|
For Institutional Clients
The Fund issues shares only in private
placement transactions in accordance with
Regulation D or other applicable exemptions
under the Securities Act of 1933, as amended
(“Securities Act”). The Prospectus and the
related Statement of Additional Information
are not an offer to sell, or a solicitation of any
offer to buy, any security to the public within
the meaning of the Securities Act. In addition,
there shall be no sale of the shares referred
to herein in any jurisdiction in which such
offer, solicitation or sale would be unlawful
prior to the registration or qualification under
the securities laws of any such jurisdiction.
|
![]() |
|
Principal Strategies: Investment Limits
|
|
■Cash, government securities, and/or repurchase agreements that are fully collateralized
with cash or government securities:
At least 99.5% of total assets; Up to 100% of investable assets
■Government securities and/or repurchase agreements that are collateralized by government
securities: At least 80% of its
net assets
|
|
Certain Non-Principal Strategies: Investment Limits
|
|
■When-issued and delayed delivery securities: Up to 15% of investable assets
■Illiquid Securities: Up to 5% of total assets
|
|
|
||||
|
|
Year Ended July 31,
|
March 07,
2023(a)
through July
31,
2023
|
||
|
|
2026 |
2025 |
2024 |
|
|
Per Share Operating Performance(b):
|
||||
|
Net Asset Value, Beginning of Period
|
$1.00
|
$1.00
|
$1.00
|
$1.00
|
|
Income (loss) from investment operations:
|
||||
|
Net investment income (loss)
|
0.04
|
0.05
|
0.05
|
0.02
|
|
Net realized and unrealized gain (loss) on investment transactions(c)
|
-
|
-
|
-
|
-
|
|
Total from investment operations
|
0.04
|
0.05
|
0.05
|
0.02
|
|
Less Dividends and Distributions:
|
||||
|
Dividends from net investment income
|
(0.04)
|
(0.05)
|
(0.05)
|
(0.02)
|
|
Net asset value, end of Period
|
$1.00
|
$1.00
|
$1.00
|
$1.00
|
|
Total Return(d):
|
3.97%
|
4.73%
|
5.55%
|
2.06%
|
|
|
||||
|
Ratios/Supplemental Data:
|
||||
|
Net assets, end of period (000)
|
$6,449,748
|
$8,287,474
|
$5,787,260
|
$7,635,433
|
|
Average net assets (000)
|
$8,000,439
|
$6,360,348
|
$5,098,100
|
$6,015,481
|
|
Ratios to average net assets:
|
||||
|
Expenses after waivers and/or expense reimbursement
|
0.01%
|
0.01%
|
0.01%
|
0.01%(e)
|
|
Expenses before waivers and/or expense reimbursement
|
0.31%
|
0.31%
|
0.31%
|
0.31%(e)
|
|
Net investment income (loss)
|
3.91%
|
4.57%
|
5.41%
|
5.08%(e)
|
|
(a)
|
Commencement of operations.
|
|
(b)
|
Calculated based on average shares outstanding during the period.
|
|
(c)
|
Amount rounds to zero.
|
|
(d)
|
Total return is calculated assuming a purchase of a share on the first day and a sale
on the last day of each period reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. Total
returns for periods less than one full year are not annualized.
|
|
(e)
|
Annualized, with the exception of certain non-recurring expenses.
|
|
■MAIL
Prudential Mutual Fund Services LLC
P.O. Box 534432
Pittsburgh, PA 15253-4432
■WEBSITE
www.pgim.com/investments
|
■TELEPHONE
(800) 225-1852
(973) 367-3529
(from outside the U.S.)
|
|
■ELECTRONIC REQUEST
publicinfo@sec.gov
|
■VIA THE INTERNET
on the EDGAR Database at www.sec.gov
|
|
Term
|
Definition
|
|
1933 Act
|
Securities Act of 1933, as amended
|
|
1934 Act
|
Securities Exchange Act of 1934, as amended
|
|
1940 Act
|
Investment Company Act of 1940, as amended
|
|
1940 Act Laws, Interpretations and Exemptions
|
1940 Act, Exemptive order, SEC release, no-action letter or similar relief or interpretations,
collectively
|
|
ADR
|
American Depositary Receipt
|
|
ADS
|
American Depositary Share
|
|
Board
|
Fund’s Board of Directors or Trustees, as applicable
|
|
Board Member
|
A trustee or director, as applicable, of the Fund’s Board
|
|
CEA
|
Commodity Exchange Act, as amended
|
|
CFTC
|
U.S. Commodity Futures Trading Commission
|
|
Code
|
Internal Revenue Code of 1986, as amended
|
|
CMO
|
Collateralized Mortgage Obligation
|
|
ETF
|
Exchange-Traded Fund
|
|
EDR
|
European Depositary Receipt
|
|
Fannie Mae
|
Federal National Mortgage Association
|
|
FDIC
|
Federal Deposit Insurance Corporation
|
|
Fitch
|
Fitch Ratings, Inc.
|
|
Freddie Mac
|
Federal Home Loan Mortgage Corporation
|
|
GDR
|
Global Depositary Receipt
|
|
Ginnie Mae
|
Government National Mortgage Association
|
|
IPO
|
Initial Public Offering
|
|
IRS
|
Internal Revenue Service
|
|
LIBOR
|
London Interbank Offered Rate
|
|
Manager or PGIM Investments
|
PGIM Investments LLC
|
|
Moody’s
|
Moody’s Investors Service, Inc.
|
|
NASDAQ
|
National Association of Securities Dealers Automated Quotations
|
|
NAV
|
Net Asset Value
|
|
NRSRO
|
Nationally Recognized Statistical Rating Organization
|
|
NYSE
|
New York Stock Exchange
|
|
OTC
|
Over the Counter
|
|
Prudential
|
Prudential Financial, Inc.
|
|
PMFS
|
Prudential Mutual Fund Services LLC
|
|
QPTP
|
“Qualified publicly traded partnership” as the term is used in the Internal Revenue Code of 1986, as amended
|
|
REIT
|
Real Estate Investment Trust
|
|
RIC
|
Regulated Investment Company, as the term is used in the Internal Revenue Code of
1986, as amended
|
|
S&P
|
S&P Global Ratings
|
|
SEC
|
U.S. Securities and Exchange Commission
|
|
SOFR
|
Secured Overnight Financing Rate
|
|
Term
|
Definition
|
|
World Bank
|
International Bank for Reconstruction and Development
|
|
Independent Board Members
|
|
|
|
|
Name
Year of Birth
Position(s)
Portfolios Overseen
|
Principal Occupation(s)
During Past Five Years
|
Other Directorships
Held During
Past Five Years
|
Length of
Board Service
|
|
Ellen S. Alberding
1958
Board Member
Portfolios Overseen: 102
|
Formerly, Chief Executive Officer and President,
The Joyce Foundation (charitable foundation)
(2002-2024); formerly Vice Chair, City Colleges
of Chicago (community college system)
(2011-2015); formerly Trustee, National Park
Foundation (charitable foundation for national
park system) (2009-2018); formerly Trustee,
Economic Club of Chicago (2009-2016);
Trustee, Loyola University (since 2018).
|
None.
|
Since September 2013
|
|
Kevin J. Bannon
1952
Board Member
Portfolios Overseen: 103
|
Retired; formerly Managing Director (April
2008-May 2015) and Chief Investment Officer
(October 2008-November 2013) of Highmount
Capital LLC (registered investment adviser);
formerly Executive Vice President and Chief
Investment Officer (April 1993-August 2007) of
Bank of New York Company; formerly President
(May 2003-May 2007) of BNY Hamilton Family
of Mutual Funds.
|
Formerly, Director of Urstadt Biddle Properties
(equity real estate investment trust) (September
2008-August 2023).
|
Since July 2008
|
|
Linda W. Bynoe
1952
Board Member
Portfolios Overseen: 100
|
President and Chief Executive Officer (since
March 1995) and formerly Chief Operating
Officer (December 1989-February 1995) of
Telemat Limited LLC (formerly Telemat Ltd)
(management consulting); formerly Vice
President (January 1985-June 1989) at Morgan
Stanley & Co. (broker-dealer).
|
Trustee of Equity Residential (residential real
estate) (since December 2009); formerly,
Director of Northern Trust Corporation (financial
services) (April 2006-April 2025); formerly
Director of Anixter International, Inc.
(communication products distributor) (January
2006-June 2020).
|
Since March 2005
|
|
Barry H. Evans
1960
Board Member
Portfolios Overseen: 103
|
Retired; formerly President (2005-2016), Global
Chief Operating Officer (2014-2016), Chief
Investment Officer - Global Head of Fixed
Income (1998-2014), and various portfolio
manager roles (1986-2006), Manulife Asset
Management (asset management).
|
Formerly Director, Manulife Trust Company
(2011-2018); formerly Director, Manulife Asset
Management Limited (2015-2017); formerly
Chairman of the Board of Directors of Manulife
Asset Management U.S. (2005-2016); formerly
Chairman of the Board, Declaration Investment
Management and Research (2008-2016).
|
Since September 2017
|
|
Independent Board Members
|
|
|
|
|
Name
Year of Birth
Position(s)
Portfolios Overseen
|
Principal Occupation(s)
During Past Five Years
|
Other Directorships
Held During
Past Five Years
|
Length of
Board Service
|
|
Keith F. Hartstein
1956
Board Member &
Independent Chair
Portfolios Overseen: 103
|
Retired; formerly Member (November
2014-September 2022) of the Governing Council
of the Independent Directors Council (IDC)
(organization of independent mutual fund
directors); formerly Executive Committee of the
IDC Board of Governors (October
2019-December 2021); formerly President and
Chief Executive Officer (2005-2012), Senior Vice
President (2004-2005), Senior Vice President of
Sales and Marketing (1997-2004), and various
executive management positions (1990-1997),
John Hancock Funds, LLC (asset management);
formerly Chairman, Investment Company
Institute’s Sales Force Marketing Committee
(2003-2008).
|
None.
|
Since September 2013
|
|
Laurie Simon Hodrick
1962
Board Member
Portfolios Overseen: 100
|
A. Barton Hepburn Professor Emerita of
Economics in the Faculty of Business, Columbia
Business School (since 2018); Visiting Fellow at
the Hoover Institution, Stanford University
(since 2015); Sole Member, ReidCourt LLC
(since 2008) (a consulting firm); formerly
Visiting Professor of Law, Stanford Law School
(2015-2021); formerly A. Barton Hepburn
Professor of Economics in the Faculty of
Business, Columbia Business School
(1996-2017); formerly Managing Director,
Global Head of Alternative Investment
Strategies, Deutsche Bank (2006-2008).
|
Independent Director, Roku (since December
2020) (communication services); formerly
Independent Director, Andela (2022-2024)
(global talent network); formerly Independent
Director, Synnex Corporation (2019-2021)
(information technology); formerly Independent
Director, Kabbage, Inc. (2018-2020) (financial
services); formerly Independent Director,
Corporate Capital Trust (2017-2018) (a
business development company).
|
Since September 2017
|
|
Brian K. Reid
1961
Board Member
Portfolios Overseen: 103
|
Retired; formerly Chief Economist for the
Investment Company Institute (ICI)
(2005-2017); formerly Senior Economist and
Director of Industry and Financial Analysis at
the ICI (1998-2004); formerly Senior Economist,
Industry and Financial Analysis at the ICI
(1996-1998); formerly Staff Economist at the
Federal Reserve Board (1989-1996); formerly
Director, ICI Mutual Insurance Company
(2012-2017).
|
None.
|
Since March 2018
|
|
Grace C. Torres
1959
Board Member
Portfolios Overseen: 103
|
Retired; formerly Treasurer and Principal
Financial and Accounting Officer of the PGIM
Funds, Target Funds, Advanced Series Trust,
Prudential Variable Contract Accounts and The
Prudential Series Fund (1998-June 2014);
Assistant Treasurer (March 1999-June 2014)
and Senior Vice President (September
1999-June 2014) of PGIM Investments LLC;
Assistant Treasurer (May 2003-June 2014) and
Vice President (June 2005-June 2014) of AST
Investment Services, Inc.; Senior Vice President
and Assistant Treasurer (May 2003-June 2014)
of Prudential Annuities Advisory Services, Inc.
|
Director (since January 2018) of OceanFirst
Financial Corp. and OceanFirst Bank; formerly
Director (July 2015-January 2018) of Sun
Bancorp, Inc. N.A. and Sun National Bank.
|
Since November 2014
|
|
Interested Board Members
|
|||
|
Name
Year of Birth
Position(s)
Portfolios Overseen
|
Principal Occupation(s)
During Past Five Years
|
Other Directorships
Held During
Past Five Years
|
Length of
Board Service
|
|
Stuart S. Parker
1962
Board Member,
President & Principal
Executive Officer
Portfolios Overseen: 103
|
President, Chief Executive Officer and Officer in
Charge (since January 2012) of PGIM
Investments LLC; President and Principal
Executive Officer (since March 2022) of the
PGIM Alternatives Funds and (since January
2012) of the PGIM Retail Funds; formerly Chief
Operating Officer for PGIM Investments LLC
(January 2012 - January 2024); formerly
Executive Vice President of Jennison Associates
LLC and Head of Retail Distribution of PGIM
Investments LLC (June 2005-December 2011);
Investment Company Institute - Board of
Governors (since May 2012).
|
None.
|
Since January 2012
|
|
Scott E. Benjamin
1973
Board Member & Vice
President
Portfolios Overseen: 154
|
Executive Vice President (since May 2009) of
PGIM Investments LLC; Vice President (since
June 2012) of Prudential Investment
Management Services LLC; Executive Vice
President (since September 2009) of AST
Investment Services, Inc.; Managing Director,
Board Governance of PGIM-Global Wealth (since
March 2026); formerly Senior Vice President,
Global Product Management and Marketing
(2006- 2026) of PGIM; Vice President (since
March 2022) of the PGIM Alternatives Funds
and (since March 2010) of the PGIM Retail
Funds; formerly Vice President of Product
Development and Product Management, PGIM
Investments LLC (2003-2006).
|
None.
|
Since March 2010
|
|
Fund Officers(a)
|
|
|
|
Name
Year of Birth
Fund Position
|
Principal Occupation(s) During Past Five Years
|
Length of
Service as Fund Officer
|
|
Claudia DiGiacomo
1974
Chief Legal Officer
|
Chief Legal Officer, Executive Vice President and Secretary (since August 2020) of
PGIM Investments LLC; Chief
Legal Officer (since January 2024) of PGIM DC Solutions LLC, (since July 2022) of
the PGIM Alternatives Funds
and (since August 2020) of the PGIM Retail Funds, Prudential Annuities Funds, Prudential
Mutual Fund
Services LLC, and PIFM Holdco, LLC; Vice President and Corporate Counsel (since January
2005) of Prudential;
and Corporate Counsel (since August 2020) of AST Investment Services, Inc.; formerly
Vice President and
Assistant Secretary of PGIM Investments LLC (2005-2020); formerly Associate at Sidley
Austin Brown & Wood
LLP (1999-2004).
|
Since December 2005
|
|
Patricia Flynn
1968
Chief Compliance Officer
|
Chief Compliance Officer (since May 2026) of the PGIM Retail Funds, Prudential Annuities
Funds, PGIM
Alternatives Funds, PGIM Investments LLC and AST Investment Services, Inc.; Vice President
of Compliance at
Prudential Financial Inc. (since March 2022); formerly Chief Compliance & Risk Officer
at Intech Investments
(November 2005 to March 2022) and Assistant Regional Director of Examinations, Branch
Chief, and Examiner
for the U.S. Securities & Exchange Commission, Miami Regional Office (October 1994
to November 2005).
|
Since May 2026
|
|
Andrew R. French
1962
Secretary
|
Vice President and Assistant Secretary (since January 2007) of PGIM Investments LLC;
Secretary (since March
2022) of the PGIM Alternatives Funds and (since December 2018) of the PGIM Retail
Funds and Prudential
Annuities Funds; Vice President and Assistant Secretary (since January 2007) of Prudential
Mutual Fund
Services LLC; formerly Vice President and Corporate Counsel (2010-2018) of Prudential;
formerly Director and
Corporate Counsel (2006-2010) of Prudential.
|
Since October 2006
|
|
Melissa Gonzalez
1980
Assistant Secretary
|
Vice President and Corporate Counsel (since September 2018) of Prudential; Vice President
and Assistant
Secretary of DC Solutions (since August 2025); Vice President and Assistant Secretary
(since August 2020) of
PGIM Investments LLC; Vice President and Assistant Secretary (since June 2025) of
AST Investment Services,
Inc.; Assistant Secretary (since March 2022) of the PGIM Alternatives Funds, (since
March 2020) of the PGIM
Retail Funds and (since March 2019) of the Prudential Annuities Funds; formerly Director
and Corporate
Counsel (March 2014-September 2018) of Prudential.
|
Since March 2020
|
|
Fund Officers(a)
|
|
|
|
Name
Year of Birth
Fund Position
|
Principal Occupation(s) During Past Five Years
|
Length of
Service as Fund Officer
|
|
Patrick E. McGuinness
1986
Assistant Secretary
|
Vice President and Corporate Counsel (since March 2026) of Prudential; Vice President
and Assistant Secretary
(since August 2020) of PGIM Investments LLC; Assistant Secretary (since March 2022)
of the PGIM Alternatives
Funds and (since June 2020) of the PGIM Retail Funds and Prudential Annuities Funds;
formerly Director and
Corporate Counsel (February 2017 – March 2026) of Prudential.
|
Since June 2020
|
|
Debra Rubano
1975
Assistant Secretary
|
Vice President and Corporate Counsel (since November 2020) of Prudential; Assistant
Secretary (since March
2022) of the PGIM Alternatives Funds and (since December 2020) of the PGIM Retail
Funds and (since
November 2020) of the Prudential Annuities Funds; formerly Director and Senior Counsel
of Allianz Global
Investors U.S. Holdings LLC (2010-2020) and Assistant Secretary of numerous funds
in the Allianz fund
complex (2015-2020).
|
Since December 2020
|
|
George Hoyt
1965
Assistant Secretary
|
Vice President and Corporate Counsel (since September 2023) of Prudential; Assistant
Secretary (since March
2024) of the Prudential Annuities Funds, (since December 2023) of the PGIM Retail
Funds, and (since
September 2023) of the PGIM Alternatives Funds; formerly Associate General Counsel
of Franklin Templeton
and Secretary and Chief Legal Officer of certain funds in the Franklin Templeton complex
(2020-2023) and
Managing Director (2016-2020) and Associate General Counsel for Legg Mason, Inc. and
its predecessors
(2004-2020).
|
Since December 2023
|
|
Devan Goolsby
1991
Assistant Secretary
|
Vice President and Corporate Counsel (since May 2023) of Prudential; Assistant Secretary
(since March 2024)
of the Prudential Annuities Funds, (since December 2023) of the PGIM Retail Funds
and (since September
2023) of the PGIM Alternatives Funds; formerly Associate at Eversheds Sutherland (US)
LLP (2021-2023);
Compliance Officer at Bloomberg LP (2019-2021); and an Examiner at the Financial Industry
Regulatory
Authority (2015-2019).
|
Since December 2023
|
|
Kelly A. Coyne
1968
Assistant Secretary
|
Director, Investment Operations (since 2010) of Prudential Mutual Fund Services LLC;
Assistant Secretary
(since March 2022) of the PGIM Alternatives Funds and (since March 2015) of the PGIM
Retail Funds.
|
Since March 2015
|
|
Christian J. Kelly
1975
Chief Financial Officer
|
Managing Director, Head of Registered Products Fund Operations (since March 2026),
Chief Financial Officer
(since March 2023) of the PGIM Retail Funds and Prudential Annuities Funds and (since
July 2022) of the PGIM
Alternatives Funds; formerly Vice President, Global Head of Investment Operations
(2018 -2026) of PGIM
Investments LLC; formerly Treasurer and Principal Financial Officer (January 2019
- March 2023) of the PGIM
Retail Funds and Prudential Annuities Funds; formerly Treasurer and Principal Financial Officer (March 2022 –
July 2022) of the PGIM Private Real Estate Fund, Inc.
|
Since January 2019
|
|
Russ Shupak
1973
Treasurer and Principal Accounting
Officer
|
Executive Director, RIC Fund Administration (since March 2026), Treasurer and Principal
Accounting Officer
(since September 2023) of the PGIM Credit Income Fund, (since March 2023) of the PGIM
Retail Funds, and
(since July 2022) of the PGIM Private Real Estate Fund, Inc.; Assistant Treasurer
(since September 2023) of the
PGIM Rock ETF Trust, (since September 2022) of the PGIM Private Credit Fund and (since
October 2019) of the
Prudential Annuities Funds; formerly Vice President (2017-2026) within PGIM Investments
Fund
Administration; formerly Assistant Treasurer (March 2022 – July 2022) of the PGIM Private Real Estate Fund,
Inc.
|
Since October 2019
|
|
Lana Lomuti
1967
Assistant Treasurer
|
Senior Director, RIC Fund Administration (since March 2026), Assistant Secretary (since
April 2014) of the
PGIM Retail Funds and Prudential Annuities Funds; formerly Vice President (2007-2026)
within PGIM
Investments Fund Administration.
|
Since April 2014
|
|
Deborah Conway
1969
Assistant Treasurer
|
Senior Director, RIC Tax (since March 2026), Assistant Secretary (since October 2019)
of the PGIM Retail Funds
and Prudential Annuities Funds; formerly Vice President (2017-2026) within PGIM Investments
Fund
Administration.
|
Since October
2019
|
|
Elyse M. McLaughlin
1974
Assistant Treasurer
|
Executive Director, RIC Fund Administration (since March 2026), Treasurer and Principal
Accounting Officer
(since September 2023) of the PGIM Rock ETF Trust, (since March 2023) of the Prudential
Annuities Funds, and
(since September 2022) of the PGIM Private Credit Fund; Assistant Treasurer (since
September 2023) of the
PGIM Credit Income Fund, (since March 2022) of the PGIM Private Real Estate Fund,
Inc., and (since October
2019) of the PGIM Retail Funds; formerly Vice President (2017-2026) within PGIM Investments
Fund
Administration.
|
Since October 2019
|
|
Robert W. McCormack
1973
Assistant Treasurer
|
Senior Director, RIC Fund Administration (since March 2026), Assistant Treasurer (since
March 2023) of the
PGIM Retail Funds and Prudential Annuities Funds and (since March 2022) of the PGIM
Alternatives Funds;
formerly Vice President (2019-2026) within PGIM Investments Fund Administration.
|
Since March 2023
|
|
Tiffany Khan
1988
Anti-Money Laundering Compliance
Officer
|
Director, Corporate Compliance, Global Financial Crimes Unit (since September 2022)
of Prudential; Senior
Associate, Global Financial Crimes Unit (March 2015- September 2022) at MetLife; Associate
National Bank
Examiner (June 2010-March 2015) at the U.S. Department of the Treasury’s Office of the Comptroller of the
Currency.
|
Since June 2026
|
|
Name
|
Aggregate Fiscal Year
Compensation from the Fund
|
Pension or Retirement Benefits
Accrued as Part of Fund Expenses
|
Estimated Annual Benefits
Upon Retirement
|
Total Compensation from Fund
and Fund Complex for Most
Recent Calendar Year
|
|
Compensation Received by Independent Board Members
|
||||
|
Ellen S. Alberding***
|
$1,200
|
None
|
None
|
$352,000* (30/102)**
|
|
Kevin J. Bannon
|
$1,200
|
None
|
None
|
$370,000* (31/103)**
|
|
Linda W. Bynoe
|
$1,200
|
None
|
None
|
$352,000* (28/100)**
|
|
Barry Evans
|
$1,200
|
None
|
None
|
$410,000* (31/103)**
|
|
Keith F. Hartstein
|
$1,200
|
None
|
None
|
$456,000* (31/103)**
|
|
Laurie Simon Hodrick
|
$1,100
|
None
|
None
|
$372,000* (28/100)**
|
|
Brian Reid
|
$1,200
|
None
|
None
|
$410,000* (31/103)**
|
|
Grace C. Torres
|
$1,200
|
None
|
None
|
$410,000* (31/103)**
|
|
Board Committee Meetings (for most recently completed fiscal year)
|
|||
|
Audit Committee
|
Nominating & Governance Committee
|
Dryden & Gibraltar Investment
Committees
|
Compliance Committee
|
|
4
|
4
|
4
|
4
|
|
Name
|
Dollar Range of Equity
Securities in the Fund
|
Aggregate Dollar Range of
Equity Securities in All
Registered Investment
Companies Overseen by
Board Member in
Fund Complex
|
|
Board Member Share Ownership: Independent Board Members
|
||
|
Ellen S. Alberding
|
None
|
Over $100,000
|
|
Kevin J. Bannon
|
None
|
Over $100,000
|
|
Linda W. Bynoe
|
None
|
Over $100,000
|
|
Barry H. Evans
|
None
|
Over $100,000
|
|
Keith F. Hartstein
|
None
|
Over $100,000
|
|
Laurie Simon Hodrick
|
None
|
Over $100,000
|
|
Brian K. Reid
|
None
|
Over $100,000
|
|
Grace C. Torres
|
None
|
Over $100,000
|
|
Board Member Share Ownership: Interested Board Members
|
||
|
Scott E. Benjamin
|
None
|
Over $100,000
|
|
Stuart S. Parker
|
None
|
Over $100,000
|
|
Management Fees Paid by the Fund
|
|
|
|
|
|
2026
|
2025
|
2024*
|
|
Gross Fee
|
$24,101,318
|
$19,181,044
|
$15,394,299
|
|
Amount Waived/ Reimbursed by PGIM Investments
|
$(24,101,318)
|
$(19,181,044)
|
$(15,394,299)
|
|
Net Fee
|
-
|
-
|
-
|
|
Fees Paid to PMFS
|
|
|
Fund Name
|
Amount
|
|
PGIM Core Government Money Market Fund
|
$100,000
|
|
Principal Fund Shareholders (as of September 3, 2026)
|
|||
|
Fund Name and Share Class
|
Shareholder Name and Address
|
No. of Shares
|
% of Class
|
|
PGIM Core Government Money Market Fund
|
PRUDENTIAL INVESTMENT MGMT INC
PRUCO LIFE INSURANCE CO FLEXGUARD
ST INVESTMENT PLAZFLXMM
ATTN PGIM FIXED INCOME
655 BROAD STREET
NEWARK, NJ 07102
|
419,179,189.750
|
8.21%
|
|
PGIM Core Government Money Market Fund
|
PRUDENTIAL INVESTMENT MANAGEMENT
PGIM ETF TRUST PGIM AAA CLO ETF
ATTN PGIM FIXED INCOME
655 BROAD ST 17TH FLOOR SOUTH TOWER
NEWARK, NJ 07102
|
758,029,091.770
|
14.84%
|
|
PGIM Core Government Money Market Fund
|
PRUDENTIAL INVESTMENT MGMT INC
WESTERN CONFERENCE OF TEAMSTERS
PENSION PLAN
ATTN PGIM FUND ADMIN
655 BROAD STREET 17TH FL S TOWER
NEWARK, NJ 07102
|
260,766,670.740
|
5.11%
|
|
PGIM Core Government Money Market Fund
|
PGIM TOTAL RETURN BOND FUND
ATTN FUND ADMIN
655 BROAD STREET
NEWARK, NJ 07102-5008
|
346,467,596.730
|
6.78%
|
|
Brokerage Commissions Paid by the Fund
|
|||
|
|
2026
|
2025
|
2024
|
|
Total brokerage commissions paid by the Fund
|
None
|
None
|
None
|
|
Total brokerage commissions paid to affiliated brokers
|
None
|
None
|
None
|
|
Percentage of total brokerage commissions paid to affiliated brokers
|
None
|
None
|
None
|
|
Percentage of the aggregate dollar amount of portfolio transactions involving the
payment of commissions to affiliated brokers
|
None
|
None
|
None
|
|
Broker-Dealer Securities Holdings
|
|||
|
Fund Name
|
Broker-Dealer
|
Equity or Debt
|
Amount
|
|
PGIM Core Government Money Market Fund
|
None
|
None
|
None
|
|
PGIM Government Money Market Fund
|
|
|
Class A Common Stock
|
11,000,000,000
|
|
Class C Common Stock
|
5,000,000,000
|
|
Class Z Common Stock
|
50,000,000,000
|
|
Class P Common Stock
|
100,000,000,000
|
|
PGIM Core Government Money Market Fund
|
34,000,000,000
|
|
Name and Principal Business Address
|
Positions and Offices with Underwriter
|
Positions and Offices with Registrant
|
|
Karen Leibowitz (1)
|
President
|
N/A
|
|
Scott E. Benjamin (1)
|
Vice President
|
Board Member and
Vice President
|
|
H. Soo Lee (1)
|
Senior Vice President, Chief
Legal Officer and Secretary
|
N/A
|
|
Meredith Henning (1)
|
Senior Vice President and
Chief Compliance Officer
|
N/A
|
|
Robert P. Smit (1)
|
Senior Vice President, Controller
and Chief Financial Officer
|
N/A
|
|
Louis A. Taite (1)
|
Senior Vice President and
Chief Operations Officer
|
N/A
|
|
Frank Papasavas (1)
|
Treasurer
|
N/A
|
|
Tiffany Khan (2)
|
Anti-Money Laundering Officer
|
Anti-Money Laundering
Compliance Officer
|
|
Kristin Pruzinsky (1)
|
Senior Vice President and
Chief Product Officer
|
N/A
|
|
|
|
|
/s/ Ellen S. Alberding
Ellen S. Alberding
|
/s/ Laurie Simon Hodrick
Laurie Simon Hodrick
|
|
/s/ Kevin J. Bannon
Kevin J. Bannon
|
/s/ Christian J. Kelly
Christian J. Kelly
|
|
/s/ Scott E. Benjamin
Scott E. Benjamin
|
/s/ Stuart S. Parker
Stuart S. Parker
|
|
/s/ Linda W. Bynoe
Linda W. Bynoe
|
/s/ Brian K. Reid
Brian K. Reid
|
|
/s/ Barry H. Evans
Barry H. Evans
|
/s/ Grace C. Torres
Grace C. Torres
|
|
/s/ Keith F. Hartstein
Keith F. Hartstein
|
|
|
|
|
|
Dated: December 4, 2025
|
|
|
Item 28
Exhibit No.
|
Description
|
|
(d)(3)(ii)
|
Management fee waiver with respect to PGIM Core Government Money Market Fund
|
|
(d)(4)(ii)
|
Subadvisory fee waiver with respect to PGIM Core Government Money Market Fund
|
|
(j)
|
Consent of independent registered public accounting firm.
|