We are live on ! Find out more
PULS icon

PGIM Ultra Short Bond ETF

Name Holding Trade Value Shares
Change
Change in
Stake
JP Morgan Chase
1
JP Morgan Chase
New York
$1.95B +$81.1M +1,631,142 +4%
Prudential Financial
2
Prudential Financial
New Jersey
$1.11B -$124M -2,499,999 -10%
Morgan Stanley
3
Morgan Stanley
New York
$821M +$10.1M +203,799 +1%
Bank of America
4
Bank of America
North Carolina
$572M +$20.1M +404,103 +4%
LPL Financial
5
LPL Financial
California
$553M +$43.2M +869,510 +8%
Wells Fargo
6
Wells Fargo
California
$386M +$17.7M +356,553 +5%
Raymond James Financial
7
Raymond James Financial
Florida
$236M +$20.1M +403,873 +9%
Fidelity Investments
8
Fidelity Investments
Massachusetts
$227M -$2.76M -55,475 -1%
PNC Financial Services Group
9
PNC Financial Services Group
Pennsylvania
$199M +$11M +221,413 +6%
UBS Group
10
UBS Group
Switzerland
$189M -$14.9M -299,830 -7%
Charles Schwab
11
Charles Schwab
California
$188M +$4.01M +80,702 +2%
Cetera Investment Advisers
12
Cetera Investment Advisers
Illinois
$150M +$38M +763,733 +34%
Jones Financial Companies
13
Jones Financial Companies
Missouri
$135M +$27.5M +553,456 +26%
Royal Bank of Canada
14
Royal Bank of Canada
Ontario, Canada
$118M -$5.62M -113,123 -5%
Commonwealth Equity Services
15
Commonwealth Equity Services
Massachusetts
$117M +$13.8M +277,388 +13%
Stifel Financial
16
Stifel Financial
Missouri
$103M +$14.3M +288,628 +16%
KAM
17
Kensington Asset Management
Texas
$78.7M +$21.2M +425,761 +37%
CA
18
Crane Advisory
California
$76.1M -$23.2M -467,327 -23%
Ameriprise
19
Ameriprise
Minnesota
$75M +$23.8M +479,204 +46%
MCM
20
MAI Capital Management
Ohio
$74.1M -$2.13M -42,842 -3%
Osaic Holdings
21
Osaic Holdings
Arizona
$69.3M +$5.83M +117,348 +9%
NA
22
NewEdge Advisors
Louisiana
$58.9M +$11.8M +236,970 +25%
Northwestern Mutual Wealth Management
23
Northwestern Mutual Wealth Management
Wisconsin
$55.3M +$2.46M +49,480 +5%
Envestnet Asset Management
24
Envestnet Asset Management
Illinois
$42.2M +$3.83M +77,086 +10%
BWAM
25
Blue Water Asset Management
Michigan
$40.9M +$41M +825,480 New