PGIM
TARGET DATE INCOME FUND
FORMERLY,
PRUDENTIAL DAY ONE INCOME FUND | |||||
R1:
PDADX |
R2:
PDAEX |
R3:
PDAFX |
R4:
PDAGX |
R5:
PDAHX |
R6:
PDAJX |
PGIM
TARGET DATE 2015 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2015 FUND | |||||
R1:
PDCDX |
R2:
PDCEX |
R3:
PDCFX |
R4:
PDCGX |
R5:
PDCHX |
R6:
PDCJX |
PGIM
TARGET DATE 2020 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2020 FUND | |||||
R1:
PDDDX |
R2:
PDDEX |
R3:
PDDFX |
R4:
PDDGX |
R5:
PDDHX |
R6:
PDDJX |
PGIM
TARGET DATE 2025 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2025 FUND | |||||
R1:
PDEDX |
R2:
PDEEX |
R3:
PDEFX |
R4:
PDEGX |
R5:
PDEHX |
R6:
PDEJX |
PGIM
TARGET DATE 2030 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2030 FUND | |||||
R1:
PDFCX |
R2:
PDFEX |
R3:
PDFFX |
R4:
PDFGX |
R5:
PDFHX |
R6:
PDFJX |
PGIM
TARGET DATE 2035 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2035 FUND | |||||
R1:
PDGCX |
R2:
PDGEX |
R3:
PDGFX |
R4:
PDGGX |
R5:
PDGHX |
R6:
PDGJX |
PGIM
TARGET DATE 2040 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2040 FUND | |||||
R1:
PDHDX |
R2:
PDHEX |
R3:
PDHFX |
R4:
PDHGX |
R5:
PDHHX |
R6:
PDHJX |
PGIM
TARGET DATE 2045 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2045 FUND | |||||
R1:
PDIDX |
R2:
PDIEX |
R3:
PDIKX |
R4:
PDIGX |
R5:
PDIHX |
R6:
PDIJX |
PGIM
TARGET DATE 2050 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2050 FUND | |||||
R1:
PDJDX |
R2:
PDJEX |
R3:
PDJFX |
R4:
PDJGX |
R5:
PDJHX |
R6:
PDJJX |
PGIM
TARGET DATE 2055 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2055 FUND | |||||
R1:
PDKDX |
R2:
PDKEX |
R3:
PDKFX |
R4:
PDKGX |
R5:
PDKHX |
R6:
PDKJX |
PGIM
TARGET DATE 2060 FUND
FORMERLY,
PRUDENTIAL DAY ONE 2060 FUND | |||||
R1:
PDLDX |
R2:
PDLEX |
R3:
PDLFX |
R4:
PDLGX |
R5:
PDLHX |
R6:
PDLJX |
PGIM
TARGET DATE 2065 FUND
FORMERLY,
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 |
1940
Act, Exemptive order, SEC release, no-action letter or similar relief or
interpretations, collectively |
ADR |
American
Depositary Receipt |
ADS |
American
Depositary Share |
Board |
Fund’s
Board of Directors or Trustees |
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 |
Fannie
Mae |
Federal
National Mortgage Association |
FDIC |
Federal
Deposit Insurance Corporation |
Fitch |
Fitch
Ratings, Inc. |
Freddie
Mac |
Federal
Home Loan Mortgage Corporation |
GDR |
Global
Depositary Receipt |
Ginnie
Mae |
Government
National Mortgage Association |
IPO |
Initial
Public Offering |
IRS |
Internal
Revenue Service |
LIBOR |
London
Interbank Offered Rate |
Manager
or PGIM Investments |
PGIM
Investments LLC |
Moody’s |
Moody’s
Investors Service, Inc. |
NASDAQ |
National
Association of Securities Dealers Automated
Quotations |
NAV |
Net
Asset Value |
NRSRO |
Nationally
Recognized Statistical Rating Organization |
NYSE |
New
York Stock Exchange |
OTC |
Over
the Counter |
Prudential |
Prudential
Financial, Inc. |
PMFS |
Prudential
Mutual Fund Services LLC |
QPTP |
“Qualified
publicly traded partnership” as the term is used in the Internal Revenue
Code of 1986, as amended |
REIT |
Real
Estate Investment Trust |
RIC |
Regulated
Investment Company, as the term is used in the Internal Revenue Code of
1986, as amended |
S&P |
S&P
Global Ratings
|
Term |
Definition |
SEC |
U.S.
Securities and Exchange Commission |
SOFR |
Secured
Overnight Financing Rate |
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: 104 |
Chief
Executive Officer and President, The Joyce
Foundation
(charitable foundation) (since
2002);
formerly Vice Chair, City Colleges of
Chicago
(community college system)
(2011-2015);
formerly Trustee, National Park
Foundation
(charitable foundation for national
park
system) (2009-2018); formerly Trustee,
Economic
Club of Chicago (2009-2016);
Trustee,
Loyola University (since 2018). |
None. |
Since
September 2013 |
Kevin
J. Bannon
1952
Board
Member
Portfolios
Overseen: 105 |
Retired;
formerly Managing Director (April
2008-May
2015) and Chief Investment Officer
(October
2008-November 2013) of Highmount
Capital
LLC (registered investment adviser);
formerly
Executive Vice President and Chief
Investment
Officer (April 1993-August 2007) of
Bank
of New York Company; formerly President
(May
2003-May 2007) of BNY Hamilton Family
of
Mutual Funds. |
Director
of Urstadt Biddle Properties (equity real
estate
investment trust) (September
2008-August
2023). |
Since
July 2008 |
Linda
W. Bynoe
1952
Board
Member
Portfolios
Overseen: 102 |
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: 105 |
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: 105 |
Retired;
formerly Member (November
2014-September
2022) of the Governing Council
of the
Independent Directors Council (IDC)
(organization
of independent mutual fund
directors);
formerly Executive Committee of the
IDC
Board of Governors (October
2019-December
2021); formerly President and
Chief
Executive Officer (2005-2012), Senior Vice
President
(2004-2005), Senior Vice President of
Sales
and Marketing (1997-2004), and various
executive
management positions (1990-1997),
John
Hancock Funds, LLC (asset management);
formerly
Chairman, Investment Company
Institute’s
Sales Force Marketing Committee
(2003-2008). |
None. |
Since
September 2013 |
Laurie
Simon Hodrick
1962
Board
Member
Portfolios
Overseen: 102 |
A.
Barton Hepburn Professor Emerita of
Economics
in the Faculty of Business, Columbia
Business
School (since 2018); Visiting Fellow at
the
Hoover Institution, Stanford University
(since
2015); Sole Member, ReidCourt LLC
(since
2008) (a consulting firm); formerly
Visiting
Professor of Law, Stanford Law School
(2015-2021);
formerly A. Barton Hepburn
Professor
of Economics in the Faculty of
Business,
Columbia Business School
(1996-2017);
formerly Managing Director,
Global
Head of Alternative Investment
Strategies,
Deutsche Bank (2006-2008). |
Independent
Director, Roku (since December
2020)
(communication services); formerly
Independent
Director, Andela (2022-2024)
(global
talent network); formerly Independent
Director,
Synnex Corporation (2019-2021)
(information
technology); formerly Independent
Director,
Kabbage, Inc. (2018-2020) (financial
services);
formerly Independent Director,
Corporate
Capital Trust (2017-2018) (a
business
development company). |
Since
September 2017 |
Brian
K. Reid
1961
Board
Member
Portfolios
Overseen: 105 |
Retired;
formerly Chief Economist for the
Investment
Company Institute (ICI)
(2005-2017);
formerly Senior Economist and
Director
of Industry and Financial Analysis at
the
ICI (1998-2004); formerly Senior Economist,
Industry
and Financial Analysis at the ICI
(1996-1998);
formerly Staff Economist at the
Federal
Reserve Board (1989-1996); formerly
Director,
ICI Mutual Insurance Company
(2012-2017). |
None. |
Since
March 2018 |
Grace
C. Torres
1959
Board
Member
Portfolios
Overseen: 105 |
Retired;
formerly Treasurer and Principal
Financial
and Accounting Officer of the PGIM
Funds,
Target Funds, Advanced Series Trust,
Prudential
Variable Contract Accounts and The
Prudential
Series Fund (1998-June 2014);
Assistant
Treasurer (March 1999-June 2014)
and
Senior Vice President (September
1999-June
2014) of PGIM Investments LLC;
Assistant
Treasurer (May 2003-June 2014) and
Vice
President (June 2005-June 2014) of AST
Investment
Services, Inc.; Senior Vice President
and
Assistant Treasurer (May 2003-June 2014)
of
Prudential Annuities Advisory Services, Inc. |
Director
(since January 2018) of OceanFirst
Financial
Corp. and OceanFirst Bank; formerly
Director
(July 2015-January 2018) of Sun
Bancorp,
Inc. N.A. and Sun National Bank. |
Since
November 2014 |
Interested
Board Members | |||
Name
Year
of Birth
Position(s)
Portfolios
Overseen |
Principal
Occupation(s)
During
Past Five Years |
Other
Directorships
Held
During
Past
Five Years |
Length
of
Board
Service |
Stuart
S. Parker
1962
Board
Member,
President
& Principal
Executive
Officer
Portfolios
Overseen: 105 |
President,
Chief Executive Officer and Officer in
Charge
(since January 2012) of PGIM
Investments
LLC; President and Principal
Executive
Officer (since March 2022) of the
PGIM
Alternatives Funds and (since January
2012)
of the PGIM Retail Funds; formerly Chief
Operating
Officer for PGIM Investments LLC
(January
2012 - January 2024); formerly
Executive
Vice President of Jennison Associates
LLC
and Head of Retail Distribution of PGIM
Investments
LLC (June 2005-December 2011);
Investment
Company Institute - Board of
Governors
(since May 2012). |
None. |
Since
January 2012 |
Scott
E. Benjamin
1973
Board
Member & Vice
President
Portfolios
Overseen: 134 |
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,
Global
Product Management and Marketing
(since
February 2006) of PGIM Investments LLC;
Vice
President (since March 2022) of the PGIM
Alternatives
Funds and (since March 2010) of
the
PGIM Retail Funds; formerly Vice President
of
Product Development and Product
Management,
PGIM Investments LLC
(2003-2006). |
None. |
Since
March 2010 |
Fund
Officers
(a) |
|
|
Name
Year
of Birth
Fund
Position |
Principal
Occupation(s) During Past Five Years |
Length
of
Service
as Fund Officer |
Claudia
DiGiacomo
1974
Chief
Legal Officer |
Chief
Legal Officer, Executive Vice President and Secretary (since August 2020)
of PGIM Investments LLC; Chief
Legal
Officer (since January 2024) of PGIM DC Solutions LLC, (since July 2022)
of the PGIM Alternatives Funds
and
(since August 2020) of the PGIM Retail Funds, Prudential Annuities Funds,
Prudential Mutual Fund
Services
LLC, and PIFM Holdco, LLC; Vice President and Corporate Counsel (since
January 2005) of Prudential;
and
Corporate Counsel (since August 2020) of AST Investment Services, Inc.;
formerly Vice President and
Assistant
Secretary of PGIM Investments LLC (2005-2020); formerly Associate at
Sidley Austin Brown & Wood
LLP
(1999-2004). |
Since
December 2005 |
Dino
Capasso
1974
Chief
Compliance Officer |
Vice
President (since June 2024) of PGIM Investments LLC; Chief Compliance
Officer (since July 2024) of the
PGIM
Retail Funds, Prudential Annuities Funds and PGIM Alternatives Funds;
formerly Chief Compliance Officer
and
Vice President (May 2022 - May 2024) of T. Rowe Price Associates, Inc., T.
Rowe Price Investment
Management,
Inc., and the T. Rowe Price mutual fund complex; formerly Chief Compliance
Officer (September
2019 -
April 2022) of PGIM Investments LLC and AST Investment Services, Inc.
(ASTIS); formerly Chief
Compliance
Officer (July 2019 – April 2022) of the PGIM Retail Funds and Prudential
Annuities Funds and
(March
2022 – April 2022) of PGIM Private Real Estate Fund, Inc.; formerly Vice
President and Deputy Chief
Compliance
Officer (June 2017 - September 2019) of PGIM Investments LLC and
ASTIS. |
Since
July 2024 |
Andrew
R. French
1962
Secretary |
Vice
President and Assistant Secretary (since January 2007) of PGIM Investments
LLC; Secretary (since March
2022)
of the PGIM Alternatives Funds and (since December 2018) of the PGIM
Retail Funds and Prudential
Annuities
Funds; Vice President and Assistant Secretary (since January 2007) of
Prudential Mutual Fund
Services
LLC; formerly Vice President and Corporate Counsel (2010-2018) of
Prudential; formerly Director and
Corporate
Counsel (2006-2010) of Prudential. |
Since
October 2006 |
Melissa
Gonzalez
1980
Assistant
Secretary |
Vice
President and Corporate Counsel (since September 2018) of Prudential; Vice
President and Assistant
Secretary
(since August 2020) of PGIM Investments LLC; Assistant Secretary (since
March 2022) of the PGIM
Alternatives
Funds, (since March 2020) of the PGIM Retail Funds and (since March 2019)
of the Prudential
Annuities
Funds; formerly Director and Corporate Counsel (March 2014-September 2018)
of Prudential. |
Since
March 2020
|
Fund
Officers(a)
|
|
|
Name
Year
of Birth
Fund
Position |
Principal
Occupation(s) During Past Five Years |
Length
of
Service
as Fund Officer |
Patrick
E. McGuinness
1986
Assistant
Secretary |
Director
and Corporate Counsel (since February 2017) of Prudential; Vice President
and Assistant Secretary
(since
August 2020) of PGIM Investments LLC; Assistant Secretary (since March
2022) of the PGIM Alternatives
Funds
and (since June 2020) of the PGIM Retail Funds and Prudential Annuities
Funds. |
Since
June 2020 |
Debra
Rubano
1975
Assistant
Secretary |
Vice
President and Corporate Counsel (since November 2020) of Prudential;
Assistant Secretary (since March
2022)
of the PGIM Alternatives Funds and (since December 2020) of the PGIM
Retail Funds and (since
November
2020) of the Prudential Annuities Funds; formerly Director and Senior
Counsel of Allianz Global
Investors
U.S. Holdings LLC (2010-2020) and Assistant Secretary of numerous funds in
the Allianz fund
complex
(2015-2020). |
Since
December 2020 |
George
Hoyt
1965
Assistant
Secretary |
Vice
President and Corporate Counsel (since September 2023) of Prudential;
Assistant Secretary (since March
2024)
of the Prudential Annuities Funds, (since December 2023) of the PGIM
Retail Funds, and (since
September
2023) of the PGIM Alternatives Funds; formerly Associate General Counsel
of Franklin Templeton
and
Secretary and Chief Legal Officer of certain funds in the Franklin
Templeton complex (2020-2023) and
Managing
Director (2016-2020) and Associate General Counsel for Legg Mason, Inc.
and its predecessors
(2004-2020). |
Since
December 2023 |
Devan
Goolsby
1991
Assistant
Secretary |
Vice
President and Corporate Counsel (since May 2023) of Prudential; Assistant
Secretary (since March 2024)
of the
Prudential Annuities Funds, (since December 2023) of the PGIM Retail Funds
and (since September
2023)
of the PGIM Alternatives Funds; formerly Associate at Eversheds Sutherland
(US) LLP (2021-2023);
Compliance
Officer at Bloomberg LP (2019-2021); and an Examiner at the Financial
Industry Regulatory
Authority
(2015-2019). |
Since
December 2023 |
Kelly
A. Coyne
1968
Assistant
Secretary |
Director,
Investment Operations (since 2010) of Prudential Mutual Fund Services LLC;
Assistant Secretary
(since
March 2022) of the PGIM Alternatives Funds and (since March 2015) of the
PGIM Retail Funds. |
Since
March 2015 |
Christian
J. Kelly
1975
Chief
Financial Officer |
Vice
President, Global Head of Fund Administration and Operations (since
November 2018) of PGIM
Investments
LLC; Chief Financial Officer (since March 2023) of the PGIM Retail Funds
and Prudential Annuities
Funds
and (since July 2022) of the PGIM Alternatives Funds; formerly Treasurer
and Principal Financial Officer
(January
2019 - March 2023) of the PGIM Retail Funds and Prudential Annuities
Funds; formerly Treasurer and
Principal
Financial Officer (March 2022 – July 2022) of the PGIM Private Real Estate
Fund, Inc.; 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 |
Russ
Shupak
1973
Treasurer
and Principal Accounting
Officer |
Vice
President (since 2017) within PGIM Investments Fund Administration;
Treasurer and Principal Accounting
Officer
(since September 2023) of the PGIM Credit Income Fund, (since March 2023)
of the PGIM Retail Funds,
and
(since July 2022) of the PGIM Private Real Estate Fund, Inc.; Assistant
Treasurer (since September 2023)
of the
PGIM Rock ETF Trust, (since September 2022) of the PGIM Private Credit
Fund and (since October 2019)
of the
Prudential Annuities Funds; formerly Assistant Treasurer (March 2022 –
July 2022) of the PGIM Private
Real
Estate Fund, Inc.; formerly Director (2013-2017) within PGIM Investments
Fund Administration. |
Since
October 2019 |
Lana
Lomuti
1967
Assistant
Treasurer |
Vice
President (since 2007) within PGIM Investments Fund Administration;
Assistant Secretary (since April
2014)
of the PGIM Retail Funds and Prudential Annuities Funds; formerly
Assistant Treasurer (December 2007-
February
2014) of The Greater China Fund, Inc.; formerly Director (2005-2007)
within PGIM Investments Fund
Administration. |
Since
April 2014 |
Deborah
Conway
1969
Assistant
Treasurer |
Vice
President (since 2017) within PGIM Investments Fund Administration;
Assistant Secretary (since October
2019)
of the PGIM Retail Funds and Prudential Annuities Funds; formerly Director
(2007-2017) within PGIM
Investments
Fund Administration. |
Since
October
2019 |
Elyse
M. McLaughlin
1974
Assistant
Treasurer |
Vice
President (since 2017) within PGIM Investments Fund Administration;
Treasurer and Principal Accounting
Officer
(since September 2023) of the PGIM Rock ETF Trust, (since March 2023) of
the Prudential Annuities
Funds,
and (since September 2022) of the PGIM Private Credit Fund; Assistant
Treasurer (since September
2023)
of the PGIM Credit Income Fund, (since March 2022) of the PGIM Private
Real Estate Fund, Inc., and
(since
October 2019) of the PGIM Retail Funds; formerly Director (2011-2017)
within PGIM Investments Fund
Administration. |
Since
October 2019 |
Robert
W. McCormack
1973
Assistant
Treasurer |
Vice
President (since 2019) within PGIM Investments Fund Administration;
Assistant Treasurer (since March
2023)
of the PGIM Retail Funds and Prudential Annuities Funds and (since March
2022) of the PGIM
Alternatives
Funds; formerly Director (2016-2019) within PGIM Investments Fund
Administration; formerly Vice
President
within Goldman, Sachs & Co. Investment Management Controllers
(2008-2016), Assistant Treasurer
of
Goldman Sachs Family of Funds (2015-2016). |
Since
March 2023
|
Fund
Officers(a)
|
|
|
Name
Year
of Birth
Fund
Position |
Principal
Occupation(s) During Past Five Years |
Length
of
Service
as Fund Officer |
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-December 2021) at
New
York Life Insurance Company; formerly Head of Key Risk Area Operations
(November 2018-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 |
$14,857 |
None |
None |
$314,000*
(30/100)** |
Kevin
J. Bannon |
$14,920 |
None |
None |
$336,000*
(31/101)** |
Linda
W. Bynoe |
$14,877 |
None |
None |
$316,000*
(29/98)** |
Barry
Evans |
$15,003 |
None |
None |
$375,000*
(31/101)** |
Keith
F. Hartstein |
$15,113 |
None |
None |
$413,000*
(31/101)** |
Laurie
Simon Hodrick |
$14,947 |
None |
None |
$337,000*
(29/98)** |
Brian
Reid |
$15,003 |
None |
None |
$376,000*
(31/101)**
|
Compensation
Received by Independent Board Members | ||||
Grace
C. Torres |
$15,003 |
None |
None |
$372,000*
(31/101)** |
Board
Committee Meetings (for most recently completed fiscal
year) | |||
Audit
Committee |
Nominating
& Governance Committee |
Dryden
& Gibraltar Investment
Committees |
Compliance
Committee |
4 |
3 |
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 Received by PGIM Investments from PGIM Target Date Income
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$1,581 |
$4,515 |
$5,711 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(181,841) |
$(171,994) |
$(162,136) |
Net
Fee |
$(180,260) |
$(167,479) |
$(156,425) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2015
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$683 |
$2,142 |
$2,813 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(178,472) |
$(169,994) |
$(159,828) |
Net
Fee |
$(177,789) |
$(167,852) |
$(157,015) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2020
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$2,865 |
$8,944 |
$12,482 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(185,250) |
$(174,393) |
$(163,138) |
Net
Fee |
$(182,385) |
$(165,449) |
$(150,656) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2025
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$4,183 |
$13,239 |
$16,823 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(187,673) |
$(179,339) |
$(173,140)
|
Management
Fees Received by PGIM Investments from PGIM Target Date 2025
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Net
Fee |
$(183,490) |
$(166,100) |
$(156,317) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2030
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$4,588 |
$13,148 |
$16,731 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(194,119) |
$(186,115) |
$(183,762) |
Net
Fee |
$(189,531) |
$(172,967) |
$(167,031) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2035
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$3,417 |
$9,639 |
$11,141 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(188,374) |
$(195,187) |
$(185,215) |
Net
Fee |
$(184,957) |
$(185,548) |
$(174,074) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2040
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$3,221 |
$8,910 |
$11,416 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(195,857) |
$(202,767) |
$(197,262) |
Net
Fee |
$(192,636) |
$(193,857) |
$(185,846) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2045
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$2,287 |
$6,176 |
$7,112 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(187,939) |
$(201,272) |
$(194,504) |
Net
Fee |
$(185,652) |
$(195,096) |
$(187,392) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2050
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$1,544 |
$4,013 |
$5,112 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(184,651) |
$(194,324) |
$(183,906) |
Net
Fee |
$(183,107) |
$(190,311) |
$(178,794) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2055
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$636 |
$1,497 |
$1,830 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(182,285) |
$(181,112) |
$(171,600) |
Net
Fee |
$(181,649) |
$(179,615) |
$(169,770) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2060
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$533 |
$1,456 |
$1,651 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(181,070) |
$(180,903) |
$(171,309) |
Net
Fee |
$(180,537) |
$(179,447) |
$(169,658) |
Management
Fees Received by PGIM Investments from PGIM Target Date 2065
Fund |
|
|
|
|
2024 |
2023 |
2022 |
Gross
Fee |
$45 |
$102 |
$111 |
Amount
Waived/ Reimbursed by PGIM Investments |
$(182,680) |
$(173,656) |
$(163,828) |
Net
Fee |
$(182,635) |
$(173,554) |
$(163,717) |
Subadvisory Fees
Paid by PGIM Investments: Income Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$1,588 |
$4,515 |
$5,711 |
Subadvisory Fees
Paid by PGIM Investments: 2015 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$686 |
$2,142 |
$2,813 |
Subadvisory Fees
Paid by PGIM Investments: 2020 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$2,880 |
$8,944 |
$12,482 |
Subadvisory Fees
Paid by PGIM Investments: 2025 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$4,203 |
$13,239 |
$16,823 |
Subadvisory Fees
Paid by PGIM Investments: 2030 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$4,611 |
$13,148 |
$16,731 |
Subadvisory Fees
Paid by PGIM Investments: 2035 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$3,433 |
$9,639 |
$11,141 |
Subadvisory Fees
Paid by PGIM Investments: 2040 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$3,237 |
$8,910 |
$11,416 |
Subadvisory Fees
Paid by PGIM Investments: 2045 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$2,299 |
$6,176 |
$7,112 |
Subadvisory Fees
Paid by PGIM Investments: 2050 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$1,552 |
$4,013 |
$5,112 |
Subadvisory Fees
Paid by PGIM Investments: 2055 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$640 |
$1,497 |
$1,830 |
Subadvisory Fees
Paid by PGIM Investments: 2060 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$536 |
$1,456 |
$1,651 |
Subadvisory Fees
Paid by PGIM Investments: 2065 Fund* | |||
Subadviser |
2024 |
2023 |
2022 |
PGIM
Quantitative Solutions LLC |
$46 |
$102 |
$111 |
Other
Funds and Investment Accounts Managed by the Portfolio
Managers* | |||||
Fund |
Subadviser |
Portfolio
Manager |
Registered
Investment
Companies |
Other
Pooled
Investment
Vehicles |
Other
Accounts |
Income
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$305,743,370 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$417,986,981 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,079,698,989 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2015
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$313,382,106 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$425,625,717 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,087,337,725 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2020
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$287,803,864 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$400,057,475 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,061,769,483 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2025
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$275,155,603 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$387,399,214 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,049,111,222 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2030
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$268,981,926 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$381,225,537 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,042,937,545 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2035
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$281,238,587 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$393,482,198 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,055,194,206 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2040
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$282,528,045 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$394,771,656 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,056,483,664 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2045
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$296,801,425 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$409,045,036 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,070,757,044 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2050
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$307,838,327 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$420,081,938 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,081,793,946 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2055
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$315,000,793 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$427,244,404 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,088,854,265 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2060
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$314,898,646 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$427,142,257 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,088,854,265 |
13/$1,044,395,879 |
21/$9,000,964,066 |
2065
Fund |
PGIM
DC Solutions LLC |
David
Blanchett |
14/$322,621,349 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Jeremy
Stempien |
15/$434,864,960 |
12/$961,378,700 |
13/$5,489,099,943 |
|
|
Joel
Kallman, CFA |
22/$22,096,576,968 |
13/$1,044,395,879 |
21/$9,000,964,066 |
Personal
Investments and Financial Interests of the Portfolio
Managers | ||
Subadviser |
Portfolio
Managers |
Investments
and Other Financial Interests
in
the Fund and Similar Strategies* |
PGIM
DC Solutions LLC |
David
Blanchett |
˃$1,000,000 |
|
Jeremy
Stempien |
$10,001
- $50,000 |
|
Joel
Kallman |
$10,001
- $50,000 |
Fees
Paid to PMFS |
|
Fund
Name |
Amount |
PGIM
Target Date 2015 Fund |
$1,126 |
PGIM
Target Date 2020 Fund |
$1,396 |
PGIM
Target Date 2025 Fund |
$2,061 |
PGIM
Target Date 2030 Fund |
$2,505 |
PGIM
Target Date 2035 Fund |
$2,246 |
PGIM
Target Date 2040 Fund |
$2,296 |
PGIM
Target Date 2045 Fund |
$2,447 |
PGIM
Target Date 2050 Fund |
$2,410 |
PGIM
Target Date 2055 Fund |
$2,193 |
PGIM
Target Date 2060 Fund |
$2,063 |
PGIM
Target Date 2065 Fund |
$1,114 |
PGIM
Target Date Income Fund |
$1,680 |
Payments
Received by the Distributor: PGIM Target Date 2015
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$66 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$143 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$14 |
Payments
Received by the Distributor: PGIM Target Date 2020
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$68 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$169 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$891 |
Payments
Received by the Distributor: PGIM Target Date 2025
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$72 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$864 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$481 |
Payments
Received by the Distributor: PGIM Target Date 2030
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$369 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$861 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$1,657 |
Payments
Received by the Distributor: PGIM Target Date 2035
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$174 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$1,154 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$882 |
Payments
Received by the Distributor: PGIM Target Date 2040
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$291 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$624 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$845 |
Payments
Received by the Distributor: PGIM Target Date 2045
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$85 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$1,650 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$28 |
Payments
Received by the Distributor: PGIM Target Date 2050
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$343 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$1,129 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$21 |
Payments
Received by the Distributor: PGIM Target Date 2055
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$93 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$1,131 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$59 |
Payments
Received by the Distributor: PGIM Target Date 2060
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$134 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$956
|
Payments
Received by the Distributor: PGIM Target Date 2060
Fund |
|
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$46 |
Payments
Received by the Distributor: PGIM Target Date 2065
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$67 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$362 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$31 |
Payments
Received by the Distributor: PGIM Target Date Income
Fund |
|
CLASS
R1 DISTRIBUTION AND SERVICE (12B-1) FEES |
$133 |
CLASS
R2 DISTRIBUTION (12B-1) FEES |
$77 |
CLASS
R3 DISTRIBUTION AND SERVICE (12B-1) FEES |
$176 |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$91 |
$37 |
$128 |
Class
R3 |
$- |
$- |
$- |
$- |
Class
R4 |
$- |
$- |
$- |
$- |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$44 |
$35 |
$79 |
Class
R3 |
$- |
$890 |
$- |
$890 |
Class
R4 |
$- |
$- |
$15 |
$15 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$1 |
$1 |
$2 |
Class
R2 |
$- |
$755 |
$590 |
$1,345 |
Class
R3 |
$- |
$482 |
$- |
$482 |
Class
R4 |
$- |
$- |
$268 |
$268 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$294 |
$14 |
$308 |
Class
R2 |
$- |
$568 |
$46 |
$614 |
Class
R3 |
$- |
$1,661 |
$13 |
$1,674
|
Amounts
Spent by Distributor: PGIM Target Date 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
R4 |
$- |
$- |
$23 |
$23 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$95 |
$29 |
$124 |
Class
R2 |
$- |
$985 |
$920 |
$1,905 |
Class
R3 |
$- |
$890 |
$8 |
$898 |
Class
R4 |
$- |
$- |
$3 |
$3 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$210 |
$5 |
$215 |
Class
R2 |
$- |
$580 |
$112 |
$692 |
Class
R3 |
$- |
$847 |
$4 |
$851 |
Class
R4 |
$- |
$- |
$11 |
$11 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$- |
$- |
$- |
Class
R2 |
$- |
$1,132 |
$899 |
$2,031 |
Class
R3 |
$- |
$26 |
$- |
$26 |
Class
R4 |
$- |
$- |
$1 |
$1 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$258 |
$35 |
$293 |
Class
R2 |
$- |
$630 |
$106 |
$736 |
Class
R3 |
$- |
$12 |
$- |
$12 |
Class
R4 |
$- |
$- |
$12 |
$12 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$7 |
$- |
$7 |
Class
R2 |
$- |
$702 |
$151 |
$853 |
Class
R3 |
$- |
$50 |
$2 |
$52 |
Class
R4 |
$- |
$- |
$12 |
$12 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$48 |
$11 |
$59 |
Class
R2 |
$- |
$777 |
$300 |
$1,077 |
Class
R3 |
$- |
$45 |
$1 |
$46 |
Class
R4 |
$- |
$- |
$15 |
$15 |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$- |
$1 |
$1 |
Class
R2 |
$- |
$246 |
$76 |
$322 |
Class
R3 |
$- |
$19 |
$30 |
$49 |
Class
R4 |
$- |
$- |
$- |
$- |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Amounts
Spent by Distributor: PGIM Target Date 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 |
$- |
$- |
$- |
$- |
Class
R2 |
$- |
$12 |
$- |
$12 |
Class
R3 |
$- |
$176 |
$- |
$176 |
Class
R4 |
$- |
$- |
$- |
$- |
Class
R5 |
$- |
$- |
$- |
$- |
Class
R6 |
$- |
$- |
$- |
$- |
Offering
Price Per Share | ||||||||||||
|
PGIM
Target
Date
2015
Fund |
PGIM
Target
Date
2020
Fund |
PGIM
Target
Date
2025
Fund |
PGIM
Target
Date
2030
Fund |
PGIM
Target
Date
2035
Fund |
PGIM
Target
Date
2040
Fund |
PGIM
Target
Date
2045
Fund |
PGIM
Target
Date
2050
Fund |
PGIM
Target
Date
2055
Fund |
PGIM
Target
Date
2060
Fund |
PGIM
Target
Date
2065
Fund |
PGIM
Target
Date
Income
Fund |
Class
R1 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R1 share |
$10.54 |
$10.83 |
$11.23 |
$11.98 |
$12.31 |
$13.13 |
$12.98 |
$13.64 |
$11.81 |
$14.42 |
$12.73 |
$10.31 |
Class
R2 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R2 share |
$10.56 |
$10.85 |
$11.26 |
$12.02 |
$12.32 |
$13.17 |
$13.01 |
$13.70 |
$11.89 |
$14.50 |
$12.75 |
$10.31 |
Class
R3 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R3 share |
$10.57 |
$10.87 |
$11.27 |
$12.02 |
$12.35 |
$13.19 |
$13.02 |
$13.71 |
$11.91 |
$14.51 |
$12.77 |
$10.31 |
Class
R4 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R4 share |
$10.56 |
$10.89 |
$11.28 |
$12.00 |
$12.37 |
$13.20 |
$13.02 |
$13.69 |
$11.93 |
$14.53 |
$12.78 |
$10.31 |
Class
R5 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R5 share |
$10.59 |
$10.89 |
$11.28 |
$12.04 |
$12.37 |
$13.21 |
$13.05 |
$13.72 |
$11.97 |
$14.54 |
$12.79 |
$10.31 |
Class
R6 |
|
|
|
|
|
|
|
|
|
|
|
|
NAV
and redemption price
per
Class R6 share |
$10.59 |
$10.85 |
$11.31 |
$12.06 |
$12.38 |
$13.23 |
$13.08 |
$13.77 |
$11.99 |
$14.58 |
$12.85 |
$10.33 |
Brokerage
Commissions Paid by the Fund | |||
|
2024 |
2023 |
2022 |
Total
brokerage commissions paid by the Fund |
None |
None |
None |
Total
brokerage commissions paid to affiliated brokers |
None |
None |
None |
Percentage
of total brokerage commissions paid to affiliated
brokers |
None |
None |
None |
Percentage
of the aggregate dollar amount of portfolio transactions involving the
payment of commissions to affiliated brokers |
None |
None |
None |
Broker-Dealer
Securities Holdings | |||
Fund
Name |
Broker-Dealer |
Equity
or Debt |
Amount |
PGIM
Target Date 2015 Fund |
None |
None |
None |
PGIM
Target Date 2020 Fund |
None |
None |
None |
PGIM
Target Date 2025 Fund |
None |
None |
None |
PGIM
Target Date 2030 Fund |
None |
None |
None |
PGIM
Target Date 2035 Fund |
None |
None |
None |
PGIM
Target Date 2040 Fund |
None |
None |
None |
PGIM
Target Date 2045 Fund |
None |
None |
None |
PGIM
Target Date 2050 Fund |
None |
None |
None |
PGIM
Target Date 2055 Fund |
None |
None |
None |
PGIM
Target Date 2060 Fund |
None |
None |
None |
PGIM
Target Date 2065 Fund |
None |
None |
None |
PGIM
Target Date Income Fund |
None |
None |
None |
Portfolio
Turnover Rate |
|
|
Fund
Name |
2024 |
2023 |
PGIM
Target Date 2015 Fund |
38% |
23% |
PGIM
Target Date 2020 Fund |
43% |
24% |
PGIM
Target Date 2025 Fund |
53% |
26% |
PGIM
Target Date 2030 Fund |
62% |
29% |
PGIM
Target Date 2035 Fund |
76% |
29% |
PGIM
Target Date 2040 Fund |
77% |
31% |
PGIM
Target Date 2045 Fund |
79% |
29% |
PGIM
Target Date 2050 Fund |
84% |
26% |
PGIM
Target Date 2055 Fund |
97% |
29% |
PGIM
Target Date 2060 Fund |
92% |
42% |
PGIM
Target Date 2065 Fund |
112% |
45% |
PGIM
Target Date Income Fund |
38% |
25% |
Prior
Name |
New
Name |
Prudential
Day One Income Fund |
PGIM
Target Date Income Fund |
Prudential
Day One 2015 Fund |
PGIM
Target Date 2015 Fund |
Prudential
Day One 2020 Fund |
PGIM
Target Date 2020 Fund |
Prudential
Day One 2025 Fund |
PGIM
Target Date 2025 Fund |
Prudential
Day One 2030 Fund |
PGIM
Target Date 2030 Fund |
Prudential
Day One 2035 Fund |
PGIM
Target Date 2035 Fund |
Prudential
Day One 2040 Fund |
PGIM
Target Date 2040 Fund |
Prudential
Day One 2045 Fund |
PGIM
Target Date 2045 Fund |
Prudential
Day One 2050 Fund |
PGIM
Target Date 2050 Fund |
Prudential
Day One 2055 Fund |
PGIM
Target Date 2055 Fund |
Prudential
Day One 2060 Fund |
PGIM
Target Date 2060 Fund
|
Prior
Name |
New
Name |
Prudential
Day One 2065 Fund |
PGIM
Target Date 2065 Fund |
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
2,640.856 |
96.53% |
PGIM
Target Date 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 |
2,690.912 |
88.21% |
PGIM
Target Date Income Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
18,288.381 |
100.00% |
PGIM
Target Date 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 |
2,740.193 |
100.00% |
PGIM
Target Date Income Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
91,085.291 |
96.57% |
PGIM
Target Date Income Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,059,245.175 |
69.24% |
PGIM
Target Date Income Fund - Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
192,724.189 |
12.60% |
PGIM
Target Date Income Fund -Class R6 |
AMERICAN
UNITED LIFE INSURANCE
GROUP
RETIREMENT ANNUITY SEP ACT II
PO BOX
368
INDIANAPOLIS
IN 46206-0368 |
94,999.837 |
6.21% |
PGIM
Target Date 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 |
1,328.315 |
100.00% |
PGIM
Target Date 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 |
3,128.190 |
68.15% |
PGIM
Target Date 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 |
1,350.449 |
29.42%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,365.291 |
100.00% |
PGIM
Target Date 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 |
1,375.345 |
100.00% |
PGIM
Target Date 2015 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
23,997.491 |
94.55% |
PGIM
Target Date 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 |
1,384.083 |
5.45% |
PGIM
Target Date 2015 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
806,126.897 |
88.81% |
PGIM
Target Date 2015 Fund – Class R6 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
46,985.282 |
5.18% |
PGIM
Target Date 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 |
1,342.193 |
100.00% |
PGIM
Target Date 2020 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROLLOVER IRA OF
BARBARA
J ULCH
3067
REX DR S
JACKSONVILLE
FL 322160000 |
3,690.429 |
52.63% |
PGIM
Target Date 2020 Fund – Class R2 |
BNYM I
S TRUST CO CUST FBO
OCEAN
SPRINGS LUMBER CO
NDFI
SIM-IRA
JASON
E MORRIS
5848
WINDMILL ST
OCEAN
SPRINGS MS 39564-4072 |
2,653.399 |
37.84% |
PGIM
Target Date 2020 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
74,291.576 |
100.00% |
PGIM
Target Date 2020 Fund – Class R4 |
RELIANCE
TRUST CO TTEE
ADP
ACCESS LARGE MARKET PRODUCT
201
17TH STREET NW S 1000
ATLANTA
GA 30362 |
1,521.736 |
52.30%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,388.072 |
47.70% |
PGIM
Target Date 2020 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
264,978.309 |
99.48% |
PGIM
Target Date 2020 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,387,296.467 |
82.74% |
PGIM
Target Date 2020 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
278,605.440 |
9.66% |
PGIM
Target Date 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 |
1,347.533 |
80.93% |
PGIM
Target Date 2025 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
317.447 |
19.07% |
PGIM
Target Date 2025 Fund – Class R2 |
MID
ATLANTIC TRUST COMPANY FBO
ITSC
SECURE SOLUTIONS, LLC 401(K) P
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
36,018.087 |
62.56% |
PGIM
Target Date 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 |
8,611.649 |
14.96% |
PGIM
Target Date 2025 Fund – Class R2 |
BNYM I
S TRUST CO CUST FBO
SAFE
HARBOR CHRISTIAN COUNSELING
NDFI
SIMPLE IRA
ROBERT
CIAVERELLI
200
OAKDALE RD
BALTIMORE
MD 21210-2520 |
3,046.382 |
5.29% |
PGIM
Target Date 2025 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
45,976.204 |
100.00% |
PGIM
Target Date 2025 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
18,396.860 |
92.96% |
PGIM
Target Date 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 |
1,394.215 |
7.04%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 2025 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
79,079.603 |
97.13% |
PGIM
Target Date 2025 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,738,367.285 |
67.22% |
PGIM
Target Date 2025 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
582,012.378 |
14.29% |
PGIM
Target Date 2030 Fund – Class R1 |
MID
ATLANTIC TRUST COMPANY FBO
IRVINE
ADULT DAY HEALTH 401(K) PROF
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
4,913.257 |
56.89% |
PGIM
Target Date 2030 Fund – Class R1 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,066.516 |
23.93% |
PGIM
Target Date 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 |
1,360.939 |
15.76% |
PGIM
Target Date 2030 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROTH IRA OF
CATHARINE
M CADIGAN
21
NASSON AVE
WESTBROOK
ME 04092-2426 |
5,915.768 |
18.04% |
PGIM
Target Date 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 |
5,717.569 |
17.44% |
PGIM
Target Date 2030 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROLLOVER IRA OF
RENEE
D PENDLETON
4913
INDEPENDENCE CIR UNIT B
STOW
OH 44224 |
5,550.353 |
16.93% |
PGIM
Target Date 2030 Fund – Class R2 |
BNYM I
S TRUST CO CUST SIMPLE IRA
C E R
INC
BRUCE
F MCKELDIN SR
222
CIRCLE RD
PASADENA
MD 21122-6038 |
3,370.731 |
10.28% |
PGIM
Target Date 2030 Fund – Class R2 |
BNYM I
S TRUST CO CUST FBO
SAFE
HARBOR CHRISTIAN COUNSELING
NDFI
SIMPLE IRA
MICHELLE
LYNN MATTHEWS
2500
MOSTELLER ESTATE AVE SE
HICKORY
NC 28602 |
2,112.753 |
6.44% |
PGIM
Target Date 2030 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
155,348.730 |
100.00%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,409.158 |
66.55% |
PGIM
Target Date 2030 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
708.167 |
33.45% |
PGIM
Target Date 2030 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
400,928.286 |
80.22% |
PGIM
Target Date 2030 Fund – Class R5 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROLLOVER IRA OF
DAVID
BLANCHETT
2055
MANOR DR
LEXINGTON
KY 40502-2617 |
45,413.645 |
9.09% |
PGIM
Target Date 2030 Fund – Class R5 |
DAVID
BLANCHETT
SUBJECT
TO STA TOD RULES - NJ
2055
MANOR DR
LEXINGTON
KY 40502-2617 |
43,858.338 |
8.77% |
PGIM
Target Date 2030 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,783,155.159 |
70.83% |
PGIM
Target Date 2030 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
411,739.916 |
10.48% |
PGIM
Target Date 2035 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
2,048.911 |
42.77% |
PGIM
Target Date 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 |
1,411.333 |
29.46% |
PGIM
Target Date 2035 Fund – Class R1 |
MID
ATLANTIC TRUST COMPANY FBO
IRVINE
ADULT DAY HEALTH 401(K) PROF
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
1,330.566 |
27.77% |
PGIM
Target Date 2035 Fund – Class R2 |
MID
ATLANTIC TRUST COMPANY FBO
ITSC
SECURE SOLUTIONS, LLC 401(K) P
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
51,738.612 |
71.87% |
PGIM
Target Date 2035 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
104,294.019 |
100.00%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,459.528 |
80.33% |
PGIM
Target Date 2035 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
357.459 |
19.67% |
PGIM
Target Date 2035 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
96,891.707 |
85.04% |
PGIM
Target Date 2035 Fund – Class R5 |
HEIDI
B BARTELS
PERRY
J MEYER JTWROS
183
CREEKSIDE CT SE
SAINT
MICHAEL MN 55376-7535 |
10,737.048 |
9.42% |
PGIM
Target Date 2035 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,782,813.685 |
56.95% |
PGIM
Target Date 2035 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
407,146.443 |
13.00% |
PGIM
Target Date 2035 Fund – Class R6 |
MID
ATLANTIC TRUST COMPANY FBO
MATC
OMNIBUS DIV REINVEST LTCG - RE
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
185,983.181 |
5.94% |
PGIM
Target Date 2040 Fund – Class R1 |
MID
ATLANTIC TRUST COMPANY FBO
IRVINE
ADULT DAY HEALTH 401(K) PROF
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
3,058.612 |
54.61% |
PGIM
Target Date 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 |
1,381.536 |
24.67% |
PGIM
Target Date 2040 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
687.878 |
12.28% |
PGIM
Target Date 2040 Fund – Class R1 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
472.835 |
8.44% |
PGIM
Target Date 2040 Fund – Class R2 |
ASCENSUS
TRUST COMPANY FBO
SAMY'S
OC 401(K) PLAN 259620
P.O.
BOX 10758
FARGO,
ND 58106 |
7,230.483 |
27.08% |
PGIM
Target Date 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 |
5,206.314 |
19.50%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 2040 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROLLOVER IRA OF
MARK E
MULLENIX
21659
FAIRFIELD PL
STRONGSVILLE
OH 44149-9236 |
3,831.418 |
14.35% |
PGIM
Target Date 2040 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
80,942.581 |
100.00% |
PGIM
Target Date 2040 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
4,946.548 |
77.60% |
PGIM
Target Date 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 |
1,428.212 |
22.40% |
PGIM
Target Date 2040 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
628,166.365 |
97.84% |
PGIM
Target Date 2040 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,423,110.262 |
61.23% |
PGIM
Target Date 2040 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
147,154.348 |
6.33% |
PGIM
Target Date 2040 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
143,231.512 |
6.16% |
PGIM
Target Date 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 |
1,437.780 |
60.36% |
PGIM
Target Date 2045 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
944.226 |
39.64% |
PGIM
Target Date 2045 Fund – Class R2 |
MID
ATLANTIC TRUST COMPANY FBO
ITSC
SECURE SOLUTIONS, LLC 401(K) P
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
43,777.097 |
54.83% |
PGIM
Target Date 2045 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROTH IRA OF
CINDY
A KELLER
8336
OAKVIEW CIR
LENEXA
KS 66215-5382 |
6,911.087 |
8.66%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
5,599.707 |
7.01% |
PGIM
Target Date 2045 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
2,349.267 |
100.00% |
PGIM
Target Date 2045 Fund – Class R4 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,415.440 |
61.87% |
PGIM
Target Date 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 |
1,488.706 |
38.13% |
PGIM
Target Date 2045 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
88,771.187 |
91.07% |
PGIM
Target Date 2045 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
710,975.997 |
36.52% |
PGIM
Target Date 2045 Fund – Class R6 |
MID
ATLANTIC TRUST COMPANY FBO
MATC
OMNIBUS DIV REINVEST LTCG - RE
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
459,347.594 |
23.59% |
PGIM
Target Date 2045 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
209,409.520 |
10.76% |
PGIM
Target Date 2045 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
115,696.433 |
5.94% |
PGIM
Target Date 2045 Fund – Class R6 |
AMERICAN
UNITED LIFE INSURANCE
GROUP
RETIREMENT ANNUITY SEP ACT II
PO BOX
368
INDIANAPOLIS
IN 46206-0368 |
110,776.850 |
5.69% |
PGIM
Target Date 2045 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
104,476.689 |
5.37% |
PGIM
Target Date 2045 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
102,202.849 |
5.25% |
PGIM
Target Date 2050 Fund – Class R1 |
MID
ATLANTIC TRUST COMPANY FBO
IRVINE
ADULT DAY HEALTH 401(K) PROF
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
4,403.305 |
61.56%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,389.422 |
19.42% |
PGIM
Target Date 2050 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
1,331.964 |
18.62% |
PGIM
Target Date 2050 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROLLOVER IRA OF
KAREN
M DECOOL
808
SOLANA DR
LAFAYETTE
CA 945495004 |
10,905.799 |
31.69% |
PGIM
Target Date 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 |
2,921.284 |
8.49% |
PGIM
Target Date 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 |
2,128.511 |
6.19% |
PGIM
Target Date 2050 Fund – Class R2 |
BNYM I
S TRUST CO CUST FBO
JOHN
MARION NDFI SIMPLE IRA
CAROLINE
ROEHM
6903
KINSMAN DR
SYLVANIA
OH 43560 |
2,105.302 |
6.12% |
PGIM
Target Date 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 |
2,084.464 |
6.06% |
PGIM
Target Date 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 |
847.783 |
45.97% |
PGIM
Target Date 2050 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
834.581 |
45.25% |
PGIM
Target Date 2050 Fund – Class R3 |
JEREMY
KIRCH
1350
TALBOT AVE
JACKSONVILLE
FL 32205-7759 |
133.580 |
7.24% |
PGIM
Target Date 2050 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
7,572.997 |
84.06%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,436.121 |
15.94% |
PGIM
Target Date 2050 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
136,911.053 |
96.26% |
PGIM
Target Date 2050 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
354,147.884 |
36.78% |
PGIM
Target Date 2050 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
125,953.120 |
13.08% |
PGIM
Target Date 2050 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
101,142.738 |
10.51% |
PGIM
Target Date 2050 Fund – Class R6 |
AMERICAN
UNITED LIFE INSURANCE
GROUP
RETIREMENT ANNUITY SEP ACT II
PO BOX
368
INDIANAPOLIS
IN 46206-0368 |
83,347.525 |
8.66% |
PGIM
Target Date 2050 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
79,885.527 |
8.30% |
PGIM
Target Date 2050 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
73,356.349 |
7.62% |
PGIM
Target Date 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 |
1,632.292 |
97.45% |
PGIM
Target Date 2055 Fund – Class R2 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
33,882.647 |
55.86% |
PGIM
Target Date 2055 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
6,378.054 |
86.88% |
PGIM
Target Date 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 |
963.185 |
13.12% |
PGIM
Target Date 2055 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
3,069.912 |
64.65%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,678.293 |
35.35% |
PGIM
Target Date 2055 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
62,677.233 |
94.25% |
PGIM
Target Date 2055 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
131,782.816 |
22.64% |
PGIM
Target Date 2055 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
83,359.063 |
14.32% |
PGIM
Target Date 2055 Fund – Class R6 |
AMERICAN
UNITED LIFE INSURANCE
GROUP
RETIREMENT ANNUITY SEP ACT II
PO BOX
368
INDIANAPOLIS
IN 46206-0368 |
79,485.859 |
13.66% |
PGIM
Target Date 2055 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
66,991.268 |
11.51% |
PGIM
Target Date 2055 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
35,820.366 |
6.16% |
PGIM
Target Date 2055 Fund – Class R6 |
MID
ATLANTIC TRUST COMPANY FBO
MATC
OMNIBUS DIV REINVEST LTCG - RE
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
35,256.224 |
6.06% |
PGIM
Target Date 2055 Fund – Class R6 |
MATRIX
TRUST COMPANY AS CUST FBO
HAWKINS
RX, LLC. 401(K) PLAN
PO BOX
52129
PHOENIX
AZ 850722129 |
32,656.263 |
5.61% |
PGIM
Target Date 2055 Fund – Class R6 |
VRSCO
FBO
AIGFSB CUST TTEE FBO
HENDRY
COUNTY HOSPITAL 401A
2727-A
ALLEN PARKWAY, 4-D1
HOUSTON,
TX 77019 |
30,297.411 |
5.21% |
PGIM
Target Date 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 |
1,336.830 |
46.18% |
PGIM
Target Date 2060 Fund – Class R1 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
830.999 |
28.71% |
PGIM
Target Date 2060 Fund – Class R1 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
726.803 |
25.11%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 2060 Fund – Class R2 |
MID
ATLANTIC TRUST COMPANY FBO
ITSC
SECURE SOLUTIONS, LLC 401(K) P
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
10,237.938 |
26.55% |
PGIM
Target Date 2060 Fund – Class R2 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROTH IRA OF
KATHERINE
R HANCOCK
13120
NE 203RD PL
WOODINVILLE
WA 98072-5716 |
2,898.680 |
7.52% |
PGIM
Target Date 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 |
2,048.743 |
5.31% |
PGIM
Target Date 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 |
2,014.921 |
5.23% |
PGIM
Target Date 2060 Fund – Class R3 |
MATRIX
TRUST COMPANY CUSTODIAN FBO
HUNTER
ENGINEERING COMPANY NONQUALI
PO BOX
52129
PHOENIX
AZ 850722129 |
3,870.123 |
100.00% |
PGIM
Target Date 2060 Fund – Class R4 |
STATE
STREET BANK AND TRUST TTEE
AND/OR
CUSTODIAN
(FBO)
ADP ACCESS PRODUCT
1
LINCOLN ST
BOSTON
MA 02111-2901 |
1,595.089 |
53.63% |
PGIM
Target Date 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 |
1,379.115 |
46.37% |
PGIM
Target Date 2060 Fund – Class R5 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
72,168.846 |
95.25% |
PGIM
Target Date 2060 Fund – Class R6 |
MID
ATLANTIC TRUST COMPANY FBO
MATC
OMNIBUS DIV REINVEST LTCG - RE
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
158,790.670 |
34.39% |
PGIM
Target Date 2060 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
73,919.132 |
16.01% |
PGIM
Target Date 2060 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
56,475.773 |
12.23% |
PGIM
Target Date 2060 Fund – Class R6 |
AMERICAN
UNITED LIFE INSURANCE
GROUP
RETIREMENT ANNUITY SEP ACT II
PO BOX
368
INDIANAPOLIS
IN 46206-0368 |
49,219.984 |
10.66% |
PGIM
Target Date 2060 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
499
WASHINGTON BLVD
JERSEY
CITY, NJ 07310 |
49,109.346 |
10.63%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 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 |
1,155.155 |
92.39% |
PGIM
Target Date 2065 Fund – Class R1 |
MID
ATLANTIC TRUST COMPANY FBO
IRVINE
ADULT DAY HEALTH 401(K) PROF
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
95.178 |
7.61% |
PGIM
Target Date 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 |
5,460.588 |
28.51% |
PGIM
Target Date 2065 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 |
5,093.799 |
26.59% |
PGIM
Target Date 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 |
1,164.054 |
6.08% |
PGIM
Target Date 2065 Fund – Class R3 |
ASCENSUS
TRUST COMPANY FBO
ETHIOGIRL
INC INDIVIDUAL 401K PLAN
524764
P.O.
BOX 10758
FARGO,
ND 58106 |
2,314.331 |
66.38% |
PGIM
Target Date 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 |
1,172.245 |
33.62% |
PGIM
Target Date 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 |
1,178.080 |
100.00% |
PGIM
Target Date 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 |
1,182.641 |
83.61% |
PGIM
Target Date 2065 Fund – Class R5 |
KIRK M
LEBECK C/F
ELI M
LEBECK UGMA IA
2457
WILLOW BROOK DR
ASBURY
IA 52002 |
124.821 |
8.82% |
PGIM
Target Date 2065 Fund – Class R5 |
PRUDENTIAL
TRUST COMPANY
C/F
THE ROTH IRA OF
JACQUELINE
CRUZ REID
726
CASCADE DR N
MOUNT
LAUREL NJ 08054-0000 |
97.498 |
6.89%
|
Principal
Fund Shareholders (as of September 11, 2024) | |||
Fund
Name and Share Class |
Shareholder
Name and Address |
No.
of Shares |
%
of Class |
PGIM
Target Date 2065 Fund – Class R6 |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
16,267.686 |
53.81% |
PGIM
Target Date 2065 Fund – Class R6 |
NATIONAL
FINANCIAL SERVICES LLC
FOR
EXCLUSIVE BENEFIT OF
OUR
CUSTOMERS
ATTN
MUTUAL FUNDS DEPT 4TH FLOOR
499
WASHINGTON BLVD
JERSEY
CITY NJ 07310 |
4,879.927 |
16.14% |
PGIM
Target Date 2065 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFIT CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
4,156.004 |
13.75% |
PGIM
Target Date 2065 Fund – Class R6 |
EMPOWER
TRUST FBO
EMPLOYEE
BENEFITS CLIENTS 401K
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
3,063.961 |
10.13% |
Control
Persons (as of September 11, 2024) | |||
Fund
Name |
Shareholder
Name and Address |
No.
of Shares |
%
of Fund |
PGIM
Target Date Income Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,059,245.175 |
64.17% |
PGIM
Target Date 2015 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
806,126.897 |
85.60% |
PGIM
Target Date 2020 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,387,296.467 |
73.72% |
PGIM
Target Date 2025 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,738,367.285 |
63.99% |
PGIM
Target Date 2030 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
2,783,155.159 |
60.17% |
PGIM
Target Date 2035 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,782,813.685 |
52.03% |
PGIM
Target Date 2040 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
1,423,110.262 |
46.14%
|
Control
Persons (as of September 11, 2024) | |||
Fund
Name |
Shareholder
Name and Address |
No.
of Shares |
%
of Fund |
PGIM
Target Date 2045 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
710,975.997 |
33.35% |
PGIM
Target Date 2050 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
354,147.884 |
30.62% |
PGIM
Target Date 2060 Fund |
MID
ATLANTIC TRUST COMPANY FBO
MATC
OMNIBUS DIV REINVEST LTCG - RE
1251
WATERFRONT PLACE, SUITE 525
PITTSBURGH,
PA 15222 |
158,790.670 |
27.13% |
PGIM
Target Date 2065 Fund |
EMPOWER
TRUST FBO
GREAT
WEST IRA ADVANTAGE
C/O
FASCORE LLC
8515 E
ORCHARD RD 2T2
GREENWOOD
VILLAGE CO 80111 |
16,267.686 |
28.78% |