PGIM Investments Mutual Funds Performance Review

PGIM Investments Mutual Funds Quarterly SEC Standardized Performance

 
Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost. The current maximum sales charges that may be applied to the funds listed below are Class A, 5.5%; Class B, 5.0%; and Class C, 1.0%.  
 
 
 
 
Share Class  
A
B
C
I
Q
R
R2
R4
Z
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Get Historical Performance
Average Annual Total Returns as of 11/30/2017Total Return
(Without Sales Charges)
Total Return
(With Sales Charges)
Expense
Ratios (%)*
FundClass

Ticker

Incep
Date
Qtrly. SEC
Returns
CYPYTD
12/14/17
1-
Year
3-
Year
5-
Year
10-
Year
Life 1-
Year
3-
Year
5-
Year
10-
Year
Life Gross NetDate
  Asset Allocation
BalancedAPIBAX11/96view view 13.1114.196.909.925.986.537.914.908.685.386.251.191.171/31/19
BalancedBPBFBX11/96view view 12.2513.396.179.145.245.788.395.309.005.245.782.142.121/31/19
BalancedCPABCX11/96view view 12.2513.396.179.165.245.7812.396.179.165.245.781.871.861/31/19
BalancedQPIBQX11/17view view 0.300.302.360.881/31/19
BalancedRPALRX12/04view view 12.7313.886.689.695.736.0213.886.689.695.736.023.121.631/31/19
BalancedZPABFX01/93view view 13.3514.577.2210.246.307.4214.577.2210.246.307.420.900.881/31/19
Lipper Mixed-Asset Target Alloc Growth Funds16.036.189.265.288.0016.036.189.265.288.00
Conservative AllocationAJDUAX03/04view view 10.3011.224.285.564.685.395.102.344.384.094.951.371.301/31/19
Conservative AllocationBJDABX03/04view view 9.5310.503.544.793.904.605.502.624.633.904.602.322.051/31/19
Conservative AllocationCJDACX03/04view view 9.4410.413.514.773.904.609.413.514.773.904.602.102.051/31/19
Conservative AllocationQJDAQX11/17view view 0.000.002.541.051/31/19
Conservative AllocationRJDARX01/07view view 10.0410.974.035.294.424.6710.974.035.294.424.6711.161.551/31/19
Conservative AllocationZJDAZX03/04view view 10.4611.534.585.834.955.6711.534.585.834.955.671.171.051/31/19
Lipper Mixed-Asset Target Alloc Conservative Funds9.043.674.804.164.659.043.674.804.164.65
Global Tactical AllocationAPTALX04/15view view 10.6910.562.824.480.622.661.506/30/18
Global Tactical AllocationCPTCLX04/15view view 9.909.872.078.872.073.362.256/30/18
Global Tactical AllocationQPTQLX04/15view view 10.8710.863.0510.863.052.171.256/30/18
Global Tactical AllocationZPTZLX04/15view view 10.9810.853.0910.853.092.361.256/30/18
Lipper Alternative Multi-Stategy Funds Average4.871.232.730.761.014.871.232.730.761.01
Growth AllocationAJDAAX03/04view view 19.1021.277.3210.575.106.9714.605.329.324.506.531.571.401/31/19
Growth AllocationBJDGBX03/04view view 18.2820.386.539.734.316.1815.385.649.594.316.182.552.151/31/19
Growth AllocationCJDGCX03/04view view 18.2520.356.529.744.326.1919.356.529.744.326.192.312.151/31/19
Growth AllocationQJDGQX11/17view view 0.320.322.681.151/31/19
Growth AllocationRJGARX01/07view view 18.7820.977.0810.294.855.1420.977.0810.294.855.1451.381.651/31/19
Growth AllocationZJDGZX03/04view view 19.4021.537.5610.825.357.2421.537.5610.825.357.241.931.151/31/19
Lipper Mixed-Asset Target Allocation Aggressive Growth Funds Average20.747.3710.965.016.5420.747.3710.965.016.54
Moderate AllocationAJDTAX03/04view view 14.5116.115.888.225.086.369.723.907.014.495.921.391.341/31/19
Moderate AllocationBJDMBX03/04view view 13.6115.155.067.404.295.5510.154.157.254.295.552.312.091/31/19
Moderate AllocationCJDMCX03/04view view 13.7015.155.097.404.295.5514.155.097.404.295.552.122.091/31/19
Moderate AllocationQJDTQX11/17view view 0.190.192.561.091/31/19
Moderate AllocationRJMARX01/07view view 14.2915.865.577.894.815.0715.865.577.894.815.0729.141.591/31/19
Moderate AllocationZJDMZX03/04view view 14.8016.366.148.505.346.6116.366.148.505.346.611.491.091/31/19
Lipper Mixed-Asset Target Alloc Growth Funds16.036.189.265.286.3416.036.189.265.286.34
  Equity
20/20APTWAX07/98view view 25.1826.959.9313.327.188.2919.977.8712.056.587.971.20
20/20BPTWBX07/98view view 24.2926.039.1512.546.437.5021.038.4412.436.437.501.90
20/20CPTWCX07/98view view 24.3726.009.1512.536.437.5025.009.1512.536.437.501.90
20/20QPJTQX03/11view view 25.6627.4210.3813.8010.8427.4210.3813.8010.840.77
20/20RJTWRX06/04view view 24.9426.699.7213.106.969.5526.699.7213.106.969.551.651.403/31/18
20/20ZPTWZX07/98view view 25.5427.3210.2413.667.508.5827.3210.2413.667.508.580.90
Lipper Large-Cap Growth Funds Average29.4811.1315.608.386.2429.4811.1315.608.386.24
S&P 500 Index22.8610.9015.738.306.4622.8610.9015.738.306.46
BlendAPBQAX01/90view view 19.6022.178.2513.136.479.2415.456.2311.865.879.020.95
BlendBPBQFX03/82view view 18.7721.267.4612.345.7210.4916.266.6612.215.7210.492.601.9112/31/19
BlendCPRECX08/94view view 18.7521.387.4912.345.737.6120.387.4912.345.737.611.73
BlendQPBQQX10/17view view 3.573.572.130.6812/31/19
BlendZPEQZX03/96view view 19.9222.528.5513.476.797.7522.528.5513.476.797.750.68
Lipper Multi-Cap Growth Funds Average27.8510.0414.948.058.3827.8510.0414.948.058.38
Russell 3000 Index22.2710.7515.638.438.8722.2710.7515.638.438.87
Defensive EquityAPAMGX11/98view view 15.6618.117.6911.025.856.4111.625.689.775.256.091.351.302/28/18
Defensive EquityBDMGBX11/98view view 14.7917.236.8910.215.055.6012.236.0110.075.055.602.05
Defensive EquityCPIMGX11/98view view 14.7917.236.8910.215.065.6016.236.8910.215.065.602.05
Defensive EquityQPAMQX12/16view view 16.0915.3715.370.90
Defensive EquityRSPMRX10/04view view 16.6519.097.8011.005.706.8619.097.8011.005.706.861.801.552/28/18
Defensive EquityZPDMZX11/98view view 15.9518.347.9311.306.116.6718.347.9311.306.116.671.05
S&P 500 Index22.8610.9015.738.306.4222.8610.9015.738.306.42
Russell 1000 Defensive Index22.3110.4314.938.546.8622.3110.4314.938.546.86
Diversified GrowthATBDAX11/99view view 22.8425.6810.4515.318.204.1918.778.3814.017.593.871.311.2611/30/19
Diversified GrowthBTBDBX11/99view view 21.7624.639.5914.427.373.4119.638.7514.317.373.413.152.2611/30/19
Diversified GrowthCTBDCX11/99view view 21.9724.719.6514.467.403.4223.719.6514.467.403.421.97
Diversified GrowthQTBDQX09/17view view 7.417.4116.281.0011/30/19
Diversified GrowthZTBDZX09/17view view 7.337.3316.431.0011/30/19
Lipper Large-Cap Core Funds Average21.219.2714.227.325.6021.219.2714.227.325.60
Russell 1000 Growth Index30.8113.1017.149.874.8630.8113.1017.149.874.86
Equity IncomeASPQAX04/04view view 14.9918.124.5910.877.188.1511.632.639.626.587.711.211.162/28/18
Equity IncomeBJEIBX04/04view view 14.0917.213.7910.046.387.3212.212.929.916.387.321.91
Equity IncomeCAGOCX12/97view view 14.0617.183.8010.066.396.7016.183.8010.066.396.701.91
Equity IncomeQPJIQX01/11view view 15.3318.564.9811.289.7618.564.9811.289.760.79
Equity IncomeRPJERX01/11view view 14.6517.774.3210.609.0917.774.3210.609.091.661.412/28/18
Equity IncomeZJDEZX08/08view view 15.2018.424.8511.179.4718.424.8511.179.470.91
Lipper Equity Income Funds Average16.447.6912.226.807.9116.447.6912.226.807.91
Lipper Equity Income Index17.858.4012.976.747.7217.858.4012.976.747.72
Equity OpportunityAPJIAX11/96view view 13.5014.978.5313.667.4910.088.656.5012.386.889.781.07
Equity OpportunityBPJIBX11/96view view 12.6814.127.7512.866.749.289.126.9312.746.749.282.212.031/31/20
Equity OpportunityCPJGCX11/96view view 12.7314.187.7712.886.759.2813.187.7712.886.759.281.80
Equity OpportunityQPJOQX11/14view view 13.8915.439.008.7715.439.008.770.72
Equity OpportunityRPJORX12/04view view 13.2114.678.2813.437.267.9114.678.2813.437.267.911.841.531/31/20
Equity OpportunityZPJGZX11/96view view 13.8415.348.8514.017.8310.3915.348.8514.017.8310.390.77
Lipper Multi-Cap Core Funds Average19.978.4513.856.948.0419.978.4513.856.948.04
S&P 500 Index22.8610.9015.738.308.4922.8610.9015.738.308.49
Focused GrowthASPFAX06/00view view 35.8534.8612.7916.719.964.3227.4410.6815.399.343.981.491.246/30/18
Focused GrowthBSPFBX06/00view view 34.7933.8311.9415.839.133.5428.8311.1515.729.133.542.191.996/30/18
Focused GrowthCSPFCX06/00view view 34.8333.8711.9515.829.143.5432.8711.9515.829.143.542.191.996/30/18
Focused GrowthQPSGQX05/12view view 36.1935.1713.0816.9814.4835.1713.0816.9814.481.010.996/30/18
Focused GrowthZSPFZX06/00view view 36.2135.1813.0516.9910.244.5935.1813.0516.9910.244.591.190.996/30/18
Lipper Large-Cap Growth Funds Average29.4811.1315.608.384.4529.4811.1315.608.384.45
Russell 1000 Growth Index30.8113.1017.149.874.3130.8113.1017.149.874.31
GrowthAPJFAX11/95view view 35.6935.4213.3617.459.668.6127.9711.2416.139.048.341.04
GrowthBPJFBX11/95view view 34.7634.4512.5616.638.907.8329.4511.7616.528.907.832.241.951/31/20
GrowthCPJFCX11/95view view 34.8134.4712.5616.648.927.8433.4712.5616.648.927.841.71
GrowthQPJFQX09/17view view 7.597.592.190.601/31/20
GrowthRPJGRX12/04view view 35.4435.1213.1317.219.469.5035.1213.1317.219.469.501.471.221/31/20
GrowthR2PJFOX11/17view view -1.07-1.072.691.101/31/20
GrowthR4PJFPX11/17view view -1.04-1.042.440.851/31/20
GrowthZPJFZX04/96view view 36.0935.8413.7017.819.998.9435.8413.7017.819.998.940.68
Lipper Large-Cap Growth Funds Average29.4811.1315.608.388.0729.4811.1315.608.388.07
Russell 1000 Growth Index30.8113.1017.149.878.2830.8113.1017.149.878.28
Large-Cap Core EquityAPTMAX03/99view view 21.4423.0910.2015.367.375.9316.328.1414.066.775.610.920.732/28/19
Large-Cap Core EquityBPTMBX03/99view view 20.5922.109.3514.476.585.1417.108.5014.356.585.141.621.482/28/19
Large-Cap Core EquityCPTMCX03/99view view 20.6122.229.3814.486.595.1521.229.3814.486.595.151.621.482/28/19
Large-Cap Core EquityQPTMQX12/16view view 21.8520.9220.920.490.352/28/19
Large-Cap Core EquityZPTEZX03/99view view 21.7323.3810.4715.627.646.2023.3810.4715.627.646.200.620.482/28/19
Lipper Large-Cap Core Funds Average21.219.2714.227.325.9121.219.2714.227.325.91
S&P 500 Index22.8610.9015.738.306.1422.8610.9015.738.306.14
Mid-Cap GrowthAPEEAX12/96view view 20.1321.957.0311.688.199.9815.245.0310.427.589.691.08
Mid-Cap GrowthBPEEBX12/96view view 19.2621.066.2710.897.439.1816.065.4910.757.439.182.031.9912/31/19
Mid-Cap GrowthCPEGCX12/96view view 19.3321.146.2910.907.439.1820.146.2910.907.439.181.72
Mid-Cap GrowthQPJGQX01/11view view 20.6822.557.5512.2111.0122.557.5512.2111.010.58
Mid-Cap GrowthRJDERX06/05view view 19.8821.756.8311.467.979.6921.756.8311.467.979.691.511.2612/31/19
Mid-Cap GrowthZPEGZX12/96view view 20.4822.337.3612.018.5110.2822.337.3612.018.5110.280.79
Lipper Mid-Cap Growth Funds Average24.339.3314.117.688.8724.339.3314.117.688.87
Russell Midcap Growth Index25.0310.0015.599.078.9925.0310.0015.599.078.99
Mid-Cap ValueASPRAX04/04view view 9.2511.117.5214.638.989.155.005.5113.348.378.701.341.202/28/18
Mid-Cap ValueBSVUBX04/04view view 8.4910.296.7213.788.198.345.295.8313.668.198.342.041.952/28/18
Mid-Cap ValueCNCBVX08/98view view 8.5210.336.7313.778.189.469.336.7313.778.189.462.041.952/28/18
Mid-Cap ValueQPMVQX01/11view view 9.7011.597.9715.1012.1811.597.9715.1012.180.890.802/28/18
Mid-Cap ValueRSDVRX11/14view view 9.0310.907.0210.907.021.791.452/28/18
Mid-Cap ValueZSPVZX11/05view view 9.5411.427.7914.929.278.7111.427.7914.929.278.711.040.952/28/18
Lipper Mid-Cap Value Funds Average13.617.6813.317.717.6613.617.6813.317.717.66
Russell Midcap Value Index13.958.8314.998.849.0413.958.8314.998.849.04
Rising DividendAPJDAX03/14view view 16.2519.667.349.2813.085.337.642.781.2411/30/18
Rising DividendCPJDCX03/14view view 15.3718.816.588.5017.816.588.503.971.9911/30/18
Rising DividendQPJDQX09/17view view 5.115.113.460.9911/30/18
Rising DividendZPJDZX03/14view view 16.4420.037.629.5820.037.629.582.080.9911/30/18
Lipper Equity Income Funds Average16.447.6912.226.808.8216.447.6912.226.808.82
S&P 500 Index22.8610.9015.738.3012.1922.8610.9015.738.3012.19
Small CompanyAPGOAX01/90view view 15.7720.528.8213.728.1810.5413.896.7912.447.5710.321.15
Small CompanyBCHNDX11/80view view 14.9219.608.0212.947.319.9214.607.3812.837.319.922.332.041/31/20
Small CompanyCPSCCX08/94view view 15.0019.628.0312.887.399.1518.628.0312.887.399.151.85
Small CompanyQPJSQX11/10view view 16.2721.129.3314.2312.1621.129.3314.2312.160.68
Small CompanyRJSCRX05/04view view 15.5920.298.6213.487.9310.0420.298.6213.487.9310.041.581.331/31/20
Small CompanyR2PSCHX11/17view view 0.750.752.791.181/31/20
Small CompanyR4PSCJX11/17view view 0.750.752.540.931/31/20
Small CompanyZPSCZX03/96view view 15.9220.739.1014.018.459.6920.739.1014.018.459.690.81
Lipper Small-Cap Growth Funds Average23.1810.2214.248.269.3523.1810.2214.248.269.35
Russell 2500 Index18.6810.4514.849.1210.1218.6810.4514.849.1210.12
Small-Cap ValueATSVAX02/14view view 3.8611.8110.239.755.668.178.131.121.0611/30/18
Small-Cap ValueCTRACX06/15view view 3.0810.959.789.959.781.891.8811/30/18
Small-Cap ValueQTSVQX09/14view view 4.2212.2310.6011.6012.2310.6011.600.64
Small-Cap ValueRTSVRX08/06view view 3.5811.549.9513.928.878.7211.549.9513.928.878.721.511.2511/30/18
Small-Cap ValueZTASVX01/93view view 4.1012.1310.5214.519.4211.8712.1310.5214.519.4211.870.710.7011/30/18
Lipper Small-Cap Value Funds Average13.198.7912.777.8910.3013.198.7912.777.8910.30
Russell 2000 Value Index13.3710.8914.168.1810.8213.3710.8914.168.1810.82
Stock IndexAPSIAX11/99view view 20.1722.2410.3615.167.815.0218.279.1514.407.454.830.600.531/31/19
Stock IndexCPSICX11/99view view 19.4521.459.6514.437.094.2820.459.6514.437.094.281.251.181/31/19
Stock IndexIPDSIX08/97view view 20.5822.6510.7315.558.187.0122.6510.7315.558.187.010.250.181/31/19
Stock IndexQPQSIX11/17view view 0.830.831.780.181/31/19
Stock IndexZPSIFX11/92view view 20.5122.5810.6815.488.129.4922.5810.6815.488.129.490.310.241/31/19
Lipper S&P 500 Index Funds Average22.2910.3515.137.749.5222.2910.3515.137.749.52
S&P 500 Index22.8610.9015.738.309.8022.8610.9015.738.309.80
Strategic ValueASUVAX03/01view view 13.1815.949.3514.836.666.139.567.3113.546.065.771.291.076/30/18
Strategic ValueBSUVBX03/01view view 12.2914.938.5113.955.875.349.937.7313.835.875.341.991.826/30/18
Strategic ValueCSUVCX03/01view view 12.3015.028.5413.985.865.3414.028.5413.985.865.341.991.826/30/18
Strategic ValueQSUVQX04/17view view 9.909.900.880.806/30/18
Strategic ValueRPRVRX06/15view view 12.9015.6110.6115.6110.611.741.326/30/18
Strategic ValueZSUVZX03/01view view 13.4516.289.6415.116.946.4016.289.6415.116.946.400.990.826/30/18
Lipper Multi-Cap Value Funds Average15.797.7413.396.526.8715.797.7413.396.526.87
Russell 1000 Value Index14.838.3514.176.847.3914.838.3514.176.847.39
ValueAPBEAX01/90view view 14.1316.844.8111.454.919.0010.412.8510.204.328.781.09
ValueBPBQIX01/87view view 13.3015.974.0610.684.188.0910.973.1810.544.188.092.912.0612/31/19
ValueCPEICX08/94view view 13.3615.984.0610.674.177.4714.984.0610.674.177.471.90
ValueQPJVQX10/11view view 14.6317.395.2611.9311.2417.395.2611.9311.240.79
ValueRJDVRX06/05view view 13.8916.584.5811.214.696.5616.584.5811.214.696.561.721.4712/31/19
ValueZPEIZX03/96view view 14.5017.165.1111.785.218.1017.165.1111.785.218.100.78
Lipper Large-Cap Value Funds Average16.537.9813.436.268.3416.537.9813.436.268.34
Russell 1000 Value Index14.838.3514.176.848.9814.838.3514.176.848.98

See Tax Efficient Returns for Prudential Stock Index Fund.

  Specialty
Financial ServicesAPFSAX06/99view view 21.5427.562.207.637.067.6520.540.296.426.467.321.42
Financial ServicesBPUFBX06/99view view 20.7426.681.496.896.336.8821.680.616.746.336.882.12
Financial ServicesCPUFCX06/99view view 20.7426.681.496.896.336.8825.681.496.896.336.882.12
Financial ServicesRPSSRX02/12view view 21.2927.272.017.437.7727.272.017.437.771.871.623/31/18
Financial ServicesZPFSZX06/99view view 21.9127.962.517.957.407.9527.962.517.957.407.951.12
Lipper Global Financial Services Funds Average20.1311.6415.724.675.7620.1311.6415.724.675.76
S&P 1500 Financials Index23.7614.3618.773.764.1923.7614.3618.773.764.19
Global InfrastructureAPGJAX09/13view view 17.8322.364.088.6515.632.137.191.791.502/28/18
Global InfrastructureCPGJCX09/13view view 16.9321.413.307.8220.413.307.822.492.252/28/18
Global InfrastructureQPGJQX12/16view view 18.1819.6619.661.401.252/28/18
Global InfrastructureZPGJZX09/13view view 18.1422.654.348.9022.654.348.901.491.252/28/18
Lipper Global Infrastructure Funds Average19.964.539.092.777.7519.964.539.092.777.75
S&P Global Infrastructure Index23.585.348.982.587.9623.585.348.982.587.96
Global Real EstateAPURAX05/98view view 10.4812.973.366.343.158.386.761.435.142.578.071.24
Global Real EstateBPURBX05/98view view 9.7812.182.655.612.437.597.181.705.452.437.591.94
Global Real EstateCPURCX05/98view view 9.7812.232.655.612.437.5911.232.655.612.437.591.94
Global Real EstateQPGRQX08/13view view 11.0313.523.846.7913.523.846.790.79
Global Real EstateRPURRX06/08view view 10.2912.733.146.144.3812.733.146.144.381.691.442/28/18
Global Real EstateZPURZX05/98view view 10.8313.333.676.673.468.6813.333.676.673.468.680.94
Lipper Global Real Estate Funds Average12.864.136.923.007.4412.864.136.923.007.44
Health SciencesAPHLAX06/99view view 27.8126.646.1719.2214.2115.4919.674.1917.8813.5715.141.17
Health SciencesBPHLBX06/99view view 26.9225.745.4318.4013.4114.6620.744.7118.2913.4114.661.87
Health SciencesCPHLCX06/99view view 26.9825.755.4318.4013.4214.6624.755.4318.4013.4214.661.87
Health SciencesQPHLQX01/16view view 28.2827.1217.1427.1217.140.75
Health SciencesRPJHRX02/12view view 27.5526.405.9718.9918.5326.405.9718.9918.531.621.373/31/18
Health SciencesZPHSZX06/99view view 28.1826.996.4919.5814.5515.8126.996.4919.5814.5515.810.87
Lipper Health/Biotechnology Funds Average24.006.7217.9012.2211.1724.006.7217.9012.2211.17
S&P 1500 Healthcare Index24.338.6918.1111.148.0524.338.6918.1111.148.05
Income BuilderAPCGAX11/98view view 7.329.113.205.294.395.324.201.634.323.915.071.420.952/28/18
Income BuilderBPBCFX11/98view view 6.628.242.434.493.614.543.241.654.353.614.542.121.702/28/18
Income BuilderCPCCFX11/98view view 6.518.242.434.493.614.547.242.434.493.614.542.121.702/28/18
Income BuilderQPCGQX12/16view view 7.567.237.231.010.702/28/18
Income BuilderRPCLRX10/04view view 6.978.852.955.034.144.888.852.955.034.144.881.871.202/28/18
Income BuilderZPDCZX11/98view view 7.629.433.475.544.665.599.433.475.544.665.591.120.702/28/18
Lipper Flexible Portfolio Funds Average13.153.986.254.266.3113.153.986.254.266.31
Bloomberg Barclays U.S. Aggregate Bond Index3.212.111.983.994.783.212.111.983.994.78
S&P 500 Index22.8610.9015.738.306.4222.8610.9015.738.306.42
Large-Cap Core Equity PLUSAPQMAX09/17view view 6.000.174.121.707/31/19
Large-Cap Core Equity PLUSCPQMCX09/17view view 5.804.804.872.457/31/19
Large-Cap Core Equity PLUSQPQMQX09/17view view 6.006.002.171.457/31/19
Large-Cap Core Equity PLUSZPQMZX09/17view view 6.006.003.871.457/31/19
Long-Short EquityAPLHAX05/14view view 7.769.606.397.663.574.405.942.422.267/31/18
Long-Short EquityCPLHCX05/14view view 6.968.815.636.867.815.636.863.123.017/31/18
Long-Short EquityQPLHQX05/17view view 6.266.262.021.917/31/18
Long-Short EquityZPLHZX05/14view view 8.049.976.697.959.976.697.952.122.017/31/18
Lipper Alternative Long/Short Equity Fund10.323.956.513.754.0410.323.956.513.754.04
S&P 500 Index22.8610.9015.738.3011.8722.8610.9015.738.3011.87
MLPAPRPAX12/13view view -5.43-7.55-9.71-3.85-12.64-11.39-5.213.343.273/31/18
MLPCPRPCX12/13view view -6.08-8.27-10.39-4.57-9.13-10.39-4.574.044.023/31/18
MLPZPRPZX12/13view view -5.26-7.36-9.45-3.60-7.36-9.45-3.603.043.023/31/18
Lipper Energy MLP Funds Average-7.36-11.61-2.61-6.71-7.36-11.61-2.61-6.71
Alerian MLP Index-6.83-12.42-1.615.64-7.21-6.83-12.42-1.615.64-7.21
Natural ResourcesAPGNAX01/90view view -2.83-2.99-3.74-3.76-3.438.06-8.32-5.54-4.84-3.987.841.25
Natural ResourcesBPRGNX09/87view view -3.49-3.69-4.42-4.44-4.117.13-8.45-5.38-4.63-4.117.131.95
Natural ResourcesCPNRCX08/94view view -3.46-3.65-4.41-4.43-4.107.90-4.61-4.41-4.43-4.107.901.95
Natural ResourcesQPJNQX12/10view view -2.40-2.57-3.29-3.33-5.53-2.57-3.29-3.33-5.530.77
Natural ResourcesRJNRRX08/06view view -3.03-3.19-3.93-3.95-3.62-0.02-3.19-3.93-3.95-3.62-0.021.701.452/28/18
Natural ResourcesZPNRZX09/96view view -2.52-2.69-3.45-3.47-3.148.12-2.69-3.45-3.47-3.148.120.95
Lipper Global Natural Resources Funds Average4.76-1.88-0.13-4.026.454.76-1.88-0.13-4.026.45
Lipper Global Natural Resources Index1.170.200.59-2.321.170.200.59-2.32
Real AssetsAPUDAX12/10view view 3.564.58-0.810.481.30-1.17-2.66-0.650.471.821.182/28/18
Real AssetsBPUDBX12/10view view 2.853.72-1.58-0.280.55-1.28-2.54-0.460.552.521.932/28/18
Real AssetsCPUDCX12/10view view 2.853.83-1.55-0.260.552.83-1.55-0.260.552.521.932/28/18
Real AssetsQPUDQX01/15view view 3.844.82-0.494.82-0.491.440.852/28/18
Real AssetsZPUDZX12/10view view 3.884.84-0.570.731.564.84-0.570.731.561.520.932/28/18
Lipper Flexible Portfolio Funds Average13.153.986.254.265.6513.153.986.254.265.65
Bloomberg Barclays U.S. TIPS Index1.971.36-0.183.422.821.971.36-0.183.422.82
Real Estate IncomeAPRKAX06/15view view 6.859.653.983.621.655.061.352/28/18
Real Estate IncomeCPRKCX06/15view view 6.008.853.207.853.205.762.102/28/18
Real Estate IncomeQPRKQX12/16view view 7.168.668.664.741.102/28/18
Real Estate IncomeZPRKZX06/15view view 7.169.924.229.924.224.761.102/28/18
Lipper Global Real Estate Funds Average12.864.136.923.004.3012.864.136.923.004.30
Select Real EstateASREAX08/14view view 10.5014.235.265.967.953.294.174.931.302/28/18
Select Real EstateCSRECX08/14view view 9.6013.264.405.1212.264.405.125.632.052/28/18
Select Real EstateQSREQX08/14view view 10.6414.475.486.1914.475.486.194.301.052/28/18
Select Real EstateZSREZX08/14view view 10.6914.475.526.2214.475.526.224.631.052/28/18
Lipper Global Real Estate Funds Average12.864.136.923.004.4112.864.136.923.004.41
US Real EstateAPJEAX12/10view view 5.7710.584.849.019.344.492.887.798.451.831.257/31/18
US Real EstateBPJEBX12/10view view 5.049.874.068.218.554.943.278.068.552.532.007/31/18
US Real EstateCPJECX12/10view view 5.049.804.068.208.528.824.068.208.522.532.007/31/18
US Real EstateQPJEQX05/17view view 4.814.811.461.007/31/18
US Real EstateZPJEZX12/10view view 6.0410.955.119.299.6110.955.119.299.611.531.007/31/18
Lipper Real Estate Funds Average10.025.489.166.239.7210.025.489.166.239.72
FTSE NAREIT Equity REITs Index10.406.3510.326.9110.6510.406.3510.326.9110.65
UtilityAPRUAX01/90view view 15.9722.875.8713.035.5410.3016.113.8911.764.9410.080.85
UtilityBPRUTX08/81view view 15.3222.025.1412.254.8112.1117.024.3412.124.8112.111.55
UtilityCPCUFX08/94view view 15.2522.065.1312.254.819.6821.065.1312.254.819.681.55
UtilityRJDURX08/06view view 15.8022.645.6612.815.337.3522.645.6612.815.337.351.301.053/31/18
UtilityZPRUZX03/96view view 16.3923.196.1813.375.8610.6423.196.1813.375.8610.640.55
Lipper Utility Funds Average22.707.0911.315.448.4822.707.0911.315.448.48
S&P 500 Utility Total Return Index25.3411.0114.067.018.1925.3411.0114.067.018.19
  Global/International Equity
Emerging Markets EquityAPDEAX09/14view view 37.8033.454.564.4226.112.612.603.891.452/28/18
Emerging Markets EquityCPDECX09/14view view 36.8732.473.773.6531.473.773.654.592.202/28/18
Emerging Markets EquityQPDEQX09/14view view 38.0433.724.824.6933.724.824.693.131.202/28/18
Emerging Markets EquityZPDEZX09/14view view 38.2133.874.804.6833.874.804.683.591.202/28/18
Lipper Emerging Markets Funds Average30.344.974.611.224.6530.344.974.611.224.65
MSCI Emerging Markets Index32.826.154.611.365.8532.826.154.611.365.85
Global OpportunitiesAPRJAX03/12view view 41.9641.9913.9015.6313.8634.1811.7814.3312.741.361.202/28/18
Global OpportunitiesCPRJCX03/12view view 41.0240.9313.0714.7913.0039.9313.0714.7913.002.061.952/28/18
Global OpportunitiesQPRJQX12/14view view 42.4042.4315.0042.4315.000.950.842/28/18
Global OpportunitiesZPRJZX03/12view view 42.3542.3814.1815.9314.1442.3814.1815.9314.141.060.952/28/18
MSCI All Country World Index24.648.0110.944.379.8624.648.0110.944.379.86
International EquityAPJRAX03/00view view 25.7028.464.727.430.230.2721.392.776.22-0.34-0.051.56
International EquityBPJRBX03/00view view 24.5627.363.996.67-0.49-0.4622.363.066.52-0.49-0.463.472.532/28/19
International EquityCPJRCX03/00view view 24.7227.373.996.68-0.48-0.4626.373.996.68-0.48-0.462.33
International EquityQPJRQX12/16view view 26.4027.5327.530.960.782/28/19
International EquityZPJIZX03/00view view 26.0428.725.067.750.500.5228.725.067.750.500.521.16
Lipper International Multi-Cap Core Funds Average26.536.058.031.553.2926.536.058.031.553.29
MSCI All Country World Index ex-US27.595.747.061.4727.595.747.061.47
International OpportunitiesAPWJAX06/12view view 46.3446.459.629.2411.3238.397.578.0110.181.711.152/28/18
International OpportunitiesCPWJCX06/12view view 45.2945.328.798.4310.4944.328.798.4310.492.411.902/28/18
International OpportunitiesQPWJQX12/15view view 46.7646.7715.5946.7715.591.350.842/28/18
International OpportunitiesRPWJRX11/17view view -1.19-1.19
International OpportunitiesZPWJZX06/12view view 46.7146.799.899.5211.5946.799.899.5211.591.410.902/28/18
Lipper International Multi-Cap Growth Funds Average29.186.788.171.8510.1429.186.788.171.8510.14
MSCI All Country World Index ex-US27.595.747.061.479.3727.595.747.061.479.37
  Taxable Fixed Income
Absolute Return BondAPADAX03/11view view 6.257.032.862.602.612.211.291.661.901.241.152/28/18
Absolute Return BondCPADCX03/11view view 5.396.232.101.851.865.232.101.851.861.991.902/28/18
Absolute Return BondQPADQX03/11view view 6.327.343.182.902.937.343.182.902.930.840.842/28/18
Absolute Return BondZPADZX03/11view view 6.387.273.112.852.877.273.112.852.870.990.902/28/18
Lipper Alternative Credit Focus Funds Average4.932.051.913.112.354.932.051.913.112.35
Core BondATPCAX02/15view view 3.863.542.16-1.120.480.890.7011/30/18
Core BondCTPCCX02/15view view 3.122.671.391.671.391.931.4511/30/18
Core BondQTPCQX02/15view view 4.153.852.453.852.450.470.4011/30/18
Core BondRTPCRX02/15view view 3.613.181.883.181.88145.410.9511/30/18
Core BondZTAIBX01/93view view 4.103.802.021.194.485.533.802.021.194.485.530.590.4511/30/18
Lipper Core Bond Funds Average3.371.951.873.805.243.371.951.873.805.24
Bloomberg Barclays U.S. Aggregate Bond Index3.212.111.983.995.483.212.111.983.995.48
Corporate BondAPCWAX05/15view view 6.075.964.161.192.272.460.8011/30/18
Corporate BondCPCWCX05/15view view 5.335.083.284.083.283.581.5511/30/18
Corporate BondQPCWQX05/15view view 6.326.134.306.134.30131.060.5511/30/18
Corporate BondRPCWRX05/15view view 5.735.603.795.603.79127.011.0511/30/18
Corporate BondZTGMBX01/93view view 6.336.133.893.085.015.626.133.893.085.015.621.410.5511/30/18
Lipper Corporate Debt Funds BBB-Rated Average5.793.032.975.025.715.793.032.975.025.71
Bloomberg Barclays US Credit Bond Index5.983.373.055.356.265.983.373.055.356.26
Emerging Markets Debt Hard CurrencyAPDHAX12/17view view
Emerging Markets Debt Hard CurrencyCPDHCX12/17view view
Emerging Markets Debt Hard CurrencyQPDHQX12/17view view
Emerging Markets Debt Hard CurrencyZPDHVX12/17view view
Lipper Emerging Market Hard Currency Debt Funds Average
Emerging Markets Debt Local CurrencyAEMDAX03/11view view 13.5616.11-0.40-1.88-0.4810.88-1.92-2.78-1.162.311.132/28/18
Emerging Markets Debt Local CurrencyCEMDCX03/11view view 12.5915.25-1.03-2.55-1.0614.25-1.03-2.55-1.063.061.882/28/18
Emerging Markets Debt Local CurrencyQEMDQX03/11view view 13.8016.330.05-1.48-0.0816.330.05-1.48-0.082.010.882/28/18
Emerging Markets Debt Local CurrencyZEMDZX03/11view view 13.8216.17-0.10-1.58-0.1516.17-0.10-1.58-0.152.060.882/28/18
Lipper Emerging Markets Local Currency Debt Funds Average13.88-0.42-1.762.740.0213.88-0.42-1.762.740.02
Floating Rate IncomeAFRFAX03/11view view 3.954.743.723.774.011.342.583.093.501.120.956/30/18
Floating Rate IncomeCFRFCX03/11view view 3.213.972.912.983.242.972.912.983.241.871.706/30/18
Floating Rate IncomeQPFRIX04/15view view 4.155.083.855.083.850.790.656/30/18
Floating Rate IncomeZFRFZX03/11view view 4.114.923.964.024.284.923.964.024.280.870.706/30/18
Lipper Loan Participation Funds Average4.363.183.383.663.544.363.183.383.663.54
Global Absolute Return BondAPAJAX11/15view view 12.4814.637.619.475.253.371.202/28/18
Global Absolute Return BondCPAJCX11/15view view 11.7313.726.7412.726.744.121.952/28/18
Global Absolute Return BondQPAJQX11/15view view 12.7814.957.8914.957.892.600.952/28/18
Global Absolute Return BondZPAJZX11/15view view 12.8914.957.8914.957.893.120.952/28/18
Lipper Alternative Credit Focus Funds Average4.932.051.913.113.804.932.051.913.113.80
Global Total ReturnAGTRAX07/86view view 12.5812.813.242.625.406.987.741.671.684.916.821.050.882/28/18
Global Total ReturnBPBTRX01/96view view 11.9711.992.491.844.624.586.991.541.664.624.581.801.632/28/18
Global Total ReturnCPCTRX01/96view view 11.9812.002.531.864.744.7011.002.531.864.744.701.801.632/28/18
Global Total ReturnQPGTQX02/12view view 12.9112.983.483.093.9112.983.483.093.910.670.582/28/18
Global Total ReturnZPZTRX03/97view view 12.9412.843.532.865.655.3012.843.532.865.655.300.800.632/28/18
Lipper Global Income Funds Average6.571.791.273.524.626.571.791.273.524.62
Bloomberg Barclays Global Aggregate Bond Index6.531.670.663.024.756.531.670.663.024.75
Global Total Return (USD Hedged)APHEAX12/17view view
Global Total Return (USD Hedged)CPHECX12/17view view
Global Total Return (USD Hedged)QPHEQX12/17view view
Global Total Return (USD Hedged)ZPHEZX12/17view view
Lipper Global Income Funds Average6.571.791.273.520.376.571.791.273.520.37
Bloomberg Barclays Global Aggregate (USD Hedged) Index
Government IncomeAPGVAX01/90view view 2.321.821.111.143.365.27-2.76-0.430.222.885.091.02
Government IncomeBPBGPX04/85view view 1.581.050.390.392.585.14-3.94-0.590.202.585.141.77
Government IncomeCPRICX08/94view view 1.580.950.360.392.654.16-0.050.360.392.654.161.77
Government IncomeQPGIQX08/16view view 2.752.27-0.612.27-0.610.59
Government IncomeRJDRVX05/04view view 2.071.560.890.893.103.321.560.890.893.103.321.521.276/30/18
Government IncomeZPGVZX03/96view view 2.561.961.361.403.614.631.961.361.403.614.630.77
Lipper General U.S. Government Funds Average1.790.910.802.894.201.790.910.802.894.20
Bloomberg Barclays Government Bond Index1.881.341.133.224.821.881.341.133.224.82
Bloomberg Barclays US Ag x Cr TRIX2.001.561.513.492.001.561.513.49
High YieldAPBHAX01/90view view 7.189.305.655.897.527.554.384.054.917.037.370.81
High YieldBPBHYX03/79view view 6.698.575.135.366.987.763.574.245.206.987.761.27
High YieldCPRHCX08/94view view 6.448.314.885.106.826.207.314.885.106.826.201.50
High YieldQPHYQX10/11view view 7.399.526.066.247.319.526.066.247.310.41
High YieldRJDYRX06/05view view 6.929.025.465.627.247.019.025.465.627.247.011.361.1112/31/18
High YieldZPHYZX03/96view view 7.459.385.956.177.816.649.385.956.177.816.640.54
Lipper High Yield Funds Average8.044.304.866.416.268.044.304.866.416.26
Bloomberg Barclays U.S. Corporate High Yield 1% Issuer Capped Index9.155.746.068.017.279.155.746.068.017.27
International BondAPXBAX12/16view view 6.776.972.151.950.992/28/18
International BondCPXBCX12/16view view 6.026.225.222.701.742/28/18
International BondQPXBQX12/16view view 7.027.227.221.660.742/28/18
International BondZPXBZX12/16view view 7.037.237.231.700.742/28/18
Lipper International Income Funds Average8.221.540.913.748.228.221.540.913.748.22
Bloomberg Barclays Global Aggregate ex US (USD hedged) Index2.823.193.754.252.822.823.193.754.252.82
Short Duration High Yield IncomeAHYSAX10/12view view 4.135.443.963.923.822.022.823.243.151.071.0012/31/18
Short Duration High Yield IncomeCHYSCX10/12view view 3.504.663.193.143.043.663.193.143.041.821.7512/31/18
Short Duration High Yield IncomeQHYSQX10/14view view 4.425.764.304.205.764.304.200.770.7012/31/18
Short Duration High Yield IncomeZHYSZX10/12view view 4.375.704.224.174.085.704.224.174.080.820.7512/31/18
Lipper High Yield Funds Average8.044.304.866.414.948.044.304.866.414.94
Short Duration Multi-Sector BondASDMAX12/13view view 3.343.682.021.980.310.901.131.270.852/28/18
Short Duration Multi-Sector BondCSDMCX12/13view view 2.722.911.291.251.911.291.252.021.602/28/18
Short Duration Multi-Sector BondQSDMQX12/13view view 3.593.832.272.243.832.272.240.920.602/28/18
Short Duration Multi-Sector BondZSDMZX12/13view view 3.904.142.372.304.142.372.301.020.602/28/18
Lipper Short/Intermediate Investment Grade Debt Funds Average1.881.291.162.931.571.881.291.162.931.57
Bloomberg Barclays U.S. Government/Credit 1-3 Year Index0.880.830.841.880.900.880.830.841.880.90
Short-Term Corporate BondAPBSMX09/89view view 1.931.941.581.493.425.08-1.370.460.823.084.960.77
Short-Term Corporate BondBPSMBX12/92view view 1.151.140.800.722.643.74-1.850.480.722.643.741.52
Short-Term Corporate BondCPIFCX08/94view view 1.201.180.820.732.723.870.190.820.732.723.871.52
Short-Term Corporate BondQPSTQX03/12view view 2.292.411.941.892.212.411.941.892.210.42
Short-Term Corporate BondRJDTRX05/04view view 1.661.671.321.233.163.281.671.321.233.163.281.271.024/30/18
Short-Term Corporate BondZPIFZX12/96view view 2.172.291.831.743.684.512.291.831.743.684.510.52
Lipper Short/Intermediate Investment Grade Debt Funds Average1.881.291.162.934.151.881.291.162.934.15
Bloomberg Barclays 1-5 Year US Credit Index2.361.811.833.504.722.361.811.833.504.72
Total Return BondAPDBAX01/95view view 6.276.113.133.105.646.071.341.562.155.155.860.800.762/28/18
Total Return BondBPRDBX01/95view view 5.845.592.622.575.125.460.591.662.395.125.461.551.262/28/18
Total Return BondCPDBCX01/95view view 5.525.402.362.334.945.464.402.362.334.945.461.551.512/28/18
Total Return BondQPTRQX12/10view view 6.636.413.483.455.066.413.483.455.060.43
Total Return BondRDTBRX01/08view view 6.015.912.872.845.385.912.872.845.381.301.012/28/18
Total Return BondZPDBZX09/96view view 6.556.403.413.365.895.896.403.413.365.895.890.550.512/28/18
Lipper Core Plus Bond Funds Average4.372.392.404.545.474.372.392.404.545.47
Bloomberg Barclays U.S. Aggregate Bond Index3.212.111.983.995.283.212.111.983.995.28
Unconstrained BondAPUCAX07/15view view 6.898.176.253.304.231.921.156/30/18
Unconstrained BondCPUCCX07/15view view 6.047.395.436.395.432.671.906/30/18
Unconstrained BondQPUCQX04/17view view 3.723.721.670.906/30/18
Unconstrained BondZPUCZX07/15view view 7.048.566.518.566.511.670.906/30/18
Lipper Alternative Credit Focus Funds Average4.932.051.913.112.744.932.051.913.112.74
  Tax-Exempt Fixed Income
California Muni IncomeAPBCAX12/90view view 5.215.302.562.484.275.651.091.181.653.855.490.90
California Muni IncomeBPCAIX12/93view view 4.884.972.292.224.014.64-0.031.352.044.014.641.541.4212/31/19
California Muni IncomeCPCICX08/94view view 4.464.511.811.713.584.453.511.811.713.584.451.68
California Muni IncomeQPCIQX10/17view view -0.14-0.142.200.7012/31/19
California Muni IncomeZPCIZX09/96view view 5.375.582.802.734.535.105.582.802.734.535.100.70
Lipper California Municipal Debt Funds Average5.943.052.884.294.625.943.052.884.294.62
Bloomberg Barclays Muni Bond Index5.582.792.554.385.055.582.792.554.385.05
Muni High IncomeAPRHAX01/90view view 7.737.594.163.754.925.603.282.762.914.505.450.87
Muni High IncomeBPMHYX09/87view view 7.387.223.883.484.665.752.222.953.314.665.751.12
Muni High IncomeCPHICX08/94view view 6.996.813.372.994.234.555.813.372.994.234.551.62
Muni High IncomeQPHIQX06/17view view 1.561.560.55
Muni High IncomeZPHIZX09/96view view 7.927.794.424.015.205.257.794.424.015.205.250.62
Lipper High Yield Municipal Debt Funds Average7.344.193.584.184.637.344.193.584.184.63
Bloomberg Barclays Muni Bond Index5.582.792.554.385.055.582.792.554.385.05
National MuniAPRNMX01/90view view 4.594.712.492.013.905.220.521.101.183.475.060.84
National MuniBPBHMX04/80view view 4.304.412.201.763.646.16-0.591.261.583.646.161.09
National MuniCPNMCX08/94view view 3.853.931.721.253.204.042.931.721.253.204.041.59
National MuniQPNMQX12/17view view
National MuniZDNMZX01/99view view 4.844.972.742.284.164.324.972.742.284.164.320.59
Lipper General Municipal Debt Funds Average5.322.672.273.933.925.322.672.273.933.92
Bloomberg Barclays Muni Bond Index5.582.792.554.384.655.582.792.554.384.65
Short Duration Muni High IncomeAPDSAX05/14view view 4.954.662.402.571.261.281.601.060.857/31/18
Short Duration Muni High IncomeCPDSCX05/14view view 4.203.781.641.772.781.641.771.811.607/31/18
Short Duration Muni High IncomeQPDSQX05/17view view 1.391.390.730.607/31/18
Short Duration Muni High IncomeZPDSZX05/14view view 5.204.822.622.804.822.622.800.810.607/31/18
Lipper High Yield Municipal Debt Funds Average7.344.193.584.184.637.344.193.584.184.63
  Money Market
Government Money MarketA**PBMXX06/76view 0.210.190.070.050.344.790.190.070.050.344.790.67
Government Money MarketA**MJAXX06/76view 0.210.190.070.050.344.790.190.070.050.344.790.67
Government Money MarketBMJBXX03/05view 0.230.210.080.050.371.190.210.080.050.371.190.74
Government Money MarketCMJCXX03/05view 0.250.230.080.060.371.190.230.080.060.371.190.67
Government Money MarketZPMZXX03/96view 0.330.300.110.070.382.190.300.110.070.382.190.44
 
 
 
Fund NameShare
Class

Ticker

Daily
Yield (%) 

12/14/17
7-Day Current
Yield (%)

12/14/17
30-Day Current
Yield (%)

12/14/17
NAV
($)

12/14/17
Weighted Average
Maturity (Days)

12/14/17
Total Net
Assets ($)

12/14/17
  Money Market
Government Money MarketA**PBMXX0.630.560.521.0031420,750,355
Government Money MarketA**MJAXX0.630.560.521.0031420,750,355
Government Money MarketBMJBXX0.570.500.471.003114,901,133
Government Money MarketCMJCXX0.630.560.521.003111,217,876
Government Money MarketZPMZXX0.820.750.711.003185,645,478
 
 
Average Annual Total Returns as of 11/30/2017Return After Taxes on Distributions
(With Sales Charges)
Return After Taxes on Distributions
and Sale of Fund Shares
(With Sales Charges)

Expense
Ratios (%)
FundClass

Ticker

Incep
Date
Qtrly. SEC
Returns
CYPYTD
12/14/17
1-
Year
3-
Year
5-
Year
10-
Year
Life1-
Year
3-
Year
5-
Year
10-
Year
LifeGross
NetDate*
After - Tax Returns
Stock IndexAPSIAX11/99view view 17.298.0213.606.934.4310.936.8611.415.933.850.600.531/31/19
Stock IndexCPSICX11/99view view 19.618.6613.776.684.0212.097.3011.485.663.441.251.181/31/19
Stock IndexIPDSIX08/97view view 21.559.5014.687.596.4713.478.0912.356.535.750.250.181/31/19
Stock IndexQPQSIX11/17view view 0.830.471.780.181/31/19
Stock IndexZPSIFX11/92view view 21.509.4614.637.548.8613.438.0512.306.488.080.310.241/31/19
 
 

The yield quotations more closely reflect the current earnings of the money market fund than the total return quotation.

You could lose money by investing in the money market fund. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund’s sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time.

The purchase of any investment product is not a condition to the provision or term of any banking service or activity. The guarantee on U. S. Government Securities applies only to the underlying securities of the Fund's portfolio and not to the value of the Fund's shares.

Mutual fund investing involves risks. Some mutual funds have more risks than others. The risks associated with each fund are explained more fully in each fund's respective prospectus or summary prospectus. The investment return and principal value will fluctuate and shares when sold may be worth more or less than the original cost. Fixed income investments are subject to interest rate risks, and their value will decline as interest rates rise. Asset Allocation does not assure a profit or protect against a loss in declining markets. There is no guarantee the Fund's objective will be achieved. Past performance is not a guarantee of future results.

Class R2 shares and Class R4 shares are only offered for sale to group retirement plans available through a retirement recordkeeper or third party administrator, and to retirement plans where Prudential serves as the retirement plan administrator or a third party serves as the retirement plan administrator. Important Note: Class R2 and Class R4 shares are not available for purchase until on or about June 1, 2018. 

Class Q and Z shares may be available to group retirement plans and institutional investors through certain retirement, mutual fund wrap and asset allocation programs, and to institutions at an investment minimum of $5,000,000. Performance by share class may vary. Other share classes, which contain either a sales load or a contingent deferred sales charge, are also available. These expenses could lower total fund return. Please see the prospectus for additional information about fees, expenses and investor eligibility requirements.

For new funds and share classes, the performance data featured represents past performance for a period of less than one year. While past performance is never an indication of future results, short periods of performance may be particularly unrepresentative of long-term performance for certain types of funds.

Source: PGIM, Inc. (PGIM). Please read each funds' current prospectus or summary prospectus for more detailed information regarding sales charge structure. Total return describes the return to the investor after maximum sales charges are imposed. All returns assume share price changes, as well as the compounding effect of reinvested dividends and capital gains. Returns may reflect fee waivers and/or expense reimbursements. Without such, returns would be lower. All data is unaudited and subject to change. After-tax returns are calculated using the highest historical individual federal marginal income tax rates and exclude state and local taxes. Actual after-tax returns depend on an investor's tax situation. Returns shown do not apply to shares held in tax-deferred arrangements (i.e., 401(k), IRAs).

Click on the fund name and navigate to the Fund Profile and click on the Prices & Performance tab for Benchmark and Lipper definitions.

*The Date represents the contractual reduction date through which the net expense ratio is in effect. Expense figures for the Prudential Conservative, Moderate, and Growth Allocation Funds include a weighted average of the net operating expenses of the underlying funds in which the Fund invests. Such expenses, annualized, amounted to less than 0.01% for each share class. Gross operating expenses for Prudential Long-Short Equity Fund include dividends paid on stock sold short, which are required to be disclosed as an expense ("dividend expense on short positions") and broker fees and expenses on short sales. The dividend expense on short positions will be substantially offset by market value gains on the day the dividends are announced. Without the inclusion of dividend expense on short positions and broker fees and expenses on short sales, the net expense ratios would be: Prudential Long-Short Equity Fund – Class A, 1.50%; Class C, 2.25%; Class Q, 1.15; Class Z, 1.25%. Prudential Jennison MLP Fund: Gross operating expenses: Class A, 3.34%; Class C, 4.04%; Class Z, 3.04%. Net operating expenses after deferred income tax expense, which is reflected in the Fund’s daily net asset value per share, and contractual reduction through 3/31/2018: Class A, 3.27%; Class C, 4.02%; Class Z, 3.02%. Net operating expenses before deferred income tax expense: Class A, 1.51%; Class C, 2.26%; Class Z, 1.26%. 


**Nasdaq symbol PBMXX is for Class A purchase only. Nasdaq symbol MJAXX are for Class A exchange only. The total net assets for Class A are shown twice.

Due to the Fund's repositioning, prior performance is not attributable to current investment strategies as of these dates for the following funds: Prudential Corporate Bond Fund (5/28/15), Prudential Core Bond Fund (2/17/15), Prudential Income Builder Fund (9/23/14), and Prudential Small Cap Value Fund (1/15/15).

Class B shares are generally closed to new investors and will not accept subsequent purchases from existing shareholders. Please see a Fund’s current prospectus, as amended from time to time, for additional information.

Consider a fund’s investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the fund name above to view/download a prospectus or summary prospectus. Read them carefully before investing.

Mutual funds are distributed by Prudential Investment Management Services LLC, a Prudential Financial company and member SIPC. Jennison Associates and PGIM, Inc. (PGIM) are registered investment advisors and Prudential Financial companies. QMA is the primary business name of Quantitative Management Associates LLC, a wholly owned subsidiary of PGIM. PGIM Fixed Income and PGIM Real Estate are units of PGIM. Jennison Associates, Jennison, PGIM Real Estate, QMA, Quantitative Management Associates, PGIM and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation about managing or investing your retirement savings. Clients seeking information regarding their particular investment needs should contact a financial professional.

Prudential Financial, Inc. of the United States is not affiliated with Prudential plc. which is headquartered in the United Kingdom.

0232836-00071-00  Ed.12/2017
 

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Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost. The current maximum sales charges that may be applied to the funds listed below are Class A, 5.5%; Class B, 5.0%; and Class C, 1.0%.