PGIM HIGH YIELD R6 - BOND FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2021 to Q3 2025

Type / Class
Equity / BOND FUNDS
Price per share
$4.89
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
9,806,619
Total reported value
$47,856,309
% of total 13F portfolios
0%
Share change
+485
Value change
+$2,393
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 9,806,619 shares of PGIM HIGH YIELD R6 - BOND FUNDS.

Institutional Holders of PGIM HIGH YIELD R6 - BOND FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 9,806,619 $47,856,309 +$2,393 $4.89 2
2025 Q2 9,806,137 $47,559,767 +$29 $4.85 2
2025 Q1 9,806,134 $46,677,200 -$14,688 $4.76 2
2024 Q4 9,809,211 $46,789,936 +$15,496 $4.77 3
2024 Q3 9,805,962 $47,853,096 -$80,463 $4.88 1
2024 Q2 9,823,081 $46,168,485 +$2,002 $4.70 2
2024 Q1 9,822,655 $46,461,161 +$78,960 $4.73 2
2023 Q4 9,805,962 $46,480,261 $0 $4.74 1
2023 Q3 9,816,310 $44,468,009 +$818 $4.54 2
2023 Q2 9,816,130 $45,056,367 +$47,000 $4.61 2
2023 Q1 9,805,962 $45,107,426 -$376,030 $4.60 1
2022 Q4 82,826 $376,029 -$65,401 $4.54 1
2022 Q3 97,488 $436,000 +$79,205 $4.47 2
2022 Q2 79,765 $368,000 +$5,739 $4.61 1
2022 Q1 78,521 $405,000 -$76,311 $5.16 1
2021 Q4 92,421 $507,000 +$87,386 $5.48 2
2021 Q3 76,441 $427,000 -$123,418 $5.52 2
2021 Q2 98,471 $550,000 +$137,735 $5.59 2
2021 Q1 73,855 $410,000 +$409,999 $5.55 1