Objective

Seeks total return, through a combination of current income and capital appreciation. 

FUND INFORMATION
Style: Multi-Sector Bond (Interval Fund)
Total Net Assets: $110 Million
Dividends (Paid): Monthly
Dividends (Accrued):
Capital Gains: Annually

Investing in the PGIM Credit Income Fund (the “Fund”) involves risks, including the risk that a shareholder may receive little or no return on his or her investment or that a shareholder may lose part or all of his or her investment. The Fund should be considered a speculative investment that entails substantial risks, and a prospective investor should invest in the Fund only if they can sustain a complete loss of their investment. Below is a summary of some of the principal risks of investing in the Fund:

  • No History of Operations, as the Fund is a recently organized, diversified, closed-end management investment company with no history of operations or public trading and is subject to all of the business risks and uncertainties associated with any new business;
  • General, Market and Economic Risks which involves certain risks and the Fund may not be able to achieve its intended results for a variety of reasons, including, among others, the possibility that the Fund may not be able to successfully implement its investment strategy because of market, economic, regulatory, geopolitical and other conditions (including those associated with COVID-19 or other infectious disease outbreaks);
  • Repurchase Offers Risk in which the Fund is an “interval fund” and, in order to provide liquidity to shareholders, the Fund, subject to applicable law, will conduct quarterly repurchase offers of the Fund’s outstanding common shares of beneficial interest (“Common Shares”) at NAV. There is no secondary market for the fund’s shares and none is expected to develop. Investors should consider shares of the fund to be an illiquid investment;
  • Illiquid Investment Risk, to the extent consistent with the applicable liquidity requirements for interval funds under Rule 23c-3 of the Investment Company Act of 1940 (the “1940 Act”), the Fund may invest without limit in illiquid securities;
  • Distributions Risk, as there can be no assurance that the Fund will achieve investment results that will allow the Fund to make a specified level of cash distributions or maintain certain levels of cash distributions. Distributions may constitute return of capital and may reduce an investor's adjusted tax basis. Any capital returned through distributions will be distributed after payment of fees and expenses;
  • Liquidity Risk, as the Fund is designed primarily for long-term investors and an investment in the Fund's Common Shares should be considered illiquid;
  • Valuation Risk, as the value of certain of the Fund's investments will be difficult to determine and the valuation determinations made by the Manager and Subadviser with respect to such investments will likely vary from the amounts the Fund would receive upon sale or disposition of such investments;
  • Loans Risk, since the Fund’s ability to receive payments of principal and interest and other amounts in connection with loans (whether through participations, assignments or otherwise) will depend primarily on the financial condition of the borrower;
  • Loan Origination Risk, as the level of analytical sophistication, both financial and legal, necessary for successful financing to companies, particularly companies experiencing significant business and financial difficulties, is high;
  • Mortgage-Backed and Asset-Backed Securities Risk, as mortgage-backed securities are particularly susceptible to prepayment and extension risks, because prepayments on the underlying mortgages tend to increase when interest rates fall and decrease when interest rates rise;
  • Structured Products Risk, as holders of structured product securities bear risks of the underlying investments, index or reference obligation;
  • Fixed Income Instruments Risk, as fixed income instruments are subject to a number of risks, including issuer risk, interest rate risk, floating-rate and fixed-to-floating-rate risk, prepayment risk, extension risk, reinvestment risk, spread riskand credit risk
  • Distressed and Defaulted Obligations Risk, as the below investment grade securities in which the Fund may invest also include, distressed, defaulted and partially defaulted loans.
  • Below Investment Grade (High Yield or Junk Bond) Instruments Risk, as the Fund’s investments in below investment grade quality securities and instruments are regarded as having predominantly speculative characteristics with respect to the issuer’s capacity to pay interest and repay principal in accordance with the terms of the obligations and involve major risk exposure to adverse conditions;
  • Subprime Risk, as loans and debt instruments collateralized by loans acquired by the Fund may be, or may become, subprime in quality.
  • Inflation Risk, as wages and prices of inputs increasing during periods of inflation may negatively impact returns on the Fund's investments.
  • Derivatives Risk, as the Fund may invest in derivative instruments, such as options contracts, futures contracts, options on futures contracts, indexed securities, credit linked notes, credit default swaps and other swap agreements for investment, hedging and risk management purposes;
  • Leverage Risk, as the Fund may utilize leverage, but there can be no assurance that the Fund will do so, or that, if utilized, it will be successful during any period in which it is employed. Leverage is a speculative technique that exposes the Fund to greater risk and higher costs than if it were not implemented;
  • Allocation of Investment Opportunities Risk, since certain other existing or future funds, investment vehicles and accounts managed by the Manager and its affiliates and PGIM affiliated proprietary entities invest in securities, properties and other assets in which the Fund may seek to invest;
  • "Covenant-Lite" Risk, as some of the debt obligations, loans or other securities in which the Fund may invest or get exposure to may be "covenant-lite", which means the loans or obligations containe fewer financial maintenance covenants than other loans or obligations (in some cases, none).
  • Repurchase Agreement Risk, as repurchase agreements could involve certain risk in the event of default or insolvency of the seller, including losses and possible delays or restrictions upon the Fund's ability to dispose of the underlying securities.
  • U.S. Government and Agency Securities Risk, as U.S. Government and agency securities are subject to market risk, interest rate risk and credit risk. Not all U.S. Government securities are insured or guaranteed by the full faith and credit of the U.S. Government; some are only insured or guaranteed by the issuing agency, which must rely on its own resources to repay the debt.
  • Privately Issued Mortgage-Related Securities Risk, as there are no direct or indirect government or agency guarantees of payments in pools created by non-governmental issuers. Privately issued mortgage-related securities are also not subject to the same underwriting requirements for the underlying mortgages that are applicable to those mortgage-related securities that have a government or government-sponsored entity guarantee.
  • Senior Debt Risk, as the restrictions on transfers in loan agreements, a lack of publicly available information and other factors may, in certain instances, make senior debt in which the Fund may invest more difficult to sell at an advantageous time or price than other types of securities or instruments.
  • Confidential Information Access Risk, as the Fund's subadviser may from time to time have the opportunity to receive material, non-public information about the issuers of certain investments, including, without limitation, senior floating rate loans, other loans and related investments being considered for acquisition by the Fund or held in the Fund’s portfolio.
  • Private Placements Risk, as any securities received by the Fund in a private placement generally are subject to strict restrictions on resale, and there may be no liquid secondary market or ready purchaser for such securities.
  • Non-U.S. Investment Risks, as the Fund may invest in non-U.S. investments, which may include investments denominated in U.S. dollars or in non-U.S. currencies, to the extent permitted by the 1940 Act.

Diversification does not assure a profit or protect against loss in declining markets. These risks may increase the Fund’s share price volatility. The risks associated with the Fund are more fully explained in the prospectus. There is no guarantee the Fund’s investment objective will be achieved.

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 Credit Income Fund.
See Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Credit Income Fund.

See Daily Returns for the PGIM Credit Income Fund.
See Quarterly SEC Standardized Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Credit Income Fund.

Fund Expenses
Maximum sales charge (%)
Class
Gross (%)
Net (%)
Date*
A 584.43 3.79 12/06/2026 2.5%
C 530.87 4.04 12/06/2026
Z 3.05 3.04 12/06/2026

*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 Private Debt - General Category Average: Private debt - general funds are debt funds that have at least 15% of their assets in illiquid securities, with a focus on debt that has been extended to private companies. Funds holding a variety of types of debt can reside here, including mezzanine, real estate, distressed, infrastructure, venture debt, leveraged loans, collateralized loan obligations, and direct lending, and others. However, funds that primarily focus on direct lending are classified elsewhere in a dedicated category.

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

Prices

AS OF 04/15/2026
Class
NAV ($)
NAV Change ($)
NAV Change (%)
POP ($)
Total Net Assets ($)
A 24.52 N/C 0.00 0.00 25.28 10,262.14
C 24.59 N/C 0.00 0.00 10,251.48
Z 24.62 N/C 0.00 0.00 111,687,302.17

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 04/15/2026
Class
52 Week High ($)
52 Week High Date
52 Week Low ($)
52 Week Low Date
A 25.03 09/15/2025 24.12 04/21/2025
C 25.10 09/15/2025 24.18 04/21/2025
Z 25.13 08/28/2025 24.20 04/21/2025

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.

See Yields of other PGIM Investments Mutual Funds.

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.

Portfolio Attributes

AS OF 03/31/2026
Credit Quality (% of Assets)
Credit Quality
% of Assets
AAA 0.3%
AA 1.5%
A 6.6%
BBB 22.9%
BB 37.8%
B 34.4%
CCC 2.7%
Not Rated 21.3%
Cash/Equiv -27.4%
Sector Breakdown (% of Assets)
Sector Breakdown
% of Assets
Securitized Products 42.1%
Commercial MBS 16.4%
Private ABF 12.2%
CLO 11.1%
Non Agency MBS 1.6%
Other ABS 0.9%
High Yield 29.9%
Bank Loans 27.2%
Direct Lending 15.3%
Emerging Markets 7.3%
Investment Grade Corporate 5.5%
U.S. Govt Related 0.3%
Cash and Equivalents -27.7%
Fund Statistics
AS OF 03/31/2026
Average Maturity (years) 9.5
Duration (years) 2.7

All data is unaudited and subject to change. Holdings/allocations may vary. Total number of holdings based on issuers. Largest holdings excludes cash, cash equivalents, money market funds and enhanced cash strategies. This is not a recommendation to buy or sell any security listed. Largest holdings exclude cash, cash equivalents, money market funds and enhanced cash strategies. Negative holdings reflect outstanding trades at period end.

Fund Holdings

AS OF 03/31/2026

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.

© 2026, American Bankers Association. CUSIP Database provided by FactSet Research Systems Inc. All rights reserved.

PGIM Credit is a unit of PGIM, Inc., a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly-owned subsidiary of PGIM, Inc. (“PGIM”), the principal asset management business of Prudential Financial, Inc. (“PFI”), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. PGIM is the principal asset management business of Prudential Financial, Inc. (PFI), and a trading name of PGIM, Inc. and its global subsidiaries and affiliates. 

4072323 Ed. 12/2024

Security ID# (CUSIP/SEDOL)
Security Description
Ticker Symbol
Coupon Rate
Maturity Date
Shares/Notional
Value ($)
% of Portfolio
92840MAC6 Vistra Corp VST 7.0 06/15/2174 2,300,000.00 2,301,165.00 2.06
629377CU4 NRG Energy Inc NRG 10.25 09/15/2174 1,800,000.00 1,943,984.00 1.74
B8AC6L2G5 Hurricane Cleanco Limited 6.25 10/31/2029 1,362,866.00 1,866,123.00 1.67
74440E201 PGIM Core Ultra Short Bond Fund 3.86 12/01/2099 1,846,342.00 1,846,341.00 1.65
XS28110889 Monument Clo 1 Dac MNMNT 6.33 05/15/2037 1,500,000.00 1,741,148.00 1.56
69391NAA9 PMT Credit Risk Transfer Trust 2024-2r PMTCR 7.01 03/29/2027 1,680,617.00 1,688,365.00 1.51
73015AAA5 PMT Credit Risk Transfer Trust 2024-1r PMTCR 7.16 02/25/2052 1,671,148.00 1,680,550.00 1.51
076912AA2 Beignet Investor Llc RPLDCI 6.58 05/30/2049 1,599,000.00 1,646,767.00 1.47
XS26150064 Monitchem Holdco 3 Sa CABBCO 8.75 05/01/2028 1,445,000.00 1,625,742.00 1.46
25470MAG4 DISH Network Corp DISH 11.75 11/15/2027 1,525,000.00 1,571,085.00 1.41
223929AJ9 CQS Us Clo 2023-3 Ltd CQS 7.87 01/25/2037 1,500,000.00 1,497,024.00 1.34
98877JAG7 Z CApital Credit Partners Bsl Clo 2024-1 ZBSL 7.32 04/16/2036 1,500,000.00 1,501,696.00 1.34
CURRENCY Currency 1,364,196.00 1,475,325.00 1.32
XS27199989 EG Global Finance Plc EGBLFN 11.0 11/30/2028 1,085,000.00 1,317,429.00 1.18
95003EAE6 Wells Fargo Commercial Mortgage Trust 20 WFCM 6.19 05/15/2031 1,300,000.00 1,298,934.00 1.16
36267QAA2 CLUE Opco Llc FWRD 9.5 10/15/2031 1,263,000.00 1,227,773.00 1.10
B8ADKYD51 Constellation Automotive Grp Ltd 8.37 02/28/2031 1,000,000.00 1,164,518.00 1.04
B8AF7XP35 Project Cannes - Bayview Itl Npl 12/07/2029 1,000,000.00 1,155,850.00 1.04
XS29045637 Hayfin Emerald Clo V Dac HAYEM 6.14 11/17/2037 1,000,000.00 1,154,117.00 1.03
XS32917821 Nassau Euro Clo Iv Dac NGCE 4.88 07/20/2038 1,000,000.00 1,137,076.00 1.02
B8AELEUB0 Nomura Sub Msr Participation 3.66 06/27/2027 1,143,000.00 1,143,000.00 1.02
B8ADKY7N9 Voodoo Sas 7.02 02/28/2030 1,000,000.00 1,115,395.00 1.00
B8AF9A8U2 Nationwide Acq Tl 8.99 10/01/2029 1,100,000.00 1,108,800.00 0.99
78451FAJ5 SLG Office Trust 2026-oma SLG 6.96 04/01/2041 1,100,000.00 1,104,539.00 0.99
B8AFARZY5 Golden State Buyer Inc 03/30/2031 1,100,000.00 1,089,000.00 0.98
B8AEVFY97 Wedgwood Specialty Pharma Iii 8.44 12/31/2032 1,107,143.00 1,090,535.00 0.98
552953CH2 MGM Resorts International MGM 4.75 10/15/2028 1,075,000.00 1,057,605.00 0.95
12769GAA8 Caesars Entertainment Inc CZR 4.63 10/15/2029 1,100,000.00 1,058,563.00 0.95
04940AAL6 Atlas Senior Loan Fund Xvi Ltd ATCLO 7.63 01/20/2034 1,100,000.00 1,044,167.00 0.94
443628AH5 Hudbay Minerals Inc HBMCN 6.13 04/01/2029 1,050,000.00 1,047,375.00 0.94
74970WAJ9 ROCK Trust 2024-cntr ROCC 8.82 11/13/2041 1,000,000.00 1,040,396.00 0.93
BKLXG54 Virgin Media Secured Finance Plc VMED 4.25 01/15/2030 875,000.00 1,019,519.00 0.91
92987LAL1 Wharf Commercial Mortgage Trust 2025-dc WHARF 7.21 07/01/2040 1,000,000.00 1,000,758.00 0.90
37186XAY1 Genesis Sales Finance Master Trust GSFMT 6.26 12/20/2032 1,000,000.00 1,005,647.00 0.90
67118VAJ8 OFSI Bsl Clo Xiii Ltd OFSBS 8.17 04/20/2037 1,000,000.00 1,001,017.00 0.90
67120UAN7 NYC Commercial Mortgage Trust 2025-3bp NYC 7.21 02/15/2042 1,000,000.00 1,002,662.00 0.90
67115PBN4 OFSI Bsl Xi Ltd OFSBS 7.38 03/31/2038 1,000,000.00 988,239.00 0.89
38144GAG6 Goldman Sachs Group Inc/the GS 3.65 02/10/2075 1,000,000.00 989,713.00 0.89
05613UAJ0 BX Trust 2025-dime BX 6.67 02/15/2030 1,000,000.00 991,250.00 0.89
06875VAJ9 Barrow Hanley Clo Iii Ltd BARHN 7.82 04/20/2037 1,000,000.00 998,429.00 0.89
12433NAJ0 BX Commercial Mortgage Trust 2026-xl6 BX 6.67 03/15/2043 1,000,000.00 993,768.00 0.89
28623MBA6 Elevation Clo 2021-12 Ltd AWPT 9.03 04/20/2037 1,000,000.00 991,101.00 0.89
XS30533663 Taurus 2025-3 Uk Designated Activity Co TAURS 7.73 07/20/2035 750,000.00 991,852.00 0.89
BL5098621 Brookfield Ppty Ret Hld BPYU 7.17 05/28/2030 992,500.00 994,981.00 0.89
12433HAJ3 BX Commercial Mortgage Trust 2025-bcat BX 7.17 08/15/2042 958,285.00 960,680.00 0.86
B8AEN6KT7 Branford 3.69 06/25/2031 947,624.00 947,624.00 0.85
B8AE093V0 Parfums De Marly 9.12 09/01/2028 935,000.00 935,000.00 0.84
123912AJ6 BX Trust 2025-tail BX 6.97 06/15/2035 940,000.00 939,982.00 0.84
05555HAN0 BFLD 2024-wrhs Mortgage Trust BFLD 7.36 07/15/2039 926,997.00 925,838.00 0.83
978097AG8 Wolverine World Wide Inc WWW 4.0 08/15/2029 975,000.00 902,626.00 0.81
05594LAJ3 BX Commercial Mortgage Trust 2025-jdi BX 7.07 11/15/2042 889,203.00 888,924.00 0.80
23918KAT5 Davita Inc DVA 3.75 02/15/2031 975,000.00 894,451.00 0.80
12433CAG0 BX Commercial Mortgage Trust 2024-airc BX 6.76 08/15/2039 867,251.00 867,251.00 0.78
880349AU9 Tenneco Inc TENINC 8.0 11/17/2028 875,000.00 873,675.00 0.78
109641AK6 Brinker International Inc EAT 8.25 07/15/2030 825,000.00 865,258.00 0.77
B8AESWF79 Lindstrom Llc 9.12 12/31/2032 871,383.00 858,311.00 0.77
B8AEWP2F5 International Schools Partnership 8.09 07/06/2031 857,919.00 853,629.00 0.76
845467AT6 Expand Energy Corp EXE 4.75 02/01/2032 850,000.00 828,255.00 0.74
B8AF4AHB9 Wells Concrete 03/09/2033 825,000.00 818,152.00 0.73
B8ADVZ4C1 Denali Intermediate Hldg Inc 9.17 05/31/2032 846,224.00 803,912.00 0.72
89116CKP1 Toronto-dominion Bank/the TD 7.25 07/31/2084 785,000.00 792,850.00 0.71
431318BC7 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 8.38 11/01/2033 750,000.00 781,377.00 0.70
BW5YXJ0 EG Global Finance Plc EGBLFN 11.0 11/30/2028 625,000.00 759,313.00 0.68
12433EAN1 BX Trust 2022-lba6 BX 6.37 01/15/2039 750,000.00 749,531.00 0.67
05593VAN3 BX Trust 2025-roic BX 6.61 03/15/2030 732,012.00 729,266.00 0.65
780082AY9 Royal Bank Of Canada RY 6.5 11/24/2085 750,000.00 721,784.00 0.65
82846H702 QXO Inc 4.75 12/31/2079 730,000.00 730,000.00 0.65
BRCD5D3 Grifols Sa GRFSM 7.13 05/01/2030 580,000.00 692,995.00 0.62
XS29305389 LUGO Funding Dac LUGO 4.04 05/26/2066 600,000.00 678,232.00 0.61
BL0HM90 Ivory Coast Government International Bon IVYCST 5.88 10/17/2031 600,000.00 676,519.00 0.61
983133AA7 WYNN Resorts Finance Llc / Wynn Resorts WYNFIN 5.13 10/01/2029 675,000.00 666,666.00 0.60
XS31715606 PRPM Fundido 2025-2 Dac FUNDD 4.54 01/29/2075 600,000.00 666,141.00 0.60
B8AESWHL6 Minerva Bidco Limited 11/30/2032 500,000.00 661,800.00 0.59
B8AEKNLW5 Aptive Environmental Llc 8.42 10/31/2032 583,214.00 580,257.00 0.52
B8ADRJ0H5 Clubcorp Holdings Inc 8.42 04/30/2032 585,831.00 575,578.00 0.52
08163XAC7 Benchmark 2024-v5 Mortgage Trust BMARK 2.97 01/01/2057 8,000,000.00 575,549.00 0.52
25704PAA8 Domain Greenbough Partner 2 14.57 01/23/2032 565,978.00 565,978.00 0.51
210385AG5 Constellation Energy Generation Llc CEG 4.63 02/01/2029 575,000.00 568,053.00 0.51
B8ADAMRM6 International Park Hldgs Bv 7.37 12/31/2031 500,000.00 570,700.00 0.51
221625AV8 Ivory Coast Government International Bon IVYCST 8.08 04/01/2036 550,000.00 558,847.00 0.50
44267DAE7 Howard Hughes Corp/the HHH 4.13 02/01/2029 575,000.00 544,301.00 0.49
BL5184058 Allied Universal Holdco UNSEAM 6.92 08/20/2032 547,250.00 546,949.00 0.49
BL5557741 Arclin Inc NEWARC 4.5 03/04/2033 575,000.00 525,406.00 0.47
BL5270121 ROOT Bidco Sarl EURCRO 7.02 09/27/2030 525,000.00 525,404.00 0.47
603051AE3 Mineral Resources Ltd MINAU 9.25 10/01/2028 510,000.00 528,003.00 0.47
B8AEN8446 AREP Va Data Center 07/30/2028 531,370.00 527,560.00 0.47
09660QAA2 BMO 2024-5c3 Xd BMO 2.86 02/01/2057 7,250,000.00 514,515.00 0.46
081927AH8 Benchmark 2024-v6 Mortgage Trust BMARK 3.26 03/01/2057 6,000,000.00 501,420.00 0.45
1248EPCK7 CCO Holdings Llc / Cco Holdings Capital CHTR 4.25 02/01/2031 548,000.00 498,553.00 0.45
59170JBB3 Metronet Infrastructure Issuer Llc MNET 7.83 08/20/2055 500,000.00 507,480.00 0.45
91825HAE4 Vb-s1 Issuer Llc VBTEL 6.84 03/15/2056 500,000.00 502,110.00 0.45
BV4FWL2 Vedanta Resources Finance Ii Plc VEDLN 9.13 10/15/2032 500,000.00 500,625.00 0.45
21979LAB2 Coronado Finance Pty Ltd CRNAU 9.25 10/01/2029 550,000.00 493,784.00 0.44
B8ADWV215 J&J Ventures Gaming Llc 8.67 04/26/2030 498,750.00 495,009.00 0.44
172967PK1 Citigroup Inc C 7.13 11/15/2173 470,000.00 474,743.00 0.43
BL5118916 Bingo Holdings I Llc AGS 8.42 06/30/2032 497,500.00 484,132.00 0.43
579063AB4 Mcafee Corp MCFE 7.38 02/15/2030 575,000.00 474,324.00 0.42
12433FAG3 BX Commercial Mortgage Trust 2025-spot BX 6.16 04/15/2040 453,321.00 452,754.00 0.41
12433FAJ7 BX Commercial Mortgage Trust 2025-spot BX 7.36 04/15/2040 453,321.00 452,754.00 0.41
039955AJ8 ARES Trust 2025-ind3 ARES1 6.22 04/15/2027 450,000.00 450,000.00 0.40
B8ACXJ742 Dukes Education Group Ltd 8.07 11/25/2028 338,151.00 447,576.00 0.40
BL4752996 Paint Intermediate Iii PAIIII 6.67 10/09/2031 449,250.00 446,725.00 0.40
XS31869441 Clavel Residential 4 Dac CLAVE 4.54 10/28/2066 400,000.00 445,465.00 0.40
BL5450301 Hudson River Trading Llc HURVTR 6.18 03/18/2030 439,436.00 437,177.00 0.39
BL5473485 Azuria Water Solutn Inc AEGN 2.75 01/27/2033 441,176.00 436,213.00 0.39
B8AFA7WW6 Domain Greenbough Partner 2 - Unfunded 14.57 01/24/2032 434,022.00 434,022.00 0.39
BF2D3D5 Eskom Holdings ESKOM 8.45 08/10/2028 404,000.00 423,642.00 0.38
B8ADQ6J27 Doncasters Us Fin Llc 04/01/2030 420,000.00 421,050.00 0.38
20753PAD3 Connect Holding Ii Llc BSPEED 10.5 04/03/2031 425,000.00 423,340.00 0.38
BL4949832 Clarios Global Lp POWSOL 6.42 01/28/2032 422,875.00 421,394.00 0.38
BL5566114 Galileo Parent Inc VNTHLD 8.12 03/03/2033 425,000.00 415,968.00 0.37
335934AX3 First Quantum Minerals Ltd FMCN 7.25 02/15/2034 405,000.00 410,030.00 0.37
57779EAA6 Maxim Crane Works Holdings Capital Llc CLDCRN 11.5 09/01/2028 400,000.00 416,338.00 0.37
98313RAH9 WYNN Macau Ltd WYNMAC 5.63 08/26/2028 425,000.00 417,759.00 0.37
BL4978666 Genesys Cloud Services GCTI 6.17 01/30/2032 420,628.00 401,876.00 0.36
BL4803666 Qualitytech Lp QTS 7.17 11/04/2031 397,000.00 395,015.00 0.35
BL5557287 Proampac Pg Borrower Llc PROLAM 7.67 03/07/2033 400,000.00 385,300.00 0.35
BL5359106 Voyager Parent Llc EVRI 7.91 07/01/2032 372,629.00 369,677.00 0.33
BL5316601 Gategroup Us Finance Inc GATESW 7.19 06/10/2032 373,375.00 372,751.00 0.33
BMW62K3 Colombia Government International Bond COLOM 3.75 09/19/2028 330,000.00 373,420.00 0.33
BL5162484 Jupiter Buyer Inc ARCHKE 7.92 11/01/2031 373,556.00 373,324.00 0.33
BL5173432 Savage Enterprises Llc SAVENT 6.17 08/05/2032 373,125.00 372,718.00 0.33
BL5024569 Loire Finco Luxembourg LGCLTD 7.67 01/21/2030 362,222.00 361,240.00 0.32
92332YAF8 Venture Global Lng Inc VENLNG 9.0 03/30/2173 355,000.00 353,391.00 0.32
B8AEZN3A7 QXO Inc - Unfunded 4.75 12/31/2079 360,000.00 360,000.00 0.32
BL5143047 Crown Finance Us Inc CINELN 8.17 12/02/2031 348,624.00 344,646.00 0.31
BL4990463 GFL Es Us Llc GFLES 6.17 03/03/2032 348,250.00 348,034.00 0.31
BL4985299 Boxer Parent Co Inc BMC 6.67 07/30/2031 368,157.00 340,431.00 0.30
BL5042678 Vista Management Holding Inc VSTJET 7.41 04/01/2031 343,008.00 338,936.00 0.30
BL5133808 Inmar Inc INMARI 8.17 10/30/2031 344,827.00 329,527.00 0.30
BNXM9K6 Herens Midco Sarl LNZING 5.25 05/15/2029 710,000.00 339,890.00 0.30
BL5316866 Focus Financial Partners Llc FOCS 6.17 09/15/2031 345,634.00 334,003.00 0.30
BFB5ML3 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 400,000.00 332,360.00 0.30
80874DAA4 Scientific Games Holdings Lp/scientific SCGALO 6.63 03/01/2030 375,000.00 324,156.00 0.29
BL5395290 Upstream Newco Inc UPSREH 8.18 11/20/2029 346,796.00 319,291.00 0.29
BL5276391 Allwyn Entertainment Fin SAZKAG 6.17 11/24/2032 325,000.00 318,500.00 0.29
BL5566791 OEP Glass Purchaser Llc OEPGLA 7.67 03/07/2033 325,000.00 319,312.00 0.29
BQ0G6D4 Bellis Acquisition Co Plc ASSDLN 8.0 07/01/2031 296,000.00 322,459.00 0.29
BL5566106 Envision Healthcare Oper EVHC 8.67 06/25/2030 319,492.00 321,488.00 0.29
BL5018603 Alltech Inc ALLTEC 8.04 08/13/2030 319,554.00 320,554.00 0.29
BL5017431 TK Elevator Us Newco Inc THYELE 6.38 04/30/2030 315,598.00 316,102.00 0.28
BL4808012 TPC Group Inc TPCG 9.39 11/24/2031 346,500.00 316,527.00 0.28
71654QDL3 Petroleos Mexicanos PEMEX 8.75 06/02/2029 300,000.00 315,420.00 0.28
854938AA5 STAR Leasing Co Llc TRAILR 7.63 02/15/2030 325,000.00 302,335.00 0.27
BG206C3 Angolan Government International Bond ANGOL 8.25 05/09/2028 300,000.00 302,400.00 0.27
BL5317096 Engineered Machinery Hol FISBEI 6.92 11/26/2032 297,653.00 298,471.00 0.27
BL4811750 Grinding Media Inc GRIMED 7.17 10/12/2028 295,500.00 295,500.00 0.26
BL4583441 Trulite Glass & Aluminum Solutions Llc TRUGLA 9.66 03/01/2030 311,815.00 286,869.00 0.26
BL5159126 Radiate Holdco Llc RADIAT 8.79 09/25/2029 325,410.00 288,664.00 0.26
BL5190030 Jefferies Finance Llc JEFFIN 6.43 10/21/2031 296,250.00 291,065.00 0.26
B8AD3A2S4 Dukes Education Grp Ltd 11/27/2028 255,789.00 295,653.00 0.26
91282CLK5 United States Treasury Note/bond T 3.63 08/31/2029 290,000.00 287,802.00 0.26
146869AN2 Carvana Co CVNA 9.0 06/01/2030 275,000.00 286,334.00 0.26
071734AN7 Bausch Health Cos Inc BHCCN 4.88 06/01/2028 300,000.00 274,803.00 0.25
05593RAJ1 BMO 2024-5c5 Mortgage Trust BMO 2.46 02/01/2057 3,975,000.00 276,036.00 0.25
11283YAG5 Brookfield Residential Properties Inc / BRPCN 5.0 06/15/2029 300,000.00 284,181.00 0.25
B8ADX0WW1 Doncasters Us Finance Llc 10.17 04/23/2030 277,900.00 278,594.00 0.25
B8AF4UVD5 HPS Slf Vi Im - Unfunded: B 09/30/2034 283,104.00 283,104.00 0.25
BL5224490 Level 3 Financing Inc LVLT 6.92 03/29/2032 275,000.00 274,714.00 0.25
BL5450194 Nourish Buyer I Inc NOUBUY 7.67 07/09/2032 274,313.00 274,485.00 0.25
BL5601523 Arcwood Environmental HRENSR 3.0 03/18/2033 272,000.00 272,000.00 0.24
BL5601739 TEGA Mc Australia Holdin TEMAUS 3.5 03/25/2033 275,000.00 272,937.00 0.24
BL5260981 Madison Iaq Llc MADIAQ 6.38 11/08/2032 262,583.00 262,932.00 0.24
BL5276714 RYAN Llc RYNLLC 7.17 11/05/2032 275,000.00 265,633.00 0.24
BL4645844 Doncasters Finance Us Llc DONCAS 10.17 04/23/2030 265,275.00 265,938.00 0.24
BL5006806 Columbus Mckinnon Corp CMCO 7.16 02/03/2033 264,907.00 263,582.00 0.24
BL4985588 Athenahealth Group Inc ATHENA 6.42 02/15/2029 273,691.00 268,217.00 0.24
B8ADGKST8 NEW Generation Gas Gathering Llc 3.68 09/30/2029 275,675.00 271,539.00 0.24
04433LAA0 Ashland Inc ASH 3.38 09/01/2031 300,000.00 269,008.00 0.24
278768AC0 Echostar Corp SATS 10.75 11/30/2029 250,000.00 270,000.00 0.24
67091TAF2 OCP Sa OCPMR 6.75 05/02/2034 260,000.00 270,758.00 0.24
5V21IR3JGS Eur/usd Fwd 20260402 955 EUR 04/02/2026 -137,530.00 252,785.00 0.23
70932MAC1 Pennymac Financial Services Inc PFSI 5.75 09/15/2031 275,000.00 255,436.00 0.23
B8AEPE2W1 AREP Va Data Center 6.32 07/30/2028 256,886.00 255,044.00 0.23
BL3473057 Trugreen Lp SVMSTR 7.77 11/02/2027 275,060.00 261,307.00 0.23
BL3563329 Midwest Physician Admins MIDPHY 6.93 03/13/2028 299,213.00 254,106.00 0.23
BL4871903 Acrisure Llc ACRISU 6.67 11/06/2030 269,480.00 260,654.00 0.23
BL4587764 Magnera Corp MAGN 7.92 11/04/2031 270,516.00 258,748.00 0.23
BL4842664 Phoenix Guarantor Inc BRIHEA 6.17 02/21/2031 245,019.00 244,891.00 0.22
BL4922748 Graftech Global Enterpri EAF 9.67 12/21/2029 254,545.00 240,387.00 0.22
BL4978641 Recess Holdings Inc RECESS 7.42 02/20/2030 246,012.00 246,274.00 0.22
BL4985356 Azuria Water Solutn Inc AEGN 6.67 05/17/2028 244,412.00 241,723.00 0.22
BL5276672 PING Identity Holding Co PING 6.42 11/15/2032 250,000.00 246,562.00 0.22
BL5546884 Azorra Soar Tlb Finance AZORRA 6.17 10/18/2029 246,253.00 246,149.00 0.22
BL5479326 Bulldog Purchaser Inc BAYCLU 6.91 02/04/2033 250,000.00 249,375.00 0.22
BL3764356 AMG Nv AMGNA 7.29 11/30/2028 244,885.00 243,863.00 0.22
BL4045797 Tenneco Inc TENINC 8.76 11/17/2028 250,000.00 243,307.00 0.22
59284MAD6 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 300,000.00 249,270.00 0.22
31556TAA7 Fertitta Entertainment Llc / Fertitta En FRTITA 4.63 01/15/2029 250,000.00 239,217.00 0.21
810186AW6 Scotts Miracle-gro Co/the SMG 4.38 02/01/2032 250,000.00 232,557.00 0.21
836205BJ2 Republic Of South Africa Government Inte SOAF 7.25 12/11/2055 260,000.00 237,770.00 0.21
16115QAF7 Chart Industries Inc GTLS 7.5 01/01/2030 225,000.00 233,764.00 0.21
BD35RT0 Ivory Coast Government International Bon IVYCST 5.25 03/22/2030 201,000.00 228,913.00 0.21
BL5262839 WIN Waste Innovations Ho WHETEC 7.04 03/24/2028 233,240.00 233,751.00 0.21
BL5192010 Belfor Holdings Inc BELFUS 6.42 11/01/2030 237,674.00 237,823.00 0.21
BL5179868 Covia Holdings Llc CVIA 6.4 02/26/2032 223,313.00 222,568.00 0.20
BL5144268 Fortress Intermediate PSDO 6.67 06/27/2031 225,893.00 223,916.00 0.20
BL5164258 SGH2 Llc COLCAP 8.17 08/18/2032 223,875.00 219,677.00 0.20
BL4763795 DAVE & Buster's Inc PLAY 6.94 11/01/2031 270,942.00 225,269.00 0.20
BL4569150 Imagine Learning Llc/az WELDNE 7.17 12/21/2029 245,000.00 226,242.00 0.20
BL5355179 Bausch + Lomb Corp BLCOCN 7.42 01/15/2031 223,875.00 224,154.00 0.20
BMZ6D52 Colombia Telecomunicaciones Sa Esp COLTEL 4.95 07/17/2030 250,000.00 224,068.00 0.20
BDGLXV9 Autopistas Del Sol Sa/costa Rica AUTSOL 7.38 12/30/2030 230,908.00 228,677.00 0.20
B8ACXD562 NEW Generation Gas Gathering Llc 3.63 09/30/2029 229,730.00 226,283.00 0.20
B8ADVAEX9 NEW Generation Gas Gathering Llc 3.68 09/30/2029 229,729.00 226,283.00 0.20
143658BY7 Carnival Corp CCL 5.75 03/15/2030 225,000.00 226,206.00 0.20
25470XAY1 DISH Dbs Corp DISH 7.75 07/01/2026 225,000.00 224,385.00 0.20
78488XAA2 SV Rno Property Owner 1 Llc TRACTC 5.88 03/01/2031 230,000.00 227,923.00 0.20
05508WAB1 B&G Foods Inc BGS 5.25 09/15/2027 225,000.00 216,970.00 0.19
B8AEKHUF5 AREP Va Data Center 07/30/2028 211,745.00 210,226.00 0.19
BL3643378 TGP Holdings Iii Llc TGPHLD 7.02 06/29/2028 249,690.00 214,858.00 0.19
BL4649028 GEON Performance Solutio GEPESO 8.18 08/18/2028 243,427.00 214,215.00 0.19
BL4979144 Mavis Tire Express Servi EOCGRO 6.67 05/04/2028 197,504.00 197,184.00 0.18
BL5147105 CP Atlas Buyer Inc AMBATH 8.92 07/08/2030 223,875.00 205,219.00 0.18
BL5135076 Aggreko Holdings Inc AGKLN 6.87 05/21/2031 199,497.00 199,186.00 0.18
BL5227857 RING Container Technolog RNGCON 6.17 09/15/2032 199,000.00 196,860.00 0.18
BL5229473 DEEP Blue Operating I Ll DEEBLU 6.42 10/01/2032 200,000.00 200,500.00 0.18
BL5189347 INDY Us Holdco Llc INDYUS 5.92 10/31/2030 205,268.00 202,189.00 0.18
BL5258522 PAC Aviation Internation PACDAC 6.92 10/28/2030 199,500.00 196,258.00 0.18
BL3925031 IRIS Holding Inc ITPCN 8.52 06/28/2028 209,571.00 195,835.00 0.18
25381MAA5 Digicel International Finance Ltd / Difl DIGDIF 8.63 08/01/2032 200,000.00 202,959.00 0.18
35906ABG2 Frontier Communications Holdings Llc FYBR 6.75 05/01/2029 200,000.00 200,520.00 0.18
195325ET8 Colombia Government International Bond COLOM 5.38 01/21/2029 200,000.00 198,500.00 0.18
707569AS8 PENN Entertainment Inc PENN 5.63 01/15/2027 200,000.00 199,639.00 0.18
893830BZ1 Transocean International Ltd RIG 8.5 05/15/2031 195,000.00 203,987.00 0.18
36273XAA9 GS Mortgage Securities Corp Trust 2025-8 GSMS 6.33 11/25/2041 205,000.00 204,783.00 0.18
50206BAA0 LD Celulose International Gmbh LNZAV 7.95 01/26/2032 200,000.00 205,595.00 0.18
513272AD6 LAMB Weston Holdings Inc LW 4.13 01/31/2030 200,000.00 191,150.00 0.17
68560EAC2 Orbia Advance Corp Sab De Cv ORBIA 6.8 05/13/2030 200,000.00 194,775.00 0.17
749571AK1 RHP Hotel Properties Lp / Rhp Finance Co RHP 6.5 04/01/2032 190,000.00 193,512.00 0.17
21873SAB4 Coreweave Inc CRWV 9.25 06/01/2030 200,000.00 194,516.00 0.17
195325DP7 Colombia Government International Bond COLOM 4.5 03/15/2029 200,000.00 193,400.00 0.17
125276AA3 CFE Fibra E FCFEMM 5.88 09/23/2040 197,160.00 191,442.00 0.17
BL4047090 Tenneco Inc TENINC 8.51 11/17/2028 195,949.00 190,439.00 0.17
B8AF4UUB0 HPS Slf Vi Gp - Unfunded: B 09/30/2034 188,737.00 188,737.00 0.17
BQC5P76 Braskem Netherlands Finance Bv BRASKM 8.5 01/12/2031 400,000.00 192,000.00 0.17
BL5561529 Asurion Llc ASUCOR 7.43 02/14/2033 195,477.00 188,758.00 0.17
BL5230414 Pegasus Bidco Bv REFRLN 6.4 07/12/2029 190,165.00 189,273.00 0.17
BL5229184 Sharp Services Llc SHPCOL 6.67 09/29/2032 191,113.00 190,994.00 0.17
BL4810455 Caesars Entertain Inc CZR 5.92 02/06/2031 194,515.00 188,436.00 0.17
BL4789857 Trident Tpi Holdings Inc TEKNI 7.42 09/15/2028 196,014.00 185,325.00 0.17
BL4778223 Nouryon Finance Bv SPCHEM 7.04 04/03/2028 186,350.00 182,389.00 0.16
BL4979052 Great Outdoors Group Llc BASSPR 6.92 01/23/2032 175,108.00 174,582.00 0.16
BL5179827 Blackstone Mortgage Tr BXMT 6.17 05/09/2029 179,972.00 179,635.00 0.16
BL5173895 NEON Maple Us Debt Merge NVEICN 6.17 11/17/2031 187,433.00 183,371.00 0.16
BL5247236 FR Br Holdings Llc FRBRHO 7.92 10/09/2030 174,125.00 174,125.00 0.16
USP9190PAM Total Play Telecomunicaciones Sa De Cv TOTALP 11.13 12/31/2032 200,000.00 181,250.00 0.16
221625AX4 Ivory Coast Government International Bon IVYCST 6.75 02/25/2041 200,000.00 175,000.00 0.16
040114HX1 Argentine Republic Government Internatio ARGENT 1.0 07/09/2029 189,756.00 166,605.00 0.15
550241AA1 Lumen Technologies Inc LUMN 5.38 06/15/2029 175,000.00 166,365.00 0.15
B8AF4AQR4 Wells Companies Inc 03/09/2033 165,000.00 165,000.00 0.15
BL4417558 CLUE Opco Llc FWRD 8.17 12/19/2030 172,444.00 167,271.00 0.15
BL5023736 PEER Holding Iii Bv ACTINA 6.17 10/26/2030 172,796.00 172,363.00 0.15
BL4850956 VT Topco Inc VERCOR 6.66 08/09/2030 173,241.00 167,914.00 0.15
BL4990398 Arsenal Aic Parent Llc ARNC 6.42 08/18/2030 155,172.00 155,365.00 0.14
BL5507894 Discovery Energy Holding DISENE 6.66 05/01/2031 151,886.00 151,506.00 0.14
BL5509130 Cppib Ovm Member Us Llc CPPOVM 5.92 08/20/2031 147,751.00 147,566.00 0.13
BL5337896 Brown Group Holding Llc SIGLN 6.17 07/01/2031 148,869.00 149,000.00 0.13
BL5438561 Betclic Everest Group Sas BTCLIC 2.75 12/09/2031 150,000.00 149,344.00 0.13
BL4990430 Veritiv Operating Co VRTV 7.67 11/29/2030 148,120.00 143,676.00 0.13
BL4583235 Summer Bc Holdco B Sarl KANGRP 8.93 02/15/2029 173,678.00 147,452.00 0.13
BL5116852 Apollo Cmmrl Real Est Fin In ARI 6.93 06/13/2030 148,875.00 148,968.00 0.13
BL5202421 Tiger Acquisition Llc SABIND 6.18 08/16/2032 149,250.00 149,287.00 0.13
BL5236379 Owens-illinois Group Inc OI 6.67 09/30/2032 149,625.00 147,878.00 0.13
55342UAM6 MPT Operating Partnership Lp / Mpt Finan MPW 3.5 03/15/2031 225,000.00 147,078.00 0.13
682691AH3 Onemain Finance Corp OMF 6.63 05/15/2029 150,000.00 150,700.00 0.13
553283AG7 MPH Acquisition Holdings Llc MLTPLN 5.75 12/31/2030 175,000.00 136,010.00 0.12
315293209 Ferrellgas Partners Lp FGPR 5,145.00 134,819.00 0.12
BL4263655 MH Sub I Llc INET 7.92 05/03/2028 154,239.00 132,204.00 0.12
B8AF4AHH6 Cloudhq Va B1 Quick - Unfunded 01/29/2030 130,952.00 130,952.00 0.12
B8AEVFYB2 Wedgwood Specialty Pharma Iii 8.42 12/31/2032 142,857.00 139,542.00 0.12
BL5229192 NCR Atleos Corp NCRATL 6.69 04/16/2029 131,057.00 130,565.00 0.12
BL4485100 DS Parent Inc DAVSTA 9.17 01/31/2031 147,375.00 129,321.00 0.12
BL4922755 Graftech Global Enterpri EAF 12/21/2029 145,455.00 137,364.00 0.12
BL4874147 Grant Thornton Advisors Llc GRATHO 6.42 06/02/2031 147,760.00 137,340.00 0.12
BL5243532 Madison Safety & Flow MADSAF 6.17 09/26/2031 123,999.00 123,921.00 0.11
BL5450459 Herschend Entertainment HERFAM 6.17 05/27/2032 124,063.00 124,088.00 0.11
XS28092182 Lorca Telecom Bondco Sa LORCAT 5.75 04/30/2029 100,000.00 118,642.00 0.11
B8AESWF87 Lindstrom Llc 9.2 12/31/2032 128,617.00 126,688.00 0.11
B8AF4APH7 Wells Concrete 03/09/2033 110,000.00 110,000.00 0.10
B8AF4UTQ9 HPS Slf Vi Im - Unfunded: A2 09/30/2034 117,082.00 117,082.00 0.10
045941AB7 Asurion Llc/ Asurion Co-issuer Inc ASUCOR 8.38 02/01/2034 120,000.00 116,883.00 0.10
09216NAA8 Black Pearl Compute Llc BLKPRL 6.13 02/15/2031 115,000.00 117,105.00 0.10
BMYD8L5 Ivory Coast Government International Bon IVYCST 4.88 01/30/2032 104,000.00 111,553.00 0.10
NTTG6R3F2L Gbp/usd Fwd 20260402 Mslngb2x GBP 04/02/2026 -3,449,668.00 97,861.00 0.09
BL5508975 Crown Subsea Communicati SUBCOM 6.67 01/30/2031 99,748.00 99,872.00 0.09
BL5438603 Relativity Intermediate RELODA 6.42 01/30/2033 100,000.00 98,625.00 0.09
BL5179751 Brown Group Holding Llc SIGLN 6.17 07/01/2031 98,479.00 98,540.00 0.09
10554TAH8 Braskem Netherlands Finance Bv BRASKM 8.5 01/12/2031 200,000.00 96,000.00 0.09
11283YAB6 Brookfield Residential Properties Inc / BRPCN 6.25 09/15/2027 100,000.00 99,728.00 0.09
12769GAB6 Caesars Entertainment Inc CZR 7.0 02/15/2030 100,000.00 101,304.00 0.09
13323NAA0 Camelot Return Merger Sub Inc CNR 8.75 08/01/2028 175,000.00 102,375.00 0.09
50106GAJ1 Kronos Acquisition Holdings Inc KIKCN 10.75 06/30/2032 300,000.00 100,701.00 0.09
B8AF4UV45 HPS Slf Vi Im: B 09/30/2034 98,106.00 98,106.00 0.09
B8AF49N74 Cloudhq Va B1 Quick 01/29/2030 102,647.00 102,646.00 0.09
B8ACYS253 Dukes Education Group Ltd 9.38 11/25/2028 67,561.00 89,423.00 0.08
55342UAH7 MPT Operating Partnership Lp / Mpt Finan MPW 5.0 10/15/2027 100,000.00 93,177.00 0.08
651229BG0 Newell Brands Inc NWL 8.5 06/01/2028 85,000.00 87,898.00 0.08
15853BAA9 Champion Iron Canada Inc CIACN 7.88 07/15/2032 85,000.00 88,293.00 0.08
36273TAA8 GFL Environmental Holdings Us Inc GFLCN 5.5 02/01/2034 95,000.00 93,133.00 0.08
233104AA6 DCLI Bidco Llc DIRCHA 7.75 11/15/2029 85,000.00 85,883.00 0.08
04364VAK9 Ascent Resources Utica Holdings Llc / Ar ASCRES 9.0 11/01/2027 75,000.00 87,507.00 0.08
BL5450335 Salas O'brien Inc SALOBR 6.42 01/21/2033 88,571.00 88,350.00 0.08
BL5174141 Closure Systems Internat CAINGR 6.67 03/22/2029 73,688.00 72,904.00 0.07
BL5188117 MIP V Waste Llc GREWAS 6.42 08/20/2032 74,625.00 74,718.00 0.07
BL4611499 Supplyone Inc SUPONE 7.17 04/19/2031 74,623.00 74,763.00 0.07
040114HS2 Argentine Republic Government Internatio ARGENT 0.75 07/09/2030 94,262.00 78,991.00 0.07
97381AAA0 Windstream Services Llc / Windstream Esc WIN 8.25 10/01/2031 70,000.00 73,320.00 0.07
B8ACYS1X3 Dukes Education Group Ltd 9.34 11/25/2028 60,913.00 80,624.00 0.07
B8ADVZ6S4 Denali Intermediate Hldg Inc 9.45 05/31/2032 84,834.00 80,592.00 0.07
B8AF4UT97 HPS Slf Vi Gp - Unfunded: A2 09/30/2034 78,055.00 78,055.00 0.07
BL4431708 Jfl-tiger Acquisition Co HCCI 7.43 10/17/2030 73,866.00 73,805.00 0.07
B8AF4UU12 HPS Slf Vi Gp: Ddtl 09/30/2034 65,404.00 65,404.00 0.06
B8AE3VHV3 Clubcorp Hldgs Inc 07/31/2032 63,997.00 62,877.00 0.06
B8AEBG4U3 NEW Generation Gas Gathering Llc 3.69 09/30/2029 68,918.00 67,884.00 0.06
041242AA6 ARKO Corp ARKO 5.13 11/15/2029 75,000.00 66,336.00 0.06
BL4845816 MH Sub I Llc INET 7.92 12/31/2031 104,404.00 69,123.00 0.06
BL5233137 Liquid Tech Solutions Ho DISDIR 7.17 10/12/2032 68,034.00 67,906.00 0.06
BL5473469 Azuria Water Solutn Inc AEGN 2.75 01/27/2033 58,824.00 58,161.00 0.05
TYM6 COMDT US 10yr Note (cbt)jun26 TYM6 06/18/2026 -2,776,172.00 53,387.00 0.05
8T318QR456 Gbp/usd Fwd 20260512 00187 GBP 05/12/2026 -3,407,775.00 59,134.00 0.05
69331CAM0 PG&E Corp PCG 7.38 03/15/2055 50,000.00 50,281.00 0.05
B8AEKNM38 Aptive Environmental Llc 10/31/2032 53,458.00 53,187.00 0.05
B8AF4UTE6 HPS Slf Vi Im: Ddtl 09/30/2034 42,575.00 42,575.00 0.04
B8AD39VG1 Dukes Education Grp Ltd 11/27/2028 34,427.00 39,792.00 0.04
469815AK0 Jacobs Entertainment Inc JACENT 6.75 02/15/2029 50,000.00 46,665.00 0.04
USM6 COMDT US Long Bond(cbt) Jun26 USM6 06/18/2026 -1,594,250.00 39,339.00 0.04
UXYM6 COMD US 10yr Ultra Fut Jun26 UXYM6 06/18/2026 -2,043,281.00 33,296.00 0.03
BMFXV04 Argentine Republic Government Internatio ARGENT 0.13 07/09/2030 38,400.00 36,395.00 0.03
893830BY4 Transocean International Ltd RIG 8.25 05/15/2029 35,000.00 36,088.00 0.03
B8ACYP7L9 Dukes Education Group Ltd 9.47 11/25/2028 25,178.00 33,325.00 0.03
B8AE3VDG0 Clubcorp Hldgs Inc 07/31/2032 38,398.00 37,726.00 0.03
B8AF4AKR0 Cloudhq Va B1 - Unfunded 01/29/2030 33,677.00 33,677.00 0.03
B8AF4ULD6 HPS Slf Vi Gp: A2 09/30/2034 28,383.00 28,383.00 0.03
B8AEKNM04 Aptive Environmental Llc 10/31/2032 25,580.00 25,449.00 0.02
B8A9598C3 Ferrellgas Escrow Llc 3/30/31 Preferred 8.96 03/30/2031 25,000.00 27,187.00 0.02
55342UAQ7 MPT Operating Partnership Lp / Mpt Finan MPW 8.5 02/15/2032 25,000.00 25,376.00 0.02
02128LAC0 ALTA Equipment Group Inc ALTG 9.0 06/01/2029 25,000.00 22,298.00 0.02
25470XBB0 DISH Dbs Corp DISH 7.38 07/01/2028 25,000.00 24,247.00 0.02
25470XBD6 DISH Dbs Corp DISH 5.13 06/01/2029 25,000.00 22,341.00 0.02
PIPA15000 PGIM Cif Ca Llc 25 25,000.00 0.02
SWB8AEXQ57 Scds: (ecua) 5.0 12/20/2027 550,000.00 17,763.00 0.02
SWB8AEUCHG SWP: Ois 2.019000 04-dec-2028 Est_c 12/04/2028 -1,335,000.00 21,765.00 0.02
SWB8AEUCHK SWP: Ois 1.937500 04-dec-2027 Est_c 12/04/2027 -1,480,000.00 17,395.00 0.02
SWB8AEUCHS SWP: Ois 3.628300 03-dec-2030 Son_c 12/03/2030 -310,000.00 9,878.00 0.01
SWB8AEUCHY SWP: Ois 3.530000 03-dec-2028 Son_c 12/03/2028 -700,000.00 16,077.00 0.01
WNM6 COMDT US Ultra Bond Cbt Jun26 WNM6 06/18/2026 -466,250.00 8,829.00 0.01
SWB8AEXQ5P Scds: (ecua) 5.0 12/20/2028 550,000.00 15,620.00 0.01
SWB8AEUCH9 SWP: Ois 2.355000 04-dec-2032 Est_c 12/04/2032 -330,000.00 7,938.00 0.01
SWB8AEUCHD SWP: Ois 2.197000 04-dec-2030 Est_c 12/04/2030 -750,000.00 15,840.00 0.01
BL5450350 Salas O'brien Inc SALOBR 6.42 01/21/2033 11,429.00 11,400.00 0.01
BL5237955 Liquid Tech Solutions Ho DISDIR 3.5 10/12/2032 6,966.00 6,952.00 0.01
201723AS2 Commercial Metals Co CMC 5.75 11/15/2033 10,000.00 9,914.00 0.01
201723AV5 Commercial Metals Co CMC 6.0 12/15/2035 15,000.00 14,794.00 0.01
67124CAA1 Oak-eagle Acquireco Inc EA 7.25 07/01/2033 10,000.00 10,356.00 0.01
67124CAB9 Oak-eagle Acquireco Inc EA 8.75 07/01/2034 15,000.00 15,686.00 0.01
91327CAA6 Uniti Group Lp / Uniti Group Finance 201 UNIT 8.63 06/15/2032 15,000.00 15,255.00 0.01
71654QCC4 Petroleos Mexicanos PEMEX 6.75 09/21/2047 16,000.00 12,775.00 0.01
B8ACYS2F1 Dukes Education Group Ltd 8.21 11/25/2028 7,402.00 9,797.00 0.01
AC778IIMQ0 Eur/usd Fwd 20260402 Mslngb2x EUR 04/02/2026 137,530.00 1,895.00 0.00
BL3572783 First Brands Group Llc TRICGR 14.28 03/30/2028 652,089.00 215.00 0.00
DUM6 COMDT Euro-schatz Fut Jun26 DUM6 06/08/2026 -1,100,080.00 -1,100.00 0.00
SWB8ACX1VG CDS: (gs_24-pc-a Jul 24) 1.65 08/02/2027 1,999,954.00 2,759.00 0.00
SWB8ADJ71C Scds: (pemex) 4.75.00000 07 May 2026 4.75 05/07/2026 224,400.00 1,339.00 0.00
SWB8ADQ1J2 Scds: (softbk) 1.0 06/22/2026 95,000.00 -108.00 0.00
SWB8ADQQCR Scds: (ivycst) 1.0 06/20/2027 500,000.00 -4,479.00 0.00
SWB8AEHGA2 Scds: (argent) 5.0 06/22/2026 560,000.00 4,202.00 0.00
SWB8AEP84V SWP: Ois Gbp 4.300000 08-feb-2027_c 02/08/2027 -1,630,000.00 -1,487.00 0.00
SWB8AEPNEQ Scds: (argent) 5.0 12/21/2026 100,000.00 1,763.00 0.00
SWB8AEYR2D FWD: Tbond 3.375 31-dec-2027 91282cps4 - 04/07/2026 21,935,532.00 0.00 0.00
SWB8AEYR2U FWD: Tbond 3.5 15-dec-2028 91282cpp0 - U 04/07/2026 10,450,667.00 0.00 0.00
SWB8AEYR3T FWD: Tbond 3.625 31-dec-2030 91282cpr6 - 04/07/2026 8,756,226.00 0.00 0.00
SWB8AF93D1 FWD: Tnote 3.5 15-dec-28 - 91282cpp0 - U 06/11/2026 14,787,371.00 0.00 0.00
SWB8AF9MB4 Cswap: Eur/usd Eur Euribor/usd Sofr 07-n 11/07/2029 1,152,397.00 -3,550.00 0.00
SWB8AFAWSG CDS: (ivycst) 2.9 03/31/2027 370,000.00 4,789.00 0.00
RXM6 COMDT Euro-bund Future Jun26 RXM6 06/08/2026 144,932.00 -4,046.00 0.00
SFRH6 COMD 3 MOnth Sofr Fut Mar26 SFRH6 06/16/2026 3,612,188.00 -5,277.00 0.00
BW5YZT4 Talktalk Telecom Group Ltd TALKLN 11.75 03/01/2028 425,378.00 0.00 0.00
TUM6 COMDT US 2yr Note (cbt) Jun26 TUM6 06/30/2026 -2,904,234.00 732.00 0.00
SFRM6 COMD 3 MOnth Sofr Fut Jun26 SFRM6 09/15/2026 3,612,563.00 -12,589.00 -0.01
7GGFD2VV2N Eur/usd Fwd 20260512 955 EUR 05/12/2026 -10,130,622.00 -15,080.00 -0.01
SFRU6 COMD 3 MOnth Sofr Fut Sep26 SFRU6 12/15/2026 3,612,563.00 -18,402.00 -0.02
SFRZ6 COMD 3 MOnth Sofr Fut Dec26 SFRZ6 03/16/2027 3,613,688.00 -19,527.00 -0.02
SWB8AFBGMG Scds: (elsalv) 1.0 06/20/2031 200,000.00 -24,759.00 -0.02
SWB8AFBEY6 Scds: (angol) 1.0 12/20/2027 800,000.00 -37,983.00 -0.03
HYBM6 INDE BBG Hy Credit Fut Jun26 HYBM6 06/16/2026 6,703,200.00 -54,094.00 -0.05
6TCNDQ81J5 Gbp/usd Fwd 20260402 00187 GBP 04/02/2026 3,449,668.00 -59,341.00 -0.05
FVM6 COMDT US 5yr Note (cbt) Jun26 FVM6 06/30/2026 5,733,523.00 -84,520.00 -0.08
B8ADN7NC1 RRP Mpt Operating Partnership Lp 4.0 12/31/2222 -112,750.00 -112,750.00 -0.10
B8AF9VAJ8 RRP Coreweave Inc 4.07 12/31/2222 -161,750.00 -161,750.00 -0.14
B8AFCNAC7 RRP Argentina Rep Of 4.15 12/31/2222 -159,598.00 -159,598.00 -0.14
B8AFCNAH6 RRP Digicel Intl Fin Ltd 4.04 12/31/2222 -170,250.00 -170,250.00 -0.15
B8AFCNAK9 RRP Colombia Rep Of 4.15 12/31/2222 -170,500.00 -170,500.00 -0.15
B8AFCNAL7 RRP Colombia Rep Of 4.15 12/31/2222 -165,000.00 -165,000.00 -0.15
B8ADN7ND9 RRP Lamb Weston Hldgs Inc 3.97 12/31/2222 -168,750.00 -168,750.00 -0.15
B8ADV5E10 RRP Penn Entertainment Inc 3.97 12/31/2222 -180,750.00 -180,750.00 -0.16
B8AE05Z01 RRP B&g Foods Inc 3.97 12/31/2222 -173,250.00 -173,250.00 -0.16
B8AF9VAG4 RRP Cfe Fibra E 3.89 12/31/2222 -173,250.00 -173,250.00 -0.16
B8AEAC714 RRP Ld Celulose Intl 3.92 12/31/2222 -184,250.00 -184,250.00 -0.17
B8AEAC730 RRP Orbia Advance Corp Sab De C 3.82 12/31/2222 -189,500.00 -189,500.00 -0.17
B8ADV5E02 RRP Scotts Miracle Gro Co 3.97 12/31/2222 -199,063.00 -199,062.00 -0.18
B8AFCNAJ2 RRP Fertitta Entertainment 4.04 12/31/2222 -205,313.00 -205,312.00 -0.18
B8AFCNAF0 RRP Sv Rno Property Owner 1 Llc 4.04 12/31/2222 -196,075.00 -196,075.00 -0.18
B8AFCNAD5 RRP South Africa Rep Of 4.15 12/31/2222 -202,150.00 -202,150.00 -0.18
B8ADV5E28 RRP Chart Industries Inc 3.97 12/31/2222 -215,719.00 -215,718.00 -0.19
B8AE05Z43 RRP Carnival Corp 3.93 12/31/2222 -207,281.00 -207,281.00 -0.19
B8AE05Z50 RRP Echostar Corp 3.93 12/31/2222 -214,375.00 -214,375.00 -0.19
B8AD52FL1 RRP Pennymac Fin Svcs Inc 3.95 12/31/2222 -220,313.00 -220,312.00 -0.20
B8ADLT2P9 RRP Mexico City Arpt Tr 3.8 12/31/2222 -222,000.00 -222,000.00 -0.20
B8ACVHT10 RRP Ashland Llc 4.04 12/31/2222 -235,500.00 -235,500.00 -0.21
B8AD52FM9 RRP Ocp Sa 3.95 12/31/2222 -256,750.00 -256,750.00 -0.23
B8AE05Z35 RRP Carvana Co 3.93 12/31/2222 -261,594.00 -261,593.00 -0.23
B8ADN7NE7 RRP Brookfield Residential Propert 3.97 12/31/2222 -252,375.00 -252,375.00 -0.23
B8AFCNAA1 RRP Scientific Games Hldgs Lp 4.11 12/31/2222 -255,938.00 -255,937.00 -0.23
B8AF8TRB3 RRP Bausch Hlth Cos Inc 4.07 12/31/2222 -253,125.00 -253,125.00 -0.23
B8AF9VAH2 RRP Venture Global Lng Inc 4.07 12/31/2222 -266,694.00 -266,693.00 -0.24
B8AE05Z19 RRP Star Leasing Co Llc 3.93 12/31/2222 -266,906.00 -266,906.00 -0.24
B8AFCNAG8 RRP Petroleos Mexicanos 4.04 12/31/2222 -274,500.00 -274,500.00 -0.25
B8AFCNAB9 RRP Connect Hldg Ii Llc 4.11 12/31/2222 -341,594.00 -341,593.00 -0.31
B8AFCNAE3 RRP First Quantum Minerals Ltd 4.04 12/31/2222 -352,350.00 -352,350.00 -0.32
B8ACJD253 RRP Wynn Macau Ltd 4.07 12/31/2222 -363,906.00 -363,906.00 -0.33
B8ACTHLL7 RRP Cco Hldgs Llc Cco Hldgs Cap Co 4.04 12/31/2222 -383,400.00 -383,400.00 -0.34
B8ADLT2R5 RRP Maxim Crane Works Hldgs Cap 3.95 12/31/2222 -378,500.00 -378,500.00 -0.34
B8ACVHT02 RRP Citigroup Inc 4.04 12/31/2222 -415,363.00 -415,362.00 -0.37
B8ADLT2S3 RRP Mcafee Corp 3.95 12/31/2222 -418,750.00 -418,750.00 -0.38
B8ADLT2U8 RRP Mineral Resources Ltd 3.92 12/31/2222 -467,500.00 -467,500.00 -0.42
B8ACVHT28 RRP Howard Hughes Corp 4.04 12/31/2222 -470,063.00 -470,062.00 -0.42
B8AF0PSF9 RRP Constellation Energy Generatio 4.02 12/31/2222 -475,063.00 -475,062.00 -0.43
B8AD52FN7 RRP Coronado Fin Pty Ltd 3.95 12/31/2222 -488,125.00 -488,125.00 -0.44
B8AF8TRA5 RRP Ivory Coast 4.07 12/31/2222 -550,688.00 -550,687.00 -0.49
B8ACDQGX4 RRP Wynn Resorts Fin Llc 4.0 12/31/2222 -608,344.00 -608,343.00 -0.54
B8AEAPRV7 RRP Ivory Coast 2.26 12/31/2222 -552,750.00 -638,896.00 -0.57
B8AEAPRU9 RRP Grifols Sa 2.26 12/31/2222 -563,325.00 -651,119.00 -0.58
B8AEC8J42 RRP Tenneco Inc 3.93 12/31/2222 -681,000.00 -681,000.00 -0.61
B8ADN7NF4 RRP Brinker Intl Inc 3.97 12/31/2222 -679,000.00 -679,000.00 -0.61
B8AEAPRT2 RRP Eg Global Fin Plc 2.26 12/31/2222 -638,281.00 -737,757.00 -0.66
B8AF8TRC1 RRP Hilcorp Energy I Hilcorp Fin C 4.0 12/31/2222 -735,000.00 -735,000.00 -0.66
B8ACBPEV4 RRP Southwestern Energy Co 4.04 12/31/2222 -743,750.00 -743,750.00 -0.67
B8ADLT2Q7 RRP Wolverine World Wide Inc 3.95 12/31/2222 -753,188.00 -753,187.00 -0.67
B8AENFZD6 RRP Davita Inc 4.03 12/31/2222 -805,594.00 -805,593.00 -0.72
B8ACJD2C8 RRP Hudbay Minerals Inc 4.07 12/31/2222 -836,250.00 -836,250.00 -0.75
B8ADUQE31 RRP Goldman Sachs Grp Inc 3.99 12/31/2222 -861,250.00 -861,250.00 -0.77
B8AEDR1D8 RRP Virgin Media Sec Fin Plc 4.77 12/31/2222 -668,281.00 -884,537.00 -0.79
B8ACCS547 RRP Mgm Resorts Intl 4.0 12/31/2222 -907,031.00 -907,031.00 -0.81
B8ACJD246 RRP Caesars Entertainment Inc 4.07 12/31/2222 -915,750.00 -915,750.00 -0.82
B8AEAPRW5 RRP Eg Global Fin Plc 2.26 12/31/2222 -1,106,700.00 -1,279,179.00 -1.15
B8ADV7P55 RRP Montichem Holdco 3 Sa 2.52 12/31/2222 -1,155,000.00 -1,335,006.00 -1.20
B8AENFZC8 RRP Beignet Investor Llc 3.8 12/31/2222 -1,565,625.00 -1,565,625.00 -1.40
B8ACFX6U4 RRP Nrg Energy Inc 4.04 12/31/2222 -1,685,250.00 -1,685,250.00 -1.51
B8AEWVS80 RRP Vistra Corp 4.04 12/31/2222 -2,072,875.00 -2,072,875.00 -1.86

The CUSIP information contained in pgimfunds.com and/or prudential.com consists of security identifiers and related descriptive information (“the CUSIP Database”) and is protected under the copyright laws and is licensed with permission from CUSIP Global Services (“CGS”), on behalf of the American Bankers Association (“ABA”).

VISITOR agrees and acknowledges that the CUSIP Database and the information contained therein is and shall remain valuable intellectual property owned by, or licensed to, CGS and ABA, and that no proprietary rights are being transferred to VISITOR in such materials or in any of the information contained therein by virtue of VISITOR’s use of Subscriber’s Web Site. Any use of the CUSIP Database by VISITOR outside of the clearing and settlement of transactions may require a license from CGS, along with an associated fee based on usage.

VISITOR agrees that misappropriation or misuse of such materials will cause serious damage to CGS and ABA, and that in such event, money damages may not constitute sufficient compensation to CGS and ABA; consequently, VISITOR agrees that in the event of any misappropriation or misuse, CGS and ABA shall have the right to obtain injunctive relief in addition to any other legal or financial remedies to which CGS and ABA may be entitled.

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MANAGEMENT

PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Investments is a Prudential Financial and PGIM, Inc. affiliate. For more information on the fund's sub-advisors(s), please click here.

Richard Piccirillo
Richard Piccirillo

Managing Director and Co-Head of PGIM's Multi-Sector Team

Richard Piccirillo is a Managing Director and Co-Head of PGIM's Multi-Sector Team.

Tyler Thorn
Tyler Thorn

Managing Director and Portfolio Manager

Tyler Thorn is a Managing Director and a portfolio manager on PGIM's Multi-Sector Team.

Edwin Wilches, CFA
Edwin Wilches, CFA

Managing Director and Co-Head of PGIM’s Securitized Products Team

Edwin Wilches, CFA is a Managing Director and Co-Head of PGIM’s Securitized Products Team.

Brian Juliano
Brian Juliano

Managing Director and Head of PGIM's U.S. Leveraged Loan Team

Credit

Brian Juliano is Head of PGIM's U.S. Leveraged Loan Team.

Average Maturity is the average time to maturity for a bond. Credit quality is calculated using the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s, S&P, or Fitch. The Not Rated category consists of securities that have not been rated by an NRSRO. Duration measures investment risk that takes into account both a bond's interest payments and its value to maturity. Due to data availability, statistics may not be as of the 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.; All other data from PGIM, Inc.

© 2026 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.

PGIM Credit is a unit of PGIM, Inc., a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly-owned subsidiary of PGIM, Inc. (“PGIM”), the principal asset management business of Prudential Financial, Inc. (“PFI”), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. PGIM is the principal asset management business of Prudential Financial, Inc. (PFI), and a trading name of PGIM, Inc. and its global subsidiaries and affiliates. 

5303558   Ed. 3/2026

Fund Literature

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