PRUDENTIAL DAY ONE INCOME FUND | |||||
R1: PDADX |
R2: PDAEX |
R3: PDAFX |
R4: PDAGX |
R5: PDAHX |
R6: PDAJX |
PRUDENTIAL DAY ONE 2015 FUND | |||||
R1: PDCDX |
R2: PDCEX |
R3: PDCFX |
R4: PDCGX |
R5: PDCHX |
R6: PDCJX |
PRUDENTIAL DAY ONE 2020 FUND | |||||
R1: PDDDX |
R2: PDDEX |
R3: PDDFX |
R4: PDDGX |
R5: PDDHX |
R6: PDDJX |
PRUDENTIAL DAY ONE 2025 FUND | |||||
R1: PDEDX |
R2: PDEEX |
R3: PDEFX |
R4: PDEGX |
R5: PDEHX |
R6: PDEJX |
PRUDENTIAL DAY ONE 2030 FUND | |||||
R1: PDFCX |
R2: PDFEX |
R3: PDFFX |
R4: PDFGX |
R5: PDFHX |
R6: PDFJX |
PRUDENTIAL DAY ONE 2035 FUND | |||||
R1: PDGCX |
R2: PDGEX |
R3: PDGFX |
R4: PDGGX |
R5: PDGHX |
R6: PDGJX |
PRUDENTIAL DAY ONE 2040 FUND | |||||
R1: PDHDX |
R2: PDHEX |
R3: PDHFX |
R4: PDHGX |
R5: PDHHX |
R6: PDHJX |
PRUDENTIAL DAY ONE 2045 FUND | |||||
R1: PDIDX |
R2: PDIEX |
R3: PDIKX |
R4: PDIGX |
R5: PDIHX |
R6: PDIJX |
PRUDENTIAL DAY ONE 2050 FUND | |||||
R1: PDJDX |
R2: PDJEX |
R3: PDJFX |
R4: PDJGX |
R5: PDJHX |
R6: PDJJX |
PRUDENTIAL DAY ONE 2055 FUND | |||||
R1: PDKDX |
R2: PDKEX |
R3: PDKFX |
R4: PDKGX |
R5: PDKHX |
R6: PDKJX |
PRUDENTIAL DAY ONE 2060 FUND | |||||
R1: PDLDX |
R2: PDLEX |
R3: PDLFX |
R4: PDLGX |
R5: PDLHX |
R6: PDLJX |
PRUDENTIAL DAY ONE 2065 FUND | |||||
R1: PDOAX |
R2: PDODX |
R3: PDOEX |
R4: PDOFX |
R5: PDOGX |
R6: PDOHX |
The Securities and Exchange Commission
(SEC) has not approved or disapproved the
Funds' shares, nor has the SEC determined
that this prospectus is complete or accurate.
It is a criminal offense to state otherwise. Mutual funds are distributed by Prudential
Investment Management Services LLC, a
Prudential Financial company, member SIPC.
PGIM Quantitative Solutions LLC is a wholly
owned subsidiary of PGIM, Inc. (PGIM), a
Prudential Financial company. © 2022
Prudential Financial, Inc. and its related
entities. The Prudential logo and the Rock
symbol are service marks of Prudential
Financial, Inc. and its related entities,
registered in many jurisdictions worldwide. |
![]() |
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5 |
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12 |
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15 |
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22 |
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32 |
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62 |
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64 |
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64 |
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65 |
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72 |
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72 |
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72 |
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73 |
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74 |
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74 |
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74 |
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75 |
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82 |
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82 |
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82 |
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83 |
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84 |
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84 |
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84 |
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85 |
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92 |
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92 |
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92 |
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93 |
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94 |
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94 |
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94 |
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95 |
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102 |
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102 |
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102 |
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103 |
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104 |
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104 |
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104 |
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105 |
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112 |
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112 |
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112 |
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113 |
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114 |
114 |
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114 |
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115 |
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122 |
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122 |
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123 |
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123 |
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124 |
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124 |
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140 |
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145 |
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155 |
|
155 |
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155 |
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155 |
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156 |
|
156 |
|
156 |
|
157 |
|
157 |
|
157 |
|
159 |
|
160 |
|
160 |
|
164 |
|
166 |
|
171 |
|
244 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | ||||
Prudential Day One Income Custom Benchmark |
|
|
|
|
S&P Target Date Retirement Income Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2015 Custom Benchmark |
|
|
|
|
S&P Target Date 2015 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | ||||
Prudential Day One 2020 Custom Benchmark |
|
|
|
|
S&P Target Date 2020 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2025 Custom Benchmark |
|
|
|
|
S&P Target Date 2025 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2030 Custom Benchmark |
|
|
|
|
S&P Target Date 2030 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | ||||
Prudential Day One 2035 Custom Benchmark |
|
|
|
|
S&P Target Date 2035 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2040 Custom Benchmark |
|
|
|
|
S&P Target Date 2040 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(3) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2045 Custom Benchmark |
|
|
|
|
S&P Target Date 2045 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(3) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2050 Custom Benchmark |
|
|
|
|
S&P Target Date 2050 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(3) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | ||||
Prudential Day One 2055 Custom Benchmark |
|
|
|
|
S&P Target Date 2055 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(3) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
|
Class R2 shares |
|
|
|
|
Class R3 shares |
|
|
|
|
Class R4 shares |
|
|
|
|
Class R5 shares |
|
|
|
|
Class R6 Shares % (as of 12-31-21) | ||||
Return Before Taxes |
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | ||||
Prudential Day One 2060 Custom Benchmark |
|
|
|
|
S&P Target Date 2060 Index |
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2016 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2016 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase
price or the net asset value at redemption) |
|
|
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
|
|
Redemption fee |
|
|
|
|
|
|
Exchange fee |
|
|
|
|
|
|
Maximum account fee (accounts under $10,000) |
|
$ |
|
|
|
|
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Management fee |
|
|
|
|
|
|
Distribution (12b-1) fees |
|
|
|
|
|
|
Other expenses: |
|
|
|
|
|
|
Shareholder service fee(1)
|
|
|
|
|
|
|
Remainder of other expenses(2) |
|
|
|
|
|
|
Acquired Fund fees and expenses |
|
|
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(3) |
|
|
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R1 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R2 |
$ |
$ |
$ |
$ |
Class R3 |
$ |
$ |
$ |
$ |
Class R4 |
$ |
$ |
$ |
$ |
Class R5 |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
|
|
|
|
|
|
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Since
Inception |
Inception
Date |
Class R1 shares |
|
|
|
Class R2 shares |
|
|
|
Class R3 shares |
|
|
|
Class R4 shares |
|
|
|
Class R5 shares |
|
|
|
Class R6 Shares % (as of 12-31-21) | |||
Return Before Taxes |
|
|
|
Return After Taxes on Distributions |
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
Index % (reflects no deduction for fees, expenses, or taxes) (as of 12-31-21) | |||
Prudential Day One 2065 Custom Benchmark |
|
|
|
S&P Target Date 2065+ Index |
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
Managing Director
and Portfolio Manager |
May 2020 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
December 2019 |
|
|
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
December 2019 |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum initial investment |
None |
None |
None |
None |
None |
None |
Minimum subsequent investment |
None |
None |
None |
None |
None |
None |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Years |
Since Inception1
|
CIT - Net Return |
9.25% |
7.19% |
5.69% |
CIT - Gross Return |
9.58% |
7.53% |
6.04% |
S&P Target Date Retirement Income Index2 |
5.11% |
6.52% |
6.57% |
Prudential Day One Income Benchmark3 |
9.35% |
7.45% |
- |
Prudential Day One Custom Benchmark4 |
9.30% |
7.22% |
7.27% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
9.25% |
8.94% |
12.82% |
-2.47% |
7.96% |
6.16% |
-0.73% |
-0.87% |
CIT - Gross Return |
9.58% |
9.29% |
13.19% |
-2.09% |
8.32% |
6.55% |
-0.39% |
-0.84% |
S&P Target Date Retirement
Income Index2 |
5.11% |
8.81% |
13.33% |
-2.54% |
8.54% |
5.01% |
-0.18% |
-0.35% |
Prudential Day One Income
Benchmark3 |
9.35% |
9.78% |
12.75% |
-1.85% |
7.71% |
5.78% |
-0.69% |
-0.83% |
Prudential Day One Custom
Benchmark4 |
9.30% |
8.78% |
13.46% |
-2.53% |
7.76% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Years |
Since Inception1
|
CIT - Net Return |
10.23% |
7.77% |
6.20% |
CIT - Gross Return |
10.56% |
8.12% |
6.55% |
S&P Target Date 2015 Index2 |
8.01% |
8.08% |
8.20% |
Prudential Day One 2015 Benchmark3 |
10.32% |
8.12% |
- |
Prudential Day One Custom Benchmark4 |
10.26% |
7.87% |
7.95% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
10.23% |
9.27% |
13.79% |
-2.64% |
9.32% |
6.74% |
-0.57% |
2.16% |
CIT - Gross Return |
10.56% |
9.65% |
14.15% |
-2.92% |
9.68% |
7.06% |
-0.25% |
2.40% |
S&P Target Date 2015
Index2 |
8.01% |
10.28% |
15.40% |
-3.67% |
11.39% |
6.56% |
-0.16% |
3.23% |
Prudential Day One 2015
Benchmark3 |
10.32% |
10.27% |
13.82% |
-2.21% |
9.03% |
6.32% |
-0.56% |
5.25% |
Prudential Day One Custom
Benchmark4 |
10.26% |
9.19% |
14.53% |
-2.89% |
9.07% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
11.40% |
8.39% |
6.73% |
CIT - Gross Return |
11.78% |
8.74% |
7.09% |
S&P Target Date 2020 Index2 |
8.76% |
8.60% |
8.75% |
Prudential Day One 2020 Benchmark3 |
11.48% |
8.85% |
- |
Prudential Day One Custom Benchmark4 |
11.40% |
8.57% |
8.65% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
11.40% |
9.58% |
14.97% |
-3.29% |
10.17% |
7.16% |
-0.44% |
2.55% |
CIT - Gross Return |
11.78% |
9.91% |
15.36% |
-3.00% |
10.55% |
7.50% |
-0.05% |
2.78% |
S&P Target Date 2020
Index2 |
8.76% |
10.24% |
16.52% |
-4.16% |
12.80% |
7.22% |
-0.19% |
3.40% |
Prudential Day One 2020
Benchmark3 |
11.48% |
10.97% |
15.11% |
-2.53% |
9.97% |
6.74% |
-0.45% |
2.55% |
Prudential Day One Custom
Benchmark4 |
11.40% |
9.76% |
15.83% |
-3.21% |
10.02% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
12.72% |
9.08% |
7.47% |
CIT - Gross Return |
13.08% |
9.42% |
7.82% |
S&P Target Date 2025 Index2 |
10.67% |
9.65% |
9.82% |
Prudential Day One 2025 Benchmark3 |
12.80% |
9.60% |
- |
Prudential Day One Custom Benchmark4 |
12.71% |
9.30% |
9.44% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
12.72% |
9.92% |
15.95% |
-3.89% |
11.81% |
8.08% |
-0.26% |
3.37% |
CIT - Gross Return |
13.08% |
10.31% |
16.29% |
-3.59% |
12.19% |
8.45% |
0.10% |
3.60% |
S&P Target Date 2025
Index2 |
10.67% |
11.22% |
18.38% |
-5.02% |
14.55% |
7.82% |
-0.25% |
3.27% |
Prudential Day One 2025
Benchmark3 |
12.80% |
11.45% |
16.10% |
-3.03% |
11.63% |
7.65% |
-0.28% |
3.34% |
Prudential Day One Custom
Benchmark4 |
12.71% |
10.17% |
16.82% |
-3.72% |
11.68% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
14.74% |
10.48% |
8.58% |
CIT - Gross Return |
15.08% |
10.85% |
8.93% |
S&P Target Date 2030 Index2 |
12.61% |
10.63% |
10.81% |
Prudential Day One 2030 Benchmark3 |
14.80% |
11.19% |
- |
Prudential Day One Custom Benchmark4 |
14.68% |
10.84% |
11.01% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
14.74% |
10.72% |
18.90% |
-5.03% |
14.82% |
8.97% |
-0.32% |
3.96% |
CIT - Gross Return |
15.08% |
11.08% |
19.28% |
-4.72% |
15.21% |
9.24% |
0.07% |
4.19% |
S&P Target Date 2030
Index2 |
12.61% |
11.91% |
20.38% |
-5.99% |
16.19% |
8.35% |
-0.30% |
3.36% |
Prudential Day One 2030
Benchmark3 |
14.80% |
12.83% |
19.27% |
-4.06% |
14.55% |
8.65% |
-0.32% |
3.91% |
Prudential Day One Custom
Benchmark4 |
14.68% |
11.38% |
20.00% |
-4.76% |
14.60% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
16.94% |
11.57% |
9.39% |
CIT - Gross Return |
17.31% |
11.94% |
9.75% |
S&P Target Date 2035 Index2 |
14.93% |
11.67% |
11.87% |
Prudential Day One 2035 Benchmark3 |
16.96% |
12.50% |
- |
Prudential Day One Custom Benchmark4 |
16.82% |
12.15% |
12.33% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
16.94% |
11.33% |
21.11% |
-6.19% |
16.90% |
9.37% |
-0.48% |
4.43% |
CIT - Gross Return |
17.31% |
11.68% |
21.57% |
-5.91% |
17.29% |
9.76% |
-0.20% |
4.67% |
S&P Target Date 2035
Index2 |
14.93% |
12.79% |
22.18% |
-6.88% |
17.78% |
8.85% |
-0.35% |
3.42% |
Prudential Day One 2035
Benchmark3 |
16.96% |
14.17% |
21.78% |
-5.11% |
16.74% |
9.14% |
-0.40% |
4.39% |
Prudential Day One Custom
Benchmark4 |
16.82% |
12.71% |
22.34% |
-5.70% |
16.78% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
18.11% |
12.14% |
9.76% |
CIT - Gross Return |
18.50% |
12.50% |
10.12% |
S&P Target Date 2040 Index2 |
16.55% |
12.40% |
12.60% |
Prudential Day One 2040 Benchmark3 |
18.11% |
13.21% |
- |
Prudential Day One Custom Benchmark4 |
17.96% |
12.84% |
13.05% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
18.11% |
11.55% |
22.07% |
-6.71% |
18.25% |
9.69% |
-0.87% |
4.54% |
CIT - Gross Return |
18.50% |
11.89% |
22.42% |
-6.42% |
18.65% |
10.05% |
-0.56% |
4.78% |
S&P Target Date 2040
Index2 |
16.55% |
13.37% |
23.37% |
-7.41% |
18.87% |
9.23% |
-0.40% |
3.45% |
Prudential Day One 2040
Benchmark3 |
18.11% |
14.64% |
22.87% |
-5.44% |
18.12% |
9.46% |
-0.73% |
4.50% |
Prudential Day One Custom
Benchmark4 |
17.96% |
13.16% |
23.46% |
-6.04% |
18.17% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
19.03% |
12.54% |
10.00% |
CIT - Gross Return |
19.44% |
12.90% |
10.37% |
S&P Target Date 2045 Index2 |
17.51% |
12.81% |
13.03% |
Prudential Day One 2045 Benchmark3 |
19.07% |
13.71% |
- |
Prudential Day One Custom Benchmark4 |
18.90% |
13.34% |
13.55% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
19.03% |
11.82% |
23.02% |
-7.41% |
19.01% |
9.75% |
-1.27% |
4.76% |
CIT - Gross Return |
19.44% |
12.12% |
23.44% |
-7.09% |
19.41% |
10.19% |
-0.96% |
5.01% |
S&P Target Date 2045
Index2 |
17.51% |
13.66% |
24.02% |
-7.74% |
19.56% |
9.54% |
-0.46% |
3.45% |
Prudential Day One 2045
Benchmark3 |
19.07% |
15.07% |
23.92% |
-6.01% |
19.04% |
9.61% |
-1.06% |
4.74% |
Prudential Day One Custom
Benchmark4 |
18.90% |
13.59% |
24.50% |
-6.61% |
19.09% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
19.49% |
12.74% |
10.02% |
CIT - Gross Return |
19.87% |
13.11% |
10.38% |
S&P Target Date 2050 Index2 |
17.99% |
13.07% |
13.30% |
Prudential Day One 2050 Benchmark3 |
19.53% |
14.01% |
- |
Prudential Day One Custom Benchmark4 |
19.35% |
13.62% |
13.84% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
19.49% |
11.74% |
23.36% |
-7.65% |
19.79% |
9.85% |
-1.31% |
-1.11% |
CIT - Gross Return |
19.87% |
12.14% |
23.71% |
-7.37% |
20.19% |
10.15% |
-0.94% |
-1.08% |
S&P Target Date 2050
Index2 |
17.99% |
13.86% |
24.35% |
-7.94% |
20.18% |
9.74% |
-0.47% |
-1.11% |
Prudential Day One 2050
Benchmark3 |
19.53% |
15.21% |
24.39% |
-6.19% |
19.76% |
9.66% |
-1.08% |
-1.07% |
Prudential Day One Custom
Benchmark4 |
19.35% |
13.73% |
24.95% |
-6.80% |
19.81% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
19.66% |
12.85% |
10.10% |
CIT - Gross Return |
20.04% |
13.22% |
10.46% |
S&P Target Date 2055 Index2 |
18.19% |
13.18% |
13.41% |
Prudential Day One 2055 Benchmark3 |
19.53% |
14.01% |
- |
Prudential Day One Custom Benchmark4 |
19.53% |
13.78% |
14.01% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
19.66% |
11.82% |
23.69% |
-8.23% |
20.50% |
10.05% |
-1.50% |
-1.14% |
CIT - Gross Return |
20.04% |
12.16% |
24.12% |
-7.93% |
20.91% |
10.38% |
-1.14% |
-1.11% |
S&P Target Date 2055
Index2 |
18.19% |
13.86% |
24.48% |
-7.97% |
20.48% |
9.94% |
-0.54% |
-1.14% |
Prudential Day One 2055
Benchmark3 |
19.53% |
15.27% |
24.87% |
-6.67% |
20.56% |
9.93% |
-1.23% |
-1.09% |
Prudential Day One Custom
Benchmark4 |
19.53% |
13.79% |
25.41% |
-7.29% |
20.61% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
19.80% |
12.91% |
10.14% |
CIT - Gross Return |
20.16% |
13.28% |
10.50% |
S&P Target Date 2060 Index2 |
18.05% |
13.28% |
13.52% |
Prudential Day One 2060 Benchmark3 |
19.86% |
14.30% |
- |
Prudential Day One Custom Benchmark4 |
19.67% |
13.90% |
14.13% |
Calendar Year Returns (as of December 31, 2021) | ||||||||
|
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
20141
|
CIT - Net Return |
19.80% |
11.81% |
24.10% |
-8.60% |
20.77% |
10.13% |
-1.47% |
5.01% |
CIT - Gross Return |
20.16% |
12.18% |
24.49% |
-8.27% |
21.18% |
10.51% |
-1.11% |
5.27% |
S&P Target Date 2060
Index2 |
18.05% |
13.99% |
24.73% |
-7.95% |
20.75% |
10.08% |
-0.66% |
3.50% |
Prudential Day One 2060
Benchmark3 |
19.86% |
15.37% |
25.36% |
-7.02% |
20.93% |
10.03% |
-1.23% |
4.96% |
Prudential Day One Custom
Benchmark4 |
19.67% |
13.87% |
25.89% |
-7.64% |
20.98% |
N/A |
N/A |
N/A |
Annualized Return (as of December 31, 2021) | |||
|
1 Year |
5 Year |
Since Inception1
|
CIT - Net Return |
19.93% |
— |
15.29% |
CIT - Gross Return |
20.31% |
— |
15.65% |
S&P Target Date 2065 Index2 |
18.17% |
13.30% |
16.06% |
Prudential Day One 2065 Benchmark3 |
20.01% |
16.40% |
- |
Prudential Day One Custom Benchmark4 |
19.82% |
— |
16.80% |
Calendar Year Returns (as of December 31, 2021) | ||
|
2021 |
2020 |
CIT - Net Return |
19.93% |
N/A |
CIT - Gross Return |
20.31% |
N/A |
S&P Target Date 2065 Index1 |
18.17% |
13.99% |
Prudential Day One 2065 Benchmark2 |
20.01% |
15.37% |
Prudential Day One Custom Benchmark3 |
19.82% |
13.86% |
Underlying Funds | |||
Asset Class |
Name of Underlying Fund |
Investment Objective of Underlying Fund |
Principal Investment
Strategies of Underlying Fund |
Equity |
PGIM Jennison Small-Cap Core
Equity Fund |
To outperform the Russell 2000 Index. |
The Fund invests, under normal
market conditions, at least 80%
of its investable assets in equity
and equity-related securities of
small-cap companies. |
|
PGIM Quant Solutions
International Developed Markets
Index Fund |
To provide investment results that approximate the performance
of the FTSE Developed Markets Ex-North America Net Index. |
The Fund intends to invest,
under normal market conditions,
over 80% of its investable
assets in securities included in
the FTSE Developed Markets
Ex-North American Net Index in
approximately the same
proportions as those of the
Index. |
|
PGIM Quant Solutions Emerging
Markets Equity Fund |
To provide returns in excess of the MSCI Emerging Markets Index
over full market cycles. |
The Fund seeks to achieve its
investment objective by
investing, under normal
conditions, at least 80% of its
investable assets (net assets
plus any borrowings for
investment purposes) in the
equity and equity-related
securities of companies located
in or otherwise economically tied
to emerging markets countries. |
|
PGIM Quant Solutions Large-Cap
Core Fund |
Long-term growth of capital. |
The Fund normally invests at
least 80% of its investable
assets in equity and
equity-related securities of large
capitalization U.S. companies.
The Fund considers large
capitalization companies to be
those with market
capitalizations within the
market cap range of companies
included in the Russell 1000
Index or the S&P 500 Index. |
|
PGIM Quant Solutions Mid-Cap
Core Fund |
To outperform the S&P MidCap 400 Index. |
The Fund invests, under normal
market conditions, at least 80%
of its investable assets in equity
and equity-related securities of
mid-capitalization U.S.
companies. |
Underlying Funds | |||
Asset Class |
Name of Underlying Fund |
Investment Objective of Underlying Fund |
Principal Investment
Strategies of Underlying Fund |
|
PGIM Quant Solutions US Broad
Market Index Fund |
To provide investment results that approximate the performance
of the S&P Composite 1500 Index. |
The Fund invests, under normal
market conditions, invest over
80% of its investable assets in
securities included in the S&P
Composite 1500 Index in
approximately the same
proportions as those of the S&P
Composite 1500 Index. |
Fixed Income |
PGIM Core Conservative Bond
Fund |
To outperform the Bloomberg US Aggregate Bond Index over full
market cycles. |
The Fund invests at least 80%
of its investable assets in bonds
under normal circumstances.
For purposes of this investment
policy, bonds include all fixed
income securities, including but
not limited to debt obligations
issued by the U.S. Government
and its agencies, corporate debt
securities, mortgage-related
securities and asset-backed
securities. In pursuit of this
investment policy, the Fund may
invest a large percentage of its
investable assets in securities
included in the Bloomberg US
Aggregate Bond Index. |
|
PGIM TIPS Fund |
To outperform the Bloomberg US Treasury Inflation-Protected
Securities (TIPS) Index. |
The Fund invests, under normal
circumstances, at least 80% of
its investable assets in U.S.
Treasury Inflation-Protected
Securities. |
|
PGIM Total Return Bond Fund |
Total return. |
The Fund seeks to achieve its
objective through a mix of
current income and capital
appreciation as determined by
the Fund's subadviser. The Fund
invests, under normal
circumstances, at least 80% of
its investable assets in bonds.
For purposes of this policy,
bonds include all fixed income
securities, other than preferred
stock, with a maturity at date of
issue of greater than one year. |
|
PGIM Core Ultra-Short Bond
Fund |
Current income consistent with the preservation of capital and
the maintenance of liquidity. |
The Fund invests in a diversified
portfolio of short-term debt
obligations issued by the U.S.
Government, its agencies and
instrumentalities, as well as
commercial paper, asset-backed
securities, funding agreements,
variable rate demand notes,
bills, notes and other
obligations issued by banks,
corporations and other
companies (including trust
structures), obligations issued
by foreign banks, companies or
foreign governments, and
municipal bonds and notes. |
Underlying Funds | |||
Asset Class |
Name of Underlying Fund |
Investment Objective of Underlying Fund |
Principal Investment
Strategies of Underlying Fund |
Real Estate |
PGIM Global Real Estate Fund |
Capital appreciation and income. |
The Fund normally invests at
least 80% of its investable
assets (net assets plus any
borrowings made for investment
purposes) in the equity-related
securities of real estate
companies, principally real
estate investment trusts (REITs),
and other real estate securities. |
Commodities |
PGIM Quant Solutions
Commodity Strategies Fund |
To seek to generate returns over time in excess of the Bloomberg
Commodity Index. |
The Fund, which is actively
managed, gains exposure to the
commodity markets through
investment of the Fund’s assets
directly and/or in the PGIM
Commodity Strategies
Subsidiary Ltd., the Fund’s
wholly-owned Cayman Islands
subsidiary. The Fund may hold a
significant portion of its assets
directly or indirectly in cash
and/or invest in money market
instruments, including
commercial paper of a company,
government securities,
sovereign debt, certificates of
deposit, bankers' acceptances,
time deposits of banks, and
obligations issued or
guaranteed by a government or
its agencies or
instrumentalities. |
Target Allocations for Underlying Funds | |||||||||||||
Category |
Fund
Name |
2065 |
2060 |
2055 |
2050 |
2045 |
2040 |
2035 |
2030 |
2025 |
2020 |
2015 |
Income |
Domestic Equity |
PGIM
Quant
Solutions
US Broad
Market
Index
Fund |
16.50% |
16.50% |
16.50% |
16.50% |
16.10% |
15.54% |
14.56% |
11.64% |
8.96% |
7.80% |
7.02% |
6.30% |
PGIM
Quant
Solutions
Large-Cap
Core
Fund |
25.00% |
25.00% |
25.50% |
25.67% |
24.34% |
24.11% |
23.14% |
19.71% |
17.46% |
15.12% |
12.78% |
11.70% | |
PGIM
Quant
Solutions
Mid-Cap
Core
Fund |
9.15% |
9.15% |
8.79% |
8.23% |
7.80% |
5.98% |
3.83% |
2.83% |
1.99% |
1.74% |
1.30% |
1.00% | |
PGIM
Jennison
Small-Cap
Core
Equity
Fund |
5.00% |
5.00% |
5.00% |
5.00% |
4.92% |
4.50% |
3.77% |
2.83% |
1.99% |
1.74% |
1.30% |
1.00% | |
International
Equity |
PGIM
Quant
Solutions
International
Developed
Markets
Index
Fund |
24.95% |
23.95% |
22.81% |
21.40% |
19.04% |
15.87% |
13.30% |
10.59% |
8.20% |
6.60% |
5.60% |
5.00% |
PGIM
Quant
Solutions
Emerging
Markets
Equity
Fund |
9.00% |
8.60% |
7.60% |
6.60% |
5.60% |
4.20% |
2.60% |
1.20% |
0.00% |
0.00% |
0.00% |
0.00% | |
Non-
Traditional |
PGIM
Global
Real
Estate
Fund |
4.00% |
4.00% |
4.00% |
4.00% |
4.00% |
4.00% |
4.40% |
5.00% |
5.00% |
5.00% |
5.00% |
5.00% |
PGIM
Quant
Solutions
Commodity
Strategies
Fund |
3.00% |
3.00% |
3.00% |
3.00% |
3.40% |
4.00% |
4.00% |
4.40% |
5.00% |
5.00% |
5.00% |
5.00% |
Target Allocations for Underlying Funds | |||||||||||||
Category |
Fund
Name |
2065 |
2060 |
2055 |
2050 |
2045 |
2040 |
2035 |
2030 |
2025 |
2020 |
2015 |
Income |
Fixed Income |
PGIM
TIPS Fund |
0.00% |
0.00% |
0.00% |
1.40% |
3.60% |
7.20% |
10.60% |
15.40% |
19.40% |
20.80% |
22.40% |
23.00% |
PGIM
Core
Conservative
Bond
Fund |
0.00% |
0.00% |
0.00% |
1.40% |
3.20% |
4.40% |
5.40% |
6.80% |
9.60% |
12.40% |
14.20% |
16.00% | |
PGIM
Total
Return
Bond
Fund |
3.40% |
4.80% |
6.80% |
6.80% |
8.00% |
8.80% |
11.20% |
13.80% |
15.00% |
15.40% |
16.00% |
16.00% | |
PGIM
Core
Ultra-Short
Bond
Fund |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
1.40% |
3.20% |
5.80% |
7.40% |
8.40% |
9.40% |
10.00% |
Expected Distribution Schedule* | |||
Fund |
Net Investment Income |
Short-Term Capital Gains |
Long-Term Capital Gains |
Income Fund |
Quarterly |
Annually |
Annually |
2015 Fund |
Annually |
Annually |
Annually |
2020 Fund |
Annually |
Annually |
Annually |
2025 Fund |
Annually |
Annually |
Annually |
2030 Fund |
Annually |
Annually |
Annually |
2035 Fund |
Annually |
Annually |
Annually |
2040 Fund |
Annually |
Annually |
Annually |
2045 Fund |
Annually |
Annually |
Annually |
2050 Fund |
Annually |
Annually |
Annually |
2055 Fund |
Annually |
Annually |
Annually |
2060 Fund |
Annually |
Annually |
Annually |
2065 Fund |
Annually |
Annually |
Annually |
Share Class |
Eligibility |
Class R1 |
Certain group retirement plans, institutional investors and certain other investors |
Class R2 |
Individual investors, certain group retirement plans, institutional investors and certain other investors |
Class R3 |
Certain group retirement plans, institutional investors and certain other investors |
Class R4 |
Certain group retirement plans, institutional investors and certain other investors |
Class R5 |
Prudential employees, certain group retirement plans, institutional investors and certain other investors |
Class R6 |
Certain group retirement plans, institutional investors and certain other investors |
|
Class R1 |
Class R2 |
Class R3 |
Class R4 |
Class R5 |
Class R6 |
Minimum purchase amount |
None |
None |
None |
None |
None |
None |
Minimum amount for
subsequent purchases |
None |
None |
None |
None |
None |
None |
Maximum initial sales charge |
None |
None |
None |
None |
None |
None |
Contingent Deferred Sales Charge
(CDSC) (as a percentage of the lower
of the original purchase price or the
net asset value at redemption) |
None |
None |
None |
None |
None |
None |
Annual distribution (12b-1) fees
(shown as a percentage of average
daily net assets)* |
0.50% |
0.25% |
0.10% |
None |
None |
None |
Shareholder service fees |
0.10% |
0.10% |
0.10% |
0.10% |
None |
None |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.13 |
$10.94 |
$10.73 |
$10.59 |
$10.36 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.15 |
0.09 |
0.20 |
0.19 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.08) |
1.23 |
0.50 |
0.25 |
0.19 |
Total from investment operations |
(0.61) |
1.38 |
0.59 |
0.45 |
0.38 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.68) |
(0.13) |
(0.21) |
(0.24) |
(0.15) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.88) |
(0.19) |
(0.38) |
(0.31) |
(0.15) |
Net asset value, end of Year |
$10.64 |
$12.13 |
$10.94 |
$10.73 |
$10.59 |
Total Return(c): |
(5.43)% |
12.70% |
5.57% |
4.46% |
3.71% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$26 |
$27 |
$24 |
$11 |
$11 |
Average net assets (000) |
$27 |
$25 |
$18 |
$11 |
$11 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.76% |
0.75% |
0.74% |
0.74% |
0.64% |
Expenses before waivers and/or expense reimbursement |
15.10% |
28.84% |
77.98% |
108.50% |
124.02% |
Net investment income (loss) |
4.09% |
1.33% |
0.89% |
1.92% |
1.84% |
Portfolio turnover rate(e) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.13 |
$10.94 |
$10.73 |
$10.59 |
$10.37 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.58 |
0.18 |
0.20 |
0.22 |
0.23 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.16) |
1.23 |
0.42 |
0.26 |
0.17 |
Total from investment operations |
(0.58) |
1.41 |
0.62 |
0.48 |
0.40 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.71) |
(0.16) |
(0.24) |
(0.27) |
(0.18) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.91) |
(0.22) |
(0.41) |
(0.34) |
(0.18) |
Net asset value, end of Year |
$10.64 |
$12.13 |
$10.94 |
$10.73 |
$10.59 |
Total Return(c): |
(5.20)% |
12.98% |
5.88% |
4.72% |
3.86% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$48 |
$2,123 |
$1,846 |
$1,345 |
$843 |
Average net assets (000) |
$1,373 |
$2,453 |
$1,435 |
$1,036 |
$248 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.51% |
0.50% |
0.49% |
0.49% |
0.46% |
Expenses before waivers and/or expense reimbursement |
1.28% |
1.37% |
3.26% |
3.89% |
9.08% |
Net investment income (loss) |
4.96% |
1.58% |
1.90% |
2.13% |
2.18% |
Portfolio turnover rate(e) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
$10.37 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.19 |
0.22 |
0.24 |
0.24 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.03) |
1.24 |
0.40 |
0.25 |
0.18 |
Total from investment operations |
(0.56) |
1.43 |
0.62 |
0.49 |
0.42 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.73) |
(0.17) |
(0.25) |
(0.28) |
(0.19) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.93) |
(0.23) |
(0.42) |
(0.35) |
(0.19) |
Net asset value, end of Year |
$10.65 |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
Total Return(c): |
(5.03)% |
13.24% |
5.95% |
4.87% |
4.09% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$160 |
$1,623 |
$1,645 |
$1,597 |
$1,403 |
Average net assets (000) |
$196 |
$1,634 |
$1,557 |
$1,377 |
$1,331 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.36% |
0.35% |
0.34% |
0.34% |
0.24% |
Expenses before waivers and/or expense reimbursement |
2.49% |
1.36% |
3.02% |
3.50% |
5.23% |
Net investment income (loss) |
4.19% |
1.70% |
2.09% |
2.31% |
2.23% |
Portfolio turnover rate(e) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
$10.37 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.52 |
0.21 |
0.15 |
0.25 |
0.25 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.07) |
1.23 |
0.49 |
0.25 |
0.18 |
Total from investment operations |
(0.55) |
1.44 |
0.64 |
0.50 |
0.43 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.74) |
(0.18) |
(0.27) |
(0.29) |
(0.20) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.94) |
(0.24) |
(0.44) |
(0.36) |
(0.20) |
Net asset value, end of Year |
$10.65 |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
Total Return(c): |
(4.94)% |
13.34% |
5.98% |
5.06% |
4.21% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$26 |
$28 |
$24 |
$12 |
$18 |
Average net assets (000) |
$27 |
$26 |
$18 |
$14 |
$18 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.26% |
0.25% |
0.25% |
0.24% |
0.13% |
Expenses before waivers and/or expense reimbursement |
14.28% |
26.37% |
76.14% |
84.52% |
76.23% |
Net investment income (loss) |
4.59% |
1.83% |
1.44% |
2.36% |
2.34% |
Portfolio turnover rate(e) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
$10.37 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.53 |
0.22 |
0.02 |
0.29 |
0.26 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.08) |
1.24 |
0.63 |
0.22 |
0.19 |
Total from investment operations |
(0.55) |
1.46 |
0.65 |
0.51 |
0.45 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.75) |
(0.20) |
(0.28) |
(0.30) |
(0.22) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.95) |
(0.26) |
(0.45) |
(0.37) |
(0.22) |
Net asset value, end of Year |
$10.64 |
$12.14 |
$10.94 |
$10.74 |
$10.60 |
Total Return(c): |
(4.93)% |
13.46% |
6.18% |
5.09% |
4.33% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$931 |
$965 |
$914 |
$65 |
$11 |
Average net assets (000) |
$944 |
$909 |
$534 |
$51 |
$11 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.15% |
0.14% |
0.04% |
Expenses before waivers and/or expense reimbursement |
1.05% |
1.47% |
4.36% |
24.81% |
122.74% |
Net investment income (loss) |
4.67% |
1.94% |
0.15% |
2.75% |
2.44% |
Portfolio turnover rate(e) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.16 |
$10.96 |
$10.76 |
$10.61 |
$10.38 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.55 |
0.24 |
0.21 |
0.29 |
0.28 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.08) |
1.23 |
0.46 |
0.25 |
0.18 |
Total from investment operations |
(0.53) |
1.47 |
0.67 |
0.54 |
0.46 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.77) |
(0.21) |
(0.30) |
(0.32) |
(0.23) |
Distributions from net realized gains |
(0.20) |
(0.06) |
(0.17) |
(0.07) |
(-)(b) |
Total dividends and distributions |
(0.97) |
(0.27) |
(0.47) |
(0.39) |
(0.23) |
Net asset value, end of Year |
$10.66 |
$12.16 |
$10.96 |
$10.76 |
$10.61 |
Total Return(c): |
(4.78)% |
13.59% |
6.36% |
5.33% |
4.45% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$23,236 |
$24,185 |
$16,871 |
$6,939 |
$3,529 |
Average net assets (000) |
$25,990 |
$22,559 |
$9,392 |
$6,203 |
$2,451 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement(e) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
0.01% |
(0.00)%(b) |
(0.00)%(b) |
(0.01)% |
(0.09)% |
Expenses before waivers and/or expense reimbursement |
0.52% |
0.61% |
1.92% |
2.41% |
4.36% |
Net investment income (loss) |
4.82% |
2.10% |
1.95% |
2.80% |
2.67% |
Portfolio turnover rate(f) |
62% |
45% |
65% |
38% |
25% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.43 |
$11.08 |
$10.91 |
$10.86 |
$10.49 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.15 |
0.16 |
0.19 |
0.19 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.41 |
0.42 |
0.23 |
0.28 |
Total from investment operations |
(0.58) |
1.56 |
0.58 |
0.42 |
0.47 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.67) |
(0.11) |
(0.22) |
(0.23) |
(0.08) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.05) |
(0.21) |
(0.41) |
(0.37) |
(0.10) |
Net asset value, end of Year |
$10.80 |
$12.43 |
$11.08 |
$10.91 |
$10.86 |
Total Return(b): |
(5.31)% |
14.32% |
5.35% |
4.17% |
4.50% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$13 |
$14 |
$12 |
$11 |
$11 |
Average net assets (000) |
$13 |
$13 |
$12 |
$11 |
$11 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.76% |
0.75% |
0.74% |
0.73% |
0.63% |
Expenses before waivers and/or expense reimbursement |
28.64% |
52.16% |
114.82% |
106.63% |
120.64% |
Net investment income (loss) |
4.05% |
1.29% |
1.53% |
1.83% |
1.74% |
Portfolio turnover rate(d) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.46 |
$11.10 |
$10.92 |
$10.88 |
$10.50 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.50 |
0.18 |
0.20 |
0.21 |
0.21 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.42 |
0.41 |
0.22 |
0.30 |
Total from investment operations |
(0.55) |
1.60 |
0.61 |
0.43 |
0.51 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.71) |
(0.14) |
(0.24) |
(0.25) |
(0.11) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.09) |
(0.24) |
(0.43) |
(0.39) |
(0.13) |
Net asset value, end of Year |
$10.82 |
$12.46 |
$11.10 |
$10.92 |
$10.88 |
Total Return(b): |
(5.05)% |
14.57% |
5.62% |
4.34% |
4.85% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$51 |
$50 |
$42 |
$12 |
$11 |
Average net assets (000) |
$51 |
$46 |
$37 |
$13 |
$11 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.51% |
0.50% |
0.49% |
0.48% |
0.38% |
Expenses before waivers and/or expense reimbursement |
8.87% |
15.87% |
37.60% |
92.94% |
119.98% |
Net investment income (loss) |
4.28% |
1.54% |
1.85% |
1.94% |
1.99% |
Portfolio turnover rate(d) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.47 |
$11.11 |
$10.93 |
$10.89 |
$10.51 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.52 |
0.20 |
0.21 |
0.24 |
0.23 |
Net realized and unrealized gain (loss) on investment transactions |
(1.06) |
1.41 |
0.42 |
0.21 |
0.29 |
Total from investment operations |
(0.54) |
1.61 |
0.63 |
0.45 |
0.52 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.72) |
(0.15) |
(0.26) |
(0.27) |
(0.12) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.10) |
(0.25) |
(0.45) |
(0.41) |
(0.14) |
Net asset value, end of Year |
$10.83 |
$12.47 |
$11.11 |
$10.93 |
$10.89 |
Total Return(b): |
(4.91)% |
14.71% |
5.84% |
4.50% |
5.01% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$13 |
$14 |
$12 |
$12 |
$11 |
Average net assets (000) |
$14 |
$13 |
$12 |
$11 |
$11 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.36% |
0.35% |
0.34% |
0.33% |
0.23% |
Expenses before waivers and/or expense reimbursement |
27.69% |
50.95% |
113.01% |
105.36% |
119.64% |
Net investment income (loss) |
4.45% |
1.69% |
1.93% |
2.23% |
2.14% |
Portfolio turnover rate(d) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.46 |
$11.11 |
$10.93 |
$10.88 |
$10.51 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.53 |
0.21 |
0.22 |
0.30 |
0.24 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.41 |
0.42 |
0.17 |
0.29 |
Total from investment operations |
(0.52) |
1.62 |
0.64 |
0.47 |
0.53 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.74) |
(0.17) |
(0.27) |
(0.28) |
(0.14) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.12) |
(0.27) |
(0.46) |
(0.42) |
(0.16) |
Net asset value, end of Year |
$10.82 |
$12.46 |
$11.11 |
$10.93 |
$10.88 |
Total Return(b): |
(4.90)% |
14.82% |
5.97% |
4.62% |
5.02% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$13 |
$14 |
$12 |
$12 |
$81 |
Average net assets (000) |
$14 |
$13 |
$12 |
$44 |
$65 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.26% |
0.25% |
0.24% |
0.23% |
0.14% |
Expenses before waivers and/or expense reimbursement |
27.47% |
50.67% |
112.64% |
28.32% |
22.01% |
Net investment income (loss) |
4.55% |
1.79% |
2.03% |
2.82% |
2.27% |
Portfolio turnover rate(d) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.49 |
$11.13 |
$10.95 |
$10.90 |
$10.53 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.51 |
0.22 |
0.01 |
0.26 |
0.25 |
Net realized and unrealized gain (loss) on investment transactions |
(1.02) |
1.42 |
0.64 |
0.22 |
0.29 |
Total from investment operations |
(0.51) |
1.64 |
0.65 |
0.48 |
0.54 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.75) |
(0.18) |
(0.28) |
(0.29) |
(0.15) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.13) |
(0.28) |
(0.47) |
(0.43) |
(0.17) |
Net asset value, end of Year |
$10.85 |
$12.49 |
$11.13 |
$10.95 |
$10.90 |
Total Return(b): |
(4.70)% |
14.91% |
6.03% |
4.82% |
5.11% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$175 |
$133 |
$256 |
$40 |
$18 |
Average net assets (000) |
$166 |
$199 |
$142 |
$28 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.14% |
0.13% |
0.04% |
Expenses before waivers and/or expense reimbursement |
3.36% |
4.45% |
10.96% |
43.44% |
110.69% |
Net investment income (loss) |
4.45% |
1.90% |
0.11% |
2.44% |
2.34% |
Portfolio turnover rate(d) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.49 |
$11.13 |
$10.95 |
$10.90 |
$10.53 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.56 |
0.24 |
0.24 |
0.28 |
0.27 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.41 |
0.43 |
0.22 |
0.28 |
Total from investment operations |
(0.49) |
1.65 |
0.67 |
0.50 |
0.55 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.77) |
(0.19) |
(0.30) |
(0.31) |
(0.16) |
Distributions from net realized gains |
(0.38) |
(0.10) |
(0.19) |
(0.14) |
(0.02) |
Total dividends and distributions |
(1.15) |
(0.29) |
(0.49) |
(0.45) |
(0.18) |
Net asset value, end of Year |
$10.85 |
$12.49 |
$11.13 |
$10.95 |
$10.90 |
Total Return(b): |
(4.57)% |
15.07% |
6.19% |
4.89% |
5.27% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$11,577 |
$14,970 |
$12,049 |
$11,081 |
$8,567 |
Average net assets (000) |
$13,808 |
$15,418 |
$12,078 |
$9,955 |
$6,742 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
0.01% |
(0.00)%(e) |
(0.01)% |
(0.02)% |
(0.11)% |
Expenses before waivers and/or expense reimbursement |
1.02% |
1.00% |
1.72% |
2.04% |
2.53% |
Net investment income (loss) |
4.80% |
2.05% |
2.23% |
2.58% |
2.50% |
Portfolio turnover rate(f) |
43% |
58% |
75% |
30% |
57% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
Amount rounds to zero. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.82 |
$11.27 |
$11.09 |
$10.98 |
$10.52 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.15 |
0.16 |
0.19 |
0.18 |
Net realized and unrealized gain (loss) on investment transactions |
(1.08) |
1.63 |
0.44 |
0.23 |
0.37 |
Total from investment operations |
(0.61) |
1.78 |
0.60 |
0.42 |
0.55 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.72) |
(0.12) |
(0.21) |
(0.21) |
(0.08) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.09) |
(0.23) |
(0.42) |
(0.31) |
(0.09) |
Net asset value, end of Year |
$11.12 |
$12.82 |
$11.27 |
$11.09 |
$10.98 |
Total Return(b): |
(5.37)% |
15.93% |
5.35% |
4.19% |
5.28% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$13 |
$14 |
$12 |
$12 |
$11 |
Average net assets (000) |
$14 |
$13 |
$12 |
$11 |
$11 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.76% |
0.75% |
0.74% |
0.74% |
0.64% |
Expenses before waivers and/or expense reimbursement |
27.64% |
51.00% |
113.14% |
105.39% |
118.30% |
Net investment income (loss) |
3.94% |
1.23% |
1.46% |
1.74% |
1.68% |
Portfolio turnover rate(d) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.83 |
$11.28 |
$11.11 |
$10.99 |
$10.54 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.57 |
0.18 |
0.18 |
0.22 |
0.19 |
Net realized and unrealized gain (loss) on investment transactions |
(1.14) |
1.62 |
0.44 |
0.23 |
0.38 |
Total from investment operations |
(0.57) |
1.80 |
0.62 |
0.45 |
0.57 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.75) |
(0.14) |
(0.24) |
(0.23) |
(0.11) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.12) |
(0.25) |
(0.45) |
(0.33) |
(0.12) |
Net asset value, end of Year |
$11.14 |
$12.83 |
$11.28 |
$11.11 |
$10.99 |
Total Return(b): |
(5.05)% |
16.19% |
5.59% |
4.47% |
5.43% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$55 |
$5,742 |
$4,355 |
$3,446 |
$2,332 |
Average net assets (000) |
$3,140 |
$4,596 |
$3,904 |
$2,456 |
$693 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.51% |
0.50% |
0.49% |
0.49% |
0.46% |
Expenses before waivers and/or expense reimbursement |
0.83% |
0.88% |
1.27% |
1.51% |
3.02% |
Net investment income (loss) |
4.69% |
1.49% |
1.61% |
2.02% |
1.78% |
Portfolio turnover rate(d) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.86 |
$11.30 |
$11.13 |
$11.01 |
$10.55 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.52 |
0.20 |
0.21 |
0.25 |
0.25 |
Net realized and unrealized gain (loss) on investment transactions |
(1.07) |
1.63 |
0.42 |
0.22 |
0.35 |
Total from investment operations |
(0.55) |
1.83 |
0.63 |
0.47 |
0.60 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.77) |
(0.16) |
(0.25) |
(0.25) |
(0.13) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.14) |
(0.27) |
(0.46) |
(0.35) |
(0.14) |
Net asset value, end of Year |
$11.17 |
$12.86 |
$11.30 |
$11.13 |
$11.01 |
Total Return(b): |
(4.89)% |
16.41% |
5.73% |
4.63% |
5.67% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$1,099 |
$1,844 |
$1,541 |
$1,072 |
$1,134 |
Average net assets (000) |
$1,228 |
$1,655 |
$1,294 |
$1,066 |
$673 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.36% |
0.35% |
0.34% |
0.34% |
0.28% |
Expenses before waivers and/or expense reimbursement |
0.65% |
0.97% |
1.80% |
1.99% |
3.00% |
Net investment income (loss) |
4.37% |
1.63% |
1.87% |
2.28% |
2.33% |
Portfolio turnover rate(d) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.87 |
$11.31 |
$11.13 |
$11.03 |
$10.55 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.53 |
0.21 |
0.21 |
0.28 |
0.24 |
Net realized and unrealized gain (loss) on investment transactions |
(1.06) |
1.63 |
0.44 |
0.18 |
0.39 |
Total from investment operations |
(0.53) |
1.84 |
0.65 |
0.46 |
0.63 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.79) |
(0.17) |
(0.26) |
(0.26) |
(0.14) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.16) |
(0.28) |
(0.47) |
(0.36) |
(0.15) |
Net asset value, end of Year |
$11.18 |
$12.87 |
$11.31 |
$11.13 |
$11.03 |
Total Return(b): |
(4.79)% |
16.50% |
5.82% |
4.64% |
5.97% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$14 |
$14 |
$12 |
$12 |
$61 |
Average net assets (000) |
$14 |
$13 |
$12 |
$37 |
$191 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.26% |
0.25% |
0.24% |
0.24% |
0.14% |
Expenses before waivers and/or expense reimbursement |
26.44% |
49.43% |
110.87% |
31.79% |
7.79% |
Net investment income (loss) |
4.44% |
1.73% |
1.95% |
2.61% |
2.19% |
Portfolio turnover rate(d) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.88 |
$11.32 |
$11.14 |
$11.03 |
$10.56 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.55 |
0.22 |
0.24 |
0.25 |
0.23 |
Net realized and unrealized gain (loss) on investment transactions |
(1.08) |
1.63 |
0.42 |
0.23 |
0.40 |
Total from investment operations |
(0.53) |
1.85 |
0.66 |
0.48 |
0.63 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.80) |
(0.18) |
(0.27) |
(0.27) |
(0.15) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.17) |
(0.29) |
(0.48) |
(0.37) |
(0.16) |
Net asset value, end of Year |
$11.18 |
$12.88 |
$11.32 |
$11.14 |
$11.03 |
Total Return(b): |
(4.77)% |
16.60% |
6.03% |
4.75% |
5.99% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$2,967 |
$3,585 |
$3,624 |
$3,962 |
$3,603 |
Average net assets (000) |
$3,448 |
$3,427 |
$3,783 |
$3,807 |
$1,162 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.14% |
0.14% |
0.11% |
Expenses before waivers and/or expense reimbursement |
0.50% |
0.58% |
0.92% |
0.99% |
1.91% |
Net investment income (loss) |
4.58% |
1.81% |
2.22% |
2.34% |
2.13% |
Portfolio turnover rate(d) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$12.84 |
$11.28 |
$11.11 |
$11.00 |
$10.54 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.56 |
0.24 |
0.23 |
0.27 |
0.26 |
Net realized and unrealized gain (loss) on investment transactions |
(1.06) |
1.63 |
0.44 |
0.23 |
0.38 |
Total from investment operations |
(0.50) |
1.87 |
0.67 |
0.50 |
0.64 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.82) |
(0.20) |
(0.29) |
(0.29) |
(0.17) |
Distributions from net realized gains |
(0.37) |
(0.11) |
(0.21) |
(0.10) |
(0.01) |
Total dividends and distributions |
(1.19) |
(0.31) |
(0.50) |
(0.39) |
(0.18) |
Net asset value, end of Year |
$11.15 |
$12.84 |
$11.28 |
$11.11 |
$11.00 |
Total Return(b): |
(4.56)% |
16.82% |
6.10% |
4.93% |
6.06% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$46,728 |
$58,602 |
$49,000 |
$35,018 |
$22,951 |
Average net assets (000) |
$54,565 |
$59,237 |
$39,274 |
$30,081 |
$16,888 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
0.01% |
(0.00)%(e) |
(0.01)% |
(0.01)% |
(0.10)% |
Expenses before waivers and/or expense reimbursement |
0.25% |
0.25% |
0.46% |
0.58% |
0.93% |
Net investment income (loss) |
4.71% |
1.98% |
2.11% |
2.54% |
2.42% |
Portfolio turnover rate(f) |
45% |
49% |
61% |
33% |
41% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
Amount rounds to zero. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.01 |
$11.24 |
$11.14 |
$11.15 |
$10.58 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.14 |
0.05 |
0.19 |
0.17 |
Net realized and unrealized gain (loss) on investment transactions |
(1.07) |
1.84 |
0.53 |
0.18 |
0.50 |
Total from investment operations |
(0.60) |
1.98 |
0.58 |
0.37 |
0.67 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.75) |
(0.11) |
(0.21) |
(0.20) |
(0.10) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.22) |
(0.21) |
(0.48) |
(0.38) |
(0.10) |
Net asset value, end of Year |
$11.19 |
$13.01 |
$11.24 |
$11.14 |
$11.15 |
Total Return(c): |
(5.37)% |
17.76% |
5.25% |
3.73% |
6.35% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$14 |
$14 |
$12 |
$671 |
$678 |
Average net assets (000) |
$14 |
$13 |
$122 |
$625 |
$639 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.76% |
0.75% |
0.75% |
0.74% |
0.65% |
Expenses before waivers and/or expense reimbursement |
27.65% |
50.15% |
11.62% |
3.01% |
3.42% |
Net investment income (loss) |
3.86% |
1.18% |
0.49% |
1.72% |
1.55% |
Portfolio turnover rate(e) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.04 |
$11.26 |
$11.15 |
$11.16 |
$10.59 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.48 |
0.15 |
(0.01) |
0.18 |
0.24 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.86 |
0.63 |
0.22 |
0.46 |
Total from investment operations |
(0.57) |
2.01 |
0.62 |
0.40 |
0.70 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.78) |
(0.13) |
(0.24) |
(0.23) |
(0.13) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.25) |
(0.23) |
(0.51) |
(0.41) |
(0.13) |
Net asset value, end of Year |
$11.22 |
$13.04 |
$11.26 |
$11.15 |
$11.16 |
Total Return(c): |
(5.12)% |
18.09% |
5.45% |
4.09% |
6.62% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$106 |
$82 |
$90 |
$117 |
$14 |
Average net assets (000) |
$92 |
$71 |
$136 |
$39 |
$18 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.51% |
0.50% |
0.50% |
0.49% |
0.39% |
Expenses before waivers and/or expense reimbursement |
6.27% |
10.60% |
10.64% |
31.08% |
71.60% |
Net investment income (loss) |
3.99% |
1.29% |
(0.13)% |
1.60% |
2.18% |
Portfolio turnover rate(e) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.06 |
$11.27 |
$11.17 |
$11.18 |
$10.61 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.43 |
0.19 |
0.21 |
0.23 |
0.21 |
Net realized and unrealized gain (loss) on investment transactions |
(0.99) |
1.85 |
0.41 |
0.19 |
0.51 |
Total from investment operations |
(0.56) |
2.04 |
0.62 |
0.42 |
0.72 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.80) |
(0.15) |
(0.25) |
(0.25) |
(0.15) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.27) |
(0.25) |
(0.52) |
(0.43) |
(0.15) |
Net asset value, end of Year |
$11.23 |
$13.06 |
$11.27 |
$11.17 |
$11.18 |
Total Return(c): |
(5.04)% |
18.32% |
5.62% |
4.17% |
6.76% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$449 |
$9,911 |
$8,064 |
$7,737 |
$5,871 |
Average net assets (000) |
$663 |
$8,876 |
$7,803 |
$6,760 |
$4,653 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.36% |
0.35% |
0.35% |
0.34% |
0.25% |
Expenses before waivers and/or expense reimbursement |
1.02% |
0.61% |
0.90% |
1.00% |
1.24% |
Net investment income (loss) |
3.60% |
1.59% |
1.89% |
2.14% |
1.94% |
Portfolio turnover rate(e) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.06 |
$11.28 |
$11.17 |
$11.18 |
$10.61 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.51 |
0.20 |
0.22 |
0.22 |
0.20 |
Net realized and unrealized gain (loss) on investment transactions |
(1.05) |
1.84 |
0.43 |
0.21 |
0.53 |
Total from investment operations |
(0.54) |
2.04 |
0.65 |
0.43 |
0.73 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.81) |
(0.16) |
(0.27) |
(0.26) |
(0.16) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.28) |
(0.26) |
(0.54) |
(0.44) |
(0.16) |
Net asset value, end of Year |
$11.24 |
$13.06 |
$11.28 |
$11.17 |
$11.18 |
Total Return(c): |
(4.87)% |
18.43% |
5.73% |
4.27% |
6.88% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$22 |
$15 |
$13 |
$12 |
$109 |
Average net assets (000) |
$18 |
$14 |
$12 |
$45 |
$134 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.26% |
0.25% |
0.25% |
0.25% |
0.13% |
Expenses before waivers and/or expense reimbursement |
21.59% |
48.41% |
109.74% |
26.16% |
10.37% |
Net investment income (loss) |
4.24% |
1.68% |
1.99% |
2.04% |
1.81% |
Portfolio turnover rate(e) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.07 |
$11.28 |
$11.17 |
$11.19 |
$10.62 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.49 |
0.22 |
0.24 |
0.24 |
0.23 |
Net realized and unrealized gain (loss) on investment transactions |
(1.02) |
1.84 |
0.41 |
0.19 |
0.51 |
Total from investment operations |
(0.53) |
2.06 |
0.65 |
0.43 |
0.74 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.82) |
(0.17) |
(0.27) |
(0.27) |
(0.17) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.29) |
(0.27) |
(0.54) |
(0.45) |
(0.17) |
Net asset value, end of Year |
$11.25 |
$13.07 |
$11.28 |
$11.17 |
$11.19 |
Total Return(c): |
(4.77)% |
18.53% |
5.90% |
4.29% |
6.98% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$606 |
$266 |
$160 |
$295 |
$37 |
Average net assets (000) |
$425 |
$197 |
$238 |
$71 |
$25 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.16% |
0.14% |
0.07% |
Expenses before waivers and/or expense reimbursement |
1.24% |
3.68% |
6.04% |
16.90% |
50.68% |
Net investment income (loss) |
4.12% |
1.85% |
2.12% |
2.21% |
2.05% |
Portfolio turnover rate(e) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.10 |
$11.30 |
$11.19 |
$11.21 |
$10.64 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.56 |
0.24 |
0.23 |
0.27 |
0.25 |
Net realized and unrealized gain (loss) on investment transactions |
(1.08) |
1.85 |
0.44 |
0.17 |
0.51 |
Total from investment operations |
(0.52) |
2.09 |
0.67 |
0.44 |
0.76 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.84) |
(0.19) |
(0.29) |
(0.28) |
(0.19) |
Distributions from net realized gains |
(0.47) |
(0.10) |
(0.27) |
(0.18) |
(-)(b) |
Total dividends and distributions |
(1.31) |
(0.29) |
(0.56) |
(0.46) |
(0.19) |
Net asset value, end of Year |
$11.27 |
$13.10 |
$11.30 |
$11.19 |
$11.21 |
Total Return(c): |
(4.70)% |
18.75% |
5.96% |
4.55% |
7.13% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$71,290 |
$80,212 |
$62,135 |
$40,932 |
$25,880 |
Average net assets (000) |
$82,904 |
$79,030 |
$47,867 |
$35,028 |
$20,307 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement(e) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
0.01% |
0.00%(b) |
(0.00)%(b) |
(0.01)% |
(0.09)% |
Expenses before waivers and/or expense reimbursement |
0.19% |
0.20% |
0.40% |
0.51% |
0.70% |
Net investment income (loss) |
4.62% |
1.94% |
2.09% |
2.52% |
2.29% |
Portfolio turnover rate(f) |
58% |
44% |
57% |
35% |
37% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.72 |
$11.48 |
$11.45 |
$11.53 |
$10.74 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.43 |
0.13 |
0.17 |
0.18 |
0.14 |
Net realized and unrealized gain (loss) on investment transactions |
(1.15) |
2.32 |
0.41 |
0.13 |
0.77 |
Total from investment operations |
(0.72) |
2.45 |
0.58 |
0.31 |
0.91 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.79) |
(0.11) |
(0.20) |
(0.22) |
(0.12) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.08) |
(0.21) |
(0.55) |
(0.39) |
(0.12) |
Net asset value, end of Year |
$11.92 |
$13.72 |
$11.48 |
$11.45 |
$11.53 |
Total Return(c): |
(5.94)% |
21.50% |
5.04% |
3.18% |
8.47% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$59 |
$55 |
$38 |
$33 |
$27 |
Average net assets (000) |
$58 |
$48 |
$36 |
$30 |
$15 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.75% |
0.74% |
0.74% |
0.74% |
0.66% |
Expenses before waivers and/or expense reimbursement |
7.42% |
14.75% |
37.24% |
40.10% |
84.71% |
Net investment income (loss) |
3.37% |
1.05% |
1.54% |
1.62% |
1.29% |
Portfolio turnover rate(e) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.74 |
$11.50 |
$11.47 |
$11.55 |
$10.75 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.58 |
0.16 |
0.16 |
0.21 |
0.11 |
Net realized and unrealized gain (loss) on investment transactions |
(1.26) |
2.31 |
0.45 |
0.13 |
0.83 |
Total from investment operations |
(0.68) |
2.47 |
0.61 |
0.34 |
0.94 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.82) |
(0.13) |
(0.23) |
(0.25) |
(0.14) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.11) |
(0.23) |
(0.58) |
(0.42) |
(0.14) |
Net asset value, end of Year |
$11.95 |
$13.74 |
$11.50 |
$11.47 |
$11.55 |
Total Return(c): |
(5.69)% |
21.83% |
5.29% |
3.46% |
8.81% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$299 |
$7,308 |
$4,896 |
$3,404 |
$2,637 |
Average net assets (000) |
$5,088 |
$6,013 |
$4,148 |
$3,149 |
$883 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.49% |
0.49% |
0.49% |
0.49% |
0.47% |
Expenses before waivers and/or expense reimbursement |
0.76% |
0.84% |
1.25% |
1.40% |
2.63% |
Net investment income (loss) |
4.39% |
1.29% |
1.42% |
1.87% |
0.99% |
Portfolio turnover rate(e) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.75 |
$11.50 |
$11.47 |
$11.55 |
$10.76 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.18 |
0.19 |
0.21 |
0.21 |
Net realized and unrealized gain (loss) on investment transactions |
(1.13) |
2.32 |
0.44 |
0.15 |
0.74 |
Total from investment operations |
(0.66) |
2.50 |
0.63 |
0.36 |
0.95 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.85) |
(0.15) |
(0.25) |
(0.27) |
(0.16) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.14) |
(0.25) |
(0.60) |
(0.44) |
(0.16) |
Net asset value, end of Year |
$11.95 |
$13.75 |
$11.50 |
$11.47 |
$11.55 |
Total Return(c): |
(5.55)% |
22.00% |
5.44% |
3.63% |
8.86% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$1,341 |
$3,414 |
$2,416 |
$1,349 |
$728 |
Average net assets (000) |
$1,397 |
$2,857 |
$1,832 |
$1,018 |
$440 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.35% |
0.34% |
0.34% |
0.34% |
0.29% |
Expenses before waivers and/or expense reimbursement |
0.57% |
0.78% |
1.50% |
2.03% |
4.05% |
Net investment income (loss) |
3.71% |
1.45% |
1.67% |
1.93% |
1.81% |
Portfolio turnover rate(e) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.74 |
$11.49 |
$11.46 |
$11.56 |
$10.77 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.48 |
0.19 |
0.23 |
0.29 |
0.20 |
Net realized and unrealized gain (loss) on investment transactions |
(1.13) |
2.32 |
0.41 |
0.06 |
0.76 |
Total from investment operations |
(0.65) |
2.51 |
0.64 |
0.35 |
0.96 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.86) |
(0.16) |
(0.26) |
(0.28) |
(0.17) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.15) |
(0.26) |
(0.61) |
(0.45) |
(0.17) |
Net asset value, end of Year |
$11.94 |
$13.74 |
$11.49 |
$11.46 |
$11.56 |
Total Return(c): |
(5.47)% |
22.12% |
5.58% |
3.56% |
8.98% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$31 |
$22 |
$14 |
$12 |
$1,114 |
Average net assets (000) |
$26 |
$18 |
$12 |
$483 |
$987 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.25% |
0.24% |
0.24% |
0.25% |
0.17% |
Expenses before waivers and/or expense reimbursement |
14.46% |
37.53% |
106.51% |
3.30% |
2.43% |
Net investment income (loss) |
3.79% |
1.54% |
2.01% |
2.58% |
1.82% |
Portfolio turnover rate(e) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.77 |
$11.52 |
$11.48 |
$11.57 |
$10.78 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.51 |
0.21 |
0.25 |
0.25 |
0.15 |
Net realized and unrealized gain (loss) on investment transactions |
(1.15) |
2.31 |
0.41 |
0.12 |
0.82 |
Total from investment operations |
(0.64) |
2.52 |
0.66 |
0.37 |
0.97 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.87) |
(0.17) |
(0.27) |
(0.29) |
(0.18) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.16) |
(0.27) |
(0.62) |
(0.46) |
(0.18) |
Net asset value, end of Year |
$11.97 |
$13.77 |
$11.52 |
$11.48 |
$11.57 |
Total Return(c): |
(5.36)% |
22.18% |
5.73% |
3.76% |
9.08% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$3,921 |
$3,877 |
$3,222 |
$3,012 |
$2,728 |
Average net assets (000) |
$3,888 |
$3,548 |
$3,087 |
$2,785 |
$934 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.15% |
0.14% |
0.14% |
0.14% |
0.12% |
Expenses before waivers and/or expense reimbursement |
0.44% |
0.55% |
1.00% |
1.10% |
2.18% |
Net investment income (loss) |
3.94% |
1.66% |
2.19% |
2.21% |
1.36% |
Portfolio turnover rate(e) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$13.80 |
$11.54 |
$11.50 |
$11.59 |
$10.79 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.53 |
0.23 |
0.24 |
0.25 |
0.22 |
Net realized and unrealized gain (loss) on investment transactions |
(1.15) |
2.32 |
0.44 |
0.14 |
0.78 |
Total from investment operations |
(0.62) |
2.55 |
0.68 |
0.39 |
1.00 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.89) |
(0.19) |
(0.29) |
(0.31) |
(0.20) |
Distributions from net realized gains |
(0.29) |
(0.10) |
(0.35) |
(0.17) |
(-)(b) |
Total dividends and distributions |
(1.18) |
(0.29) |
(0.64) |
(0.48) |
(0.20) |
Net asset value, end of Year |
$12.00 |
$13.80 |
$11.54 |
$11.50 |
$11.59 |
Total Return(c): |
(5.20)% |
22.40% |
5.87% |
3.93% |
9.33% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$65,639 |
$71,254 |
$51,305 |
$36,517 |
$22,067 |
Average net assets (000) |
$73,198 |
$68,119 |
$40,094 |
$29,867 |
$15,382 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement(e) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.00)% |
(0.01)% |
(0.01)% |
(0.01)% |
(0.07)% |
Expenses before waivers and/or expense reimbursement |
0.20% |
0.22% |
0.46% |
0.57% |
0.97% |
Net investment income (loss) |
4.14% |
1.79% |
2.13% |
2.25% |
1.94% |
Portfolio turnover rate(f) |
56% |
46% |
55% |
36% |
36% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.14 |
$11.47 |
$11.42 |
$11.68 |
$10.81 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.39 |
0.12 |
0.16 |
0.12 |
0.12 |
Net realized and unrealized gain (loss) on investment transactions |
(1.17) |
2.76 |
0.41 |
0.11 |
0.90 |
Total from investment operations |
(0.78) |
2.88 |
0.57 |
0.23 |
1.02 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.86) |
(0.11) |
(0.18) |
(0.23) |
(0.15) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.63) |
(0.21) |
(0.52) |
(0.49) |
(0.15) |
Net asset value, end of Year |
$11.73 |
$14.14 |
$11.47 |
$11.42 |
$11.68 |
Total Return(c): |
(6.67)% |
25.33% |
4.94% |
2.55% |
9.46% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$31 |
$32 |
$25 |
$24 |
$12 |
Average net assets (000) |
$31 |
$29 |
$24 |
$17 |
$12 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.73% |
0.73% |
0.72% |
0.72% |
0.63% |
Expenses before waivers and/or expense reimbursement |
13.02% |
29.33% |
56.33% |
70.38% |
106.90% |
Net investment income (loss) |
3.02% |
0.91% |
1.44% |
1.03% |
1.04% |
Portfolio turnover rate(e) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.15 |
$11.48 |
$11.43 |
$11.69 |
$10.83 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.42 |
0.15 |
0.19 |
0.18 |
0.08 |
Net realized and unrealized gain (loss) on investment transactions |
(1.16) |
2.76 |
0.41 |
0.07 |
0.96 |
Total from investment operations |
(0.74) |
2.91 |
0.60 |
0.25 |
1.04 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.89) |
(0.14) |
(0.21) |
(0.25) |
(0.18) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.66) |
(0.24) |
(0.55) |
(0.51) |
(0.18) |
Net asset value, end of Year |
$11.75 |
$14.15 |
$11.48 |
$11.43 |
$11.69 |
Total Return(c): |
(6.36)% |
25.59% |
5.20% |
2.84% |
9.62% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$546 |
$526 |
$324 |
$353 |
$352 |
Average net assets (000) |
$535 |
$409 |
$359 |
$340 |
$77 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.48% |
0.48% |
0.47% |
0.47% |
0.44% |
Expenses before waivers and/or expense reimbursement |
1.80% |
2.54% |
4.84% |
4.85% |
17.83% |
Net investment income (loss) |
3.25% |
1.13% |
1.66% |
1.60% |
0.70% |
Portfolio turnover rate(e) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.18 |
$11.50 |
$11.45 |
$11.71 |
$10.84 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.30 |
0.17 |
0.20 |
0.20 |
0.17 |
Net realized and unrealized gain (loss) on investment transactions |
(1.03) |
2.76 |
0.42 |
0.07 |
0.89 |
Total from investment operations |
(0.73) |
2.93 |
0.62 |
0.27 |
1.06 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.91) |
(0.15) |
(0.23) |
(0.27) |
(0.19) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.68) |
(0.25) |
(0.57) |
(0.53) |
(0.19) |
Net asset value, end of Year |
$11.77 |
$14.18 |
$11.50 |
$11.45 |
$11.71 |
Total Return(c): |
(6.29)% |
25.80% |
5.34% |
3.01% |
9.85% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$303 |
$9,978 |
$7,298 |
$6,271 |
$5,849 |
Average net assets (000) |
$463 |
$8,548 |
$6,663 |
$5,850 |
$4,950 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.33% |
0.33% |
0.32% |
0.32% |
0.24% |
Expenses before waivers and/or expense reimbursement |
1.36% |
0.70% |
1.11% |
1.31% |
1.58% |
Net investment income (loss) |
2.36% |
1.30% |
1.82% |
1.83% |
1.46% |
Portfolio turnover rate(e) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.20 |
$11.51 |
$11.46 |
$11.72 |
$10.85 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.46 |
0.18 |
0.22 |
0.31 |
0.17 |
Net realized and unrealized gain (loss) on investment transactions |
(1.17) |
2.78 |
0.41 |
(0.03) |
0.90 |
Total from investment operations |
(0.71) |
2.96 |
0.63 |
0.28 |
1.07 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.93) |
(0.17) |
(0.24) |
(0.28) |
(0.20) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.70) |
(0.27) |
(0.58) |
(0.54) |
(0.20) |
Net asset value, end of Year |
$11.79 |
$14.20 |
$11.51 |
$11.46 |
$11.72 |
Total Return(c): |
(6.17)% |
25.98% |
5.43% |
3.12% |
9.96% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$15 |
$16 |
$13 |
$12 |
$50 |
Average net assets (000) |
$16 |
$15 |
$12 |
$28 |
$48 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.23% |
0.23% |
0.22% |
0.21% |
0.13% |
Expenses before waivers and/or expense reimbursement |
23.52% |
44.91% |
106.41% |
41.69% |
27.89% |
Net investment income (loss) |
3.53% |
1.41% |
1.94% |
2.78% |
1.48% |
Portfolio turnover rate(e) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.20 |
$11.51 |
$11.45 |
$11.72 |
$10.85 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.43 |
0.19 |
0.20 |
0.24 |
0.18 |
Net realized and unrealized gain (loss) on investment transactions |
(1.13) |
2.78 |
0.45 |
0.05 |
0.91 |
Total from investment operations |
(0.70) |
2.97 |
0.65 |
0.29 |
1.09 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.94) |
(0.18) |
(0.25) |
(0.30) |
(0.22) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.71) |
(0.28) |
(0.59) |
(0.56) |
(0.22) |
Net asset value, end of Year |
$11.79 |
$14.20 |
$11.51 |
$11.45 |
$11.72 |
Total Return(c): |
(6.08)% |
26.09% |
5.62% |
3.15% |
10.07% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$542 |
$314 |
$147 |
$95 |
$33 |
Average net assets (000) |
$408 |
$219 |
$122 |
$69 |
$15 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.13% |
0.13% |
0.12% |
0.12% |
0.04% |
Expenses before waivers and/or expense reimbursement |
1.35% |
3.46% |
11.56% |
17.68% |
87.88% |
Net investment income (loss) |
3.38% |
1.47% |
1.81% |
2.16% |
1.54% |
Portfolio turnover rate(e) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.21 |
$11.52 |
$11.46 |
$11.74 |
$10.87 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.49 |
0.21 |
0.22 |
0.24 |
0.22 |
Net realized and unrealized gain (loss) on investment transactions |
(1.17) |
2.77 |
0.45 |
0.05 |
0.88 |
Total from investment operations |
(0.68) |
2.98 |
0.67 |
0.29 |
1.10 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.96) |
(0.19) |
(0.27) |
(0.31) |
(0.23) |
Distributions from net realized gains |
(0.77) |
(0.10) |
(0.34) |
(0.26) |
(-)(b) |
Total dividends and distributions |
(1.73) |
(0.29) |
(0.61) |
(0.57) |
(0.23) |
Net asset value, end of Year |
$11.80 |
$14.21 |
$11.52 |
$11.46 |
$11.74 |
Total Return(c): |
(5.94)% |
26.25% |
5.77% |
3.23% |
10.21% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$47,761 |
$53,243 |
$42,659 |
$24,312 |
$15,099 |
Average net assets (000) |
$54,250 |
$52,063 |
$28,765 |
$20,031 |
$11,332 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement(e) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.02)% |
(0.02)% |
(0.03)% |
(0.03)% |
(0.11)% |
Expenses before waivers and/or expense reimbursement |
0.28% |
0.28% |
0.61% |
0.81% |
1.10% |
Net investment income (loss) |
3.79% |
1.66% |
1.99% |
2.14% |
1.88% |
Portfolio turnover rate(f) |
52% |
45% |
45% |
35% |
28% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.54 |
$11.53 |
$11.61 |
$11.83 |
$10.90 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.38 |
0.10 |
0.14 |
0.15 |
0.12 |
Net realized and unrealized gain (loss) on investment transactions |
(1.26) |
3.11 |
0.33 |
0.05 |
0.98 |
Total from investment operations |
(0.88) |
3.21 |
0.47 |
0.20 |
1.10 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.91) |
(0.11) |
(0.18) |
(0.24) |
(0.16) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.32) |
(0.20) |
(0.55) |
(0.42) |
(0.17) |
Net asset value, end of Year |
$12.34 |
$14.54 |
$11.53 |
$11.61 |
$11.83 |
Total Return(b): |
(7.02)% |
28.07% |
3.95% |
2.28% |
10.11% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$39 |
$34 |
$22 |
$16 |
$13 |
Average net assets (000) |
$37 |
$28 |
$18 |
$14 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.70% |
0.69% |
0.69% |
0.70% |
0.63% |
Expenses before waivers and/or expense reimbursement |
11.02% |
24.36% |
73.98% |
83.37% |
110.40% |
Net investment income (loss) |
2.81% |
0.78% |
1.29% |
1.31% |
1.04% |
Portfolio turnover rate(d) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.57 |
$11.55 |
$11.63 |
$11.84 |
$10.92 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.59 |
0.14 |
0.18 |
0.17 |
0.05 |
Net realized and unrealized gain (loss) on investment transactions |
(1.45) |
3.11 |
0.32 |
0.07 |
1.07 |
Total from investment operations |
(0.86) |
3.25 |
0.50 |
0.24 |
1.12 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.94) |
(0.14) |
(0.21) |
(0.27) |
(0.19) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.35) |
(0.23) |
(0.58) |
(0.45) |
(0.20) |
Net asset value, end of Year |
$12.36 |
$14.57 |
$11.55 |
$11.63 |
$11.84 |
Total Return(b): |
(6.85)% |
28.40% |
4.18% |
2.65% |
10.26% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$169 |
$5,733 |
$3,501 |
$2,424 |
$1,157 |
Average net assets (000) |
$4,165 |
$4,508 |
$2,845 |
$1,689 |
$299 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.45% |
0.44% |
0.44% |
0.45% |
0.43% |
Expenses before waivers and/or expense reimbursement |
0.83% |
0.94% |
1.61% |
2.02% |
5.77% |
Net investment income (loss) |
4.25% |
1.02% |
1.57% |
1.50% |
0.43% |
Portfolio turnover rate(d) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.59 |
$11.57 |
$11.64 |
$11.86 |
$10.93 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.40 |
0.16 |
0.19 |
0.16 |
0.16 |
Net realized and unrealized gain (loss) on investment transactions |
(1.23) |
3.11 |
0.34 |
0.09 |
0.98 |
Total from investment operations |
(0.83) |
3.27 |
0.53 |
0.25 |
1.14 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.97) |
(0.16) |
(0.23) |
(0.29) |
(0.20) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.38) |
(0.25) |
(0.60) |
(0.47) |
(0.21) |
Net asset value, end of Year |
$12.38 |
$14.59 |
$11.57 |
$11.64 |
$11.86 |
Total Return(b): |
(6.69)% |
28.52% |
4.42% |
2.73% |
10.49% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$627 |
$3,617 |
$2,187 |
$1,491 |
$550 |
Average net assets (000) |
$662 |
$2,996 |
$1,720 |
$915 |
$281 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.30% |
0.29% |
0.29% |
0.30% |
0.26% |
Expenses before waivers and/or expense reimbursement |
0.95% |
0.85% |
1.76% |
2.43% |
6.12% |
Net investment income (loss) |
3.00% |
1.23% |
1.69% |
1.42% |
1.34% |
Portfolio turnover rate(d) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.60 |
$11.58 |
$11.65 |
$11.87 |
$10.94 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.42 |
0.17 |
0.21 |
0.25 |
0.18 |
Net realized and unrealized gain (loss) on investment transactions |
(1.23) |
3.11 |
0.33 |
0.01 |
0.97 |
Total from investment operations |
(0.81) |
3.28 |
0.54 |
0.26 |
1.15 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.98) |
(0.17) |
(0.24) |
(0.30) |
(0.21) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.39) |
(0.26) |
(0.61) |
(0.48) |
(0.22) |
Net asset value, end of Year |
$12.40 |
$14.60 |
$11.58 |
$11.65 |
$11.87 |
Total Return(b): |
(6.53)% |
28.61% |
4.52% |
2.84% |
10.60% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$50 |
$34 |
$17 |
$12 |
$61 |
Average net assets (000) |
$42 |
$26 |
$13 |
$35 |
$124 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.20% |
0.19% |
0.19% |
0.20% |
0.13% |
Expenses before waivers and/or expense reimbursement |
9.44% |
26.10% |
98.42% |
33.44% |
11.98% |
Net investment income (loss) |
3.13% |
1.25% |
1.84% |
2.14% |
1.58% |
Portfolio turnover rate(d) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.61 |
$11.58 |
$11.65 |
$11.88 |
$10.95 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.47 |
0.18 |
0.24 |
0.22 |
0.08 |
Net realized and unrealized gain (loss) on investment transactions |
(1.27) |
3.12 |
0.31 |
0.04 |
1.09 |
Total from investment operations |
(0.80) |
3.30 |
0.55 |
0.26 |
1.17 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.99) |
(0.18) |
(0.25) |
(0.31) |
(0.23) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.40) |
(0.27) |
(0.62) |
(0.49) |
(0.24) |
Net asset value, end of Year |
$12.41 |
$14.61 |
$11.58 |
$11.65 |
$11.88 |
Total Return(b): |
(6.43)% |
28.81% |
4.61% |
2.87% |
10.71% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$6,697 |
$7,393 |
$6,114 |
$6,056 |
$6,070 |
Average net assets (000) |
$7,073 |
$6,748 |
$5,963 |
$5,822 |
$1,981 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.10% |
0.09% |
0.09% |
0.10% |
0.09% |
Expenses before waivers and/or expense reimbursement |
0.46% |
0.53% |
1.01% |
1.18% |
1.75% |
Net investment income (loss) |
3.43% |
1.39% |
2.09% |
1.94% |
0.72% |
Portfolio turnover rate(d) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.63 |
$11.59 |
$11.66 |
$11.89 |
$10.96 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.49 |
0.20 |
0.22 |
0.23 |
0.20 |
Net realized and unrealized gain (loss) on investment transactions |
(1.27) |
3.13 |
0.35 |
0.05 |
0.98 |
Total from investment operations |
(0.78) |
3.33 |
0.57 |
0.28 |
1.18 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.02) |
(0.20) |
(0.27) |
(0.33) |
(0.24) |
Distributions from net realized gains |
(0.41) |
(0.09) |
(0.37) |
(0.18) |
(0.01) |
Total dividends and distributions |
(1.43) |
(0.29) |
(0.64) |
(0.51) |
(0.25) |
Net asset value, end of Year |
$12.42 |
$14.63 |
$11.59 |
$11.66 |
$11.89 |
Total Return(b): |
(6.35)% |
29.05% |
4.67% |
3.13% |
10.86% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$37,802 |
$43,332 |
$31,333 |
$17,752 |
$12,643 |
Average net assets (000) |
$45,103 |
$41,893 |
$20,948 |
$15,067 |
$9,501 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.05)% |
(0.06)% |
(0.06)% |
(0.05)% |
(0.11)% |
Expenses before waivers and/or expense reimbursement |
0.27% |
0.30% |
0.70% |
0.91% |
1.52% |
Net investment income (loss) |
3.58% |
1.54% |
1.96% |
2.01% |
1.75% |
Portfolio turnover rate(e) |
54% |
41% |
44% |
26% |
27% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.56 |
$11.34 |
$11.47 |
$11.91 |
$10.97 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.32 |
0.09 |
0.17 |
0.14 |
0.11 |
Net realized and unrealized gain (loss) on investment transactions |
(1.25) |
3.32 |
0.27 |
(0.04) |
1.02 |
Total from investment operations |
(0.93) |
3.41 |
0.44 |
0.10 |
1.13 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.90) |
(0.11) |
(0.18) |
(0.24) |
(0.18) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.84) |
(0.19) |
(0.57) |
(0.54) |
(0.19) |
Net asset value, end of Year |
$11.79 |
$14.56 |
$11.34 |
$11.47 |
$11.91 |
Total Return(b): |
(7.75)% |
30.36% |
3.66% |
1.78% |
10.31% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$15 |
$19 |
$14 |
$13 |
$12 |
Average net assets (000) |
$18 |
$17 |
$13 |
$12 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.68% |
0.68% |
0.68% |
0.69% |
0.62% |
Expenses before waivers and/or expense reimbursement |
21.60% |
40.37% |
98.28% |
96.93% |
110.92% |
Net investment income (loss) |
2.44% |
0.69% |
1.54% |
1.26% |
0.96% |
Portfolio turnover rate(d) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.59 |
$11.36 |
$11.49 |
$11.94 |
$10.98 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.33 |
0.11 |
0.03 |
0.09 |
0.13 |
Net realized and unrealized gain (loss) on investment transactions |
(1.24) |
3.34 |
0.44 |
0.03 |
1.04 |
Total from investment operations |
(0.91) |
3.45 |
0.47 |
0.12 |
1.17 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.93) |
(0.14) |
(0.21) |
(0.27) |
(0.20) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.87) |
(0.22) |
(0.60) |
(0.57) |
(0.21) |
Net asset value, end of Year |
$11.81 |
$14.59 |
$11.36 |
$11.49 |
$11.94 |
Total Return(b): |
(7.56)% |
30.67% |
3.92% |
1.99% |
10.75% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$316 |
$341 |
$220 |
$98 |
$27 |
Average net assets (000) |
$369 |
$235 |
$152 |
$58 |
$17 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.43% |
0.43% |
0.43% |
0.44% |
0.38% |
Expenses before waivers and/or expense reimbursement |
2.07% |
3.78% |
10.18% |
21.72% |
78.26% |
Net investment income (loss) |
2.53% |
0.83% |
0.24% |
0.78% |
1.09% |
Portfolio turnover rate(d) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.60 |
$11.37 |
$11.50 |
$11.94 |
$10.99 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.07 |
0.14 |
0.21 |
0.18 |
0.15 |
Net realized and unrealized gain (loss) on investment transactions |
(0.96) |
3.33 |
0.28 |
(0.03) |
1.03 |
Total from investment operations |
(0.89) |
3.47 |
0.49 |
0.15 |
1.18 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.95) |
(0.16) |
(0.23) |
(0.29) |
(0.22) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.89) |
(0.24) |
(0.62) |
(0.59) |
(0.23) |
Net asset value, end of Year |
$11.82 |
$14.60 |
$11.37 |
$11.50 |
$11.94 |
Total Return(b): |
(7.43)% |
30.83% |
4.07% |
2.26% |
10.79% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$36 |
$12,568 |
$8,750 |
$7,639 |
$5,927 |
Average net assets (000) |
$301 |
$10,686 |
$7,880 |
$6,657 |
$4,901 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.28% |
0.28% |
0.28% |
0.29% |
0.22% |
Expenses before waivers and/or expense reimbursement |
2.13% |
0.81% |
1.51% |
1.80% |
2.11% |
Net investment income (loss) |
0.58% |
1.07% |
1.90% |
1.58% |
1.33% |
Portfolio turnover rate(d) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.61 |
$11.37 |
$11.50 |
$11.95 |
$11.00 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.38 |
0.16 |
0.22 |
0.23 |
0.24 |
Net realized and unrealized gain (loss) on investment transactions |
(1.25) |
3.33 |
0.28 |
(0.08) |
0.95 |
Total from investment operations |
(0.87) |
3.49 |
0.50 |
0.15 |
1.19 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.97) |
(0.17) |
(0.24) |
(0.30) |
(0.23) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.91) |
(0.25) |
(0.63) |
(0.60) |
(0.24) |
Net asset value, end of Year |
$11.83 |
$14.61 |
$11.37 |
$11.50 |
$11.95 |
Total Return(b): |
(7.31)% |
31.03% |
4.19% |
2.29% |
10.90% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$46 |
$42 |
$32 |
$31 |
$458 |
Average net assets (000) |
$42 |
$37 |
$30 |
$217 |
$361 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.18% |
0.18% |
0.18% |
0.20% |
0.13% |
Expenses before waivers and/or expense reimbursement |
9.50% |
18.71% |
44.47% |
6.89% |
5.30% |
Net investment income (loss) |
2.88% |
1.19% |
2.02% |
2.01% |
2.04% |
Portfolio turnover rate(d) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.63 |
$11.39 |
$11.51 |
$11.96 |
$11.01 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.39 |
0.17 |
0.16 |
0.18 |
0.14 |
Net realized and unrealized gain (loss) on investment transactions |
(1.25) |
3.33 |
0.36 |
(0.02) |
1.06 |
Total from investment operations |
(0.86) |
3.50 |
0.52 |
0.16 |
1.20 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.98) |
(0.18) |
(0.25) |
(0.31) |
(0.24) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.92) |
(0.26) |
(0.64) |
(0.61) |
(0.25) |
Net asset value, end of Year |
$11.85 |
$14.63 |
$11.39 |
$11.51 |
$11.96 |
Total Return(b): |
(7.20)% |
31.10% |
4.34% |
2.41% |
11.00% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$786 |
$650 |
$407 |
$174 |
$51 |
Average net assets (000) |
$703 |
$525 |
$265 |
$101 |
$19 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.08% |
0.08% |
0.08% |
0.09% |
0.04% |
Expenses before waivers and/or expense reimbursement |
1.11% |
1.84% |
6.12% |
12.95% |
67.28% |
Net investment income (loss) |
2.96% |
1.27% |
1.48% |
1.62% |
1.24% |
Portfolio turnover rate(d) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.66 |
$11.41 |
$11.53 |
$11.99 |
$11.03 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.42 |
0.18 |
0.21 |
0.22 |
0.19 |
Net realized and unrealized gain (loss) on investment transactions |
(1.27) |
3.35 |
0.32 |
(0.05) |
1.04 |
Total from investment operations |
(0.85) |
3.53 |
0.53 |
0.17 |
1.23 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.00) |
(0.20) |
(0.26) |
(0.33) |
(0.26) |
Distributions from net realized gains |
(0.94) |
(0.08) |
(0.39) |
(0.30) |
(0.01) |
Total dividends and distributions |
(1.94) |
(0.28) |
(0.65) |
(0.63) |
(0.27) |
Net asset value, end of Year |
$11.87 |
$14.66 |
$11.41 |
$11.53 |
$11.99 |
Total Return(b): |
(7.12)% |
31.31% |
4.49% |
2.50% |
11.24% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$29,859 |
$32,739 |
$20,178 |
$9,601 |
$7,129 |
Average net assets (000) |
$34,127 |
$28,077 |
$11,758 |
$8,229 |
$5,157 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.07)% |
(0.07)% |
(0.07)% |
(0.06)% |
(0.12)% |
Expenses before waivers and/or expense reimbursement |
0.42% |
0.42% |
1.11% |
1.43% |
1.77% |
Net investment income (loss) |
3.17% |
1.40% |
1.89% |
1.99% |
1.63% |
Portfolio turnover rate(e) |
50% |
38% |
47% |
31% |
33% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.87 |
$11.49 |
$11.59 |
$11.92 |
$10.95 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.30 |
0.07 |
0.08 |
0.13 |
0.11 |
Net realized and unrealized gain (loss) on investment transactions |
(1.36) |
3.51 |
0.31 |
(0.02) |
1.05 |
Total from investment operations |
(1.06) |
3.58 |
0.39 |
0.11 |
1.16 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.91) |
(0.12) |
(0.19) |
(0.25) |
(0.18) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.49) |
(0.20) |
(0.49) |
(0.44) |
(0.19) |
Net asset value, end of Year |
$12.32 |
$14.87 |
$11.49 |
$11.59 |
$11.92 |
Total Return(b): |
(8.23)% |
31.41% |
3.24% |
1.61% |
10.68% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$47 |
$44 |
$33 |
$166 |
$142 |
Average net assets (000) |
$46 |
$37 |
$54 |
$145 |
$122 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.68% |
0.67% |
0.67% |
0.68% |
0.61% |
Expenses before waivers and/or expense reimbursement |
9.34% |
18.74% |
26.33% |
11.03% |
15.48% |
Net investment income (loss) |
2.18% |
0.55% |
0.69% |
1.11% |
0.95% |
Portfolio turnover rate(d) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.90 |
$11.51 |
$11.59 |
$11.93 |
$10.96 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.50 |
0.11 |
0.17 |
0.15 |
0.03 |
Net realized and unrealized gain (loss) on investment transactions |
(1.51) |
3.51 |
0.26 |
(0.03) |
1.16 |
Total from investment operations |
(1.01) |
3.62 |
0.43 |
0.12 |
1.19 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.95) |
(0.15) |
(0.21) |
(0.27) |
(0.21) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.53) |
(0.23) |
(0.51) |
(0.46) |
(0.22) |
Net asset value, end of Year |
$12.36 |
$14.90 |
$11.51 |
$11.59 |
$11.93 |
Total Return(b): |
(7.92)% |
31.72% |
3.53% |
1.83% |
10.96% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$337 |
$5,209 |
$3,110 |
$1,951 |
$982 |
Average net assets (000) |
$3,647 |
$4,026 |
$2,447 |
$1,348 |
$284 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.43% |
0.42% |
0.42% |
0.43% |
0.41% |
Expenses before waivers and/or expense reimbursement |
1.15% |
1.28% |
2.57% |
3.75% |
8.52% |
Net investment income (loss) |
3.51% |
0.81% |
1.53% |
1.33% |
0.26% |
Portfolio turnover rate(d) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.93 |
$11.53 |
$11.61 |
$11.95 |
$10.97 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.06 |
0.13 |
0.16 |
0.14 |
0.12 |
Net realized and unrealized gain (loss) on investment transactions |
(1.06) |
3.51 |
0.28 |
-(b) |
1.10 |
Total from investment operations |
(1.00) |
3.64 |
0.44 |
0.14 |
1.22 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.97) |
(0.16) |
(0.22) |
(0.29) |
(0.23) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.55) |
(0.24) |
(0.52) |
(0.48) |
(0.24) |
Net asset value, end of Year |
$12.38 |
$14.93 |
$11.53 |
$11.61 |
$11.95 |
Total Return(c): |
(7.83)% |
31.93% |
3.65% |
2.01% |
11.19% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$15 |
$4,071 |
$2,212 |
$1,074 |
$347 |
Average net assets (000) |
$81 |
$3,123 |
$1,564 |
$655 |
$162 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.27% |
0.27% |
0.27% |
0.28% |
0.24% |
Expenses before waivers and/or expense reimbursement |
5.80% |
1.15% |
2.70% |
4.43% |
12.24% |
Net investment income (loss) |
0.52% |
0.97% |
1.45% |
1.22% |
1.01% |
Portfolio turnover rate(e) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.91 |
$11.51 |
$11.59 |
$11.95 |
$10.98 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.13 |
0.15 |
0.22 |
1.53 |
0.14 |
Net realized and unrealized gain (loss) on investment transactions |
(1.12) |
3.50 |
0.24 |
(1.40) |
1.08 |
Total from investment operations |
(0.99) |
3.65 |
0.46 |
0.13 |
1.22 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.98) |
(0.17) |
(0.24) |
(0.30) |
(0.24) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.56) |
(0.25) |
(0.54) |
(0.49) |
(0.25) |
Net asset value, end of Year |
$12.36 |
$14.91 |
$11.51 |
$11.59 |
$11.95 |
Total Return(b): |
(7.79)% |
32.10% |
3.81% |
1.95% |
11.21% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$89 |
$17 |
$13 |
$12 |
$160 |
Average net assets (000) |
$59 |
$15 |
$12 |
$68 |
$113 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.18% |
0.17% |
0.17% |
0.19% |
0.12% |
Expenses before waivers and/or expense reimbursement |
7.09% |
43.52% |
106.71% |
19.83% |
15.66% |
Net investment income (loss) |
0.98% |
1.12% |
1.94% |
13.14% |
1.24% |
Portfolio turnover rate(d) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.94 |
$11.54 |
$11.62 |
$11.96 |
$10.99 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.39 |
0.16 |
0.24 |
0.20 |
0.07 |
Net realized and unrealized gain (loss) on investment transactions |
(1.36) |
3.51 |
0.23 |
(0.03) |
1.16 |
Total from investment operations |
(0.97) |
3.67 |
0.47 |
0.17 |
1.23 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.00) |
(0.19) |
(0.25) |
(0.32) |
(0.25) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.58) |
(0.27) |
(0.55) |
(0.51) |
(0.26) |
Net asset value, end of Year |
$12.39 |
$14.94 |
$11.54 |
$11.62 |
$11.96 |
Total Return(b): |
(7.63)% |
32.13% |
3.90% |
2.24% |
11.31% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$1,170 |
$1,149 |
$778 |
$732 |
$560 |
Average net assets (000) |
$1,196 |
$950 |
$725 |
$608 |
$176 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.08% |
0.07% |
0.07% |
0.08% |
0.06% |
Expenses before waivers and/or expense reimbursement |
1.03% |
1.44% |
3.47% |
4.47% |
10.80% |
Net investment income (loss) |
2.87% |
1.19% |
2.11% |
1.73% |
0.56% |
Portfolio turnover rate(d) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.98 |
$11.57 |
$11.64 |
$11.99 |
$11.00 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.41 |
0.18 |
0.24 |
0.20 |
0.19 |
Net realized and unrealized gain (loss) on investment transactions |
(1.36) |
3.52 |
0.26 |
(0.03) |
1.08 |
Total from investment operations |
(0.95) |
3.70 |
0.50 |
0.17 |
1.27 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.02) |
(0.21) |
(0.27) |
(0.33) |
(0.27) |
Distributions from net realized gains |
(0.58) |
(0.08) |
(0.30) |
(0.19) |
(0.01) |
Total dividends and distributions |
(1.60) |
(0.29) |
(0.57) |
(0.52) |
(0.28) |
Net asset value, end of Year |
$12.43 |
$14.98 |
$11.57 |
$11.64 |
$11.99 |
Total Return(b): |
(7.47)% |
32.33% |
4.11% |
2.33% |
11.65% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$18,346 |
$18,291 |
$13,037 |
$7,037 |
$3,884 |
Average net assets (000) |
$20,531 |
$17,795 |
$8,309 |
$5,316 |
$2,964 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.07)% |
(0.08)% |
(0.08)% |
(0.07)% |
(0.13)% |
Expenses before waivers and/or expense reimbursement |
0.58% |
0.63% |
1.67% |
2.60% |
4.62% |
Net investment income (loss) |
2.98% |
1.33% |
2.13% |
1.75% |
1.64% |
Portfolio turnover rate(e) |
59% |
39% |
42% |
30% |
56% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.78 |
$11.33 |
$11.52 |
$12.10 |
$11.07 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.26 |
0.08 |
0.18 |
0.14 |
0.10 |
Net realized and unrealized gain (loss) on investment transactions |
(1.10) |
3.58 |
0.18 |
(0.15) |
1.12 |
Total from investment operations |
(0.84) |
3.66 |
0.36 |
(0.01) |
1.22 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.91) |
(0.11) |
(0.19) |
(0.24) |
(0.19) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.66) |
(0.21) |
(0.55) |
(0.57) |
(0.19) |
Net asset value, end of Year |
$10.28 |
$14.78 |
$11.33 |
$11.52 |
$12.10 |
Total Return(b): |
(8.47)% |
32.63% |
2.89% |
0.89% |
11.10% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$17 |
$18 |
$14 |
$15 |
$15 |
Average net assets (000) |
$18 |
$16 |
$14 |
$15 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.67% |
0.66% |
0.65% |
0.66% |
0.61% |
Expenses before waivers and/or expense reimbursement |
22.90% |
42.22% |
93.51% |
81.24% |
110.87% |
Net investment income (loss) |
2.17% |
0.57% |
1.62% |
1.22% |
0.87% |
Portfolio turnover rate(d) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.82 |
$11.36 |
$11.54 |
$12.12 |
$11.09 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.29 |
0.10 |
0.14 |
0.12 |
0.10 |
Net realized and unrealized gain (loss) on investment transactions |
(1.11) |
3.60 |
0.25 |
(0.10) |
1.15 |
Total from investment operations |
(0.82) |
3.70 |
0.39 |
0.02 |
1.25 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.94) |
(0.14) |
(0.21) |
(0.27) |
(0.22) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.69) |
(0.24) |
(0.57) |
(0.60) |
(0.22) |
Net asset value, end of Year |
$10.31 |
$14.82 |
$11.36 |
$11.54 |
$12.12 |
Total Return(b): |
(8.28)% |
32.93% |
3.19% |
1.19% |
11.34% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$278 |
$305 |
$142 |
$63 |
$36 |
Average net assets (000) |
$311 |
$188 |
$83 |
$43 |
$23 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.42% |
0.41% |
0.40% |
0.41% |
0.37% |
Expenses before waivers and/or expense reimbursement |
4.25% |
6.37% |
19.04% |
30.82% |
58.64% |
Net investment income (loss) |
2.40% |
0.73% |
1.28% |
1.05% |
0.86% |
Portfolio turnover rate(d) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.82 |
$11.36 |
$11.55 |
$12.13 |
$11.10 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.02 |
0.13 |
0.20 |
0.18 |
0.15 |
Net realized and unrealized gain (loss) on investment transactions |
(0.80) |
3.59 |
0.20 |
(0.14) |
1.12 |
Total from investment operations |
(0.78) |
3.72 |
0.40 |
0.04 |
1.27 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.97) |
(0.16) |
(0.23) |
(0.29) |
(0.24) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.72) |
(0.26) |
(0.59) |
(0.62) |
(0.24) |
Net asset value, end of Year |
$10.32 |
$14.82 |
$11.36 |
$11.55 |
$12.13 |
Total Return(b): |
(8.03)% |
33.09% |
3.26% |
1.37% |
11.48% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$15 |
$7,549 |
$4,867 |
$3,699 |
$2,791 |
Average net assets (000) |
$166 |
$6,237 |
$4,140 |
$3,177 |
$2,323 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.25% |
0.26% |
0.25% |
0.26% |
0.21% |
Expenses before waivers and/or expense reimbursement |
3.82% |
1.52% |
2.92% |
3.70% |
4.29% |
Net investment income (loss) |
0.15% |
0.95% |
1.83% |
1.59% |
1.26% |
Portfolio turnover rate(d) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.84 |
$11.37 |
$11.56 |
$12.14 |
$11.11 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.31 |
0.14 |
0.22 |
0.26 |
0.16 |
Net realized and unrealized gain (loss) on investment transactions |
(1.09) |
3.60 |
0.19 |
(0.21) |
1.12 |
Total from investment operations |
(0.78) |
3.74 |
0.41 |
0.05 |
1.28 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.98) |
(0.17) |
(0.24) |
(0.30) |
(0.25) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.73) |
(0.27) |
(0.60) |
(0.63) |
(0.25) |
Net asset value, end of Year |
$10.33 |
$14.84 |
$11.37 |
$11.56 |
$12.14 |
Total Return(b): |
(8.01)% |
33.27% |
3.38% |
1.49% |
11.59% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$20 |
$17 |
$13 |
$13 |
$66 |
Average net assets (000) |
$18 |
$15 |
$12 |
$33 |
$56 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.17% |
0.16% |
0.15% |
0.17% |
0.11% |
Expenses before waivers and/or expense reimbursement |
22.13% |
43.43% |
106.71% |
37.86% |
26.45% |
Net investment income (loss) |
2.54% |
1.07% |
2.02% |
2.20% |
1.34% |
Portfolio turnover rate(d) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.86 |
$11.38 |
$11.56 |
$12.15 |
$11.12 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.34 |
0.15 |
0.24 |
0.14 |
0.16 |
Net realized and unrealized gain (loss) on investment transactions |
(1.11) |
3.61 |
0.19 |
(0.09) |
1.13 |
Total from investment operations |
(0.77) |
3.76 |
0.43 |
0.05 |
1.29 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.99) |
(0.18) |
(0.25) |
(0.31) |
(0.26) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.74) |
(0.28) |
(0.61) |
(0.64) |
(0.26) |
Net asset value, end of Year |
$10.35 |
$14.86 |
$11.38 |
$11.56 |
$12.15 |
Total Return(b): |
(7.88)% |
33.45% |
3.51% |
1.53% |
11.69% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$367 |
$247 |
$136 |
$90 |
$21 |
Average net assets (000) |
$317 |
$188 |
$111 |
$50 |
$14 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.07% |
0.06% |
0.05% |
0.05% |
0.01% |
Expenses before waivers and/or expense reimbursement |
2.87% |
4.74% |
14.21% |
26.07% |
96.19% |
Net investment income (loss) |
2.79% |
1.12% |
2.15% |
1.20% |
1.37% |
Portfolio turnover rate(d) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.86 |
$11.38 |
$11.57 |
$12.16 |
$11.13 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.37 |
0.17 |
0.22 |
0.21 |
0.19 |
Net realized and unrealized gain (loss) on investment transactions |
(1.12) |
3.61 |
0.22 |
(0.14) |
1.12 |
Total from investment operations |
(0.75) |
3.78 |
0.44 |
0.07 |
1.31 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.02) |
(0.20) |
(0.27) |
(0.33) |
(0.28) |
Distributions from net realized gains |
(2.75) |
(0.10) |
(0.36) |
(0.33) |
- |
Total dividends and distributions |
(3.77) |
(0.30) |
(0.63) |
(0.66) |
(0.28) |
Net asset value, end of Year |
$10.34 |
$14.86 |
$11.38 |
$11.57 |
$12.16 |
Total Return(b): |
(7.82)% |
33.63% |
3.60% |
1.72% |
11.85% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$6,382 |
$7,681 |
$5,451 |
$3,635 |
$2,777 |
Average net assets (000) |
$8,322 |
$7,616 |
$4,340 |
$3,169 |
$2,185 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.08)% |
(0.09)% |
(0.10)% |
(0.09)% |
(0.13)% |
Expenses before waivers and/or expense reimbursement |
1.57% |
1.16% |
2.57% |
3.36% |
3.99% |
Net investment income (loss) |
3.01% |
1.27% |
2.01% |
1.87% |
1.62% |
Portfolio turnover rate(e) |
60% |
37% |
45% |
29% |
29% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.17 |
$11.49 |
$11.62 |
$12.06 |
$11.01 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.29 |
0.08 |
0.17 |
0.13 |
0.10 |
Net realized and unrealized gain (loss) on investment transactions |
(1.46) |
3.74 |
0.16 |
(0.15) |
1.15 |
Total from investment operations |
(1.17) |
3.82 |
0.33 |
(0.02) |
1.25 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.95) |
(0.08) |
(0.20) |
(0.25) |
(0.20) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.18) |
(0.14) |
(0.46) |
(0.42) |
(0.20) |
Net asset value, end of Year |
$12.82 |
$15.17 |
$11.49 |
$11.62 |
$12.06 |
Total Return(b): |
(8.62)% |
33.45% |
2.70% |
0.57% |
11.37% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$17 |
$17 |
$13 |
$12 |
$12 |
Average net assets (000) |
$17 |
$15 |
$12 |
$12 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.66% |
0.65% |
0.65% |
0.66% |
0.61% |
Expenses before waivers and/or expense reimbursement |
23.66% |
46.33% |
114.36% |
111.01% |
149.96% |
Net investment income (loss) |
2.06% |
0.56% |
1.56% |
1.10% |
0.87% |
Portfolio turnover rate(d) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.21 |
$11.52 |
$11.63 |
$12.08 |
$11.03 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.52 |
0.10 |
0.16 |
0.15 |
0.06 |
Net realized and unrealized gain (loss) on investment transactions |
(1.66) |
3.76 |
0.21 |
(0.15) |
1.21 |
Total from investment operations |
(1.14) |
3.86 |
0.37 |
-(b) |
1.27 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.98) |
(0.11) |
(0.22) |
(0.28) |
(0.22) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.21) |
(0.17) |
(0.48) |
(0.45) |
(0.22) |
Net asset value, end of Year |
$12.86 |
$15.21 |
$11.52 |
$11.63 |
$12.08 |
Total Return(c): |
(8.37)% |
33.76% |
2.96% |
0.79% |
11.61% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$199 |
$1,755 |
$889 |
$388 |
$94 |
Average net assets (000) |
$1,330 |
$1,291 |
$587 |
$226 |
$29 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.41% |
0.40% |
0.40% |
0.41% |
0.38% |
Expenses before waivers and/or expense reimbursement |
2.45% |
3.46% |
9.69% |
18.79% |
79.88% |
Net investment income (loss) |
3.57% |
0.74% |
1.47% |
1.31% |
0.51% |
Portfolio turnover rate(e) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Amount rounds to zero. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.25 |
$11.55 |
$11.65 |
$12.09 |
$11.04 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.16 |
0.12 |
0.17 |
0.14 |
0.13 |
Net realized and unrealized gain (loss) on investment transactions |
(1.28) |
3.77 |
0.21 |
(0.11) |
1.16 |
Total from investment operations |
(1.12) |
3.89 |
0.38 |
0.03 |
1.29 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.01) |
(0.13) |
(0.22) |
(0.30) |
(0.24) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.24) |
(0.19) |
(0.48) |
(0.47) |
(0.24) |
Net asset value, end of Year |
$12.89 |
$15.25 |
$11.55 |
$11.65 |
$12.09 |
Total Return(b): |
(8.28)% |
33.94% |
3.12% |
1.05% |
11.75% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$31 |
$1,472 |
$685 |
$279 |
$121 |
Average net assets (000) |
$55 |
$1,051 |
$450 |
$173 |
$80 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.25% |
0.25% |
0.25% |
0.26% |
0.22% |
Expenses before waivers and/or expense reimbursement |
8.75% |
3.27% |
10.14% |
20.50% |
53.70% |
Net investment income (loss) |
1.25% |
0.89% |
1.54% |
1.25% |
1.11% |
Portfolio turnover rate(d) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.26 |
$11.56 |
$11.65 |
$12.10 |
$11.04 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.37 |
0.14 |
0.23 |
0.19 |
0.16 |
Net realized and unrealized gain (loss) on investment transactions |
(1.47) |
3.76 |
0.17 |
(0.16) |
1.15 |
Total from investment operations |
(1.10) |
3.90 |
0.40 |
0.03 |
1.31 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.02) |
(0.14) |
(0.23) |
(0.31) |
(0.25) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.25) |
(0.20) |
(0.49) |
(0.48) |
(0.25) |
Net asset value, end of Year |
$12.91 |
$15.26 |
$11.56 |
$11.65 |
$12.10 |
Total Return(b): |
(8.12)% |
34.14% |
3.18% |
1.09% |
11.96% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$18 |
$17 |
$13 |
$12 |
$13 |
Average net assets (000) |
$17 |
$15 |
$12 |
$12 |
$12 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.15% |
0.16% |
0.11% |
Expenses before waivers and/or expense reimbursement |
22.95% |
44.92% |
112.23% |
106.19% |
147.15% |
Net investment income (loss) |
2.60% |
1.06% |
2.06% |
1.66% |
1.35% |
Portfolio turnover rate(d) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.28 |
$11.57 |
$11.66 |
$12.11 |
$11.05 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.36 |
0.14 |
0.21 |
0.02 |
0.16 |
Net realized and unrealized gain (loss) on investment transactions |
(1.45) |
3.78 |
0.20 |
0.02 |
1.16 |
Total from investment operations |
(1.09) |
3.92 |
0.41 |
0.04 |
1.32 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.03) |
(0.15) |
(0.24) |
(0.32) |
(0.26) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.26) |
(0.21) |
(0.50) |
(0.49) |
(0.26) |
Net asset value, end of Year |
$12.93 |
$15.28 |
$11.57 |
$11.66 |
$12.11 |
Total Return(b): |
(8.01)% |
34.21% |
3.30% |
1.21% |
12.06% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$442 |
$227 |
$95 |
$67 |
$16 |
Average net assets (000) |
$333 |
$154 |
$84 |
$35 |
$13 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
0.06% |
0.05% |
0.05% |
0.06% |
0.01% |
Expenses before waivers and/or expense reimbursement |
2.96% |
6.69% |
22.80% |
45.88% |
140.94% |
Net investment income (loss) |
2.58% |
1.02% |
1.91% |
0.15% |
1.39% |
Portfolio turnover rate(d) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$15.31 |
$11.58 |
$11.66 |
$12.11 |
$11.06 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.40 |
0.15 |
0.24 |
0.22 |
0.22 |
Net realized and unrealized gain (loss) on investment transactions |
(1.47) |
3.81 |
0.18 |
(0.16) |
1.11 |
Total from investment operations |
(1.07) |
3.96 |
0.42 |
0.06 |
1.33 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(1.06) |
(0.17) |
(0.24) |
(0.34) |
(0.28) |
Distributions from net realized gains |
(0.23) |
(0.06) |
(0.26) |
(0.17) |
- |
Total dividends and distributions |
(1.29) |
(0.23) |
(0.50) |
(0.51) |
(0.28) |
Net asset value, end of Year |
$12.95 |
$15.31 |
$11.58 |
$11.66 |
$12.11 |
Total Return(b): |
(7.93)% |
34.50% |
3.46% |
1.39% |
12.12% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$6,246 |
$5,912 |
$2,154 |
$1,424 |
$452 |
Average net assets (000) |
$6,501 |
$4,213 |
$1,657 |
$981 |
$266 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement(d) |
0.00% |
0.00% |
0.00% |
0.00% |
0.00% |
Expenses after waivers and/or reimbursement inclusive of excess expense
reimbursement from the manager |
(0.09)% |
(0.10)% |
(0.10)% |
(0.09)% |
(0.14)% |
Expenses before waivers and/or expense reimbursement |
1.79% |
2.32% |
7.79% |
14.67% |
42.30% |
Net investment income (loss) |
2.85% |
1.11% |
2.09% |
1.90% |
1.84% |
Portfolio turnover rate(e) |
64% |
35% |
44% |
35% |
90% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(d) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R1 Shares | |||
|
Year Ended July 31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.74 |
$9.56 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.26 |
0.06 |
0.02 |
Net realized and unrealized gain (loss) on investment transactions |
(1.25) |
3.18 |
(0.41) |
Total from investment operations |
(0.99) |
3.24 |
(0.39) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.79) |
(0.05) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(0.95) |
(0.06) |
(0.05) |
Net asset value, end of Period |
$10.80 |
$12.74 |
$9.56 |
Total Return(c): |
(8.61)% |
33.98% |
(3.96)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$12 |
$13 |
$10 |
Average net assets (000) |
$13 |
$11 |
$9 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement |
0.66% |
0.65% |
0.65%(e) |
Expenses before waivers and/or expense reimbursement |
59.08% |
96.73% |
485.07%(e) |
Net investment income (loss) |
2.16% |
0.55% |
0.32%(e) |
Portfolio turnover rate(f) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R2 Shares | |||
|
Year Ended July 31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.77 |
$9.58 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.23 |
0.07 |
0.03 |
Net realized and unrealized gain (loss) on investment transactions |
(1.20) |
3.20 |
(0.40) |
Total from investment operations |
(0.97) |
3.27 |
(0.37) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.82) |
(0.07) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(0.98) |
(0.08) |
(0.05) |
Net asset value, end of Period |
$10.82 |
$12.77 |
$9.58 |
Total Return(c): |
(8.45)% |
34.30% |
(3.75)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$73 |
$36 |
$12 |
Average net assets (000) |
$65 |
$22 |
$10 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement |
0.41% |
0.40% |
0.40%(e) |
Expenses before waivers and/or expense reimbursement |
34.43% |
71.91% |
446.28%(e) |
Net investment income (loss) |
1.97% |
0.63% |
0.49%(e) |
Portfolio turnover rate(f) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R3 Shares | |||
|
Year Ended July 31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.78 |
$9.59 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.30 |
0.11 |
0.04 |
Net realized and unrealized gain (loss) on investment transactions |
(1.25) |
3.18 |
(0.40) |
Total from investment operations |
(0.95) |
3.29 |
(0.36) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.84) |
(0.09) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(1.00) |
(0.10) |
(0.05) |
Net asset value, end of Period |
$10.83 |
$12.78 |
$9.59 |
Total Return(c): |
(8.30)% |
34.44% |
(3.65)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$12 |
$13 |
$10 |
Average net assets (000) |
$13 |
$11 |
$9 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement |
0.26% |
0.25% |
0.25%(e) |
Expenses before waivers and/or expense reimbursement |
58.37% |
96.05% |
484.23%(e) |
Net investment income (loss) |
2.56% |
0.95% |
0.72%(e) |
Portfolio turnover rate(f) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R4 Shares | |||
|
Year Ended July 31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.79 |
$9.59 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.32 |
0.12 |
0.05 |
Net realized and unrealized gain (loss) on investment transactions |
(1.26) |
3.19 |
(0.41) |
Total from investment operations |
(0.94) |
3.31 |
(0.36) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.85) |
(0.10) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(1.01) |
(0.11) |
(0.05) |
Net asset value, end of Period |
$10.84 |
$12.79 |
$9.59 |
Total Return(c): |
(8.21)% |
34.66% |
(3.64)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$12 |
$13 |
$10 |
Average net assets (000) |
$13 |
$11 |
$9 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement |
0.16% |
0.15% |
0.15%(e) |
Expenses before waivers and/or expense reimbursement |
58.20% |
95.88% |
484.02%(e) |
Net investment income (loss) |
2.66% |
1.04% |
0.82%(e) |
Portfolio turnover rate(f) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R5 Shares | |||
|
Year Ended July 31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.80 |
$9.60 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.32 |
0.13 |
0.05 |
Net realized and unrealized gain (loss) on investment transactions |
(1.24) |
3.19 |
(0.40) |
Total from investment operations |
(0.92) |
3.32 |
(0.35) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.87) |
(0.11) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(1.03) |
(0.12) |
(0.05) |
Net asset value, end of Period |
$10.85 |
$12.80 |
$9.60 |
Total Return(c): |
(8.11)% |
34.74% |
(3.54)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$14 |
$14 |
$11 |
Average net assets (000) |
$14 |
$13 |
$10 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement |
0.06% |
0.05% |
0.05%(e) |
Expenses before waivers and/or expense reimbursement |
54.91% |
93.88% |
458.95%(e) |
Net investment income (loss) |
2.72% |
1.14% |
0.83%(e) |
Portfolio turnover rate(f) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||
|
Year Ended July31, |
December 16,
2019(a)
through July
31, 2020 | |
|
2022 |
2021 | |
Per Share Operating Performance(b): | |||
Net Asset Value, Beginning of Period |
$12.81 |
$9.61 |
$10.00 |
Income (loss) from investment operations: | |||
Net investment income (loss) |
0.32 |
0.11 |
0.01 |
Net realized and unrealized gain (loss) on investment transactions |
(1.23) |
3.22 |
(0.35) |
Total from investment operations |
(0.91) |
3.33 |
(0.34) |
Less Dividends and Distributions: | |||
Dividends from net investment income |
(0.88) |
(0.12) |
(0.05) |
Distributions from net realized gains |
(0.16) |
(0.01) |
- |
Total dividends and distributions |
(1.04) |
(0.13) |
(0.05) |
Net asset value, end of Period |
$10.86 |
$12.81 |
$9.61 |
Total Return(c): |
(7.97)% |
34.88% |
(3.43)% |
| |||
Ratios/Supplemental Data: | |||
Net assets, end of Period (000) |
$336 |
$433 |
$141 |
Average net assets (000) |
$435 |
$331 |
$77 |
Ratios to average net assets(d): | |||
Expenses after waivers and/or expense reimbursement(e) |
0.00% |
0.00% |
0.00%(f) |
Expenses after waivers and/or reimbursement inclusive of excess expense reimbursement from the manager |
(0.09)% |
(0.10)% |
(0.11)%(f) |
Expenses before waivers and/or expense reimbursement |
25.56% |
34.59% |
166.46%(f) |
Net investment income (loss) |
2.70% |
0.93% |
0.11%(f) |
Portfolio turnover rate(g) |
67% |
94% |
19% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
As a result of reimbursing expenses, including underlying fund expenses, the Manager may reimburse amounts in excess of the respective share classes' operating expenses. |
(f) |
Annualized. |
(g) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
FOR MORE INFORMATION
Please read this Prospectus before you invest in the Fund and keep it for future reference.
For information or shareholder questions contact: | |
◾MAIL
Prudential Mutual Fund Services LLC
PO Box 9658
Providence, RI 02940 ◾WEBSITE
www.pgim.com/investments |
◾TELEPHONE
(800) 225-1852
(973) 367-3529
(from outside the U.S.) |
◾E-DELIVERY
To receive your mutual fund documents on-line, go to pgim.com/investments/resource/edelivery and enroll.
Instead of receiving printed documents by mail, you will receive notification via email when new materials are
available. You can cancel your enrollment or change your email address at any time by visiting the website address
above. |
The Annual and Semi-Annual Reports and the SAI contain additional information about the Fund. Shareholders may
obtain free copies of the SAI, Annual Report and Semi-Annual Report as well as other information about the Fund
and may make other shareholder inquiries through the telephone number, address and website listed above. | |
◾STATEMENT OF ADDITIONAL INFORMATION (“SAI”)
(incorporated by reference into this Prospectus) ◾SEMI-ANNUAL REPORT |
◾ANNUAL REPORT
(contains a discussion of the market conditions and
investment strategies that significantly affected the
Fund's performance during the last fiscal year) |
You can also obtain copies of Fund documents, including the SAI, from the SEC as follows (the SEC charges a fee to
copy documents): | |
◾ELECTRONIC REQUEST
publicinfo@sec.gov |
◾VIA THE INTERNET
on the EDGAR Database at www.sec.gov |
Prudential Day One Income Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDADX |
PDAEX |
PDAFX |
PDAGX |
PDAHX |
PDAJX |
CUSIP |
74445D109 |
74445D208 |
74445D307 |
74445D406 |
74445D505 |
74445D604 |
Prudential Day One 2015 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDCDX |
PDCEX |
PDCFX |
PDCGX |
PDCHX |
PDCJX |
CUSIP |
74445D844 |
74445D836 |
74445D828 |
74445D810 |
74445D794 |
74445D786 |
Prudential Day One 2020 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDDDX |
PDDEX |
PDDFX |
PDDGX |
PDDHX |
PDDJX |
CUSIP |
74445D778 |
74445D760 |
74445D752 |
74445D745 |
74445D737 |
74445D729 |
Prudential Day One 2025 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDEDX |
PDEEX |
PDEFX |
PDEGX |
PDEHX |
PDEJX |
CUSIP |
74445D711 |
74445D695 |
74445D687 |
74445D679 |
74445D661 |
74445D653 |
Prudential Day One 2030 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDFCX |
PDFEX |
PDFFX |
PDFGX |
PDFHX |
PDFJX |
CUSIP |
74445D646 |
74445D638 |
74445D620 |
74445D612 |
74445D596 |
74445D588 |
Prudential Day One 2035 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDGCX |
PDGEX |
PDGFX |
PDGGX |
PDGHX |
PDGJX |
CUSIP |
74445D570 |
74445D562 |
74445D554 |
74445D547 |
74445D539 |
74445D521 |
Prudential Day One 2040 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDHDX |
PDHEX |
PDHFX |
PDHGX |
PDHHX |
PDHJX |
CUSIP |
74445D513 |
74445D497 |
74445D489 |
74445D471 |
74445D463 |
74445D455 |
Prudential Day One 2045 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDIDX |
PDIEX |
PDIKX |
PDIGX |
PDIHX |
PDIJX |
CUSIP |
74445D448 |
74445D430 |
74445D422 |
74445D414 |
74445D398 |
74445D380 |
Prudential Day One 2050 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDJDX |
PDJEX |
PDJFX |
PDJGX |
PDJHX |
PDJJX |
CUSIP |
74445D372 |
74445D364 |
74445D356 |
74445D349 |
74445D331 |
74445D323 |
Prudential Day One 2055 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDKDX |
PDKEX |
PDKFX |
PDKGX |
PDKHX |
PDKJX |
CUSIP |
74445D315 |
74445D299 |
74445D281 |
74445D273 |
74445D265 |
74445D257 |
Prudential Day One 2060 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDLDX |
PDLEX |
PDLFX |
PDLGX |
PDLHX |
PDLJX |
CUSIP |
74445D240 |
74445D232 |
74445D224 |
74445D216 |
74445D190 |
74445D182 |
Prudential Day One 2065 Fund | ||||||
Share Class |
R1 |
R2 |
R3 |
R4 |
R5 |
R6 |
NASDAQ |
PDOAX |
PDODX |
PDOEX |
PDOFX |
PDOGX |
PDOHX |
CUSIP |
74440V674 |
74440V666 |
74440V658 |
74440V641 |
74440V633 |
74440V625 |
PRUDENTIAL DAY ONE INCOME FUND | |||||
R1: PDADX |
R2: PDAEX |
R3: PDAFX |
R4: PDAGX |
R5: PDAHX |
|
R6: PDAJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2015 FUND |
|
| |||
R1: PDCDX |
R2: PDCEX |
R3: PDCFX |
R4: PDCGX |
R5: PDCHX |
|
R6: PDCJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2020 FUND |
|
| |||
R1: PDDDX |
R2: PDDEX |
R3: PDDFX |
R4: PDDGX |
R5: PDDHX |
|
R6: PDDJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2025 FUND |
|
| |||
R1: PDEDX |
R2: PDEEX |
R3: PDEFX |
R4: PDEGX |
R5: PDEHX |
|
R6: PDEJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2030 FUND |
|
| |||
R1: PDFCX |
R2: PDFEX |
R3: PDFFX |
R4: PDFGX |
R5: PDFHX |
|
R6: PDFJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2035 FUND |
|
| |||
R1: PDGCX |
R2: PDGEX |
R3: PDGFX |
R4: PDGGX |
R5: PDGHX |
|
R6: PDGJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2040 FUND |
|
| |||
R1: PDHDX |
R2: PDHEX |
R3: PDHFX |
R4: PDHGX |
R5: PDHHX |
|
R6: PDHJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2045 FUND |
|
| |||
R1: PDIDX |
R2: PDIEX |
R3: PDIKX |
R4: PDIGX |
R5: PDIHX |
|
R6: PDIJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2050 FUND |
|
| |||
R1: PDJDX |
R2: PDJEX |
R3: PDJFX |
R4: PDJGX |
R5: PDJHX |
|
R6: PDJJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2055 FUND |
|
| |||
R1: PDKDX |
R2: PDKEX |
R3: PDKFX |
R4: PDKGX |
R5: PDKHX |
|
R6: PDKJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2060 FUND |
|
| |||
R1: PDLDX |
R2: PDLEX |
R3: PDLFX |
R4: PDLGX |
R5: PDLHX |
|
R6: PDLJX |
|
|
|
|
|
PRUDENTIAL DAY ONE 2065 FUND |
|
| |||
R1: PDOAX |
R2: PDODX |
R3: PDOEX |
R4: PDOFX |
R5: PDOGX |
|
R6: PDOHX |
|
|
|
|
|
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 |
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 |
Board Member |
A trustee or director 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 |
Exchange |
NYSE Arca, Inc. |
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 |
Term |
Definition |
S&P |
S&P Global Ratings |
SEC |
U.S. Securities and Exchange Commission |
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: 97 |
President and Board Member, The Joyce
Foundation (charitable foundation) (since
2002); formerly Vice Chair, City Colleges of
Chicago (community college system)
(2011-2015); Trustee, National Park Foundation
(charitable foundation for national park system)
(2009-2018); Trustee, Economic Club of
Chicago (2009-2016); Trustee, Loyola University
(since 2018). |
None. |
Since September 2013 |
Kevin J. Bannon
1952
Board Member
Portfolios Overseen: 97 |
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; President (May
2003-May 2007) of BNY Hamilton Family of
Mutual Funds. |
Director of Urstadt Biddle Properties (equity real
estate investment trust) (since September
2008). |
Since July 2008 |
Linda W. Bynoe
1952
Board Member
Portfolios Overseen: 94 |
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); Director of
Northern Trust Corporation (financial services)
(since April 2006); formerly Director of Anixter
International, Inc. (communication products
distributor) (January 2006-June 2020). |
Since March 2005 |
Barry H. Evans
1960
Board Member
Portfolios Overseen: 96 |
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 |
Keith F. Hartstein
1956
Board Member &
Independent Chair
Portfolios Overseen: 97 |
Retired; Member (since November 2014) 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);
Chairman, Investment Company Institute’s
Sales Force Marketing Committee (2003-2008). |
None. |
Since September 2013 |
Laurie Simon Hodrick
1962
Board Member
Portfolios Overseen: 93 |
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, Andela (since January
2022) (global talent network); Independent
Director, Roku (since December 2020)
(communication services); 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 |
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 |
Brian K. Reid
1961
Board Member
Portfolios Overseen: 96 |
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); Director,
ICI Mutual Insurance Company (2012-2017). |
None. |
Since March 2018 |
Grace C. Torres
1959
Board Member
Portfolios Overseen: 96 |
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
Portfolios Overseen: 96 |
President, Chief Executive Officer, Chief
Operating Officer and Officer in Charge of PGIM
Investments LLC (formerly known as Prudential
Investments LLC) (since January 2012);
President and PEO (since March 2022) of the
PGIM Private Real Estate Fund, Inc.; 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: 97 |
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.; Senior Vice President
of Product Development and Marketing, PGIM
Investments (since February 2006); Vice
President (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; 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 (since July 2022) of the PGIM Private Real Estate Fund, Inc.; Chief Legal Officer, Executive
Vice President and Secretary of PGIM Investments LLC (since August 2020); Chief Legal Officer of Prudential
Mutual Fund Services LLC (since August 2020); Chief Legal Officer of PIFM Holdco, LLC (since August 2020);
Vice President and Corporate Counsel (since January 2005) of Prudential; and Corporate Counsel of AST
Investment Services, Inc. (since August 2020); 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 |
Isabelle Sajous
1976
Chief Compliance Officer |
Chief Compliance Officer (since April 2022) of PGIM Investments LLC, the PGIM Funds, Target Funds, PGIM ETF
Trust, PGIM Global High Yield Fund, Inc., PGIM High Yield Bond Fund, Inc., PGIM Short Duration High Yield
Opportunities Fund, Advanced Series Trust, The Prudential Series Fund and Prudential’s Gibraltar Fund, Inc.;
Chief Compliance Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; Vice President,
Compliance of PGIM Investments LLC (since December 2020); formerly Director, Compliance (July
2018-December 2020) of Credit Suisse Asset Management LLC; and Vice President, Associate General Counsel
& Deputy Chief Compliance Officer of Cramer Rosenthal McGlynn, LLC (August 2014-July 2018). |
Since April 2022 |
Andrew R. French
1962
Secretary |
Vice President (since December 2018) of PGIM Investments LLC; Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Vice President and Corporate Counsel (2010-2018) of Prudential;
formerly Director and Corporate Counsel (2006-2010) of Prudential; Vice President and Assistant Secretary
(since January 2007) of PGIM Investments LLC; Vice President and Assistant Secretary (since January 2007) of
Prudential Mutual Fund Services LLC. |
Since October 2006 |
Melissa Gonzalez
1980
Assistant Secretary |
Vice President and Corporate Counsel (since September 2018) of Prudential; Vice President and Assistant
Secretary (since August 2020) of PGIM Investments LLC; Assistant Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Director and Corporate Counsel (March 2014-September 2018) of
Prudential. |
Since March 2020 |
Patrick E. McGuinness
1986
Assistant Secretary |
Vice President and Assistant Secretary (since August 2020) of PGIM Investments LLC; Director and Corporate
Counsel (since February 2017) of Prudential; Assistant Secretary (since March 2022) of the PGIM Private Real
Estate Fund, Inc. |
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 Private Real Estate Fund, Inc; 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 |
Kelly A. Coyne
1968
Assistant Secretary |
Director, Investment Operations of Prudential Mutual Fund Services LLC (since 2010); Assistant Secretary
(since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since March 2015 |
Christian J. Kelly
1975
Treasurer and Principal Financial
and Accounting Officer |
Vice President, Head of Fund Administration of PGIM Investments LLC (since November 2018); Principal
Financial Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; formerly, Treasurer and
Principal Accounting Officer (March 2022- July 2022) of the PGIM Private Real Estate Fund, Inc.; formerly
Director of Fund Administration of Lord Abbett & Co. LLC (2009-2018), Treasurer and Principal Accounting
Officer of the Lord Abbett Family of Funds (2017-2018); Director of Accounting, Avenue Capital Group
(2008-2009); Senior Manager, Investment Management Practice of Deloitte & Touche LLP (1998-2007). |
Since January 2019 |
Lana Lomuti
1967
Assistant Treasurer |
Vice President (since 2007) and Director (2005-2007), within PGIM Investments Fund Administration; formerly
Assistant Treasurer (December 2007-February 2014) of The Greater China Fund, Inc. |
Since April 2014 |
Russ Shupak
1973
Assistant Treasurer |
Vice President (since 2017) and Director (2013-2017), within PGIM Investments Fund Administration;
Treasurer and Principal Accounting Officer (since July 2022) of the PGIM Private Real Estate Fund, Inc.;
formerly Assistant Treasurer (March 2022 – July 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Deborah Conway
1969
Assistant Treasurer |
Vice President (since 2017) and Director (2007-2017), within PGIM Investments Fund Administration. |
Since October
2019 |
Elyse M. McLaughlin
1974
Assistant Treasurer |
Vice President (since 2017) and Director (2011-2017), within PGIM Investments Fund Administration;
Assistant Treasurer (since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Kelly Florio
1978
Anti-Money Laundering Compliance
Officer |
Vice President, Corporate Compliance, Global Compliance Programs and Compliance Risk Management (since
December 2021) of Prudential; formerly, Head of Fraud Risk Management (October 2019 to December 2021) at
New York Life Insurance Company; formerly, Head of Key Risk Area Operations (November 2018 to October
2019), Director of the US Anti-Money Laundering Compliance Unit (2009-2018) and Bank Loss Prevention
Associate (2006 -2009) at MetLife. |
Since June 2022 |
Name |
Aggregate Fiscal Year
Compensation from the Funds |
Pension or Retirement Benefits
Accrued as Part of Fund Expenses |
Estimated Annual Benefits
Upon Retirement |
Total Compensation from Funds
and Fund Complex for Most
Recent Calendar Year* |
Compensation Received by Independent Board Members | ||||
Ellen S. Alberding*** |
$14,847 |
None |
None |
$332,000 (33/95)** |
Kevin J. Bannon |
$14,790 |
None |
None |
$312,000 (33/95)** |
Linda W. Bynoe |
$14,870 |
None |
None |
$332,000 (30/92)** |
Barry Evans*** |
$14,963 |
None |
None |
$341,500 (32/94)** |
Keith F. Hartstein |
$15,130 |
None |
None |
$406,000 (33/95)** |
Laurie Simon Hodrick*** |
$14,800 |
None |
None |
$316,000 (29/91)** |
Brian Reid |
$14,967 |
None |
None |
$330,500 (32/94)** |
Grace C. Torres |
$14,973 |
None |
None |
$345,500 (32/94)** |
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 Funds |
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 | ||
Stuart S. Parker |
None |
Over $100,000 |
Scott E. Benjamin |
None |
Over $100,000 |
Management Fees Paid by Income Fund |
2022 |
2021 |
2020 |
Gross Fee |
$5,711 |
$5,521 |
$2,591 |
Amount Waived/Reimbursed by PGIM Investments |
$(162,136) |
$(201,536) |
$(311,922) |
Net Fee |
$(156,425) |
$(196,015) |
$(309,331) |
Management Fees Paid by 2015 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$2,813 |
$3,140 |
$2,458 |
Amount Waived/Reimbursed by PGIM Investments |
$(159,828) |
$(189,782) |
$(277,977) |
Net Fee |
$(157,015) |
$(186,642) |
$(275,519) |
Management Fees Paid by 2020 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$12,482 |
$13,788 |
$9,656 |
Amount Waived/Reimbursed by PGIM Investments |
$(163,138) |
$(204,729) |
$(288,735) |
Net Fee |
$(150,656) |
$(190,941) |
$(279,079) |
Management Fees Paid by 2025 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$16,823 |
$17,640 |
$11,236 |
Amount Waived/Reimbursed by PGIM Investments |
$(173,140) |
$(207,480) |
$(290,311) |
Net Fee |
$(156,317) |
$(189,840) |
$(279,075) |
Management Fees Paid by 2030 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$16,731 |
$16,121 |
$9,842 |
Amount Waived/Reimbursed by PGIM Investments |
$(183,762) |
$(219,519) |
$(293,000) |
Net Fee |
$(167,031) |
$(203,398) |
$(283,158) |
Management Fees Paid by 2035 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$11,141 |
$12,257 |
$7,189 |
Amount Waived/Reimbursed by PGIM Investments |
$(185,215) |
$(220,099) |
$(292,707) |
Net Fee |
$(174,074) |
$(207,842) |
$(285,518) |
Management Fees Paid by 2040 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$11,416 |
$11,240 |
$6,302 |
Amount Waived/Reimbursed by PGIM Investments |
$(197,262) |
$(233,608) |
$(300,103) |
Net Fee |
$(185,846) |
$(222,368) |
$(293,801) |
Management Fees Paid by 2045 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$7,112 |
$7,915 |
$4,020 |
Amount Waived/Reimbursed by PGIM Investments |
$(194,504) |
$(226,381) |
$(292,904) |
Net Fee |
$(187,392) |
$(218,466) |
$(288,884) |
Management Fees Paid by 2050 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$5,112 |
$5,189 |
$2,622 |
Amount Waived/Reimbursed by PGIM Investments |
$(183,906) |
$(214,984) |
$(287,684) |
Net Fee |
$(178,794) |
$(209,795) |
$(285,062) |
Management Fees Paid by 2055 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$1,830 |
$2,852 |
$1,740 |
Amount Waived/Reimbursed by PGIM Investments |
$(171,600) |
$(207,182) |
$(284,639) |
Net Fee |
$(169,770) |
$(204,330) |
$(282,899) |
Management Fees Paid by 2060 Fund |
2022 |
2021 |
2020 |
Gross Fee |
$1,651 |
$1,348 |
$560 |
Amount Waived/Reimbursed by PGIM Investments |
$(171,309) |
$(197,045) |
$(276,510) |
Net Fee |
$(169,658) |
$(195,697) |
$(275,950) |
Management Fees Paid by 2065 Fund |
2022 |
2021 |
2020* |
Gross Fee |
$111 |
$80 |
$15 |
Amount Waived/Reimbursed by PGIM Investments |
$(163,828) |
$(175,297) |
$(219,914) |
Net Fee |
$(163,717) |
$(175,217) |
$(219,899) |
Subadvisory Fees Paid by PGIM Investments: Income Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$5,711 |
$5,521 |
$2,591 |
Subadvisory Fees Paid by PGIM Investments: 2015 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$2,813 |
$3,140 |
$2,458 |
Subadvisory Fees Paid by PGIM Investments: 2020 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$12,482 |
$13,788 |
$9,656 |
Subadvisory Fees Paid by PGIM Investments: 2025 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$16,823 |
$17,640 |
$11,236 |
Subadvisory Fees Paid by PGIM Investments: 2030 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$16,731 |
$16,120 |
$9,842 |
Subadvisory Fees Paid by PGIM Investments: 2035 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$11,141 |
$12,257 |
$7,189 |
Subadvisory Fees Paid by PGIM Investments: 2040 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
Subadvisory Fees Paid by PGIM Investments: 2040 Fund | |||
PGIM QUANTITATIVE SOLUTIONS LLC |
$11,416 |
$11,240 |
$6,302 |
Subadvisory Fees Paid by PGIM Investments: 2045 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$7,112 |
$7,915 |
$4,020 |
Subadvisory Fees Paid by PGIM Investments: 2050 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$5,112 |
$5,189 |
$2,622 |
Subadvisory Fees Paid by PGIM Investments: 2055 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$1,830 |
$2,852 |
$1,740 |
Subadvisory Fees Paid by PGIM Investments: 2060 Fund | |||
Subadviser |
2022 |
2021 |
2020 |
PGIM QUANTITATIVE SOLUTIONS LLC |
$1,651 |
$1,348 |
$560 |
Subadvisory Fees Paid by PGIM Investments: 2065 Fund | |||
Subadviser |
2022 |
2021 |
2020* |
PGIM QUANTITATIVE SOLUTIONS LLC |
$111 |
$80 |
$15 |
Other Funds and Investment Accounts Managed by the Portfolio Managers* | |||||
Fund |
Subadviser |
Portfolio Manager |
Registered Investment
Companies ($ in '000s) |
Other Pooled
Investment Vehicles
($ in '000s) |
Other Accounts
($ in '000s) |
Income Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$55,888,551,779 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$55,888,551,779 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,699,509,821 |
6/$2,121,915,052 |
12/$850,456,301 |
2015 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,896,448,215 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,896,448,215 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,712,070,836 |
6/$2,121,915,052 |
12/$850,456,301 |
2020 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,857,390,319 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,857,390,319 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,673,012,940 |
6/$2,121,915,052 |
12/$850,456,301 |
2025 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,835,737,233 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,835,737,233 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,651,359,855 |
6/$2,121,915,052 |
12/$850,456,301 |
2030 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,836,957,674 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,836,957,674 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,652,580,295 |
6/$2,121,915,052 |
12/$850,456,301 |
2035 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,859,077,366 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,859,077,366 |
6/$2,121,915,052 |
11/$778,933,888 |
Other Funds and Investment Accounts Managed by the Portfolio Managers* | |||||
Fund |
Subadviser |
Portfolio Manager |
Registered Investment
Companies ($ in '000s) |
Other Pooled
Investment Vehicles
($ in '000s) |
Other Accounts
($ in '000s) |
|
|
Joel Kallman, CFA |
35/$60,674,699,987 |
6/$2,121,915,052 |
12/$850,456,301 |
2040 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,862,761,522 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,862,761,522 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,678,384,143 |
6/$2,121,915,052 |
12/$850,456,301 |
2045 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,877,199,263 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,877,199,263 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,692,821,884 |
6/$2,121,915,052 |
12/$850,456,301 |
2050 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,888,214,909 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,888,214,909 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,703,837,530 |
6/$2,121,915,052 |
12/$850,456,301 |
2055 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,901,222,114 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,901,222,114 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,716,844,735 |
6/$2,121,915,052 |
12/$850,456,301 |
2060 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,901,320,017 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,901,320,017 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,716,942,638 |
6/$2,121,915,052 |
12/$850,456,301 |
2065 Fund |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
33/$59,907,837,083 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Jeremy Stempien |
33/$59,907,837,083 |
6/$2,121,915,052 |
11/$778,933,888 |
|
|
Joel Kallman, CFA |
35/$60,723,459,704 |
6/$2,121,915,052 |
12/$850,456,301 |
Personal Investments and Financial Interests of the Portfolio Managers | ||
Subadviser |
Portfolio Managers |
Investments and Other Financial Interests
in the Fund and Similar Strategies* |
PGIM Quantitative Solutions LLC |
Lorne Johnson, PhD |
$100,000 - $500,000 |
|
Jeremy Stempien |
$50,000 - $100,000 |
|
Joel Kallman |
$10,000 - $50,000 |
Fees Paid to PMFS |
|
Fund Name |
Amount |
Prudential Day One Income Fund |
$4,626 |
Prudential Day One 2015 Fund |
$1,199 |
Prudential Day One 2020 Fund |
$9,057 |
Prudential Day One 2025 Fund |
$3,018 |
Prudential Day One 2030 Fund |
$13,140 |
Prudential Day One 2035 Fund |
$3,372 |
Prudential Day One 2040 Fund |
$15,039 |
Prudential Day One 2045 Fund |
$3,676 |
Prudential Day One 2050 Fund |
$8,360 |
Prudential Day One 2055 Fund |
$2,715 |
Prudential Day One 2060 Fund |
$3,739 |
Prudential Day One 2065 Fund |
$907 |
Payments Received by the Distributor: Prudential Day One Income Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$133 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$3,432 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$196 |
Payments Received by the Distributor: Prudential Day One 2015 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$68 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$127 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$14 |
Payments Received by the Distributor: Prudential Day One 2020 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$69 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$7,850 |
Payments Received by the Distributor: Prudential Day One 2020 Fund | |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$1,228 |
Payments Received by the Distributor: Prudential Day One 2025 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$71 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$230 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$663 |
Payments Received by the Distributor: Prudential Day One 2030 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$291 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$12,720 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$1,397 |
Payments Received by the Distributor: Prudential Day One 2035 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$158 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$1,338 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$463 |
Payments Received by the Distributor: Prudential Day One 2040 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$185 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$10,413 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$662 |
Payments Received by the Distributor: Prudential Day One 2045 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$90 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$923 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$301 |
Payments Received by the Distributor: Prudential Day One 2050 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$230 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$9,117 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$81 |
Payments Received by the Distributor: Prudential Day One 2055 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$88 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$779 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$166 |
Payments Received by the Distributor: Prudential Day One 2060 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$86 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$3,324 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$54 |
Payments Received by the Distributor: Prudential Day One 2065 Fund | |
CLASS R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$63 |
CLASS R2 DISTRIBUTION AND SERVICE (12B-1) FEES |
$163 |
CLASS R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$13 |
Amounts Spent by Distributor: Prudential Day One Income Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One Income Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R2 |
$- |
$3,328 |
$1 |
$3,329 |
Class R3 |
$- |
$184 |
$- |
$184 |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2015 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$— |
$- |
$- |
Class R2 |
$- |
$79 |
$- |
$79 |
Class R3 |
$- |
$— |
$- |
$- |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2020 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$— |
$- |
$- |
Class R2 |
$- |
$7,016 |
$4 |
$7,020 |
Class R3 |
$- |
$1,224 |
$- |
$1,224 |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2025 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$— |
$- |
$- |
Class R2 |
$- |
$144 |
$43 |
$187 |
Class R3 |
$- |
$660 |
$- |
$660 |
Class R4 |
$- |
$— |
$7 |
$7 |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2030 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$215 |
$3 |
$218 |
Class R2 |
$- |
$12,446 |
$38 |
$12,484 |
Class R3 |
$- |
$1,385 |
$- |
$1,385 |
Class R4 |
$- |
$— |
$8 |
$8 |
Class R5 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2030 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2035 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$81 |
$1 |
$82 |
Class R2 |
$- |
$1,195 |
$26 |
$1,221 |
Class R3 |
$- |
$457 |
$- |
$457 |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2040 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$104 |
$5 |
$109 |
Class R2 |
$- |
$10,360 |
$78 |
$10,438 |
Class R3 |
$- |
$646 |
$- |
$646 |
Class R4 |
$- |
$— |
$16 |
$16 |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2045 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$11 |
$- |
$11 |
Class R2 |
$- |
$431 |
$66 |
$497 |
Class R3 |
$- |
$291 |
$- |
$291 |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2050 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$150 |
$6 |
$156 |
Class R2 |
$- |
$8,645 |
$102 |
$8,747 |
Class R3 |
$- |
$52 |
$- |
$52 |
Class R4 |
$- |
$— |
$36 |
$36 |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2055 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$5 |
$- |
$5 |
Class R2 |
$- |
$426 |
$32 |
$458 |
Class R3 |
$- |
$146 |
$- |
$146 |
Class R4 |
$- |
$— |
$3 |
$3 |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2060 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$5 |
$- |
$5 |
Class R2 |
$- |
$3,156 |
$80 |
$3,236 |
Class R3 |
$- |
$43 |
$- |
$43 |
Class R4 |
$- |
$— |
$2 |
$2 |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Amounts Spent by Distributor: Prudential Day One 2065 Fund | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class R1 |
$- |
$— |
$- |
$- |
Class R2 |
$- |
$77 |
$69 |
$146 |
Class R3 |
$- |
$— |
$- |
$- |
Class R4 |
$- |
$— |
$- |
$- |
Class R5 |
$- |
$— |
$- |
$- |
Class R6 |
$- |
$— |
$- |
$- |
Offering Price Per Share | ||||||||||||
|
2015
Fund |
2020
Fund |
2025
Fund |
2030
Fund |
2035
Fund |
2040
Fund |
2045
Fund |
2050
Fund |
2055
Fund |
2060
Fund |
2065
Fund |
Income
Fund |
Class R1 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV and redemption price
per Class R1 share |
$10.80 |
$11.12 |
$11.19 |
$11.92 |
$11.73 |
$12.34 |
$11.79 |
$12.32 |
$10.28 |
$12.82 |
$10.80 |
$10.64 |
Class R2 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV and redemption price
per Class R2 share |
$10.82 |
$11.14 |
$11.22 |
$11.95 |
$11.75 |
$12.36 |
$11.81 |
$12.36 |
$10.31 |
$12.86 |
$10.82 |
$10.64 |
Class R3 |
|
|
|
|
|
|
|
|
|
|
|
|
Offering Price Per Share | ||||||||||||
|
2015
Fund |
2020
Fund |
2025
Fund |
2030
Fund |
2035
Fund |
2040
Fund |
2045
Fund |
2050
Fund |
2055
Fund |
2060
Fund |
2065
Fund |
Income
Fund |
NAV and redemption price
per Class R3 share |
$10.83 |
$11.17 |
$11.23 |
$11.95 |
$11.77 |
$12.38 |
$11.82 |
$12.38 |
$10.32 |
$12.89 |
$10.83 |
$10.65 |
Class R4 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV and redemption price
per Class R4 share |
$10.82 |
$11.18 |
$11.24 |
$11.94 |
$11.79 |
$12.40 |
$11.83 |
$12.36 |
$10.33 |
$12.91 |
$10.84 |
$10.65 |
Class R5 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV and redemption price
per Class R5 share |
$10.85 |
$11.18 |
$11.25 |
$11.97 |
$11.79 |
$12.41 |
$11.85 |
$12.39 |
$10.35 |
$12.93 |
$10.85 |
$10.64 |
Class R6 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV and redemption price
per Class R6 share |
$10.85 |
$11.15 |
$11.27 |
$12.00 |
$11.80 |
$12.42 |
$11.87 |
$12.43 |
$10.34 |
$12.95 |
$10.86 |
$10.66 |
Brokerage Commissions Paid by the Fund | |||
|
2022 |
2021 |
2020 |
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 | ||
Broker/Dealer Name |
Equity or Debt |
Amount |
None |
None |
None |
Portfolio Turnover Rate |
|
|
Fund Name |
2022 |
2021 |
Prudential Day One Income Fund |
62% |
45% |
Prudential Day One 2015 Fund |
43% |
58% |
Prudential Day One 2020 Fund |
45% |
49% |
Prudential Day One 2025 Fund |
58% |
44% |
Prudential Day One 2030 Fund |
56% |
46% |
Prudential Day One 2035 Fund |
52% |
45% |
Prudential Day One 2040 Fund |
54% |
41% |
Prudential Day One 2045 Fund |
50% |
38% |
Prudential Day One 2050 Fund |
59% |
39% |
Prudential Day One 2055 Fund |
60% |
37% |
Prudential Day One 2060 Fund |
64% |
35% |
Prudential Day One 2065 Fund |
67% |
94% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One Income Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
2,389.646 |
98.42%% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One Income Fund – Class R2 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
2,422.575 |
58.68% |
Prudential Day One Income Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
DENNIS D SCHROEDER
220 W 21ST ST
CARROLL IA 51401-3615 |
1,138.034 |
27.56% |
Prudential Day One Income Fund – Class R2 |
STEVEN EDELFELT
5831 W 108TH PL
WESTMINSTER CO 80020-6403 |
296.128 |
7.17% |
Prudential Day One Income Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
15,032.684 |
100.00% |
Prudential Day One Income Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
2,455.362 |
100.00% |
Prudential Day One Income Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
85,248.127 |
96.97% |
Prudential Day One Income Fund - Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
666,419.778 |
30.78% |
Prudential Day One Income Fund -Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
344,355.945 |
15.91% |
Prudential Day One Income Fund - Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
294,180.989 |
13.59% |
Prudential Day One Income Fund -Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
255,106.989 |
11.78% |
Prudential Day One Income Fund -Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
224,523.320 |
10.37% |
|
|
|
|
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2015 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,205.763 |
100.00% |
Prudential Day One 2015 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SWORD'S MASONRY INC
WILLIAM W DOUGHERTY
PO BOX 299
FANNETTSBURG PA 17221-0299 |
2,830.184 |
60.21% |
Prudential Day One 2015 Fund -Class R2 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,219.766 |
25.95% |
Prudential Day One 2015 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAM FERRIS III CPA PLLC
NDFI SIMPLE IRA
DARNELLE JOY ROBBINS
7830 ELK DR
CORPUS CHRISTI TX 78414-5967 |
423.830 |
9.02% |
Prudential Day One 2015 Fund – Class R3 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,229.487 |
100.00% |
Prudential Day One 2015 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,236.001 |
100.00% |
Prudential Day One 2015 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
15,294.390 |
92.49% |
Prudential Day One 2015 Fund – Class R5 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,241.442 |
7.51% |
Prudential Day One 2015 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
493,298.483 |
46.32% |
Prudential Day One 2015 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
152,984.846 |
14.36% |
Prudential Day One 2015 Fund – Class R6 |
THE LINCOLN LIFE INSURANCE COMPANY
MAIL STOP 5C00
1300 S CLINTON ST
FORT WAYNE IN 46802-3518 |
108,534.152 |
10.19% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2015 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
106,802.481 |
10.03% |
|
|
|
|
Prudential Day One 2020 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,199.335 |
100.00% |
Prudential Day One 2020 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
BARBARA J ULCH
3067 REX DR S
JACKSONVILLE FL 322160000 |
3,283.053 |
63.91% |
Prudential Day One 2020 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE IRA OF
IRENA VALENTA
206 EAST RD
BRISTOL CT 06010-6894 |
1,153.242 |
22.45% |
Prudential Day One 2020 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
98,465.230 |
100.00% |
Prudential Day One 2020 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,228.327 |
100.00% |
Prudential Day One 2020 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
264,587.950 |
99.54% |
Prudential Day One 2020 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,557,101.994 |
37.75% |
Prudential Day One 2020 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
625,888.931 |
15.17% |
Prudential Day One 2020 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
615,316.826 |
14.92% |
Prudential Day One 2020 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
436,552.167 |
10.58% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2020 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
325,412.180 |
7.89% |
Prudential Day One 2020 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
UC HEALTH 403(B) RETIREMENT
3200 BURNET AVENUE
CINCINNATI OH 45229 |
207,715.873 |
5.04% |
|
|
|
|
Prudential Day One 2025 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,223.147 |
100.00% |
Prudential Day One 2025 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
PORKY JOERLING TRUCKING
NDFI SIM-IRA
MARK JOERLING
3390 HIGHWAY F
DEFIANCE MO 63341-1214 |
3,422.810 |
35.39% |
Prudential Day One 2025 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE IRA OF
ROBERT J RUNNING
12 MARIAN DR
FORT THOMAS KY 41075-1232 |
1,517.867 |
15.70% |
Prudential Day One 2025 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAFE HARBOR CHRISTIAN COUNSELING
NDFI SIMPLE IRA
EILEEN FAY ROYCE
707 PINEFIELD WAY
EDGEWOOD MD 21040-2146 |
1,113.351 |
11.51% |
Prudential Day One 2025 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
PORKY JOERLING TRUCKING
NDFI SIM-IRA
DANNY DEROY
27749 ROELKER RD
WRIGHT CITY MO 63390-3751 |
1,004.413 |
10.39% |
Prudential Day One 2025 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE IRA OF
JEFFREY A GORMAN
8412 DUNSMORE ROAD
RAPID CITY SD 57702 |
603.969 |
6.25% |
Prudential Day One 2025 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
E & D ENGINEERING INC
NDFI SIM-IRA
MICHAEL BRIANTE
10 RIDGE WAY
FANWOOD NJ 07023-1301 |
491.922 |
5.09% |
Prudential Day One 2025 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
40,064.771 |
100.00% |
Prudential Day One 2025 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,253.239 |
57.71% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2025 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
918.377 |
42.29% |
Prudential Day One 2025 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
52,799.191 |
96.17% |
Prudential Day One 2025 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,953,908.707 |
31.38% |
Prudential Day One 2025 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
1,036,876.802 |
16.65% |
Prudential Day One 2025 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
742,929.979 |
11.93% |
Prudential Day One 2025 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
686,230.677 |
11.02% |
Prudential Day One 2025 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
UC HEALTH 403(B) RETIREMENT
3200 BURNET AVENUE
CINCINNATI OH 45229 |
322,995.772 |
5.19% |
|
|
|
|
Prudential Day One 2030 Fund – Class R1 |
MID ATLANTIC TRUST COMPANY FBO
IRVINE ADULT DAY HEALTH 401(K) PROF
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
2,238.695 |
45.03% |
Prudential Day One 2030 Fund – Class R1 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
NEW JERSEY GRAVEL AND SAND CO.,
PO BOX 1441
WALL NJ 07719 |
1,522.286 |
30.62% |
Prudential Day One 2030 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,210.488 |
24.35% |
Prudential Day One 2030 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
CATHARINE M CADIGAN
6 STEPPING STONE LN
CUMBERLAND FORESIDE ME 04110-1322 |
5,239.161 |
20.72% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2030 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
RENEE D PENDLETON
4913 INDEPENDENCE CIR UNIT B
STOW OH 44224 |
4,915.539 |
19.44% |
Prudential Day One 2030 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
BENING MOTORS NDFI SIMPLE IRA
JAMES D SECHREST
9083 STATE HWY W
JACKSON MO 63755-8841 |
3,293.049 |
13.03% |
Prudential Day One 2030 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
C E R INC
BRUCE F MCKELDIN SR
38511 BLUE HEN DRIVE
SELBYVILLE DE 19975-0000 |
2,989.083 |
11.82% |
Prudential Day One 2030 Fund – Class R2 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 300
EVANGELICAL CONGREGATIONAL
100 W. PARK AVENUE
MYERSTOWN PA 17067 |
2,310.311 |
9.14% |
Prudential Day One 2030 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAFE HARBOR CHRISTIAN COUNSELING
NDFI SIMPLE IRA
MICHELLE LYNN MATTHEWS
10 W RING FACTORY RD
BEL AIR MD 21014-5302 |
1,413.501 |
5.59% |
Prudential Day One 2030 Fund – Class R2 |
JOHN HORVATH
SUBJECT TO STA TOD RULES - NJ
2135 BERRELL AVE
ABINGTON PA 19001-1002 |
1,412.301 |
5.59% |
Prudential Day One 2030 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
112,823.498 |
100.00% |
Prudential Day One 2030 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
1,486.915 |
54.51% |
Prudential Day One 2030 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,240.887 |
45.49% |
Prudential Day One 2030 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
320,990.346 |
97.34% |
Prudential Day One 2030 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,796,626.555 |
33.53% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2030 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
809,799.279 |
15.11% |
Prudential Day One 2030 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
807,614.788 |
15.07% |
Prudential Day One 2030 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
UC HEALTH 403(B) RETIREMENT
3200 BURNET AVENUE
CINCINNATI OH 45229 |
406,703.398 |
7.59% |
Prudential Day One 2030 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
372,525.999 |
6.95% |
Prudential Day One 2030 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
361,279.934 |
6.74% |
Prudential Day One 2035 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,269.847 |
47.98% |
Prudential Day One 2035 Fund – Class R1 |
MID ATLANTIC TRUST COMPANY FBO
IRVINE ADULT DAY HEALTH 401(K) PROF
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
1,242.783 |
46.96% |
Prudential Day One 2035 Fund – Class R1 |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
133.835 |
5.06% |
Prudential Day One 2035 Fund – Class R2 |
ASCENSUS TRUST COMPANY FBO
CRI FEEDERS OF GUYMON LLC PROFIT SH
059019
P.O. BOX 10758
FARGO, ND 58106 |
37,659.954 |
80.24% |
Prudential Day One 2035 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
VICTORIA COON
245 ALBANY AVE
THORNWOOD NY 10594-1128 |
2,453.188 |
5.23% |
Prudential Day One 2035 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
26,253.888 |
100.00% |
Prudential Day One 2035 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,300.559 |
100.00% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2035 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
37,362.306 |
78.68% |
Prudential Day One 2035 Fund – Class R5 |
HEIDI B BARTELS
PERRY J MEYER JTWROS
183 CREEKSIDE CT SE
SAINT MICHAEL MN 55376-7535 |
6,662.040 |
14.03% |
Prudential Day One 2035 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,159,592.375 |
28.46% |
Prudential Day One 2035 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
894,042.371 |
21.94% |
Prudential Day One 2035 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
463,691.595 |
11.38% |
Prudential Day One 2035 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
399,015.084 |
9.79% |
Prudential Day One 2035 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
236,341.784 |
5.80% |
|
|
|
|
Prudential Day One 2040 Fund – Class R1 |
MID ATLANTIC TRUST COMPANY FBO
IRVINE ADULT DAY HEALTH 401(K) PROF
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
1,975.958 |
61.61% |
Prudential Day One 2040 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,231.422 |
38.39% |
Prudential Day One 2040 Fund – Class R2 |
ASCENSUS TRUST COMPANY FBO
SAMY'S OC 401(K) PLAN 259620
P.O. BOX 10758
FARGO, ND 58106 |
6,095.785 |
44.22% |
Prudential Day One 2040 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAFE HARBOR CHRISTIAN COUNSELING
NDFI SIMPLE IRA
ANGELA MARIE RYAN
9209 SANDRA PARK RD
PERRY HALL MD 21128-9405 |
2,650.582 |
19.23% |
Prudential Day One 2040 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SAN JUAN PEST CONTROL NDFI SIM-IRA
JARED A DALLMANN
PO BOX 97
FRIDAY HARBOR WA 98250-0000 |
1,016.417 |
7.37% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2040 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SOUTH VALLEY PHYSICAL THERAPY
NDFI SIM-IRA
AYESHA REHANA SULEMANI
1263 CROSSGATES LN
SAN JOSE CA 95120-5318 |
708.445 |
5.14% |
Prudential Day One 2040 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
50,955.148 |
100.00% |
Prudential Day One 2040 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
3,056.644 |
70.80% |
Prudential Day One 2040 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,260.896 |
29.20% |
Prudential Day One 2040 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
533,949.033 |
98.50% |
Prudential Day One 2040 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
941,509.265 |
30.75% |
Prudential Day One 2040 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
839,163.805 |
27.41% |
Prudential Day One 2040 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
310,518.958 |
10.14% |
Prudential Day One 2040 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
UC HEALTH 403(B) RETIREMENT
3200 BURNET AVENUE
CINCINNATI OH 45229 |
279,844.012 |
9.14% |
|
|
|
|
Prudential Day One 2045 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,302.316 |
99.99% |
Prudential Day One 2045 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
CINDY A KELLER
8336 OAKVIEW CIR
LENEXA KS 66215-5382 |
6,137.613 |
22.55% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2045 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
GRANT SANDERS & TAYLOR PC
NDFI SIM-IRA
JENNIFER LYNN DUKES
9381 BASSE ST
ELBERTA AL 36530-5082 |
4,269.862 |
15.69% |
Prudential Day One 2045 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
AUSTIN MCDONOUGH
6005 CRESTVIEW DR
ATHENS OH 45701-6605 |
2,691.631 |
9.89% |
Prudential Day One 2045 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
MATTHEW CHANEY
126 VAUGHN RD
HUDSON FALLS NY 12839-9638 |
2,304.845 |
8.47% |
Prudential Day One 2045 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SCOTT WILLIAMS & ASSOC. LPA
NDFI SIM-IRA
JENNIFER MARIE ALLEN
2701 NORMA ST #2
CUYAHOGA FALLS OH 44223-1730 |
2,190.843 |
8.05% |
Prudential Day One 2045 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
3,082.319 |
100.00% |
Prudential Day One 2045 Fund – Class R4 |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS CLIENTS 401K
8515 E ORCHARD RD 2T2
GREENWOOD VILLAGE CO 80111 |
2,049.866 |
52.08% |
Prudential Day One 2045 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,334.859 |
33.91% |
Prudential Day One 2045 Fund – Class R4 |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
551.537 |
14.01% |
Prudential Day One 2045 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
61,645.433 |
90.45% |
Prudential Day One 2045 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
880,910.168 |
35.37% |
Prudential Day One 2045 Fund – Class R6 |
MID ATLANTIC TRUST COMPANY FBO
MATC OMNIBUS DIV REINVEST LTCG - RE
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
427,270.002 |
17.15% |
Prudential Day One 2045 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
340,665.687 |
13.68% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2045 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
133,691.274 |
5.37% |
|
|
|
|
Prudential Day One 2050 Fund – Class R1 |
MID ATLANTIC TRUST COMPANY FBO
IRVINE ADULT DAY HEALTH 401(K) PROF
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
2,611.064 |
67.72% |
Prudential Day One 2050 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,244.441 |
32.28% |
Prudential Day One 2050 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROLLOVER IRA OF
KAREN M DECOOL
808 SOLANA DR
LAFAYETTE CA 945495004 |
9,731.939 |
35.04% |
Prudential Day One 2050 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SCOTT WILLIAMS & ASSOC. LPA
NDFI SIM-IRA
RAYMOND JAMES CASEY
27873 WEST OAKLAND ROAD
BAY VILLAGE OH 44140-0000 |
2,795.988 |
10.07% |
Prudential Day One 2050 Fund – Class R2 |
ASCENSUS TRUST COMPANY FBO
SAMY'S OC 401(K) PLAN 259620
P.O. BOX 10758
FARGO, ND 58106 |
1,851.890 |
6.67% |
Prudential Day One 2050 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
WILLIAMS ALLEN CASEY
NDFI SIMPLE IRA
BRYAN CHRISTOPHER PALMER
1868 RIDGEWICK DR
WICKLIFFE OH 44092-1623 |
1,554.693 |
5.60% |
Prudential Day One 2050 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAFE HARBOR CHRISTIAN COUNSELING
NDFI SIMPLE IRA
NICHOLE MARIE BLANKENSHIP
335 PONFIELD RD E
FOREST HILL MD 21050-2537 |
1,424.188 |
5.13% |
Prudential Day One 2050 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
JOHN MARION INC NDFI SIM-IRA
ADAM ROWE
19769 LIBSTAFF RD
DUNDEE MI 48131-9615 |
1,389.875 |
5.00% |
Prudential Day One 2050 Fund – Class R3 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
753.582 |
60.58% |
Prudential Day One 2050 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
488.029 |
39.24% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2050 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
6,178.674 |
82.91% |
Prudential Day One 2050 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,273.649 |
17.09% |
Prudential Day One 2050 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
91,577.503 |
95.23% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
552,352.790 |
37.11% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
240,011.983 |
16.13% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
122,307.998 |
8.22% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
NATIONAL COUNCIL ON AGING, INC.
251 18TH STREET SOUTH
SUITE 500
ARLINGTON VA 22202 |
106,505.021 |
7.16% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 980
UC HEALTH 403(B) RETIREMENT
3200 BURNET AVENUE
CINCINNATI OH 45229 |
99,483.837 |
6.68% |
Prudential Day One 2050 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
98,918.994 |
6.65% |
Prudential Day One 2050 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
96,789.363 |
6.50% |
|
|
|
|
Prudential Day One 2055 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,507.596 |
93.47% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2055 Fund – Class R1 |
MID ATLANTIC TRUST COMPANY FBO
IRVINE ADULT DAY HEALTH 401(K) PROF
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
105.253 |
6.53% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
MICHELE K POYNER
21 COMMONS DR
NEPTUNE NJ 08731 |
2,490.407 |
11.40% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE IRA OF
BETHANY G WALTERS
9367 SW 66TH LOOP
OCALA FL 34481 |
2,170.360 |
9.93% |
Prudential Day One 2055 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
LEBER RIVERA FUNERAL HOME INC
NDFI SIM-IRA
KLISMAN LORRANNE XAVIER-CASTRO
81 BOYLE AVE
TOTOWA NJ 07512-2712 |
1,888.923 |
8.64% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
JESSICA A SYKUCKI
403 STANDPIPE DR
ROCKLAND MA 02370-2767 |
1,810.402 |
8.28% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,524.642 |
6.98% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
BRAD R BARTHOLOMEW
2304 HASTINGS DR
PLAINFIELD IL 60586-7689 |
1,345.138 |
6.16% |
Prudential Day One 2055 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
DAVID A SUDDATH
3431 HICKORY VIEW DR
MARIETTA GA 30064 |
1,190.237 |
5.45% |
Prudential Day One 2055 Fund – Class R3 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
886.979 |
62.88% |
Prudential Day One 2055 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
523.714 |
37.12% |
Prudential Day One 2055 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,543.868 |
77.06% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2055 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
459.569 |
22.94% |
Prudential Day One 2055 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
36,295.790 |
93.43% |
Prudential Day One 2055 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
266,391.544 |
42.79% |
Prudential Day One 2055 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
67,172.147 |
10.79% |
Prudential Day One 2055 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
64,830.883 |
10.41% |
Prudential Day One 2055 Fund – Class R6 |
AMERICAN UNITED LIFE INSURANCE
GROUP RETIREMENT ANNUITY SEP ACT II
PO BOX 368
INDIANAPOLIS IN 46206-0368 |
51,072.619 |
8.20% |
Prudential Day One 2055 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
45,304.509 |
7.28% |
|
|
|
|
Prudential Day One 2060 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,204.672 |
91.51% |
Prudential Day One 2060 Fund – Class R1 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
NEW JERSEY GRAVEL AND SAND CO.,
PO BOX 1441
WALL NJ 0771 |
111.802 |
8.49% |
Prudential Day One 2060 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
KATHERINE R HANCOCK
13120 NE 203RD PL
WOODINVILLE WA 98072-5716 |
1,693.912 |
10.76% |
Prudential Day One 2060 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
GRANT SANDERS TAYLOR PC
NDFI SIM-IRA
TANYA STEVIE CRANE
18805 ODRA CT
GULF SHORES AL 36542-5659 |
1,369.747 |
8.70% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2060 Fund – Class R2 |
BNYM I S TRUST CO CUST SIMPLE IRA
SHARONS HEATING & AIR NDFI SIM-IRA
RYAN J BOUCHER
7444 ARCOLA ST
WESTLAND MI 48185-2662 |
1,328.525 |
8.44% |
Prudential Day One 2060 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
SAFE HARBOR CHRISTIAN COUNSELING
NDFI SIMPLE IRA
SHELBY MARIE TOMPKINS
43 BLUEBIRD TRL
DELTA PA 17314-8847 |
1,248.600 |
7.93% |
Prudential Day One 2060 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
AUSBON SARGENT LAND PRESERV TR
NDFI SIMPLE IRA
ANNE THERESA PAYEUR
301 HIGH ST
BOSCAWEN NH 03303-2801 |
1,146.231 |
7.28% |
Prudential Day One 2060 Fund – Class R3 |
MATRIX TRUST COMPANY CUSTODIAN FBO
HUNTER ENGINEERING COMPANY NONQUALI
PO BOX 52129
PHOENIX AZ 850722129 |
2,407.051 |
100% |
Prudential Day One 2060 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,230.805 |
86.81% |
Prudential Day One 2060 Fund – Class R4 |
STATE STREET BANK AND TRUST TTEE
AND/OR CUSTODIAN
(FBO) ADP ACCESS PRODUCT
1 LINCOLN ST
BOSTON MA 02111-2901 |
187.037 |
13.19% |
Prudential Day One 2060 Fund – Class R5 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 990
RCM TECHNOLOGIES 401(K) SAVINGS
20 WATERVIEW BOULEVARD
4TH FLOOR
PARSIPPANY NJ 07054 |
31,586.924 |
95.13% |
Prudential Day One 2060 Fund – Class R6 |
MID ATLANTIC TRUST COMPANY FBO
MATC OMNIBUS DIV REINVEST LTCG - RE
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
212,869.722 |
43.37% |
Prudential Day One 2060 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
94,801.392 |
19.31% |
Prudential Day One 2060 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
38,193.245 |
7.78% |
Prudential Day One 2060 Fund – Class R6 |
NATIONAL FINANCIAL SERVICES LLC
499 WASHINGTON BLVD
JERSEY CITY, NJ 07310 |
32,705.547 |
6.66% |
|
|
|
|
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2065 Fund – Class R1 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,088.765 |
100% |
Prudential Day One 2065 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
KOCH FAMILY MEDICINE
NDFI SIM-IRA
MARY KATHERINE IMIG
208 HARBOR POINTE DR
EAST PEORIA IL 61611-5801 |
1,175.790 |
16.38% |
Prudential Day One 2065 Fund – Class R2 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,093.641 |
15.24% |
Prudential Day One 2065 Fund – Class R2 |
BNYM I S TRUST CO CUST FBO
OCEAN SPRINGS LUMBER CO
NDFI SIMPLE IRA
SPENCER DION BATTLES
105 ARMAND OAKS
OCEAN SPRINGS MS 39564-5324 |
964.957 |
13.45% |
Prudential Day One 2065 Fund – Class R2 |
TRAVIS SAVAGE
SUBJECT TO STA TOD RULES - NJ
17696 E LASALLE DR
AURORA CO 80013-2154 |
867.979 |
12.09% |
Prudential Day One 2065 Fund – Class R2 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
DARRELL O JOHNSON
1742 E 85TH ST
CHICAGO IL 60617-2211 |
839.216 |
11.69% |
Prudential Day One 2065 Fund – Class R2 |
BNYM I S TRUST CO CUST
WILLIAMS ALLEN CASEY
NDFI SIMPLE IRA
EMMA RODERICK
2021 ATKINS AVE APT 3
LAKEWOOD OH 44107-5447 |
508.490 |
7.09% |
Prudential Day One 2065 Fund – Class R3 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,096.759 |
100.00% |
Prudential Day One 2065 Fund – Class R4 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,098.762 |
100.00% |
Prudential Day One 2065 Fund – Class R5 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,100.730 |
84.18% |
Prudential Day One 2065 Fund – Class R5 |
KIRK M LEBECK C/F
ELI M LEBECK UGMA IA
2457 WILLOW BROOK DR
ASBURY IA 52002 |
116.176 |
8.88% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
Prudential Day One 2065 Fund – Class R5 |
PRUDENTIAL TRUST COMPANY
C/F THE ROTH IRA OF
JACQUELINE CRUZ REID
1 PRINCE ANDREW CT
MARLTON NJ 08053-3702 |
90.744 |
6.94% |
Prudential Day One 2065 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
12,121.755 |
40.96% |
Prudential Day One 2065 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
7,179.610 |
24.26% |
Prudential Day One 2065 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST
HARTFORD CT 06103 |
5,719.280 |
19.32% |
Prudential Day One 2065 Fund – Class R6 |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 006
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,848.421 |
6.25% |
Control Persons (as of September 7,2022) | |||
Fund Name |
Shareholder Name and Address |
No. of Shares |
% of Fund |
Prudential Day One Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
666,419.778 |
29.27% |
Prudential Day One 2015 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
493,298.483 |
45.26% |
Prudential Day One 2020 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,557,101.994 |
34.62% |
Prudential Day One 2025 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,953,908.707 |
30.84% |
Prudential Day One 2030 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,796,626.555 |
30.80% |
Prudential Day One 2035 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
1,159,592.375 |
27.62% |
Control Persons (as of September 7,2022) | |||
Fund Name |
Shareholder Name and Address |
No. of Shares |
% of Fund |
Prudential Day One 2040 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
941,509.265 |
25.62% |
Prudential Day One 2045 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
880,910.168 |
33.96% |
Prudential Day One 2050 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
552,352.790 |
34.00% |
Prudential Day One 2055 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 004
ALOM/PITTSBURGH
RIVERFRONT PLACE
SUITE 110, 810 RIVER AVE
PITTSBURGH PA 15212 |
266,391.544 |
38.71% |
Prudential Day One 2060 Fund |
MID ATLANTIC TRUST COMPANY FBO
MATC OMNIBUS DIV REINVEST LTCG - RE
1251 WATERFRONT PLACE, SUITE 525
PITTSBURGH, PA 15222 |
212,869.722 |
39.08% |
Prudential Day One 2065 R6 Fund |
PIMS/PRUDENTIAL RETIREMENT
AS NOMINEE FOR THE TTEE/CUST PL 007
PRUDENTIAL SMARTSOLUTION IRA
280 TRUMBULL ST.
HARTFORD CT 06103 |
12,121.755 |
29.34% |
Fund |
Post-October
Capital Losses |
Prudential Day One 2015 Fund |
$12,000 |
Prudential Day One 2025 Fund |
$198,000 |
Prudential Day One 2030 Fund |
$44,000 |
Prudential Day One 2035 Fund |
$209,000 |
Prudential Day One 2040 Fund |
$53,000 |
Prudential Day One 2045 Fund |
$52,000 |
Prudential Day One 2050 Fund |
$105,000 |
Prudential Day One 2055 Fund |
$196,000 |
Prudential Day One 2060 Fund |
$29,000 |
PGIM JENNISON DIVERSIFIED GROWTH FUND | |||
A: TBDAX |
C: TBDCX |
Z: TBDZX |
R6: TBDQX |
The Securities and Exchange Commission
(“SEC”) has not approved or disapproved the
Fund's shares, nor has the SEC determined
that this prospectus is complete or accurate.
It is a criminal offense to state otherwise. Mutual funds are distributed by Prudential
Investment Management Services LLC,
member SIPC. Jennison Associates LLC is a
registered investment adviser. Both are
Prudential Financial companies. © 2022
Prudential Financial, Inc. and its related
entities. Jennison Associates, Jennison, the
Prudential logo, and the Rock symbol are
service marks of Prudential Financial, Inc.
and its related entities, registered in many
jurisdictions worldwide. |
![]() |
|
Class A |
Class C |
Class Z |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase price or the net asset value at
redemption) |
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
Redemption fee |
|
|
|
|
Exchange fee |
|
|
|
|
Maximum account fee (accounts under $10,000) |
$ |
$ |
|
|
|
Class A |
Class C |
Class Z |
Class R6 |
Management fee |
|
|
|
|
Distribution and service (12b-1) fees |
|
|
|
|
Other expenses |
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
|
|
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(1,2) |
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class A |
$ |
$ |
$ |
$ |
Class C |
$ |
$ |
$ |
$ |
Class Z |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class A |
$ |
$ |
$ |
$ |
Class C |
$ |
$ |
$ |
$ |
Class Z |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Ten Years |
Since
Inception |
Inception
Date |
Class C shares |
|
|
|
- |
|
Class Z shares |
|
|
|
|
|
Class R6 shares |
|
|
|
|
|
Class A Shares % (including sales charges) (as of 12-31-21) | |||||
Return Before Taxes |
|
|
|
- |
|
Return After Taxes on Distributions |
|
|
|
- |
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
- |
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | |||||
Russell 1000 Growth Index |
|
|
|
|
- |
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
Jennison Associates LLC |
Blair A. Boyer |
Managing Director |
September 2005 |
|
|
Michael A. Del Balso |
Managing Director |
October 2005 |
|
|
Kathleen A.
McCarragher |
Managing Director |
September 2005 |
|
|
Jason T. McManus |
Managing Director |
March 2010 |
|
Class A* |
Class C* |
Class Z* |
Class R6 |
Minimum initial investment |
$1,000 |
$1,000 |
None |
None |
Minimum subsequent investment |
$100 |
$100 |
None |
None |
Principal Strategies: Investment Limits |
◾Common stocks: Up to 100% of investable assets |
Certain Non-Principal Strategies: Investment Limits |
◾U.S. Government securities: Up to 100% of investable assets on a temporary basis ◾Money market instruments: Up to 100% of investable assets on a temporary basis ◾When- issued and delayed- delivery securities: Percentage of investable assets varies ◾Borrowing: Up to 33 1∕3% of total assets ◾Illiquid Investments: Up to 15% of net assets ◾Foreign Securities: Up to 35% of investable assets ◾Short Sales: Up to 25% of net assets (not including short sales “against the box”) ◾Exchange-Traded Funds (“ETFs”): Up to 10% of total assets |
Expected Distribution Schedule* |
|
Net Investment Income |
Annually |
Short-Term Capital Gains |
Annually |
Long-Term Capital Gains |
Annually |
Share Class |
Eligibility |
Class A* |
Retail investors |
Class C* |
Retail investors |
Class Z* |
Certain group retirement plans, institutional investors and certain other investors |
Class R6 |
Certain group retirement plans, institutional investors and certain other investors |
|
Class A* |
Class C* |
Class Z* |
Class R6 |
Minimum purchase amount |
$1,000 |
$1,000 |
None |
None |
Minimum amount for subsequent purchases |
$100 |
$100 |
None |
None |
Maximum initial sales charge |
5.50% of the public
offering price |
None |
None |
None |
Contingent Deferred Sales Charge (CDSC) (as a
percentage of the lower of the original purchase
price or the net asset value at redemption) |
1.00% on sales of $1
million or more made
within 12 months of
purchase |
1.00% on sales made
within 12 months of
purchase |
None |
None |
Annual distribution and service (12b-1) fees (shown
as a percentage of average daily net assets) |
0.30% (0.25% currently) |
1.00% |
None |
None |
|
Class A |
Class C |
Class Z |
Class R |
Existing Investors (Group Retirement Plans,
IRAs, and all other investors) |
No Change |
No Change |
No Change |
No Change |
New Group Retirement Plans |
Closed to group retirement plans wishing to add the share classes as new additions to plan menus on June 1, 2018,
subject to certain exceptions below | |||
New IRAs |
No Change |
No Change |
No Change |
Closed to all new
investors on June 1, 2018,
subject to certain
exceptions below |
All Other New Investors |
No Change |
No Change |
No Change |
Amount of Purchase |
Sales Charge as a % of
Offering Price* |
Sales Charge as a % of
Amount Invested* |
Dealer Reallowance*** |
Less than $25,000 |
5.50% |
5.82% |
5.00% |
$25,000 to $49,999 |
5.00% |
5.26% |
4.50% |
$50,000 to $99,999 |
4.50% |
4.71% |
4.00% |
$100,000 to $249,999 |
3.75% |
3.90% |
3.25% |
$250,000 to $499,999 |
2.75% |
2.83% |
2.50% |
$500,000 to $999,999 |
2.00% |
2.04% |
1.75% |
$1 million to $4,999,999** |
None |
None |
1.00% |
$5 million to $9,999,999** |
None |
None |
0.50% |
$10 million and over** |
None |
None |
0.25% |
Class A Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$19.58 |
$16.92 |
$13.39 |
$13.79 |
$12.79 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
(0.09) |
(0.08) |
(0.06) |
(0.02) |
0.03 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(2.57) |
5.58 |
4.14 |
0.80 |
2.35 |
Total from investment operations |
(2.66) |
5.50 |
4.08 |
0.78 |
2.38 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
- |
- |
- |
(0.01) |
(0.02) |
Distributions from net realized gains |
(4.05) |
(2.84) |
(0.55) |
(1.17) |
(1.36) |
Total dividends and distributions |
(4.05) |
(2.84) |
(0.55) |
(1.18) |
(1.38) |
Net asset value, end of Year |
$12.87 |
$19.58 |
$16.92 |
$13.39 |
$13.79 |
Total Return(b): |
(18.23)% |
35.95% |
31.47% |
6.93% |
19.90% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$248,177 |
$337,246 |
$274,044 |
$229,202 |
$197,689 |
Average net assets (000) |
$298,732 |
$303,103 |
$231,363 |
$199,190 |
$190,178 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
1.15% |
1.16% |
1.22% |
1.23% |
1.20% |
Expenses before waivers and/or expense reimbursement |
1.20% |
1.21% |
1.27% |
1.28% |
1.25% |
Net investment income (loss) |
(0.56)% |
(0.48)% |
(0.40)% |
(0.18)% |
0.24% |
Portfolio turnover rate(d) |
148% |
153% |
149% |
125% |
185% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return does not consider the effects of sales loads. Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year
reported and includes reinvestment of dividends and distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class C Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$14.73 |
$13.46 |
$10.84 |
$11.49 |
$10.93 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
(0.18) |
(0.18) |
(0.14) |
(0.10) |
(0.06) |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(1.70) |
4.29 |
3.31 |
0.62 |
1.98 |
Total from investment operations |
(1.88) |
4.11 |
3.17 |
0.52 |
1.92 |
Less Dividends and Distributions: | |||||
Distributions from net realized gains |
(4.05) |
(2.84) |
(0.55) |
(1.17) |
(1.36) |
Net asset value, end of Year |
$8.80 |
$14.73 |
$13.46 |
$10.84 |
$11.49 |
Total Return(b): |
(19.09)% |
34.72% |
30.34% |
5.95% |
18.92% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$4,492 |
$8,266 |
$9,768 |
$8,698 |
$48,373 |
Average net assets (000) |
$6,338 |
$9,112 |
$8,502 |
$34,180 |
$50,985 |
Ratios to average net assets(c): | |||||
Expenses after waivers and/or expense reimbursement |
2.16% |
2.03% |
2.04% |
2.01% |
1.92% |
Expenses before waivers and/or expense reimbursement |
2.16% |
2.03% |
2.04% |
2.01% |
1.92% |
Net investment income (loss) |
(1.57)% |
(1.34)% |
(1.22)% |
(0.91)% |
(0.49)% |
Portfolio turnover rate(d) |
148% |
153% |
149% |
125% |
185% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
Total return does not consider the effects of sales loads. Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year
reported and includes reinvestment of dividends and distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(c) |
Does not include expenses of the underlying funds in which the Fund invests. |
(d) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class Z Shares | |||||
|
Year Ended July 31, |
September 27,
2017(a)
through July
31, 2018 | |||
|
2022 |
2021 |
2020 |
2019 | |
Per Share Operating Performance(b): | |||||
Net Asset Value, Beginning of Period |
$19.71 |
$16.98 |
$13.41 |
$13.81 |
$12.82 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
(0.06) |
(0.05) |
(0.03) |
0.01 |
0.08 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(2.61) |
5.62 |
4.15 |
0.80 |
2.29 |
Total from investment operations |
(2.67) |
5.57 |
4.12 |
0.81 |
2.37 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
- |
- |
- |
(0.04) |
(0.02) |
Distributions from net realized gains |
(4.05) |
(2.84) |
(0.55) |
(1.17) |
(1.36) |
Total dividends and distributions |
(4.05) |
(2.84) |
(0.55) |
(1.21) |
(1.38) |
Net asset value, end of Period |
$12.99 |
$19.71 |
$16.98 |
$13.41 |
$13.81 |
Total Return(c): |
(18.16)% |
36.27% |
31.73% |
7.20% |
19.79% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Period (000) |
$6,305 |
$9,295 |
$6,313 |
$5,270 |
$1,628 |
Average net assets (000) |
$8,098 |
$7,439 |
$4,915 |
$4,485 |
$656 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.96% |
0.95% |
1.00% |
1.00% |
1.00%(e) |
Expenses before waivers and/or expense reimbursement |
0.96% |
0.95% |
1.14% |
1.15% |
5.77%(e) |
Net investment income (loss) |
(0.36)% |
(0.28)% |
(0.18)% |
0.05% |
0.70%(e) |
Portfolio turnover rate(f) |
148% |
153% |
149% |
125% |
185% |
(a) |
Commencement of offering. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, |
September 27,
2017(a)
through July
31, 2018 | |||
|
2022 |
2021 |
2020 |
2019 | |
Per Share Operating Performance(b): | |||||
Net Asset Value, Beginning of Period |
$19.70 |
$16.98 |
$13.41 |
$13.81 |
$12.82 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
(0.05) |
(0.08) |
(0.03) |
(0.01) |
0.04 |
Net realized and unrealized gain (loss) on investment and foreign currency
transactions |
(2.61) |
5.64 |
4.15 |
0.82 |
2.33 |
Total from investment operations |
(2.66) |
5.56 |
4.12 |
0.81 |
2.37 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
- |
- |
- |
(0.04) |
(0.02) |
Distributions from net realized gains |
(4.05) |
(2.84) |
(0.55) |
(1.17) |
(1.36) |
Total dividends and distributions |
(4.05) |
(2.84) |
(0.55) |
(1.21) |
(1.38) |
Net asset value, end of Period |
$12.99 |
$19.70 |
$16.98 |
$13.41 |
$13.81 |
Total Return(c): |
(18.12)% |
36.19% |
31.73% |
7.20% |
19.79% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Period (000) |
$876 |
$368 |
$78 |
$54 |
$12 |
Average net assets (000) |
$664 |
$75 |
$61 |
$17 |
$11 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.96% |
0.95% |
1.00% |
1.00% |
1.00%(e) |
Expenses before waivers and/or expense reimbursement |
1.81% |
11.34% |
23.28% |
77.09% |
283.30%(e) |
Net investment income (loss) |
(0.34)% |
(0.40)% |
(0.19)% |
(0.10)% |
0.36%(e) |
Portfolio turnover rate(f) |
148% |
153% |
149% |
125% |
185% |
(a) |
Commencement of offering. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
FOR MORE INFORMATION
Please read this Prospectus before you invest in the Fund and keep it for future reference.
For information or shareholder questions contact: | |
◾MAIL
Prudential Mutual Fund Services LLC
PO Box 9658
Providence, RI 02940 ◾WEBSITE
www.pgim.com/investments |
◾TELEPHONE
(800) 225-1852
(973) 367-3529
(from outside the U.S.) |
◾E-DELIVERY
To receive your mutual fund documents on-line, go to pgim.com/investments/resource/edelivery and enroll.
Instead of receiving printed documents by mail, you will receive notification via email when new materials are
available. You can cancel your enrollment or change your email address at any time by visiting the website address
above. |
The Annual and Semi-Annual Reports and the SAI contain additional information about the Fund. Shareholders may
obtain free copies of the SAI, Annual Report and Semi-Annual Report as well as other information about the Fund
and may make other shareholder inquiries through the telephone number, address and website listed above. | |
◾STATEMENT OF ADDITIONAL INFORMATION (“SAI”)
(incorporated by reference into this Prospectus) ◾SEMI-ANNUAL REPORT |
◾ANNUAL REPORT
(contains a discussion of the market conditions and
investment strategies that significantly affected the
Fund's performance during the last fiscal year) |
You can also obtain copies of Fund documents, including the SAI, from the SEC as follows (the SEC charges a fee to
copy documents): | |
◾ELECTRONIC REQUEST
publicinfo@sec.gov |
◾VIA THE INTERNET
on the EDGAR Database at www.sec.gov |
PGIM Jennison Diversified Growth Fund | ||||
Share Class |
A |
C |
Z |
R6 |
NASDAQ |
TBDAX |
TBDCX |
TBDZX |
TBDQX |
CUSIP |
74440V104 |
74440V302 |
74440V690 |
74440V716 |
PGIM JENNISON DIVERSIFIED GROWTH FUND | ||||||||
A: TBDAX |
|
C: TBDCX |
|
Z: TBDZX |
|
R6: TBDQX |
|
|
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 |
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 |
Board Member |
A trustee or director 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 |
Exchange |
NYSE Arca, Inc. |
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 |
Term |
Definition |
S&P |
S&P Global Ratings |
SEC |
U.S. Securities and Exchange Commission |
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: 97 |
President and Board Member, The Joyce
Foundation (charitable foundation) (since
2002); formerly Vice Chair, City Colleges of
Chicago (community college system)
(2011-2015); Trustee, National Park Foundation
(charitable foundation for national park system)
(2009-2018); Trustee, Economic Club of
Chicago (2009-2016); Trustee, Loyola University
(since 2018). |
None. |
Since September 2013 |
Kevin J. Bannon
1952
Board Member
Portfolios Overseen: 97 |
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; President (May
2003-May 2007) of BNY Hamilton Family of
Mutual Funds. |
Director of Urstadt Biddle Properties (equity real
estate investment trust) (since September
2008). |
Since July 2008 |
Linda W. Bynoe
1952
Board Member
Portfolios Overseen: 94 |
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); Director of
Northern Trust Corporation (financial services)
(since April 2006); formerly Director of Anixter
International, Inc. (communication products
distributor) (January 2006-June 2020). |
Since March 2005 |
Barry H. Evans
1960
Board Member
Portfolios Overseen: 96 |
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 |
Keith F. Hartstein
1956
Board Member &
Independent Chair
Portfolios Overseen: 97 |
Retired; Member (since November 2014) 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);
Chairman, Investment Company Institute’s
Sales Force Marketing Committee (2003-2008). |
None. |
Since September 2013 |
Laurie Simon Hodrick
1962
Board Member
Portfolios Overseen: 93 |
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, Andela (since January
2022) (global talent network); Independent
Director, Roku (since December 2020)
(communication services); 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 |
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 |
Brian K. Reid
1961
Board Member
Portfolios Overseen: 96 |
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); Director,
ICI Mutual Insurance Company (2012-2017). |
None. |
Since March 2018 |
Grace C. Torres
1959
Board Member
Portfolios Overseen: 96 |
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
Portfolios Overseen: 96 |
President, Chief Executive Officer, Chief
Operating Officer and Officer in Charge of PGIM
Investments LLC (formerly known as Prudential
Investments LLC) (since January 2012);
President and PEO (since March 2022) of the
PGIM Private Real Estate Fund, Inc.; 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: 97 |
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.; Senior Vice President
of Product Development and Marketing, PGIM
Investments (since February 2006); Vice
President (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; 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 (since July 2022) of the PGIM Private Real Estate Fund, Inc.; Chief Legal Officer, Executive
Vice President and Secretary of PGIM Investments LLC (since August 2020); Chief Legal Officer of Prudential
Mutual Fund Services LLC (since August 2020); Chief Legal Officer of PIFM Holdco, LLC (since August 2020);
Vice President and Corporate Counsel (since January 2005) of Prudential; and Corporate Counsel of AST
Investment Services, Inc. (since August 2020); 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 |
Isabelle Sajous
1976
Chief Compliance Officer |
Chief Compliance Officer (since April 2022) of PGIM Investments LLC, the PGIM Funds, Target Funds, PGIM ETF
Trust, PGIM Global High Yield Fund, Inc., PGIM High Yield Bond Fund, Inc., PGIM Short Duration High Yield
Opportunities Fund, Advanced Series Trust, The Prudential Series Fund and Prudential’s Gibraltar Fund, Inc.;
Chief Compliance Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; Vice President,
Compliance of PGIM Investments LLC (since December 2020); formerly Director, Compliance (July
2018-December 2020) of Credit Suisse Asset Management LLC; and Vice President, Associate General Counsel
& Deputy Chief Compliance Officer of Cramer Rosenthal McGlynn, LLC (August 2014-July 2018). |
Since April 2022 |
Andrew R. French
1962
Secretary |
Vice President (since December 2018) of PGIM Investments LLC; Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Vice President and Corporate Counsel (2010-2018) of Prudential;
formerly Director and Corporate Counsel (2006-2010) of Prudential; Vice President and Assistant Secretary
(since January 2007) of PGIM Investments LLC; Vice President and Assistant Secretary (since January 2007) of
Prudential Mutual Fund Services LLC. |
Since October 2006 |
Melissa Gonzalez
1980
Assistant Secretary |
Vice President and Corporate Counsel (since September 2018) of Prudential; Vice President and Assistant
Secretary (since August 2020) of PGIM Investments LLC; Assistant Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Director and Corporate Counsel (March 2014-September 2018) of
Prudential. |
Since March 2020 |
Patrick E. McGuinness
1986
Assistant Secretary |
Vice President and Assistant Secretary (since August 2020) of PGIM Investments LLC; Director and Corporate
Counsel (since February 2017) of Prudential; Assistant Secretary (since March 2022) of the PGIM Private Real
Estate Fund, Inc. |
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 Private Real Estate Fund, Inc; 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 |
Kelly A. Coyne
1968
Assistant Secretary |
Director, Investment Operations of Prudential Mutual Fund Services LLC (since 2010); Assistant Secretary
(since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since March 2015 |
Christian J. Kelly
1975
Treasurer and Principal Financial
and Accounting Officer |
Vice President, Head of Fund Administration of PGIM Investments LLC (since November 2018); Principal
Financial Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; formerly, Treasurer and
Principal Accounting Officer (March 2022- July 2022) of the PGIM Private Real Estate Fund, Inc.; formerly
Director of Fund Administration of Lord Abbett & Co. LLC (2009-2018), Treasurer and Principal Accounting
Officer of the Lord Abbett Family of Funds (2017-2018); Director of Accounting, Avenue Capital Group
(2008-2009); Senior Manager, Investment Management Practice of Deloitte & Touche LLP (1998-2007). |
Since January 2019 |
Lana Lomuti
1967
Assistant Treasurer |
Vice President (since 2007) and Director (2005-2007), within PGIM Investments Fund Administration; formerly
Assistant Treasurer (December 2007-February 2014) of The Greater China Fund, Inc. |
Since April 2014 |
Russ Shupak
1973
Assistant Treasurer |
Vice President (since 2017) and Director (2013-2017), within PGIM Investments Fund Administration;
Treasurer and Principal Accounting Officer (since July 2022) of the PGIM Private Real Estate Fund, Inc.;
formerly Assistant Treasurer (March 2022 – July 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Deborah Conway
1969
Assistant Treasurer |
Vice President (since 2017) and Director (2007-2017), within PGIM Investments Fund Administration. |
Since October
2019 |
Elyse M. McLaughlin
1974
Assistant Treasurer |
Vice President (since 2017) and Director (2011-2017), within PGIM Investments Fund Administration;
Assistant Treasurer (since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Kelly Florio
1978
Anti-Money Laundering Compliance
Officer |
Vice President, Corporate Compliance, Global Compliance Programs and Compliance Risk Management (since
December 2021) of Prudential; formerly, Head of Fraud Risk Management (October 2019 to December 2021) at
New York Life Insurance Company; formerly, Head of Key Risk Area Operations (November 2018 to October
2019), Director of the US Anti-Money Laundering Compliance Unit (2009-2018) and Bank Loss Prevention
Associate (2006 -2009) at MetLife. |
Since June 2022 |
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*** |
$1,607 |
None |
None |
$332,000 (33/95)** |
Kevin J. Bannon |
$1,567 |
None |
None |
$312,000 (33/95)** |
Linda W. Bynoe |
$1,640 |
None |
None |
$332,000 (30/92)** |
Barry Evans*** |
$1,693 |
None |
None |
$341,500 (32/94)** |
Keith F. Hartstein |
$1,757 |
None |
None |
$406,000 (33/95)** |
Laurie Simon Hodrick*** |
$1,610 |
None |
None |
$316,000 (29/91)** |
Brian Reid |
$1,697 |
None |
None |
$330,500 (32/94)** |
Grace C. Torres |
$1,703 |
None |
None |
$345,500 (32/94)** |
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 | ||
Stuart S. Parker |
None |
Over $100,000 |
Scott E. Benjamin |
None |
Over $100,000 |
Management Fees Paid by the Fund |
|
|
|
|
2022 |
2021 |
2020 |
Gross Fee |
$2,196,822 |
$2,238,107 |
$1,718,823 |
Amount Waived/ Reimbursed by PGIM Investments |
$(5,621) |
$(7,755) |
$(34,590) |
Net Fee |
$2,191,201 |
$2,230,352 |
$1,684,233 |
Subadvisory Fees Paid by PGIM Investments |
|
|
|
|
2022 |
2021 |
2020 |
Jennison Associates LLC |
$1,098,409 |
$1,119,053 |
$859,411 |
Other Funds and Investment Accounts Managed by the Portfolio Managers | |||
Portfolio Managers |
Registered Investment
Companies ($ in '000s) |
Other Pooled
Investment Vehicles ($ in '000s) |
Other Accounts ($ in '000s)** |
Blair A. Boyer |
16/$56,444,965
1/$10,606,169 |
8/$10,116,450 |
24/$5,953,515 |
Michael A. Del Balso |
7/$14,637,690 |
5/$1,247,588 |
2/$396,901 |
Kathleen A. McCarragher |
20/$58,040,430
1/$10,606,169 |
8/$10,207,455 |
10/$1,524,147 |
Jason McManus |
8/$1,386,358 |
5/$514,908 |
5/$284,803 |
Personal Investments and Financial Interests of the Portfolio Managers | |
Portfolio Managers |
Investments and Other Financial Interests
in the Fund and Similar Strategies* |
Blair A. Boyer |
None |
Kathleen A. McCarragher |
None |
Michael A. Del Balso |
$100,001-$500,000 |
Jason McManus |
$10,001-$50,000 |
Securities Lending Activities: | |
Gross Income from securities lending activities |
$56,641 |
Fees and/or compensation for securities lending activities and related services |
|
Fees paid to securities lending agent from a revenue split |
$(1,190) |
Fees paid for any cash collateral management service (including fees deducted from a pooled cash collateral investment vehicle) |
$(6,315) |
Administrative fees not included in revenue split |
$— |
Indemnification fee not included in revenue split |
$— |
Rebate (paid to borrower) |
$(38,453) |
Other fees not included in revenue split (specify) |
$— |
Aggregate fees/compensation for securities lending activities |
$(45,958) |
Net Income from securities lending activities |
$10,683 |
Fees Paid to PMFS |
|
Fund Name |
Amount |
PGIM Jennison Diversified Growth Fund |
$231,140 |
Payments Received by the Distributor | |
CLASS A DISTRIBUTION AND SERVICE (12B-1) FEES |
$746,831 |
CLASS A INITIAL SALES CHARGES |
$72,032 |
CLASS C CONTINGENT DEFERRED SALES CHARGES (CDSC) |
$885 |
CLASS C DISTRIBUTION AND SERVICE (12B-1) FEES |
$63,376 |
Amounts Spent by Distributor | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class A |
$- |
$710,017 |
$42,488 |
$752,505 |
Class C |
$- |
$48,245 |
$303 |
$48,548 |
Offering Price Per Share | |
|
|
Class A |
|
NAV and redemption price per Class A share |
$12.87 |
Maximum initial sales charge (5.50% of the public offering price) |
$0.75 |
Maximum offering price to public |
$13.62 |
Class C |
|
NAV and redemption price per Class C share |
$8.80 |
Class Z |
|
NAV and redemption price per Class Z share |
$12.99 |
Class R6 |
|
NAV and redemption price per Class R6 share |
$12.99 |
Brokerage Commissions Paid by the Fund | |||
|
2022 |
2021 |
2020 |
Total brokerage commissions paid by the Fund |
$39,714 |
$33,803 |
$35,367 |
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 | ||
Broker/Dealer Name |
Equity or Debt |
Amount |
None |
None |
None |
Portfolio Turnover Rate |
|
|
Fund Name |
2022 |
2021 |
PGIM Jennison Diversified Growth Fund |
148% |
153% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
PGIM Jennison Diversified Growth Fund - Class A |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT - 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
1,603,942.835 |
8.37% |
PGIM Jennison Diversified Growth Fund - Class A |
WELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
1,330,017.826 |
6.94% |
PGIM Jennison Diversified Growth Fund - Class A |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
1,016,758.459 |
5.31% |
PGIM Jennison Diversified Growth Fund - Class C |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT - 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
34,136.513 |
6.56% |
PGIM Jennison Diversified Growth Fund - Class C |
AMERICAN ENTERPRISE INVESTMENT SVC
(FBO) 41999970
707 2ND AVE SOUTH
MINNEAPOLIS MN 55402-2405 |
41,688.506 |
8.01% |
PGIM Jennison Diversified Growth Fund - Class C |
WELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
68,063.595 |
13.09% |
PGIM Jennison Diversified Growth Fund - Class C |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
35,911.776 |
6.90% |
PGIM Jennison Diversified Growth Fund - Class Z |
LPL FINANCIAL
A/C 1000-0005
4707 EXECUTIVE DRIVE
SAN DIEGO CA 92121-3091 |
38,135.110 |
7.87% |
PGIM Jennison Diversified Growth Fund - Class Z |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
108,130.743 |
22.31% |
PGIM Jennison Diversified Growth Fund - Class Z |
WELLS FARGO CLEARING SVCS LLC
SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF CUSTOMER
2801 MARKET ST
SAINT LOUIS MO 63103-2523 |
143,460.571 |
29.59% |
PGIM Jennison Diversified Growth Fund - Class Z |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
47,307.174 |
9.76% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
PGIM Jennison Diversified Growth Fund - Class Z |
RAYMOND JAMES
OMNIBUS FOR MUTUAL FUNDS
HOUSE ACCT FIRM 92500015
ATTN COURTNEY WALLER
880 CARILLON PARKWAY
ST PETERSBURG FL 33716 |
53,206.137 |
10.98% |
PGIM Jennison Diversified Growth Fund - Class R6 |
EDWARD D JONES & CO
ATTN: MUTUAL FUND SHAREHOLDER
ACCOUNTING
201 PROGRESS PKWY
MARYLAND HTS MO 63043-3003 |
56,399.232 |
95.39% |
PGIM JENNISON RISING DIVIDEND FUND | |||
A: PJDAX |
C: PJDCX |
Z: PJDZX |
R6: PJDQX |
The Securities and Exchange Commission
(“SEC”) has not approved or disapproved the
Fund's shares, nor has the SEC determined
that this prospectus is complete or accurate.
It is a criminal offense to state otherwise. Mutual funds are distributed by Prudential
Investment Management Services LLC,
member SIPC. Jennison Associates LLC is a
registered investment adviser. Both are
Prudential Financial companies. © 2022
Prudential Financial, Inc. and its related
entities. Jennison Associates, Jennison, the
Prudential logo, and the Rock symbol are
service marks of Prudential Financial, Inc.
and its related entities, registered in many
jurisdictions worldwide. |
![]() |
|
Class A |
Class C |
Class Z |
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
|
|
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase price or the net asset value at
redemption) |
|
|
|
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
|
|
|
Redemption fee |
|
|
|
|
Exchange fee |
|
|
|
|
Maximum account fee (accounts under $10,000) |
$ |
$ |
|
|
|
Class A |
Class C |
Class Z |
Class R6 |
Management fee |
|
|
|
|
Distribution and service (12b-1) fees |
|
|
|
|
Other expenses(1) |
|
|
|
|
Total annual Fund operating expenses |
|
|
|
|
Fee waiver and/or expense reimbursement |
( |
( |
( |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(2,3) |
|
|
|
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class A |
$ |
$ |
$ |
$ |
Class C |
$ |
$ |
$ |
$ |
Class Z |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class A |
$ |
$ |
$ |
$ |
Class C |
$ |
$ |
$ |
$ |
Class Z |
$ |
$ |
$ |
$ |
Class R6 |
$ |
$ |
$ |
$ |
![]() |
|
| ||
|
|
|
|
|
|
|
|
Return Before Taxes |
One Year |
Five Years |
Ten Years |
Since
Inception |
Inception
Date |
Class A shares |
|
|
|
|
|
Class C shares |
|
|
|
|
|
Class R6 shares |
|
|
|
|
|
Class Z Shares % (including sales charges) (as of 12-31-21) | |||||
Return Before Taxes |
|
|
|
|
|
Return After Taxes on Distributions |
|
|
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | |||||
S&P 500 Index |
|
|
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
Jennison Associates LLC |
Ubong “Bobby”
Edemeka |
Managing Director |
March 2014 |
|
|
Shaun Hong, CFA |
Managing Director |
March 2014 |
|
Class A* |
Class C* |
Class Z* |
Class R6 |
Minimum initial investment |
$1,000 |
$1,000 |
None |
None |
Minimum subsequent investment |
$100 |
$100 |
None |
None |
Principal Strategies: Investment Limits |
◾Equity and equity-related securities of companies that the subadviser expects to experience dividend growth, that is,
companies that currently pay dividends and are expected to increase them: At least 80% of investable assets |
Certain Non-Principal Strategies: Investment Limits |
◾Fixed income Obligations (including junk bonds): Up to 20% of investable assets ◾Foreign Securities, including Emerging Markets: Up to 50% of total assets ◾Illiquid Investments: Up to 15% of net assets ◾Short Sales: Up to 25% of net assets (not including short sales “against the box”) ◾Money Market Instruments: up to 100% on temporary basis |
Expected Distribution Schedule* |
|
Net Investment Income |
Quarterly |
Short-Term Capital Gains |
Annually |
Long-Term Capital Gains |
Annually |
Share Class |
Eligibility |
Class A* |
Retail investors |
Class C* |
Retail investors |
Class Z* |
Certain group retirement plans, institutional investors and certain other investors |
Class R6 |
Certain group retirement plans, institutional investors and certain other investors |
|
Class A* |
Class C* |
Class Z* |
Class R6 |
Minimum purchase amount |
$1,000 |
$1,000 |
None |
None |
Minimum amount for subsequent purchases |
$100 |
$100 |
None |
None |
Maximum initial sales charge |
5.50% of the public
offering price |
None |
None |
None |
Contingent Deferred Sales Charge (CDSC) (as a
percentage of the lower of the original purchase
price or the net asset value at redemption) |
1.00% on sales of $1
million or more made
within 12 months of
purchase |
1.00% on sales made
within 12 months of
purchase |
None |
None |
Annual distribution and service (12b-1) fees (shown
as a percentage of average daily net assets) |
0.30% (0.25% currently) |
1.00% |
None |
None |
|
Class A |
Class C |
Class Z |
Class R |
Existing Investors (Group Retirement Plans,
IRAs, and all other investors) |
No Change |
No Change |
No Change |
No Change |
New Group Retirement Plans |
Closed to group retirement plans wishing to add the share classes as new additions to plan menus on June 1, 2018,
subject to certain exceptions below | |||
New IRAs |
No Change |
No Change |
No Change |
Closed to all new
investors on June 1, 2018,
subject to certain
exceptions below |
All Other New Investors |
No Change |
No Change |
No Change |
Amount of Purchase |
Sales Charge as a % of
Offering Price* |
Sales Charge as a % of
Amount Invested* |
Dealer Reallowance*** |
Less than $25,000 |
5.50% |
5.82% |
5.00% |
$25,000 to $49,999 |
5.00% |
5.26% |
4.50% |
$50,000 to $99,999 |
4.50% |
4.71% |
4.00% |
$100,000 to $249,999 |
3.75% |
3.90% |
3.25% |
$250,000 to $499,999 |
2.75% |
2.83% |
2.50% |
$500,000 to $999,999 |
2.00% |
2.04% |
1.75% |
$1 million to $4,999,999** |
None |
None |
1.00% |
$5 million to $9,999,999** |
None |
None |
0.50% |
$10 million and over** |
None |
None |
0.25% |
Class A Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$18.00 |
$13.86 |
$13.54 |
$13.80 |
$12.50 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.12 |
0.07 |
0.11 |
0.13 |
0.09 |
Net realized and unrealized gain (loss) on investment transactions |
(0.53)(b) |
4.72 |
0.73 |
0.75 |
1.39 |
Total from investment operations |
(0.41) |
4.79 |
0.84 |
0.88 |
1.48 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.11) |
(0.07) |
(0.08) |
(0.13) |
(0.09) |
Distributions from net realized gains |
(1.36) |
(0.58) |
(0.44) |
(1.01) |
(0.09) |
Total dividends and distributions |
(1.47) |
(0.65) |
(0.52) |
(1.14) |
(0.18) |
Net asset value, end of Year |
$16.12 |
$18.00 |
$13.86 |
$13.54 |
$13.80 |
Total Return(c): |
(2.69)% |
35.44% |
6.24% |
8.27% |
11.95% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$22,003 |
$13,908 |
$7,269 |
$5,391 |
$4,459 |
Average net assets (000) |
$17,151 |
$10,058 |
$6,608 |
$4,729 |
$4,078 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
1.24% |
1.24% |
1.24% |
1.24% |
1.24% |
Expenses before waivers and/or expense reimbursement |
1.63% |
1.87% |
2.22% |
2.60% |
2.55% |
Net investment income (loss) |
0.71% |
0.46% |
0.85% |
0.98% |
0.67% |
Portfolio turnover rate(e) |
99% |
86% |
106% |
100% |
104% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
The per share amount of realized and unrealized gain (loss) on investments does not directly correlate to the amounts reported in the Statement of Operations due to the timing
of portfolio share transactions in relation to fluctuating market values. |
(c) |
Total return does not consider the effects of sales loads. Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year
reported and includes reinvestment of dividends and distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class C Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$17.88 |
$13.81 |
$13.51 |
$13.80 |
$12.50 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
(0.01)(b) |
(0.04)(b) |
0.02 |
0.04 |
(0.01) |
Net realized and unrealized gain (loss) on investment transactions |
(0.53)(c) |
4.69 |
0.72 |
0.73 |
1.40 |
Total from investment operations |
(0.54) |
4.65 |
0.74 |
0.77 |
1.39 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.01) |
(-)(d) |
(-)(d) |
(0.05) |
(-)(d) |
Distributions from net realized gains |
(1.36) |
(0.58) |
(0.44) |
(1.01) |
(0.09) |
Total dividends and distributions |
(1.37) |
(0.58) |
(0.44) |
(1.06) |
(0.09) |
Net asset value, end of Year |
$15.97 |
$17.88 |
$13.81 |
$13.51 |
$13.80 |
Total Return(e): |
(3.46)% |
34.45% |
5.45% |
7.40% |
11.18% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$4,001 |
$2,252 |
$1,498 |
$1,852 |
$1,831 |
Average net assets (000) |
$2,803 |
$1,735 |
$1,711 |
$1,865 |
$1,703 |
Ratios to average net assets(f): | |||||
Expenses after waivers and/or expense reimbursement |
1.99% |
1.99% |
1.99% |
1.99% |
1.99% |
Expenses before waivers and/or expense reimbursement |
2.66% |
2.97% |
3.55% |
3.64% |
3.65% |
Net investment income (loss) |
(0.05)% |
(0.27)% |
0.13% |
0.28% |
(0.07)% |
Portfolio turnover rate(g) |
99% |
86% |
106% |
100% |
104% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
The per share amount of net investment income (loss) does not directly correlate to the amounts reported in the Statement of Operations due to class specific expenses. |
(c) |
The per share amount of realized and unrealized gain (loss) on investments does not directly correlate to the amounts reported in the Statement of Operations due to the timing
of portfolio share transactions in relation to fluctuating market values. |
(d) |
Amount rounds to zero. |
(e) |
Total return does not consider the effects of sales loads. Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year
reported and includes reinvestment of dividends and distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(f) |
Does not include expenses of the underlying funds in which the Fund invests. |
(g) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class Z Shares | |||||
|
Year Ended July 31, | ||||
|
2022 |
2021 |
2020 |
2019 |
2018 |
Per Share Operating Performance(a): | |||||
Net Asset Value, Beginning of Year |
$18.01 |
$13.87 |
$13.56 |
$13.82 |
$12.52 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.18 |
0.12 |
0.14 |
0.16 |
0.12 |
Net realized and unrealized gain (loss) on investment transactions |
(0.55)(b) |
4.71 |
0.72 |
0.75 |
1.40 |
Total from investment operations |
(0.37) |
4.83 |
0.86 |
0.91 |
1.52 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.15) |
(0.11) |
(0.11) |
(0.16) |
(0.13) |
Distributions from net realized gains |
(1.36) |
(0.58) |
(0.44) |
(1.01) |
(0.09) |
Total dividends and distributions |
(1.51) |
(0.69) |
(0.55) |
(1.17) |
(0.22) |
Net asset value, end of Year |
$16.13 |
$18.01 |
$13.87 |
$13.56 |
$13.82 |
Total Return(c): |
(2.46)% |
35.74% |
6.46% |
8.54% |
12.21% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Year (000) |
$156,090 |
$15,364 |
$18,828 |
$9,122 |
$8,369 |
Average net assets (000) |
$44,393 |
$13,377 |
$12,973 |
$8,216 |
$8,066 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.99% |
0.99% |
0.99% |
0.99% |
0.99% |
Expenses before waivers and/or expense reimbursement |
1.19% |
1.58% |
1.70% |
2.02% |
1.98% |
Net investment income (loss) |
1.08% |
0.77% |
1.06% |
1.25% |
0.94% |
Portfolio turnover rate(e) |
99% |
86% |
106% |
100% |
104% |
(a) |
Calculated based on average shares outstanding during the year. |
(b) |
The per share amount of realized and unrealized gain (loss) on investments does not directly correlate to the amounts reported in the Statement of Operations due to the timing
of portfolio share transactions in relation to fluctuating market values. |
(c) |
Total return is calculated assuming a purchase of a share on the first day and a sale on the last day of each year reported and includes reinvestment of dividends and
distributions, if any. Total returns may reflect adjustments to conform to GAAP. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. |
(e) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
Class R6 Shares | |||||
|
Year Ended July 31, |
September 27,
2017(a)
through July
31, 2018 | |||
|
2022 |
2021 |
2020 |
2019 | |
Per Share Operating Performance(b): | |||||
Net Asset Value, Beginning of Period |
$18.01 |
$13.87 |
$13.55 |
$13.81 |
$12.72 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.17 |
0.12 |
0.15 |
0.16 |
0.10 |
Net realized and unrealized gain (loss) on investment transactions |
(0.55)(c) |
4.71 |
0.72 |
0.75 |
1.18 |
Total from investment operations |
(0.38) |
4.83 |
0.87 |
0.91 |
1.28 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.15) |
(0.11) |
(0.11) |
(0.16) |
(0.10) |
Distributions from net realized gains |
(1.36) |
(0.58) |
(0.44) |
(1.01) |
(0.09) |
Total dividends and distributions |
(1.51) |
(0.69) |
(0.55) |
(1.17) |
(0.19) |
Net asset value, end of Period |
$16.12 |
$18.01 |
$13.87 |
$13.55 |
$13.81 |
Total Return(d): |
(2.49)% |
35.74% |
6.54% |
8.55% |
10.10% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Period (000) |
$17 |
$17 |
$13 |
$12 |
$11 |
Average net assets (000) |
$17 |
$15 |
$12 |
$11 |
$11 |
Ratios to average net assets(e): | |||||
Expenses after waivers and/or expense reimbursement |
0.99% |
0.99% |
0.99% |
0.99% |
0.99%(f) |
Expenses before waivers and/or expense reimbursement |
37.99% |
48.96% |
123.09% |
119.91% |
307.60%(f) |
Net investment income (loss) |
0.97% |
0.73% |
1.10% |
1.25% |
0.88%(f) |
Portfolio turnover rate(g) |
99% |
86% |
106% |
100% |
104% |
(a) |
Commencement of offering. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
The per share amount of realized and unrealized gain (loss) on investments does not directly correlate to the amounts reported in the Statement of Operations due to the timing
of portfolio share transactions in relation to fluctuating market values. |
(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) |
Does not include expenses of the underlying funds in which the Fund invests. |
(f) |
Annualized. |
(g) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
FOR MORE INFORMATION
Please read this Prospectus before you invest in the Fund and keep it for future reference.
For information or shareholder questions contact: | |
◾MAIL
Prudential Mutual Fund Services LLC
PO Box 9658
Providence, RI 02940 ◾WEBSITE
www.pgim.com/investments |
◾TELEPHONE
(800) 225-1852
(973) 367-3529
(from outside the U.S.) |
◾E-DELIVERY
To receive your mutual fund documents on-line, go to pgim.com/investments/resource/edelivery and enroll.
Instead of receiving printed documents by mail, you will receive notification via email when new materials are
available. You can cancel your enrollment or change your email address at any time by visiting the website address
above. |
The Annual and Semi-Annual Reports and the SAI contain additional information about the Fund. Shareholders may
obtain free copies of the SAI, Annual Report and Semi-Annual Report as well as other information about the Fund
and may make other shareholder inquiries through the telephone number, address and website listed above. | |
◾STATEMENT OF ADDITIONAL INFORMATION (“SAI”)
(incorporated by reference into this Prospectus) ◾SEMI-ANNUAL REPORT |
◾ANNUAL REPORT
(contains a discussion of the market conditions and
investment strategies that significantly affected the
Fund's performance during the last fiscal year) |
You can also obtain copies of Fund documents, including the SAI, from the SEC as follows (the SEC charges a fee to
copy documents): | |
◾ELECTRONIC REQUEST
publicinfo@sec.gov |
◾VIA THE INTERNET
on the EDGAR Database at www.sec.gov |
PGIM Jennison Rising Dividend Fund | ||||
Share Class |
A |
C |
Z |
R6 |
NASDAQ |
PJDAX |
PJDCX |
PJDZX |
PJDQX |
CUSIP |
74440V823 |
74440V815 |
74440V799 |
74440V682 |
PGIM JENNISON RISING DIVIDEND FUND | ||||||||
A: PJDAX |
C: PJDCX |
Z: PJDZX |
R6: PJDQX |
|
|
|
|
|
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 |
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 |
Board Member |
A trustee or director 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 |
Exchange |
NYSE Arca, Inc. |
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 |
Term |
Definition |
S&P |
S&P Global Ratings |
SEC |
U.S. Securities and Exchange Commission |
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: 97 |
President and Board Member, The Joyce
Foundation (charitable foundation) (since
2002); formerly Vice Chair, City Colleges of
Chicago (community college system)
(2011-2015); Trustee, National Park Foundation
(charitable foundation for national park system)
(2009-2018); Trustee, Economic Club of
Chicago (2009-2016); Trustee, Loyola University
(since 2018). |
None. |
Since September 2013 |
Kevin J. Bannon
1952
Board Member
Portfolios Overseen: 97 |
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; President (May
2003-May 2007) of BNY Hamilton Family of
Mutual Funds. |
Director of Urstadt Biddle Properties (equity real
estate investment trust) (since September
2008). |
Since July 2008 |
Linda W. Bynoe
1952
Board Member
Portfolios Overseen: 94 |
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); Director of
Northern Trust Corporation (financial services)
(since April 2006); formerly Director of Anixter
International, Inc. (communication products
distributor) (January 2006-June 2020). |
Since March 2005 |
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 |
Barry H. Evans
1960
Board Member
Portfolios Overseen: 96 |
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 |
Keith F. Hartstein
1956
Board Member &
Independent Chair
Portfolios Overseen: 97 |
Retired; Member (since November 2014) 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);
Chairman, Investment Company Institute’s
Sales Force Marketing Committee (2003-2008). |
None. |
Since September 2013 |
Laurie Simon Hodrick
1962
Board Member
Portfolios Overseen: 93 |
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, Andela (since January
2022) (global talent network); Independent
Director, Roku (since December 2020)
(communication services); 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: 96 |
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); Director,
ICI Mutual Insurance Company (2012-2017). |
None. |
Since March 2018 |
Grace C. Torres
1959
Board Member
Portfolios Overseen: 96 |
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
Portfolios Overseen: 96 |
President, Chief Executive Officer, Chief
Operating Officer and Officer in Charge of PGIM
Investments LLC (formerly known as Prudential
Investments LLC) (since January 2012);
President and PEO (since March 2022) of the
PGIM Private Real Estate Fund, Inc.; 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: 97 |
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.; Senior Vice President
of Product Development and Marketing, PGIM
Investments (since February 2006); Vice
President (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; 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 (since July 2022) of the PGIM Private Real Estate Fund, Inc.; Chief Legal Officer, Executive
Vice President and Secretary of PGIM Investments LLC (since August 2020); Chief Legal Officer of Prudential
Mutual Fund Services LLC (since August 2020); Chief Legal Officer of PIFM Holdco, LLC (since August 2020);
Vice President and Corporate Counsel (since January 2005) of Prudential; and Corporate Counsel of AST
Investment Services, Inc. (since August 2020); 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 |
Isabelle Sajous
1976
Chief Compliance Officer |
Chief Compliance Officer (since April 2022) of PGIM Investments LLC, the PGIM Funds, Target Funds, PGIM ETF
Trust, PGIM Global High Yield Fund, Inc., PGIM High Yield Bond Fund, Inc., PGIM Short Duration High Yield
Opportunities Fund, Advanced Series Trust, The Prudential Series Fund and Prudential’s Gibraltar Fund, Inc.;
Chief Compliance Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; Vice President,
Compliance of PGIM Investments LLC (since December 2020); formerly Director, Compliance (July
2018-December 2020) of Credit Suisse Asset Management LLC; and Vice President, Associate General Counsel
& Deputy Chief Compliance Officer of Cramer Rosenthal McGlynn, LLC (August 2014-July 2018). |
Since April 2022 |
Andrew R. French
1962
Secretary |
Vice President (since December 2018) of PGIM Investments LLC; Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Vice President and Corporate Counsel (2010-2018) of Prudential;
formerly Director and Corporate Counsel (2006-2010) of Prudential; Vice President and Assistant Secretary
(since January 2007) of PGIM Investments LLC; Vice President and Assistant Secretary (since January 2007) of
Prudential Mutual Fund Services LLC. |
Since October 2006 |
Melissa Gonzalez
1980
Assistant Secretary |
Vice President and Corporate Counsel (since September 2018) of Prudential; Vice President and Assistant
Secretary (since August 2020) of PGIM Investments LLC; Assistant Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Director and Corporate Counsel (March 2014-September 2018) of
Prudential. |
Since March 2020 |
Patrick E. McGuinness
1986
Assistant Secretary |
Vice President and Assistant Secretary (since August 2020) of PGIM Investments LLC; Director and Corporate
Counsel (since February 2017) of Prudential; Assistant Secretary (since March 2022) of the PGIM Private Real
Estate Fund, Inc. |
Since June 2020 |
Fund Officers(a) |
|
|
Name
Year of Birth
Fund Position |
Principal Occupation(s) During Past Five Years |
Length of
Service as Fund Officer |
Debra Rubano
1975
Assistant Secretary |
Vice President and Corporate Counsel (since November 2020) of Prudential; Assistant Secretary (since March
2022) of the PGIM Private Real Estate Fund, Inc; 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 |
Kelly A. Coyne
1968
Assistant Secretary |
Director, Investment Operations of Prudential Mutual Fund Services LLC (since 2010); Assistant Secretary
(since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since March 2015 |
Christian J. Kelly
1975
Treasurer and Principal Financial
and Accounting Officer |
Vice President, Head of Fund Administration of PGIM Investments LLC (since November 2018); Principal
Financial Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; formerly, Treasurer and
Principal Accounting Officer (March 2022- July 2022) of the PGIM Private Real Estate Fund, Inc.; formerly
Director of Fund Administration of Lord Abbett & Co. LLC (2009-2018), Treasurer and Principal Accounting
Officer of the Lord Abbett Family of Funds (2017-2018); Director of Accounting, Avenue Capital Group
(2008-2009); Senior Manager, Investment Management Practice of Deloitte & Touche LLP (1998-2007). |
Since January 2019 |
Lana Lomuti
1967
Assistant Treasurer |
Vice President (since 2007) and Director (2005-2007), within PGIM Investments Fund Administration; formerly
Assistant Treasurer (December 2007-February 2014) of The Greater China Fund, Inc. |
Since April 2014 |
Russ Shupak
1973
Assistant Treasurer |
Vice President (since 2017) and Director (2013-2017), within PGIM Investments Fund Administration;
Treasurer and Principal Accounting Officer (since July 2022) of the PGIM Private Real Estate Fund, Inc.;
formerly Assistant Treasurer (March 2022 – July 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Deborah Conway
1969
Assistant Treasurer |
Vice President (since 2017) and Director (2007-2017), within PGIM Investments Fund Administration. |
Since October
2019 |
Elyse M. McLaughlin
1974
Assistant Treasurer |
Vice President (since 2017) and Director (2011-2017), within PGIM Investments Fund Administration;
Assistant Treasurer (since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Kelly Florio
1978
Anti-Money Laundering Compliance
Officer |
Vice President, Corporate Compliance, Global Compliance Programs and Compliance Risk Management (since
December 2021) of Prudential; formerly, Head of Fraud Risk Management (October 2019 to December 2021) at
New York Life Insurance Company; formerly, Head of Key Risk Area Operations (November 2018 to October
2019), Director of the US Anti-Money Laundering Compliance Unit (2009-2018) and Bank Loss Prevention
Associate (2006 -2009) at MetLife. |
Since June 2022 |
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*** |
$1,273 |
None |
None |
$332,000 (33/95)** |
Kevin J. Bannon |
$1,260 |
None |
None |
$312,000 (33/95)** |
Linda W. Bynoe |
$1,273 |
None |
None |
$332,000 (30/92)** |
Barry Evans*** |
$1,297 |
None |
None |
$341,500 (32/94)** |
Keith F. Hartstein |
$1,327 |
None |
None |
$406,000 (33/95)** |
Laurie Simon Hodrick*** |
$1,260 |
None |
None |
$316,000 (29/91)** |
Brian Reid |
$1,297 |
None |
None |
$330,500 (32/94)** |
Grace C. Torres |
$1,297 |
None |
None |
$345,500 (32/94)** |
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 | ||
Stuart S. Parker |
None |
Over $100,000 |
Scott E. Benjamin |
None |
Over $100,000 |
Management Fees Paid by the Fund |
|
|
|
|
2022 |
2021 |
2020 |
Gross Fee |
$498,824 |
$195,191 |
$165,106 |
Amount Waived/ Reimbursed by PGIM Investments |
$(173,985) |
$(161,913) |
$(194,642) |
Net Fee |
$324,839 |
$33,278 |
$(29,536) |
Subadvisory Fees Paid by PGIM Investments |
|
|
|
|
2022 |
2021 |
2020 |
Jennison Associates LLC |
$251,021 |
$98,225 |
$83,085 |
Other Funds and Investment Accounts Managed by the Portfolio Managers | |||
Portfolio Managers |
Registered Investment
Companies ($ in ’000s) |
Other Pooled
Investment Vehicles ($ in ’000s) |
Other Accounts ($ in ’000s) |
Ubong “Bobby” Edemeka |
9/$5,666,577 |
1/$147,231 |
None |
Shaun Hong, CFA |
9/$5,666,577 |
1/$147,231 |
None |
Personal Investments and Financial Interests of the Portfolio Managers | |
Portfolio Managers |
Investments and Other Financial Interests
in the Fund and Similar Strategies* |
Ubong “Bobby” Edemeka |
$100,001 - $500,000 |
Personal Investments and Financial Interests of the Portfolio Managers | |
Portfolio Managers |
Investments and Other Financial Interests
in the Fund and Similar Strategies* |
Shaun Hong, CFA |
Over $1,000,000 |
Securities Lending Activities: | |
Gross Income from securities lending activities |
$2,261 |
Fees and/or compensation for securities lending activities and related services |
|
Fees paid to securities lending agent from a revenue split |
$(124) |
Fees paid for any cash collateral management service (including fees deducted from a pooled cash collateral investment vehicle) |
$(347) |
Administrative fees not included in revenue split |
$— |
Indemnification fee not included in revenue split |
$— |
Rebate (paid to borrower) |
$(672) |
Securities Lending Activities: | |
Other fees not included in revenue split (specify) |
$— |
Aggregate fees/compensation for securities lending activities |
$(1,143) |
Net Income from securities lending activities |
$1,118 |
Fees Paid to PMFS |
|
Fund Name |
Amount |
PGIM Jennison Rising Dividend Fund |
$12,417 |
Payments Received by the Distributor | |
CLASS A CONTINGENT DEFERRED SALES CHARGES (CDSC) |
$653 |
CLASS A DISTRIBUTION AND SERVICE (12B-1) FEES |
$42,878 |
CLASS A INITIAL SALES CHARGES |
$73,197 |
CLASS C CONTINGENT DEFERRED SALES CHARGES (CDSC) |
$858 |
CLASS C DISTRIBUTION AND SERVICE (12B-1) FEES |
$28,027 |
Amounts Spent by Distributor | ||||
Share Class |
Printing & Mailing
Prospectuses to Other than
Current Shareholders |
Compensation to Broker/Dealers for
Commissions to Representatives and
Other Expenses* |
Overhead Costs** |
Total Amount
Spent by Distributor |
Class A |
$- |
$39,796 |
$7,787 |
$47,583 |
Class C |
$- |
$32,808 |
$2,475 |
$35,283 |
Offering Price Per Share | |
|
|
Class A |
|
NAV and redemption price per Class A share |
$16.12 |
Maximum initial sales charge (5.50% of the public offering price) |
$0.94 |
Maximum offering price to public |
$17.06 |
Class C |
|
NAV and redemption price per Class C share |
$15.97 |
Class Z |
|
NAV and redemption price per Class Z share |
$16.13 |
Class R6 |
|
NAV and redemption price per Class R6 share |
$16.12 |
Brokerage Commissions Paid by the Fund | |||
|
2022 |
2021 |
2020 |
Total brokerage commissions paid by the Fund |
$67,174 |
$15,231 |
$19,883 |
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 | ||
Broker/Dealer Name |
Equity or Debt |
Amount |
None |
None |
None |
Portfolio Turnover Rate |
|
|
Fund Name |
2022 |
2021 |
PGIM Jennison Rising Dividend Fund |
99% |
86% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
PGIM Jennison Rising Dividend Fund - Class A |
LPL FINANCIAL
A/C 1000-0005
4707 EXECUTIVE DRIVE
SAN DIEGO CA 92121-3091 |
156,120.640 |
11.10% |
PGIM Jennison Rising Dividend Fund - Class A |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT - 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
235,144.548 |
16.72% |
PGIM Jennison Rising Dividend Fund - Class A |
EDWARD D JONES & CO
ATTN: MUTUAL FUND SHAREHOLDER
ACCOUNTING
201 PROGRESS PKWY
MARYLAND HTS MO 63043-3003 |
476,431.326 |
33.88% |
Principal Fund Shareholders (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Class |
PGIM Jennison Rising Dividend Fund - Class A |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
161,320.722 |
11.47% |
PGIM Jennison Rising Dividend Fund - Class C |
LPL FINANCIAL
A/C 1000-0005
4707 EXECUTIVE DRIVE
SAN DIEGO CA 92121-3091 |
48,542.634 |
18.96% |
PGIM Jennison Rising Dividend Fund - Class C |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT - 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
121,973.934 |
47.64% |
PGIM Jennison Rising Dividend Fund - Class C |
PERSHING LLC
1 PERSHING PLAZA
JERSEY CITY NJ 07399-0002 |
17,158.033 |
6.70% |
PGIM Jennison Rising Dividend Fund - Class R6 |
PRUDENTIAL INVESTMENT MGMT INC
PRUDENTIAL INVESTMENTS FUND
MANAGMENT LLC
ATTN KRISTEN PEDERSEN
655 BROAD ST 19TH FLOOR 08-19-24
NEWARK NJ 07102-4410 |
1,045.549 |
100.00% |
PGIM Jennison Rising Dividend Fund - Class Z |
LPL FINANCIAL
A/C 1000-0005
4707 EXECUTIVE DRIVE
SAN DIEGO CA 92121-3091 |
594,588.116 |
5.77% |
PGIM Jennison Rising Dividend Fund - Class Z |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
9,581,055.616 |
92.91% |
Control Persons (as of September 7,2022) | |||
Fund Name |
Shareholder Name and Address |
No. of Shares |
% of Voting Securities |
PGIM Jennison Rising Dividend Fund |
NATIONAL FINANCIAL SERVICES LLC
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS
ATTN MUTUAL FUNDS DEPT 4TH FLOOR
499 WASHINGTON BLVD
JERSEY CITY NJ 07310 |
9,581,055.616 |
80.03% |
PGIM 60/40 ALLOCATION FUND |
R6: PALDX |
SHARES OF THE FUND ARE OFFERED
ONLY TO PRUDENTIAL AND ITS
AFFILIATES The Securities and Exchange Commission
(SEC) has not approved or disapproved the
Fund's shares, nor has the SEC determined
that this prospectus is complete or accurate.
It is a criminal offense to state otherwise. Mutual funds are distributed by Prudential Investment
Management Services LLC, a Prudential Financial
company, member SIPC. PGIM Quantitative Solutions
LLC is a wholly owned subsidiary of PGIM, Inc. (PGIM), a
Prudential Financial company. © 2022 Prudential
Financial, Inc. and its related entities. The Prudential logo
and the Rock symbol are service marks of Prudential
Financial, Inc. and its related entities, registered in many
jurisdictions worldwide. |
![]() |
|
Class R6 |
Maximum sales charge (load) imposed on purchases (as a percentage of offering price) |
|
Maximum deferred sales charge (load) (as a percentage of the lower of the original purchase price or the net asset value at redemption) |
|
Maximum sales charge (load) imposed on reinvested dividends and other distributions |
|
Redemption fee |
|
Exchange fee |
|
Maximum account fee (accounts under $10,000) |
|
|
Class R6 |
Management fee |
|
Distribution and service (12b-1) fees |
|
Other expenses |
|
Acquired Fund fees and expenses |
|
Total annual Fund operating expenses |
|
Fee waiver and/or expense reimbursement |
( |
Total annual Fund operating expenses after fee waiver and/or expense reimbursement(1) |
|
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R6 |
$ |
$ |
$ |
$ |
Share Class |
1 Year |
3 Years |
5 Years |
10 Years |
Class R6 |
$ |
$ |
$ |
$ |
![]() |
|
| ||
|
|
|
|
|
|
|
|
|
One Year |
Since
Inception |
Inception
Date |
Return Before Taxes |
|
|
|
Return After Taxes on Distributions |
|
|
|
Return After Taxes on Distributions and Sale of Fund Shares |
|
|
|
Index % (reflects no deduction for fees, expenses or taxes) (as of 12-31-21) | |||
Custom Benchmark Index |
|
|
|
Investment Manager |
Subadviser |
Portfolio Managers |
Title |
Service Date |
PGIM Investments LLC |
PGIM Quantitative Solutions LLC |
Joel M. Kallman, CFA |
Vice President and
Portfolio Manager |
September 2017 |
|
|
Jeremy Stempien |
Principal, Portfolio
Manager and
Strategist |
September 2017 |
Expected Distribution Schedule* |
|
Net Investment Income |
Annually |
Short-Term Capital Gains |
Annually |
Long-Term Capital Gains |
Annually |
|
Class R6 |
Minimum purchase amount |
None |
Minimum amount for
subsequent purchases |
None |
|
Class R6 |
Maximum initial sales charge |
None |
Contingent Deferred Sales Charge (CDSC) (as a percentage of the lower of the original purchase price or the net
asset value at redemption) |
None |
Annual distribution (12b-1) fees (shown as a percentage of average daily net assets) |
None |
Shareholder service fees |
None |
Class R6 Shares | |||||
|
Year Ended July 31, |
September 13,
2017(a)
through July
31, 2018 | |||
|
2022 |
2021 |
2020 |
2019 | |
Per Share Operating Performance(b): | |||||
Net Asset Value, Beginning of Period |
$13.59 |
$11.53 |
$11.09 |
$10.77 |
$10.00 |
Income (loss) from investment operations: | |||||
Net investment income (loss) |
0.25 |
0.22 |
0.24 |
0.20 |
0.14 |
Net realized and unrealized gain (loss) on investment transactions |
(1.04) |
2.15 |
0.72 |
0.47 |
0.78 |
Total from investment operations |
(0.79) |
2.37 |
0.96 |
0.67 |
0.92 |
Less Dividends and Distributions: | |||||
Dividends from net investment income |
(0.85) |
(0.19) |
(0.33) |
(0.34) |
(0.15) |
Distributions from net realized gains |
(0.06) |
(0.12) |
(0.19) |
(0.01) |
- |
Total dividends and distributions |
(0.91) |
(0.31) |
(0.52) |
(0.35) |
(0.15) |
Net asset value, end of Period |
$11.89 |
$13.59 |
$11.53 |
$11.09 |
$10.77 |
Total Return(c): |
(6.34)% |
20.93% |
8.75% |
6.73% |
9.30% |
| |||||
Ratios/Supplemental Data: | |||||
Net assets, end of Period (000) |
$82,535 |
$76,709 |
$32,266 |
$17,019 |
$2,899 |
Average net assets (000) |
$82,858 |
$53,068 |
$23,312 |
$9,866 |
$381 |
Ratios to average net assets(d): | |||||
Expenses after waivers and/or expense reimbursement |
0.03% |
0.04% |
0.03% |
0.03% |
0.02%(e) |
Expenses before waivers and/or expense reimbursement |
0.17% |
0.27% |
0.72% |
1.78% |
28.47%(e) |
Net investment income (loss) |
1.97% |
1.76% |
2.15% |
1.87% |
1.46%(e) |
Portfolio turnover rate(f) |
20% |
22% |
30% |
31% |
37% |
(a) |
Commencement of operations. |
(b) |
Calculated based on average shares outstanding during the period. |
(c) |
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. |
(d) |
Does not include expenses of the underlying funds in which the Fund invests. Expenses waived/reimbursed include those of underlying funds in which the Fund invests.
Consequently, the amount waived/reimbursed may be greater than the expense ratio reflected in the financial highlights. |
(e) |
Annualized. |
(f) |
The Fund's portfolio turnover rate is calculated in accordance with regulatory requirements, without regard to transactions involving short-term investments, certain derivatives
and in-kind transactions (if any). If such transactions were included, the Fund's portfolio turnover rate may be higher. |
FOR MORE INFORMATION
Please read this Prospectus before you invest in the Fund and keep it for future reference.
For information or shareholder questions contact: | |
◾MAIL
Prudential Mutual Fund Services LLC
PO Box 9658
Providence, RI 02940 ◾WEBSITE
www.pgim.com/investments |
◾TELEPHONE
(800) 225-1852
(973) 367-3529
(from outside the U.S.) |
◾E-DELIVERY
To receive your mutual fund documents on-line, go to pgim.com/investments/resource/edelivery and enroll.
Instead of receiving printed documents by mail, you will receive notification via email when new materials are
available. You can cancel your enrollment or change your email address at any time by visiting the website address
above. |
The Annual and Semi-Annual Reports and the SAI contain additional information about the Fund. Shareholders may
obtain free copies of the SAI, Annual Report and Semi-Annual Report as well as other information about the Fund
and may make other shareholder inquiries through the telephone number, address and website listed above. | |
◾STATEMENT OF ADDITIONAL INFORMATION (“SAI”)
(incorporated by reference into this Prospectus) ◾SEMI-ANNUAL REPORT |
◾ANNUAL REPORT
(contains a discussion of the market conditions and
investment strategies that significantly affected the
Fund's performance during the last fiscal year) |
You can also obtain copies of Fund documents, including the SAI, from the SEC as follows (the SEC charges a fee to
copy documents): | |
◾ELECTRONIC REQUEST
publicinfo@sec.gov |
◾VIA THE INTERNET
on the EDGAR Database at www.sec.gov |
PGIM 60/40 Allocation Fund | |
Share Class |
R6 |
NASDAQ |
PALDX |
CUSIP |
74440V724 |
PGIM 60/40 Allocation Fund | ||||||||
R6: PALDX |
|
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|
|
|
|
|
|
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 |
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 |
Board Member |
A trustee or director 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 |
Exchange |
NYSE Arca, Inc. |
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 |
Term |
Definition |
S&P |
S&P Global Ratings |
SEC |
U.S. Securities and Exchange Commission |
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: 97 |
President and Board Member, The Joyce
Foundation (charitable foundation) (since
2002); formerly Vice Chair, City Colleges of
Chicago (community college system)
(2011-2015); Trustee, National Park Foundation
(charitable foundation for national park system)
(2009-2018); Trustee, Economic Club of
Chicago (2009-2016); Trustee, Loyola University
(since 2018). |
None. |
Since September 2013 |
Kevin J. Bannon
1952
Board Member
Portfolios Overseen: 97 |
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; President (May
2003-May 2007) of BNY Hamilton Family of
Mutual Funds. |
Director of Urstadt Biddle Properties (equity real
estate investment trust) (since September
2008). |
Since July 2008 |
Linda W. Bynoe
1952
Board Member
Portfolios Overseen: 94 |
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); Director of
Northern Trust Corporation (financial services)
(since April 2006); formerly Director of Anixter
International, Inc. (communication products
distributor) (January 2006-June 2020). |
Since March 2005 |
Barry H. Evans
1960
Board Member
Portfolios Overseen: 96 |
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: 97 |
Retired; Member (since November 2014) 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);
Chairman, Investment Company Institute’s
Sales Force Marketing Committee (2003-2008). |
None. |
Since September 2013 |
Laurie Simon Hodrick
1962
Board Member
Portfolios Overseen: 93 |
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, Andela (since January
2022) (global talent network); Independent
Director, Roku (since December 2020)
(communication services); 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: 96 |
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); Director,
ICI Mutual Insurance Company (2012-2017). |
None. |
Since March 2018 |
Grace C. Torres
1959
Board Member
Portfolios Overseen: 96 |
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
Portfolios Overseen: 96 |
President, Chief Executive Officer, Chief
Operating Officer and Officer in Charge of PGIM
Investments LLC (formerly known as Prudential
Investments LLC) (since January 2012);
President and PEO (since March 2022) of the
PGIM Private Real Estate Fund, Inc.; 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: 97 |
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.; Senior Vice President
of Product Development and Marketing, PGIM
Investments (since February 2006); Vice
President (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; 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 (since July 2022) of the PGIM Private Real Estate Fund, Inc.; Chief Legal Officer, Executive
Vice President and Secretary of PGIM Investments LLC (since August 2020); Chief Legal Officer of Prudential
Mutual Fund Services LLC (since August 2020); Chief Legal Officer of PIFM Holdco, LLC (since August 2020);
Vice President and Corporate Counsel (since January 2005) of Prudential; and Corporate Counsel of AST
Investment Services, Inc. (since August 2020); 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 |
Isabelle Sajous
1976
Chief Compliance Officer |
Chief Compliance Officer (since April 2022) of PGIM Investments LLC, the PGIM Funds, Target Funds, PGIM ETF
Trust, PGIM Global High Yield Fund, Inc., PGIM High Yield Bond Fund, Inc., PGIM Short Duration High Yield
Opportunities Fund, Advanced Series Trust, The Prudential Series Fund and Prudential’s Gibraltar Fund, Inc.;
Chief Compliance Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; Vice President,
Compliance of PGIM Investments LLC (since December 2020); formerly Director, Compliance (July
2018-December 2020) of Credit Suisse Asset Management LLC; and Vice President, Associate General Counsel
& Deputy Chief Compliance Officer of Cramer Rosenthal McGlynn, LLC (August 2014-July 2018). |
Since April 2022 |
Andrew R. French
1962
Secretary |
Vice President (since December 2018) of PGIM Investments LLC; Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Vice President and Corporate Counsel (2010-2018) of Prudential;
formerly Director and Corporate Counsel (2006-2010) of Prudential; Vice President and Assistant Secretary
(since January 2007) of PGIM Investments LLC; Vice President and Assistant Secretary (since January 2007) of
Prudential Mutual Fund Services LLC. |
Since October 2006 |
Melissa Gonzalez
1980
Assistant Secretary |
Vice President and Corporate Counsel (since September 2018) of Prudential; Vice President and Assistant
Secretary (since August 2020) of PGIM Investments LLC; Assistant Secretary (since March 2022) of the PGIM
Private Real Estate Fund, Inc.; formerly Director and Corporate Counsel (March 2014-September 2018) of
Prudential. |
Since March 2020 |
Patrick E. McGuinness
1986
Assistant Secretary |
Vice President and Assistant Secretary (since August 2020) of PGIM Investments LLC; Director and Corporate
Counsel (since February 2017) of Prudential; Assistant Secretary (since March 2022) of the PGIM Private Real
Estate Fund, Inc. |
Since June 2020 |
Fund Officers(a) |
|
|
Name
Year of Birth
Fund Position |
Principal Occupation(s) During Past Five Years |
Length of
Service as Fund Officer |
Debra Rubano
1975
Assistant Secretary |
Vice President and Corporate Counsel (since November 2020) of Prudential; Assistant Secretary (since March
2022) of the PGIM Private Real Estate Fund, Inc; 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 |
Kelly A. Coyne
1968
Assistant Secretary |
Director, Investment Operations of Prudential Mutual Fund Services LLC (since 2010); Assistant Secretary
(since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since March 2015 |
Christian J. Kelly
1975
Treasurer and Principal Financial
and Accounting Officer |
Vice President, Head of Fund Administration of PGIM Investments LLC (since November 2018); Principal
Financial Officer (since March 2022) of the PGIM Private Real Estate Fund, Inc.; formerly, Treasurer and
Principal Accounting Officer (March 2022- July 2022) of the PGIM Private Real Estate Fund, Inc.; formerly
Director of Fund Administration of Lord Abbett & Co. LLC (2009-2018), Treasurer and Principal Accounting
Officer of the Lord Abbett Family of Funds (2017-2018); Director of Accounting, Avenue Capital Group
(2008-2009); Senior Manager, Investment Management Practice of Deloitte & Touche LLP (1998-2007). |
Since January 2019 |
Lana Lomuti
1967
Assistant Treasurer |
Vice President (since 2007) and Director (2005-2007), within PGIM Investments Fund Administration; formerly
Assistant Treasurer (December 2007-February 2014) of The Greater China Fund, Inc. |
Since April 2014 |
Russ Shupak
1973
Assistant Treasurer |
Vice President (since 2017) and Director (2013-2017), within PGIM Investments Fund Administration;
Treasurer and Principal Accounting Officer (since July 2022) of the PGIM Private Real Estate Fund, Inc.;
formerly Assistant Treasurer (March 2022 – July 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Deborah Conway
1969
Assistant Treasurer |
Vice President (since 2017) and Director (2007-2017), within PGIM Investments Fund Administration. |
Since October
2019 |
Elyse M. McLaughlin
1974
Assistant Treasurer |
Vice President (since 2017) and Director (2011-2017), within PGIM Investments Fund Administration;
Assistant Treasurer (since March 2022) of the PGIM Private Real Estate Fund, Inc. |
Since October 2019 |
Kelly Florio
1978
Anti-Money Laundering Compliance
Officer |
Vice President, Corporate Compliance, Global Compliance Programs and Compliance Risk Management (since
December 2021) of Prudential; formerly, Head of Fraud Risk Management (October 2019 to December 2021) at
New York Life Insurance Company; formerly, Head of Key Risk Area Operations (November 2018 to October
2019), Director of the US Anti-Money Laundering Compliance Unit (2009-2018) and Bank Loss Prevention
Associate (2006 -2009) at MetLife. |
Since June 2022 |
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*** |
$1,350 |
None |
None |
$332,000 (33/95)** |
Kevin J. Bannon |
$1,340 |
None |
None |
$312,000 (33/95)** |
Linda W. Bynoe |
$1,350 |
None |
None |
$332,000 (30/92)** |
Barry Evans*** |
$1,373 |
None |
None |
$341,500 (32/94)** |
Keith F. Hartstein |
$1,390 |
None |
None |
$406,000 (33/95)** |
Laurie Simon Hodrick*** |
$1,350 |
None |
None |
$316,000 (29/91)** |
Brian Reid |
$1,373 |
None |
None |
$330,500 (32/94)** |
Grace C. Torres |
$1,373 |
None |
None |
$345,500 (32/94)** |
Board Committee Meetings (for most recently completed fiscal year) | |||
Audit Committee |
Nominating & Governance Committee |
Gibraltar & Dryden 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 | ||
Stuart S. Parker |
None |
Over $100,000 |
Scott E. Benjamin |
None |
Over $100,000 |
Management Fees Paid by the Fund |
|
|
|
|
2022 |
2021 |
2020 |
Gross Fee |
$16,572 |
$10,613 |
$4,662 |
Amount Waived/ Reimbursed by PGIM Investments |
$(113,957) |
$(122,488) |
$(161,431) |
Net Fee |
$(97,385) |
$(111,875) |
$(156,769) |
Subadvisory Fees Paid | |||
|
2022 |
2021 |
2020 |
PGIM Quantitative Solutions LLC |
$16,572 |
$10,613 |
$4,662 |
Other Funds and Investment Accounts Managed by the Portfolio Managers | ||||
Subadviser |
Portfolio Managers |
Registered Investment
Companies*/Total Assets |
Other Pooled
Investment Vehicles*/
Total Assets |
Other Accounts*/
Total Assets |
PGIM Quantitative Solutions LLC |
Joel Kallman, CFA |
35/$60,691,658,431 |
6/$2,121,915,052 |
12/$850,456,301 |
|
Jeremy Stempien |
33/$59,876,035,810 |
6/$2,121,915,052 |
11/$778,933,888 |
Personal Investments and Financial Interests of the Portfolio Managers | ||
Subadviser |
Portfolio Managers |
Investments and Other Financial Interests
in the Fund and Similar Strategies* |
PGIM Quantitative Solutions LLC |
Joel Kallman, CFA |
$10,000 - $50,000 |
|
Jeremy Stempien |
$10,000 - $50,000 |
Fees Paid to PMFS |
|
Fund Name |
Amount |
PGIM 60/40 Allocation Fund |
$102 |
Offering Price Per Share | |
|
|
Class R6 |
|
NAV and redemption price per Class R6 share |
$11.89 |
Brokerage Commissions Paid by the Fund | |||
|
2022 |
2021 |
2020 |
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 | ||
Broker/Dealer Name |
Equity or Debt |
Amount |
None |
None |
None |
Portfolio Turnover Rate |
|
|
Fund Name |
2022 |
2021 |
PGIM 60/40 Allocation Fund |
20% |
22% |
Principal Fund Shareholders/Control Persons (as of September 7,2022) | |||
Fund Name and Share Class |
Shareholder Name and Address |
No. of Shares |
% of Fund |
PGIM 60/40 Allocation Fund – Class R6 |
PRUDENTIAL RETIREMENT INSURANCE AND
ANNUITY COMPANY FSB TTEE VARIOUS PL
280 TRUMBULL ST
HARTFORD CT 06103-3501 |
6,893,822.157 |
99.97% |
Name and Principal Business Address |
Positions and Offices with Underwriter |
Positions and Offices with Registrant |
Adam Scaramella (1)
|
President |
N/A |
Monica Oswald (3)
|
Executive Vice President |
N/A |
Stuart S. Parker (2)
|
Executive Vice President |
Board Member and
President |
Scott E. Benjamin (2)
|
Vice President |
Board Member and
Vice President |
Francine Boucher (1)
|
Senior Vice President, Chief
Legal Officer and Secretary |
N/A |
John N. Christolini (3)
|
Senior Vice President and
Co-Chief Compliance Officer |
N/A |
Robert Smit (2)
|
Senior Vice President, Comptroller
and Chief Financial Officer |
N/A |
Hansjerg Schlenker (2)
|
Senior Vice President and
Chief Operations Officer |
N/A |
Lenore J Paoli (3)
|
Senior Vice President and
Chief Risk Officer |
N/A |
Peter Puzio (3)
|
Senior Vice President |
N/A |
Kevin Chaillet (1)
|
Treasurer |
N/A |
Kelly Florio (4)
|
Vice President and Anti-Money
Laundering Officer |
Anti-Money Laundering
Compliance Officer |
Prudential Investment Portfolios 5 |
* |
Stuart S. Parker, President |
Signature |
Title |
Date |
*
Ellen S. Alberding |
Trustee |
|
*
Kevin J. Bannon |
Trustee |
|
*
Scott E. Benjamin |
Trustee |
|
*
Linda W. Bynoe |
Trustee |
|
*
Barry H. Evans |
Trustee |
|
*
Keith F. Hartstein |
Trustee |
|
*
Laurie Simon Hodrick |
Trustee |
|
*
Stuart S. Parker |
Trustee and President, Principal Executive Officer |
|
*
Brian K. Reid |
Trustee |
|
*
Grace C. Torres |
Trustee |
|
*
Christian J. Kelly |
Treasurer, Principal Financial and Accounting
Officer |
|
*By: /s/ Patrick McGuinness
Patrick McGuinness |
Attorney-in-Fact |
September 28, 2022 |
|
|
/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 13, 2021 |
|
Item 28
Exhibit No. |
Description |
(d)(1)(iii) |
Expense Cap for PGIM Jennison Diversified Growth Fund. |
(d)(2)(iii) |
Expense Cap for PGIM Jennison Rising Dividend Fund. |
(d)(5)(ii) |
Expense Cap for the Prudential Day One Funds. |
(d)(7)(ii) |
Expense Cap for PGIM 60/40 Allocation Fund. |
(j) |
Consent of Independent Registered Public Accounting Firm. |
(m)(1)(3) |
Rule 12b-1 Fee Waiver for Class A Shares of PGIM Jennison Diversified Growth Fund. |
(m)(1)(4) |
Rule 12b-1 Fee Waiver for Class A shares of PGIM Jennison Rising Dividend Fund |