reduce 504.60K Reduce 801.77K Add 855.33K Add 882.31K Add 983.71K Add 830.82K Reduce 719.78K Reduce 585.37K Reduce 1.09M Add 1.12M Add
EFA ISHARES TR 1.85M New 1.95M Add 2.24M Add 2.72M Add 2.31M Reduce 2.24M Reduce 1.88M Reduce 2.09M Add 1.95M Reduce 1.99M Add 2.03M Add 1.99M Reduce 1.83M Reduce 1.84M 2.73M Add 2.43M Reduce 2.40M Reduce 2.15M Reduce 1.96M Reduce 2.03M Add
AMGN AMGEN INC 563.15K New 565.57K 515.07K Reduce 487.68K Reduce 578.26K Add 571.65K Reduce 640.67K Add 707.66K Add 874.67K Add 525.37K Reduce 519.35K Reduce 635.30K Add 645.54K Add 615.78K Reduce 721.87K Add 743.43K Add 675.65K Reduce 662.95K Reduce 550.33K Reduce 578.47K Add
PM PHILIP MORRIS INTL INC 1.41M New 1.43M Add 1.65M Add 1.61M Reduce 2.47M Add 1.92M Reduce 1.97M Add 1.82M Reduce 1.73M Reduce 1.34M Reduce 1.19M Reduce 1.19M Reduce 1.14M Reduce 1.11M Reduce 1.13M Add 2.14M Add 1.23M Reduce 909.46K Reduce 1.42M Add 1.16M Reduce
ORCL ORACLE CORP 2.40M New 2.54M Add 3.27M Add 2.89M Reduce 2.37M Reduce 1.77M Reduce 1.55M Reduce 1.54M Reduce 1.53M 1.30M Reduce 1.34M Add 1.27M Reduce 1.38M Add 1.35M Reduce 1.05M Reduce 1.93M Add 1.50M Reduce 1.21M Reduce 1.15M Reduce 1.42M Add
COP CONOCOPHILLIPS 2.82M New 1.70M Reduce 1.52M Reduce 2.59M Add 2.55M Reduce 2.40M Reduce 2.18M Reduce 2.02M Reduce 1.26M Reduce 1.95M Add 1.77M Reduce 1.70M Reduce 1.66M Reduce 1.69M Add 1.96M Add 1.18M Reduce 2.09M Add 1.83M Reduce 1.84M Add 1.97M Add
GS GOLDMAN SACHS GROUP INC 856.59K New 835.12K Reduce 750.61K Reduce 763.28K Add 743.20K Reduce 695.31K Reduce 658.75K Reduce 528.72K Reduce 349.72K Reduce 285.34K Reduce 498.87K Add 517.71K Add 504.06K Reduce 271.71K Reduce 264.37K Reduce 278.69K Add 212.04K Reduce 198.01K Reduce 206.65K Add 199.71K Reduce
NFLX NETFLIX INC. 587.10K New 812.87K Add 758.70K Reduce 715.94K Reduce 427.42K Reduce 744.40K Add 908.49K Add 880.98K Reduce 873.38K Reduce 674.95K Reduce 484.67K Reduce 603.66K Add 604.72K 460.81K Reduce 438.42K Reduce 453.77K Add 408.44K Reduce 3.54M Add 3.44M Reduce 2.79M Reduce
KO COCA COLA CO 7.59M New 7.64M Add 6.64M Reduce 6.66M 6.16M Reduce 5.90M Reduce 6.71M Add 6.85M Add 6.97M Add 6.50M Reduce 6.25M Reduce 5.10M Reduce 4.48M Reduce 4.21M Reduce 5.03M Add 4.39M Reduce 2.75M Reduce 2.48M Reduce 2.56M Add 2.42M Reduce
AHR AMERICAN HEALTHCARE REIT INC — — — — — — — — — — 3.03M New 3.09M Add 3.10M 3.52M Add 2.59M Reduce 2.73M Add 4.07M Add 3.45M Reduce 3.52M Add 3.64M Add
PFE PFIZER INC 9.14M New 9.59M Add 9.72M Add 10.17M Add 10.17M 9.10M Reduce 9.48M Add 7.78M Reduce 6.47M Reduce 6.40M Reduce 4.37M Reduce 3.94M Reduce 4.13M Add 6.93M Add 5.97M Reduce 7.24M Add 9.53M Add 6.49M Reduce 5.97M Reduce 7.72M Add
MRVL MARVELL TECHNOLOGY INC 37.23K New 41.61K Add 45.78K Add 34.94K Reduce 34.89K 34.48K Reduce 49.67K Add 1.14M Add 58.83K Reduce 80.55K Add 123.32K Add 88.06K Reduce 72.88K Reduce 806.03K Add 295.83K Reduce 241.13K Reduce 69.81K Reduce 215.06K Add 219.61K Add 621.16K Add
GD GENERAL DYNAMICS CORP 951.17K New 898.74K Reduce 566.65K Reduce 545.04K Reduce 528.38K Reduce 654.22K Add 662.12K Add 307.26K Reduce 218.93K Reduce 174.13K Reduce 245.90K Add 173.80K Reduce 372.53K Add 149.82K Reduce 180.78K Add 438.31K Add 631.26K Add 629.24K 437.34K Reduce 508.20K Add
CMI CUMMINS INC 672.49K New 642.64K Reduce 196.36K Reduce 145.71K Reduce 121.92K Reduce 126.06K Add 127.75K Add 129.69K Add 125.56K Reduce 143.16K Add 150.20K Add 185.94K Add 183.57K Reduce 167.52K Reduce 235.87K Add 131.92K Reduce 96.52K Reduce 109.97K Add 284.81K Add 248.18K Reduce
EQR EQUITY RESIDENTIAL 1.66M New 2.10M Add 2.37M Add 2.47M Add 2.30M Reduce 1.75M Reduce 2.12M Add 2.14M Add 2.91M Add 2.00M Reduce 3.27M Add 3.03M Reduce 1.35M Reduce 1.07M Reduce 231.15K Reduce 1.91M Add 879.43K Reduce 915.05K Add 2.44M Add 2.51M Add
APH AMPHENOL CORP 534.03K New 544.49K Add 592.99K Add 535.98K Reduce 570.45K Add 651.54K Add 622.60K Reduce 526.35K Reduce 522.94K Reduce 429.77K Reduce 484.88K Add 1.38M Add 1.29M Reduce 1.32M Add 646.19K Reduce 932.22K Add 1.34M Add 852.81K Reduce 850.38K 927.83K Add
TJX TJX COS INC NEW 1.40M New 2.51M Add 1.22M Reduce 1.15M Reduce 1.24M Add 1.48M Add 1.32M Reduce 1.61M Add 1.69M Add 1.45M Reduce 984.41K Reduce 734.08K Reduce 886.62K Add 731.54K Reduce 778.31K Add 1.08M Add 1.57M Add 1.38M Reduce 1.12M Reduce 1.07M Reduce
PANW PALO ALTO NETWORKS INC 5.37K New 5.21K Reduce 5.42K Add 5.96K Add 18.87K Add 21.36K Add 481.54K Add 478.04K Reduce 266.27K Reduce 222.31K Reduce 219.44K Reduce 201.09K Reduce 199.91K Reduce 338.69K Add 839.81K Add 376.94K Reduce 364.36K Reduce 328.67K Reduce 378.00K Add 472.88K Add
FR FIRST INDL RLTY TR INC 618.82K New 790.61K Add 920.67K Add 307.50K Reduce 519.82K Add 288.38K Reduce 501.91K Add 549.82K Add 462.14K Reduce 209.67K Reduce 821.92K Add 1.05M Add 269.16K Reduce 792.59K Add 2.03M Add 2.62M Add 2.64M Add 2.13M Reduce 2.79M Add 2.61M Reduce
TER TERADYNE INC 228.42K New 143.59K Reduce 139.57K Reduce 146.55K Add 133.59K Reduce 135.83K Add 136.45K 134.01K Reduce 132.75K Reduce 108.53K Reduce 136.47K Add 694.28K Add 780.81K Add 98.58K Reduce 334.75K Add 211.32K Reduce 134.65K Reduce 149.42K Add 399.58K Add 324.52K Reduce
CVS CVS HEALTH CORP 2.17M New 2.17M 2.57M Add 2.43M Reduce 2.63M Add 2.53M Reduce 2.40M Reduce 2.70M Add 1.68M Reduce 1.09M Reduce 955.91K Reduce 867.04K Reduce 839.58K Reduce 823.41K Reduce 861.88K Add 1.05M Add 1.52M Add 2.33M Add 2.45M Add 1.51M Reduce
NEE NEXTERA ENERGY INC 1.82M New 1.87M Add 2.12M Add 1.93M Reduce 1.94M Add 2.45M Add 2.04M Reduce 2.75M Add 2.04M Reduce 1.72M Reduce 2.41M Add 1.46M Reduce 1.45M Reduce 2.04M Add 1.17M Reduce 1.58M Add 1.51M Reduce 1.34M Reduce 1.39M Add 1.74M Add
SPYG SPDR SERIES TRUST — — — 240.97K New 226.81K Reduce 229.58K Add 374.34K Add 504.47K Add 716.91K Add 882.28K Add 939.23K Add 997.87K Add 883.32K Reduce 1.34M Add 1.20M Reduce 1.20M Reduce 1.24M Add 1.20M Reduce 1.20M 1.27M Add
PEP PEPSICO INC 2.56M New 2.47M Reduce 2.22M Reduce 2.32M Add 2.51M Add 2.46M Reduce 2.38M Reduce 2.27M Reduce 2.07M Reduce 1.85M Reduce 1.29M Reduce 1.41M Add 1.34M Reduce 872.26K Reduce 812.82K Reduce 862.88K Add 831.86K Reduce 893.30K Add 1.06M Add 1.11M Add
NTRS NORTHERN TR CORP 388.25K New 864.73K Add 183.52K Reduce 180.37K Reduce 180.78K 187.47K Add 188.10K 180.94K Reduce 185.34K Add 153.44K Reduce 163.80K Add 341.27K Add 136.71K Reduce 123.99K Reduce 128.30K Add 134.19K Add 829.41K Add 393.43K Reduce 628.51K Add 850.17K Add
PLTR PALANTIR TECHNOLOGIES INC 36.54K New 34.91K Reduce 34.79K 38.78K Add 48.29K Add 50.36K Add 51.71K Add 53.26K Add 59.26K Add 96.48K Add 64.97K Reduce 55.62K Reduce 1.19M Add 1.71M Add 1.39M Reduce 1.77M Add 2.02M Add 2.06M Add 1.43M Reduce 1.26M Reduce

Showing the top 100 positions by latest reported value.