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Overall Morningstar Rating TM
Barron’s Best Fund Families 2024

Barron’s Best Fund Families: Ranked #4 for best fund family over the 1-year period ended 12/31/2024, among 48 qualifying fund families based on asset- weighted returns.

Objective

Seeks long-term outperformance of the Standard & Poor's 500 Index by investing in large-cap companies. The Fund may be appropriate for investors looking for a core holding that provides broad exposure to large-cap stocks. 

Growth of $10,000

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost. This chart represents historical performance and does not assume the effects of sales charges or varying fees and expenses of other share classes. If shown with sales charges or these other fees and expenses, performance could have been lower. It is not possible to invest directly in an index. Click here to view benchmark index definitions.

FUND INFORMATION
Style: Large Blend
Total Net Assets: $946 Million
Dividends (Paid): Annually
Dividends (Accrued):
Capital Gains: Annually
Fund Statistics
AS OF 07/31/2025
Name
Weight
Avg Weighted Market Cap ($mil)
Beta (3 year) 1.03
P/E (Price/Earnings) Ratio 25.10
Standard Deviation (3 year) 15.75
Turnover Ratio (12-month %) 113.00

Morningstar Ratings

AS OF 07/31/2025
Class A Shares
Overall (Out of 1268 Funds)
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3-Year (Out of 1268 Funds)
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5-Year (Out of 1161 Funds)
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10-Year (Out of 898 Funds)
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Class C Shares
Overall (Out of 1268 Funds)
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3-Year (Out of 1268 Funds)
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5-Year (Out of 1161 Funds)
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10-Year (Out of 898 Funds)
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Class R6 Shares
Overall (Out of 1268 Funds)
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3-Year (Out of 1268 Funds)
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5-Year (Out of 1161 Funds)
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10-Year (Out of 898 Funds)
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Class Z Shares
Overall (Out of 1268 Funds)
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3-Year (Out of 1268 Funds)
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5-Year (Out of 1161 Funds)
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10-Year (Out of 898 Funds)
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Source: Morningstar. Morningstar Ratings may be calculated based on share class adjusted historical returns. If so, the fund’s independent Morningstar Rating metric uses the fund’s oldest class to determine its hypothetical rating for certain periods. Morningstar Ratings are calculated for managed products with a 3-year minimum history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. Rating is calculated based on a Morningstar Risk-Adjusted Return measure accounting for variation in a managed product's monthly excess performance that emphasizes downward variations more and rewards consistent performance, with no sales load adjustment. In each category, the top 10% receive 5 stars, with 4 stars for the next 22.5%, 3 stars for the next 35%, 2 stars for the next 22.5%, and 1 star for the bottom 10%. Overall Morningstar Rating is derived from a weighted average of the performance associated with its 3-, 5-, and 10-year (if applicable) Morningstar Rating metrics: for 36-59 months of total returns, 100% 3-year rating, for 60-119 months of total returns, 60% 5-year rating/40% 3-year rating, and for 120 or more months of total returns, 50% 10-year rating/30% 5-year rating/20% 3-year rating.

Barron's Information: PGIM Investments ranked 4 out of 48, 8 out of 47, 12 out of 46 firms for the 1-, 5-, and 10-year periods ended 12/31/2024, respectively.

PGIM Quant Solutions Large-Cap Core Fund (Class Z) Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 12/31/2024 for the Large-Cap Core Funds category were: 116/682, 72/620, 244/569, and 202/435, respectively. Lipper Funds category rankings are based on total return, do not take sales charges into account, and are calculated against all funds in each fund’s respective Lipper category. 

Class Z Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 6/30/2025: 434/664, 287/611, 206/561, and 209/431, respectively. Past Performance is no guarantee of future results.

*Used with permission. © 2025 Dow Jones & Company, Inc. Source: Barron’s, Feb. 27, 2025. Barron’s rankings are based on asset-weighted returns in funds in five categories: U.S. Equity; World Equity; Mixed Asset; Taxable Bond; and Tax-Exempt (each a “Barron’s ranking category”). Rankings also take into account an individual fund’s performance within its Lipper peer universe. Lipper calculated each fund’s net total return for the year ended Dec. 31, 2024, minus the effects of 12b-1 fees and sales charges. Each fund in the survey was given a percentile ranking, with 100 the highest and 1 the lowest in its category. That ranking measured how a fund compared with its peer “universe,” as tracked by Lipper, not just the funds in the survey. Individual fund scores were then multiplied by the 2024 weighting of their Barron’s ranking category as determined by the entire Lipper universe of funds. Those fund scores were then totaled, creating an overall score and ranking for each fund family in the survey in each Barron’s ranking category. To qualify for the ranking, firms must offer at least three active mutual funds or actively run ETFs in Lipper’s general U.S. Stock category; one in World Equity; and one Mixed Asset. They also need to offer at least two taxable bond funds and one national tax-exempt bond fund. All funds must have a track record of at least one year.

Risks of investing in the fund include but are not limited to the following: Large-capitalization companies go in and out of favor based on market and economic conditions; the Fund’s value may not rise or fall as much as the value of funds that emphasize companies with smaller market capitalizations. The Fund's blend investment style may subject the Fund to the risks of both value and growth investing. Equity and equity-related securities may be subject to changes in value, and their values may be more volatile than those of other asset classes. The Fund is subject to the risk that the design of the subadviser’s quantitative models may be flawed or incomplete, and the risk of error in the implementation of the models. There is no guarantee the Fund's objective will be achieved. Risks are more fully explained in the fund's prospectus.

Total Returns (%)

as of
RETURNS:
SALES CHARGE:
TOTAL RETURNS (%) WITH SALES CHARGE WITHOUT SALES CHARGE
Cumulative Average Annual
Class Ticker YTD 1-Yr 3-Yr 5-Yr 10-Yr Since Inception

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

See Daily Returns for the PGIM Quant Solutions Large-Cap Core Fund.
See Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Quant Solutions Large-Cap Core Fund.

See Daily Returns for the PGIM Quant Solutions Large-Cap Core Fund.
See Quarterly SEC Standardized Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Quant Solutions Large-Cap Core Fund.

Fund Expenses
Maximum Sales Charge (%)
Class
Gross (%)
Net (%)
Date*
A 0.79 0.70 02/28/2026 5.50
C 1.68 1.44 02/28/2026 1.00
R6 0.39 0.35 02/28/2026
Z 0.56 0.45 02/28/2026

*This date represents the contractual reduction date through which the net expense ratio is in effect.

Total return describes the return to the investor after net operating expenses but before any sales charges are imposed. Morningstar Category Average is unmanaged, is based on the average return of all funds in this category, and does not take into consideration applicable sales charges. Unless noted otherwise, Morningstar Category Average and index returns reflect performance beginning the closest month-end date to the Fund's inception. Benchmark since inception average is based on Class Z inception date. SEC standardized return describes the return to the investor after net operating expense and maximum sales charges are imposed. All returns assume share price changes as well as the compounding effect of reinvested dividends and capital gains. Returns may reflect fee waivers and/or expense reimbursements. Without such, returns would be lower. All returns 1-year or less are cumulative.

Morningstar Large Blend Category Average: Large-blend portfolios are fairly representative of the overall U.S. stock market in size, growth rates, and price. Stocks in the top 70% of the capitalization of the U.S. equity market are defined as large cap. The blend style is assigned to portfolios where neither growth nor value characteristics predominate. These portfolios tend to invest across the spectrum of U.S. industries, and owing to their broad exposure, the portfolios' returns are often similar to those of the S&P 500 Index.

S&P 500 Index is a market-weighted, unmanaged index of 500 of the largest U.S. stocks in a variety of industry sectors.

The S&P Indices are products of S&P Dow Jones Indices LLC and/or its affiliates and has been licensed for use by PGIM Investments. Copyright ©2025 S&P Dow Jones Indices LLC, a division of S&P Global, Inc., and/or its affiliates. All rights reserved. Redistribution or reproduction in whole or in part are prohibited without written permission of S&P Dow Jones Indices LLC. For more information on any of S&P Dow Jones Indices LLC’s indices please visit www.spdji.com. S&P® is a registered trademark of S&P Global and Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC.

An investment cannot be made directly in an index or average. All indexes and averages are unmanaged.

Prices

AS OF 08/22/2025
Class
NAV ($)
NAV Change ($)
NAV Change (%)
POP ($)
Total Net Assets ($)
A 22.91 Gain 0.33 1.46 24.24 544,465,849.71
C 19.06 Gain 0.27 1.44 11,591,467.75
R6 24.05 Gain 0.34 1.43 117,073,243.17
Z 23.96 Gain 0.34 1.44 292,249,452.35

NAV (Net Asset Value) is the $U.S. value of a single share of a fund, excluding any sales charges. Change shows the change in $U.S. value over the previous day:Gain= Gain, Loss= Loss,  No Change = No Change.

See Prices of other PGIM Investments Mutual Funds.

52 Week High/Low

AS OF 08/22/2025
Class
52 Week High ($)
52 Week High Date
52 Week Low ($)
52 Week Low Date
A 24.07 12/11/2024 17.39 04/08/2025
C 20.39 12/11/2024 14.51 04/08/2025
R6 25.17 12/11/2024 18.23 04/08/2025
Z 25.08 12/11/2024 18.17 04/08/2025

For share classes less than one year old, the 52-week high and 52-week low NAVs are calculated from inception to the current date.

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

This material must be preceded or accompanied by a current prospectus or summary prospectus. Consider a fund's investment objectives, risks, charges, and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Portfolio Attributes

AS OF 07/31/2025
Largest Holdings (% of Assets)
Microsoft 8.3%
NVIDIA 8.2%
Apple 5.7%
Broadcom 3.5%
Meta Platforms - Class A 3.4%
Amazon.com 3.1%
Alphabet - Class A 2.2%
Alphabet 1.8%
Mastercard - Class A 1.6%
Cisco Systems 1.4%
Sector Breakdown (% of Assets)
Industry
Fund (% of Assets)
Information Technology 34.9%
Financials 12.7%
Communication Services 11.1%
Healthcare 10.0%
Industrials 9.9%
Consumer Discretionary 9.7%
Consumer Staples 3.8%
Energy 3.2%
Utilities 1.9%
Materials 0.8%
Real Estate 0.7%
Other 0.0%
Cash/Equiv 1.4%
Largest Industries (% of Assets)
Software 13.1%
Semiconductors & Equipment 12.7%
Interactive Media & Services 7.4%
Technology Hardware, Storage & Peripherals 5.7%
Capital Markets 4.6%
Fund Statistics
AS OF 07/31/2025
Avg Weighted Market Cap ($mil)
Beta (3 year) 1.03
P/E (Price/Earnings) Ratio 25.1
Standard Deviation (3 year) 15.75
Turnover Ratio (12-month %) 113

All data is unaudited and subject to change. Holdings/allocations may vary. This is not a recommendation to buy or sell any security listed. Largest holdings excludes cash, cash equivalents, money market funds and enhanced cash strategies. Totals may not sum due to rounding.

Fund Holdings

AS OF 07/31/2025

Holdings are unaudited, may vary and are subject to change. Please refer to the Fund's annual report for audited holdings information. This is not a recommendation to buy or sell any security listed.

Value ($): Cash securities are calculated using market value and derivative securities are calculated using notional value.

Source: Bank of New York Mellon. Holdings are provided to Prudential Financial by the custodian bank and Prudential Financial is not responsible for any errors or omissions related to the holdings data.

© 2025, American Bankers Association. CUSIP Database provided by FactSet Research Systems Inc. All rights reserved.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Quantitative Solutions is the primary business name of PGIM Quantitative Solutions LLC, a registered investment advisor. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Quantitative Solutions, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4072323 Ed. 12/2024

Security ID# (CUSIP/SEDOL)
Security Description
Ticker Symbol
Coupon Rate
Maturity Date
Shares/Notional
Value ($)
% of Portfolio
594918104 Microsoft Corp MSFT 146,384.00 78,095,864.00 8.25
67066G104 Nvidia Corp NVDA 434,100.00 77,213,367.00 8.16
037833100 Apple Inc AAPL 259,180.00 53,797,992.00 5.69
11135F101 Broadcom Inc AVGO 112,400.00 33,011,880.00 3.49
30303M102 META Platforms Inc META 41,180.00 31,850,259.00 3.37
023135106 Amazon.com Inc AMZN 126,240.00 29,554,046.00 3.12
02079K305 Alphabet Inc GOOGL 108,980.00 20,913,262.00 2.21
02079K107 Alphabet Inc GOOG 89,860.00 17,330,399.00 1.83
57636Q104 Mastercard Inc MA 26,900.00 15,238,043.00 1.61
17275R102 Cisco Systems Inc CSCO 191,682.00 13,049,710.00 1.38
461202103 Intuit Inc INTU 16,100.00 12,640,593.00 1.34
30231G102 Exxon Mobil Corp XOM 113,100.00 12,626,484.00 1.33
74440W862 (pipa070) Pgim Core Government Money Mar 4.41 12/01/2099 12,101,353.00 12,101,352.00 1.28
718172109 Philip Morris International Inc PM 72,500.00 11,893,625.00 1.26
907818108 Union Pacific Corp UNP 47,600.00 10,565,772.00 1.12
064058100 BANK Of New York Mellon Corp/the BK 102,400.00 10,388,480.00 1.10
09857L108 Booking Holdings Inc BKNG 1,870.00 10,292,592.00 1.09
369604301 General Electric Co GE 37,900.00 10,273,932.00 1.09
58933Y105 Merck & Co Inc MRK 130,800.00 10,218,096.00 1.08
B3BQMF6 Chubb Ltd CB 37,900.00 10,082,916.00 1.07
20030N101 Comcast Corp CMCSA 302,200.00 10,042,106.00 1.06
631103108 Nasdaq Inc NDAQ 100,000.00 9,622,000.00 1.02
79466L302 Salesforce Inc CRM 37,100.00 9,584,043.00 1.01
254687106 WALT Disney Co/the DIS 79,800.00 9,504,978.00 1.00
26875P101 EOG Resources Inc EOG 78,100.00 9,373,562.00 0.99
68389X105 Oracle Corp ORCL 36,700.00 9,313,359.00 0.98
629377508 NRG Energy Inc NRG 50,800.00 8,493,760.00 0.90
37045V100 General Motors Co GM 159,200.00 8,491,728.00 0.90
375558103 Gilead Sciences Inc GILD 74,200.00 8,331,918.00 0.88
617446448 Morgan Stanley MS 56,700.00 8,077,482.00 0.85
032654105 Analog Devices Inc ADI 34,900.00 7,839,587.00 0.83
369550108 General Dynamics Corp GD 24,600.00 7,665,606.00 0.81
90353T100 UBER Technologies Inc UBER 87,600.00 7,686,900.00 0.81
437076102 HOME Depot Inc/the HD 20,200.00 7,423,702.00 0.78
125523100 Cigna Group/the CI 26,400.00 7,058,832.00 0.75
084670702 Berkshire Hathaway Inc BRK/B 14,074.00 6,641,239.00 0.70
031162100 Amgen Inc AMGN 22,300.00 6,580,730.00 0.70
88160R101 Tesla Inc TSLA 21,400.00 6,596,978.00 0.70
949746101 Wells Fargo & Co WFC 78,200.00 6,305,266.00 0.67
032095101 Amphenol Corp APH 59,200.00 6,305,392.00 0.67
36828A101 GE Vernova Inc GEV 9,600.00 6,338,784.00 0.67
532457108 ELI Lilly & Co LLY 8,400.00 6,216,588.00 0.66
548661107 Lowe's Cos Inc LOW 27,200.00 6,081,104.00 0.64
773903109 Rockwell Automation Inc ROK 17,100.00 6,014,241.00 0.64
00287Y109 Abbvie Inc ABBV 31,451.00 5,944,868.00 0.63
097023105 Boeing Co/the BA 25,900.00 5,745,656.00 0.61
666807102 Northrop Grumman Corp NOC 10,000.00 5,766,100.00 0.61
64110L106 Netflix Inc NFLX 4,900.00 5,681,060.00 0.60
46625H100 Jpmorgan Chase & Co JPM 18,381.00 5,445,187.00 0.58
02209S103 Altria Group Inc MO 87,600.00 5,425,944.00 0.57
040413205 Arista Networks Inc ANET 43,100.00 5,310,782.00 0.56
110122108 Bristol-myers Squibb Co BMY 120,900.00 5,236,179.00 0.55
020002101 Allstate Corp/the ALL 25,600.00 5,203,200.00 0.55
78409V104 S&P Global Inc SPGI 9,300.00 5,125,230.00 0.54
76118Y104 Resideo Technologies Inc REZI 183,400.00 5,006,820.00 0.53
717081103 Pfizer Inc PFE 210,500.00 4,902,545.00 0.52
09062X103 Biogen Inc BIIB 38,200.00 4,889,600.00 0.52
192446102 Cognizant Technology Solutions Corp CTSH 69,000.00 4,951,440.00 0.52
988498101 YUM! Brands Inc YUM 32,900.00 4,742,535.00 0.50
92826C839 VISA Inc V 13,625.00 4,707,028.00 0.50
BYPZJQ6 Janus Henderson Group Plc JHG 104,500.00 4,524,850.00 0.48
125896100 CMS Energy Corp CMS 56,200.00 4,147,560.00 0.44
14149Y108 Cardinal Health Inc CAH 26,000.00 4,035,720.00 0.43
BFY8C75 Steris Plc STE 17,800.00 4,031,522.00 0.43
872590104 T-mobile Us Inc TMUS 16,700.00 3,981,447.00 0.42
20825C104 Conocophillips COP 38,300.00 3,651,522.00 0.39
444859102 Humana Inc HUM 14,700.00 3,673,089.00 0.39
478160104 Johnson & Johnson JNJ 22,058.00 3,633,834.00 0.38
345370860 FORD Motor Co F 326,000.00 3,608,820.00 0.38
296315104 ESCO Technologies Inc ESE 18,700.00 3,622,190.00 0.38
91324P102 Unitedhealth Group Inc UNH 14,000.00 3,493,840.00 0.37
901109108 Tutor Perini Corp TPC 71,500.00 3,442,725.00 0.36
00724F101 Adobe Inc ADBE 9,600.00 3,433,824.00 0.36
883556102 Thermo Fisher Scientific Inc TMO 7,100.00 3,320,528.00 0.35
500754106 Kraft Heinz Co/the KHC 117,600.00 3,229,296.00 0.34
81762P102 Servicenow Inc NOW 3,300.00 3,112,296.00 0.33
235851102 Danaher Corp DHR 15,800.00 3,115,128.00 0.33
754730109 Raymond James Financial Inc RJF 18,100.00 3,025,053.00 0.32
742718109 Procter & Gamble Co/the PG 19,300.00 2,904,071.00 0.31
14448C104 Carrier Global Corp CARR 42,200.00 2,895,764.00 0.31
002824100 Abbott Laboratories ABT 23,500.00 2,965,465.00 0.31
92343V104 Verizon Communications Inc VZ 65,300.00 2,792,228.00 0.30
26614N102 Dupont De Nemours Inc DD 38,600.00 2,775,340.00 0.29
69608A108 Palantir Technologies Inc PLTR 16,600.00 2,628,610.00 0.28
59156R108 Metlife Inc MET 33,600.00 2,551,920.00 0.27
231561101 Curtiss-wright Corp CW 5,300.00 2,598,166.00 0.27
00206R102 AT&T Inc T 94,835.00 2,599,427.00 0.27
B8KQN82 Eaton Corp Plc ETN 6,700.00 2,577,624.00 0.27
97717P104 Wisdomtree Inc WT 183,200.00 2,431,064.00 0.26
14040H105 Capital One Financial Corp COF 11,400.00 2,451,000.00 0.26
126650100 CVS Health Corp CVS 36,800.00 2,285,280.00 0.24
22160K105 Costco Wholesale Corp COST 2,400.00 2,255,136.00 0.24
172967424 Citigroup Inc C 23,400.00 2,192,580.00 0.23
026874784 American International Group Inc AIG 28,400.00 2,204,692.00 0.23
693475105 PNC Financial Services Group Inc/the PNC 11,400.00 2,169,078.00 0.23
74460D109 Public Storage PSA 7,600.00 2,066,744.00 0.22
03831W108 Applovin Corp APP 5,300.00 2,070,710.00 0.22
31620M106 Fidelity National Information Services I FIS 26,400.00 2,096,424.00 0.22
911163103 United Natural Foods Inc UNFI 74,400.00 2,056,416.00 0.22
88556E102 Thredup Inc TDUP 249,600.00 2,061,696.00 0.22
902973304 US Bancorp USB 45,900.00 2,063,664.00 0.22
060505104 BANK Of America Corp BAC 42,000.00 1,985,340.00 0.21
37940X102 Global Payments Inc GPN 25,400.00 2,030,730.00 0.21
833445109 Snowflake Inc SNOW 8,600.00 1,922,100.00 0.20
71363P106 Perdoceo Education Corp PRDO 63,700.00 1,833,286.00 0.19
166764100 Chevron Corp CVX 11,700.00 1,774,188.00 0.19
90384S303 ULTA Beauty Inc ULTA 3,500.00 1,802,535.00 0.19
95082P105 Wesco International Inc WCC 8,700.00 1,800,552.00 0.19
BN6TZY0 AMER Sports Inc AS 47,200.00 1,771,888.00 0.19
981811102 Worthington Enterprises Inc WOR 27,300.00 1,691,781.00 0.18
235825205 DANA Inc DAN 109,000.00 1,735,280.00 0.18
201723103 Commercial Metals Co CMC 32,400.00 1,680,264.00 0.18
36237H101 G-iii Apparel Group Ltd GIII 70,500.00 1,663,800.00 0.18
539830109 Lockheed Martin Corp LMT 4,100.00 1,726,018.00 0.18
BK9ZQ96 Trane Technologies Plc TT 3,400.00 1,489,472.00 0.16
92343X100 Verint Systems Inc VRNT 67,400.00 1,434,272.00 0.15
718546104 Phillips 66 PSX 11,200.00 1,384,096.00 0.15
35671D857 Freeport-mcmoran Inc FCX 36,300.00 1,460,712.00 0.15
29444U700 Equinix Inc EQIX 1,800.00 1,413,306.00 0.15
70450Y103 Paypal Holdings Inc PYPL 19,800.00 1,361,448.00 0.14
501044101 Kroger Co/the KR 19,000.00 1,331,900.00 0.14
58155Q103 Mckesson Corp MCK 1,900.00 1,317,726.00 0.14
912797PX9 United States Treasury Bill B 4.27 09/18/2025 1,300,000.00 1,292,608.00 0.14
87612E106 Target Corp TGT 12,200.00 1,226,100.00 0.13
98980L101 ZOOM Communications Inc ZM 16,000.00 1,184,800.00 0.13
BQ6BPG9 Bunge Global Sa BG 16,000.00 1,276,160.00 0.13
74340W103 Prologis Inc PLD 11,900.00 1,270,682.00 0.13
233331107 DTE Energy Co DTE 8,400.00 1,162,644.00 0.12
33829M101 FIVE Below Inc FIVE 7,500.00 1,023,900.00 0.11
004225108 Acadia Pharmaceuticals Inc ACAD 41,900.00 998,477.00 0.11
35905A109 Frontdoor Inc FTDR 15,600.00 912,600.00 0.10
256746108 Dollar Tree Inc DLTR 8,000.00 908,400.00 0.10
736508847 Portland General Electric Co POR 23,100.00 949,872.00 0.10
651639106 Newmont Corp NEM 14,800.00 919,080.00 0.10
595112103 Micron Technology Inc MU 8,400.00 916,776.00 0.10
438516106 Honeywell International Inc HON 4,100.00 911,635.00 0.10
BDVJJQ5 Nvent Electric Plc NVT 12,200.00 956,724.00 0.10
92839U206 Visteon Corp VC 7,900.00 878,085.00 0.09
440452100 Hormel Foods Corp HRL 29,500.00 828,655.00 0.09
37247D106 Genworth Financial Inc GNW 104,300.00 819,798.00 0.09
40609P105 Hallador Energy Co HNRG 46,800.00 825,552.00 0.09
30161Q104 Exelixis Inc EXEL 23,500.00 851,170.00 0.09
100557107 Boston Beer Co Inc/the SAM 4,300.00 890,444.00 0.09
05379B107 Avista Corp AVA 20,100.00 749,730.00 0.08
457187102 Ingredion Inc INGR 5,400.00 710,316.00 0.08
56585A102 Marathon Petroleum Corp MPC 4,300.00 731,817.00 0.08
B4BNMY3 Accenture Plc ACN 2,700.00 721,170.00 0.08
880345103 Tennant Co TNC 9,500.00 784,130.00 0.08
384802104 WW Grainger Inc GWW 600 623,724.00 0.07
370334104 General Mills Inc GIS 14,100.00 690,618.00 0.07
74164F103 Primoris Services Corp PRIM 6,800.00 640,356.00 0.07
826919102 Silicon Laboratories Inc SLAB 5,200.00 685,204.00 0.07
45784P101 Insulet Corp PODD 2,000.00 576,800.00 0.06
42727J102 Heritage Insurance Holdings Inc HRTG 28,500.00 601,065.00 0.06
15135B101 Centene Corp CNC 20,000.00 521,400.00 0.06
BFZ4N46 Cushman & Wakefield Plc CWK 45,600.00 555,864.00 0.06
BY7QL61 Johnson Controls International Plc JCI 5,600.00 588,000.00 0.06
ESU5 INDEX S&p500 Emini Fut Sep25 ESU5 09/19/2025 13,067,213.00 517,926.00 0.05
98954M200 Zillow Group Inc Z 6,000.00 477,300.00 0.05
199333105 Columbus Mckinnon Corp/ny CMCO 35,100.00 514,215.00 0.05
224408104 Crane Co CR 2,500.00 489,425.00 0.05
29355X107 Enpro Inc NPO 2,300.00 488,543.00 0.05
077454106 Belden Inc BDC 4,100.00 506,965.00 0.05
030420103 American Water Works Co Inc AWK 3,300.00 462,792.00 0.05
83570H108 Sonos Inc SONO 43,200.00 466,992.00 0.05
747525103 Qualcomm Inc QCOM 3,000.00 440,280.00 0.05
87165B103 Synchrony Financial SYF 5,900.00 411,053.00 0.04
701094104 Parker-hannifin Corp PH 500 365,950.00 0.04
66765N105 Northwest Natural Holding Co NWN 8,400.00 335,328.00 0.04
67098H104 O-I Glass Inc OI 28,600.00 372,086.00 0.04
405217100 HAIN Celestial Group Inc/the HAIN 242,100.00 380,097.00 0.04
48020Q107 Jones Lang Lasalle Inc JLL 1,500.00 405,540.00 0.04
29249E109 Enact Holdings Inc ACT 11,000.00 382,360.00 0.04
BTDN8H1 Aptiv Plc APTV 5,800.00 398,112.00 0.04
92840M102 Vistra Corp VST 2,000.00 417,080.00 0.04
88033G407 Tenet Healthcare Corp THC 2,100.00 338,688.00 0.04
913456109 Universal Corp/va UVV 5,100.00 277,797.00 0.03
291011104 Emerson Electric Co EMR 2,000.00 291,020.00 0.03
25179M103 Devon Energy Corp DVN 8,000.00 265,760.00 0.03
670346105 Nucor Corp NUE 2,200.00 314,754.00 0.03
743315103 Progressive Corp/the PGR 1,200.00 290,448.00 0.03
CURRENCY Currency 126,820.00 126,819.00 0.01

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ABOUT

Jennison 50 Year Anniversary Logo

The PGIM Quant Solutions Large-Cap Core Fund is co-managed by Stacie L. Mintz, CFA, Devang Gambhirwala, and Steve Courtney, each of whom is a member of PGIM Quantitative Solutions. Since 1975, PGIM Quantitative Solutions targets superior risk-adjusted returns by combining research-driven quantitative processes built on economic and behavioral foundations with judgement from experienced market practitioners.

Stacie L. Mintz, CFA
Stacie L. Mintz, CFA

Managing Director and Head of Quantitative Equity for PGIM Quantitative Solutions

|

PGIM Quantitative Solutions

Stacie L. Mintz, CFA, is a Managing Director and Head of Quantitative Equity for PGIM Quantitative Solutions.

Devang Gambhirwala
Devang Gambhirwala

Principal and Portfolio Manager for PGIM Quantitative Solutions within the Quantitative Equity Team

|

PGIM Quantitative Solutions

Devang Gambhirwala is a Principal and Portfolio Manager for PGIM Quantitative Solutions working within the Quantitative Equity team.

Stephen Courtney
Stephen Courtney

Managing Director and Portfolio Manager for PGIM Quantitative Solutions

|

PGIM Quantitative Solutions

Stephen Courtney is a Managing Director and Portfolio Manager for PGIM Quantitative Solutions working within the Quantitative Equity team.

Average weighted market capitalization is the average market capitalization of stocks in a fund, each weighted by its proportion of assets. Beta measures a fund's sensitivity to changes in the overall market relative to its benchmark. The P/E ratio (Source: Morningstar, Inc.) relates the price of a stock to the per-share earnings of the company. P/E is calculated using a harmonic weighted average, which excludes outliers that can easily skew results. Standard deviation depicts how widely returns vary around its average and is used to understand the range of returns most likely for a given fund. A higher standard deviation generally implies greater volatility. Turnover Ratio is the rate of trading in a portfolio, higher values imply more frequent trading. Beta is benchmarked against the S&P 500, an unmanaged index, which is a broad indicator of domestic stock price movements. An investment cannot be made directly in an index. Due to data availability, statistics may not be as of current reporting period.

Enhanced cash strategies are variations on traditional money market vehicles. They are designed to provide liquidity and principal preservation, but with more of an emphasis on seeking returns that are superior to those of traditional money market offerings.

Source: Benchmarks - Lipper Inc.; Statistics - Morningstar Inc.; Sector classification - S&P/MSCI. All other data from PGIM, Inc. (PGIM).

© 2025 Morningstar, Inc. All rights reserved. The information contained herein (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance does not guarantee future results.

Class R6 and Z shares may be available to group retirement plans and institutional investors through certain retirement, mutual fund wrap and asset allocation programs. They may also be available to institutional investors. Class Z shares may be available through fee- or commission-based retail brokerage programs of certain financial intermediaries. Class A, C, and Z shares are generally closed to new retirement plans. Please see the prospectus for additional information about fees, expenses, and investor eligibility.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Quantitative Solutions is the primary business name of PGIM Quantitative Solutions LLC, a registered investment advisor. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Quantitative Solutions, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4331661    Ed. 03/2025

Fund Literature

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