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Prudential Jennison 20/20 Focus Fund
Holdings
Fund Holdings as of 7/31/2010
Holdings are unaudited and subject to change. Please refer to the Fund's annual report for audited holdings information.
Source: Bank of New York. Holdings are provided to Prudential Financial by the custodian bank, Bank of New York, and Prudential Financial is not responsible for any errors or omissions related to the holdings data.
Consider a fund's investment objectives, risks, charges, and expenses carefully before investing. The prospectus contains this and other information about the fund. Read it carefully before investing. For more information about this fund, click on the prospectus link on the previous page.
Mutual funds are distributed by Prudential Investment Management Services, LLC, a Prudential Financial company and member SIPC.
0168830-00001-00  Ed.12/2009
Security ID#
(CUSIP/SEDOL) 
Security Description Ticker
Symbol
Coupon
Rate
Maturity Date Shares Market
Value ($)
% of TNA 
037833100Apple, Inc.AAPL.UW303,35878,038,8463.38
G16962105Bunge LimitedBG.UN1,482,52373,607,2673.19
92553P201Viacom Inc Class BVIA/B.U2,158,07871,302,8973.09
651639106Newmont MiningNEM.UN1,264,64470,693,6003.06
093671105H&R Block, Inc.HRB.UN4,316,09967,676,4322.93
530555309Liberty Global IncLBTYK.U2,296,47667,171,9232.91
50075N104Kraft Foods, Inc.KFT.UN2,238,58065,388,9222.83
816851109Sempra EnergySRE.UN1,309,94965,169,9632.82
44919P508Iac/interactivecorpIACI.UW2,591,32064,783,0002.80
032511107Anadarko Petroleum Corp.APC.UN1,313,44964,569,1532.80
845467109Southwestern Energy Co.SWN.UN1,738,63963,373,3922.74
94106L109Waste Management, Inc.WM.UN1,855,63562,998,8082.73
64110D104Netapp IncNTAP.UW1,493,22463,163,3752.73
740189105Precision Castparts Corp.PCP.UN508,11762,086,8162.69
205887102Conagra Foods, Inc.CAG.UN2,634,81461,865,4332.68
136385101Canadian Natural Resources LtdCNQ.UN1,789,52861,595,5542.67
871503108Symantec CorpSYMC.UW4,725,48161,289,4892.65
74499S9A1Dryden Core Investment Fund - Taxable Money Market0.3112/31/201060,433,05760,433,0572.62
Y2573F102Flextronics Intl LtdFLEX.UW9,561,50559,472,5612.58
12673P105CA IncCA.UW3,027,27759,213,5382.56
428236103Hewlett-packard Co.HPQ.UN1,286,60059,235,0642.56
254687106WALT Disney Co.DIS.UN1,727,65158,204,5622.52
023135106Amazon.com, Inc.AMZN.UW484,76657,149,0642.47
654106103Nike, Inc. Class BNKE.UN758,49355,855,4252.42
097023105Boeing Co. (the)BA.UN809,31455,146,6562.39
48203R104Juniper Networks, Inc.JNPR.UN1,973,10054,812,7182.37
00724F101Adobe Systems, Inc.ADBE.UW1,830,00052,557,6002.28
256677105Dollar General CorpDG.UN1,757,16751,274,1332.22
57636Q104Mastercard Inc-class AMA.UN244,10051,270,7642.22
260543103DOW Chemical Co. (the)DOW.UN1,855,19250,702,3972.20
46625H100Jpmorgan Chase & Co.JPM.UN1,231,95649,623,1882.15
92826C839VISA Inc-class A SharesV.UN653,63247,943,9072.08
26875P101EOG Resources, Inc.EOG.UN491,07647,879,9102.07
111320107Broadcom Corp.BRCM.UW1,313,92747,340,7902.05
151020104Celgene CorpCELG.UW848,03446,769,0752.03
35671D857Freeport-mcmoran Copper & Gold, Inc.FCX.UN646,04846,218,2742.00
38259P508Google Inc Cl-aGOOG.UW92,24744,725,9581.94
302182100Express Scripts IncESRX.UW957,99343,282,1241.87
674599105Occidental Petroleum Corp.OXY.UN550,70442,916,3631.86
806857108Schlumberger Ltd.SLB.UN630,68937,626,9061.63
66987V109Novartis Ag - AdrNVS.UN754,62136,780,2281.59
74499S9A1Dryden Core Investment Fund - Taxable Money Market0.3112/31/2010110.00
LOANPRULINE Of Credit With Pnc Bank For Prudential Funds1.4606/15/2049-438,000-438,000-0.02