04/29/2026 | Press release | Distributed by Public on 04/29/2026 04:00
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A: PUCAX
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C: PUCCX
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Z: PUCZX
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R6: PUCQX
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Class A
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Class C
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Class Z
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Class R6
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|
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Maximum sales charge (load) imposed on purchases (as a percentage of offering price)
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3.25%
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None
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None
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None
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Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase price or the net asset value at
redemption)
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1.00%*
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1.00%**
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None
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None
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Maximum sales charge (load) imposed on reinvested dividends and other distributions
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None
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None
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None
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None
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Redemption fee
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None
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None
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None
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None
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Exchange fee
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None
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None
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None
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None
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Maximum account fee (accounts under $10,000)
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$15
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$15
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None***
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None
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Class A
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Class C
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Class Z
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Class R6
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|
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Management fee
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0.59%
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0.59%
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0.59%
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0.59%
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Distribution and service (12b-1) fees
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0.25%
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1.00%
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None
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None
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Other expenses
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0.12%
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0.17%
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0.16%
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0.05%
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Total annual Fund operating expenses
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0.96%
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1.76%
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0.75%
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0.64%
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Fee waiver and/or expense reimbursement
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(0.03)%
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(0.03)%
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(0.13)%
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(0.05)%
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Total annual Fund operating expenses after fee waiver and/or expense reimbursement(1)
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0.93%
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1.73%
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0.62%
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0.59%
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Share Class
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1 Year
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3 Years
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5 Years
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10 Years
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Class A
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$417
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$618
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$836
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$1,462
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Class C
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$276
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$551
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$951
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$1,859
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Class Z
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$63
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$227
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$404
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$918
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Class R6
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$60
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$200
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$352
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$794
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Share Class
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1 Year
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3 Years
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5 Years
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10 Years
|
|
Class A
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$417
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$618
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$836
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$1,462
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|
Class C
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$176
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$551
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$951
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$1,859
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Class Z
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$63
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$227
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$404
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$918
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Class R6
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$60
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$200
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$352
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$794
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|
|
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Best Quarter:
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Worst Quarter:
|
||
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10.29%
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2nd
Quarter
2020
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-10.96%
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1st
Quarter
2020
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1 The total return of the Fund's Class Z shares from January 1, 2026 through
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March 31, 2026
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was
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-0.16%
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Return Before Taxes
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One Year
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Five Years
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Ten Years
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Since
Inception
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Inception
Date
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Class A Shares
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4.57%
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0.71%
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3.99%
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-
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|
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Class C Shares
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6.24%
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0.60%
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3.52%
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-
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Class R6 Shares
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8.48%
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1.74%
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N/A
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3.84%
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4-26-2017
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Class Z Shares % (as of 12-31-25)
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|||||
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Return Before Taxes
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8.44%
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1.71%
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4.67%
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-
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|
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Return After Taxes on Distributions
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6.22%
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-0.59%
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2.30%
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-
|
|
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Return After Taxes on Distributions and Sale of Fund Shares
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4.99%
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0.28%
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2.56%
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-
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|
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Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-25)
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|||||
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Bloomberg US Aggregate Bond Index*
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7.30%
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-0.36%
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2.01%
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1.83%**
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|
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Bloomberg Intermediate US Aggregate Bond Index
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7.45%
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0.68%
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2.06%
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2.00%**
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Investment Manager
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Subadviser
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Portfolio Managers
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Title
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Service Date
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PGIM Investments LLC
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PGIM Credit*
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Gregory Peters
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Co-Chief Investment
Officer
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July 2015
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|
Richard Piccirillo
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Managing Director and
Co-Head of
Multi-Sector Team
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July 2015
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||
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Robert Tipp, CFA
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Managing Director,
Chief Investment
Strategist and Head of
Global Bonds
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July 2015
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||
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Matthew Angelucci, CFA
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Managing Director and
Senior Portfolio
Manager
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September 2023
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Investment Manager
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Subadviser
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Portfolio Managers
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Title
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Service Date
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Tyler Thorn
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Managing Director and
Portfolio Manager
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September 2023
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Class A*
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Class C*
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Class Z*
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Class R6
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|
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Minimum initial investment
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$1,000
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$1,000
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None
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None
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Minimum subsequent investment
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$100
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$100
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None
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None
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By Mail:
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Prudential Mutual Fund Services LLC, PO Box 534432, Pittsburgh, PA 15253-4432
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By Telephone:
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800-225-1852 or 973-367-3529 (outside the US)
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On the Internet:
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www.pgim.com/investments
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