Objective

Current income consistent with the preservation of capital and the maintenance of liquidity by investing in short-term, high quality money market instruments, such as debt obligations issued by the US Government, its agencies and instrumentalities, as well as commercial paper, asset-backed securities, funding agreements, variable rate demand notes, bills, notes and other obligations issued by banks, corporations and other companies (including trust structures), obligations issued by foreign banks, companies or foreign governments, and municipal bonds and notes. PGIM Institutional Money Market Fund is not available for purchase by the public. The Fund is only available for purchase by investment companies managed by PGIM Investments.

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.

Date
Shadow NAV ($)
08/21/2025 0.9994
08/20/2025 0.9994
08/19/2025 0.9994
08/18/2025 0.9994
08/15/2025 0.9993
08/14/2025 0.9994
08/13/2025 0.9994
08/12/2025 0.9994
08/11/2025 0.9994
08/08/2025 0.9993
08/07/2025 0.9994
08/06/2025 0.9994
08/05/2025 0.9994
08/04/2025 0.9994
08/01/2025 0.9993
07/31/2025 0.9993
07/30/2025 0.9993
07/29/2025 0.9993
07/28/2025 0.9993
07/25/2025 0.9993
07/24/2025 0.9993
07/23/2025 0.9993
07/22/2025 0.9993
07/21/2025 0.9993
07/18/2025 0.9993
07/17/2025 0.9993
07/16/2025 0.9993
07/15/2025 0.9993
07/14/2025 0.9993
07/11/2025 0.9993
07/10/2025 0.9993
07/09/2025 0.9993
07/08/2025 0.9993
07/07/2025 0.9993
07/03/2025 0.9992
07/02/2025 0.9993
07/01/2025 0.9993
06/30/2025 0.9993
06/27/2025 0.9993
06/26/2025 0.9993
06/25/2025 0.9993
06/24/2025 0.9993
06/23/2025 0.9993
06/20/2025 0.9992
06/18/2025 0.9993
06/17/2025 0.9993
06/16/2025 0.9993
06/13/2025 0.9992
06/12/2025 0.9993
06/11/2025 0.9993
06/10/2025 0.9993
06/09/2025 0.9993
06/06/2025 0.9992
06/05/2025 0.9993
06/04/2025 0.9993
06/03/2025 0.9993
06/02/2025 0.9993
05/30/2025 0.9992
05/29/2025 0.9993
05/28/2025 0.9993
05/27/2025 0.9993
05/23/2025 0.9992
05/22/2025 0.9993
05/21/2025 0.9993
05/20/2025 0.9993
05/19/2025 0.9993
05/16/2025 0.9993
05/15/2025 0.9993
05/14/2025 0.9993
05/13/2025 0.9993
05/12/2025 0.9993
05/09/2025 0.9992
05/08/2025 0.9993
05/07/2025 0.9993
05/06/2025 0.9993
05/05/2025 0.9993
05/02/2025 0.9992
05/01/2025 0.9993
04/30/2025 0.9993
04/29/2025 0.9992
04/28/2025 0.9993
04/25/2025 0.9992
04/24/2025 0.9992
04/23/2025 0.9992
04/22/2025 0.9992
04/21/2025 0.9992
04/17/2025 0.9991
04/16/2025 0.9992
04/15/2025 0.9992
04/14/2025 0.9992
04/11/2025 0.9992
04/10/2025 0.9993
04/09/2025 0.9993
04/08/2025 0.9994
04/07/2025 0.9994
04/04/2025 0.9993
04/03/2025 0.9994
04/02/2025 0.9994
04/01/2025 0.9994
03/31/2025 0.9994
03/28/2025 0.9993
03/27/2025 0.9994
03/26/2025 0.9994
03/25/2025 0.9994
03/24/2025 0.9994
03/21/2025 0.9993
03/20/2025 0.9994
03/19/2025 0.9994
03/18/2025 0.9994
03/17/2025 0.9994
03/14/2025 0.9993
03/13/2025 0.9994
03/12/2025 0.9994
03/11/2025 0.9994
03/10/2025 0.9994
03/07/2025 0.9993
03/06/2025 0.9994
03/05/2025 0.9994
03/04/2025 0.9994
03/03/2025 0.9994
02/28/2025 0.9993
02/27/2025 0.9994
02/26/2025 0.9994
02/25/2025 0.9994
02/24/2025 0.9994
02/21/2025 0.9993

Shadow NAV refers to the market-based NAV of the portfolio.

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.

Date
Daily Liquid Assets (%)
08/21/2025 35.52
08/20/2025 35.39
08/19/2025 40.02
08/18/2025 41.18
08/15/2025 37.86
08/14/2025 37.98
08/13/2025 38.99
08/12/2025 39.64
08/11/2025 42.33
08/08/2025 35.68
08/07/2025 36.20
08/06/2025 35.61
08/05/2025 39.78
08/04/2025 40.38
08/01/2025 33.89
07/31/2025 33.58
07/30/2025 35.48
07/29/2025 39.08
07/28/2025 41.95
07/25/2025 40.23
07/24/2025 35.10
07/23/2025 36.70
07/22/2025 38.83
07/21/2025 42.00
07/18/2025 43.92
07/17/2025 44.69
07/16/2025 44.56
07/15/2025 44.48
07/14/2025 45.09
07/11/2025 40.67
07/10/2025 42.58
07/09/2025 41.90
07/08/2025 42.98
07/07/2025 44.66
07/03/2025 40.94
07/02/2025 42.74
07/01/2025 43.80
06/30/2025 45.94
06/27/2025 42.05
06/26/2025 40.59
06/25/2025 41.54
06/24/2025 43.63
06/23/2025 42.19
06/20/2025 38.88
06/18/2025 43.31
06/17/2025 44.18
06/16/2025 45.47
06/13/2025 42.22
06/12/2025 43.20
06/11/2025 38.81
06/10/2025 42.06
06/09/2025 45.55
06/06/2025 41.08
06/05/2025 41.72
06/04/2025 42.47
06/03/2025 42.83
06/02/2025 47.43
05/30/2025 40.67
05/29/2025 39.31
05/28/2025 40.60
05/27/2025 43.79
05/23/2025 48.32
05/22/2025 41.32
05/21/2025 41.06
05/20/2025 42.35
05/19/2025 45.02
05/16/2025 40.32
05/15/2025 40.91
05/14/2025 38.51
05/13/2025 39.04
05/12/2025 45.34
05/09/2025 34.74
05/08/2025 38.86
05/07/2025 40.51
05/06/2025 41.73
05/05/2025 51.10
05/02/2025 38.81
05/01/2025 40.42
04/30/2025 39.08
04/29/2025 37.40
04/28/2025 46.82
04/25/2025 37.90
04/24/2025 38.10
04/23/2025 38.62
04/22/2025 39.06
04/21/2025 45.68
04/17/2025 38.43
04/16/2025 40.47
04/15/2025 41.55
04/14/2025 47.34
04/11/2025 43.46
04/10/2025 44.23
04/09/2025 44.99
04/08/2025 42.67
04/07/2025 51.68
04/04/2025 42.09
04/03/2025 40.39
04/02/2025 40.75
04/01/2025 39.02
03/31/2025 48.41
03/28/2025 37.93
03/27/2025 36.40
03/26/2025 39.90
03/25/2025 39.25
03/24/2025 46.23
03/21/2025 39.24
03/20/2025 40.23
03/19/2025 44.21
03/18/2025 40.86
03/17/2025 49.03
03/14/2025 40.10
03/13/2025 40.22
03/12/2025 42.18
03/11/2025 41.97
03/10/2025 47.11
03/07/2025 41.54
03/06/2025 42.80
03/05/2025 45.03
03/04/2025 46.31
03/03/2025 50.64
02/28/2025 45.95
02/27/2025 47.93
02/26/2025 48.75
02/25/2025 50.15
02/24/2025 52.30
02/21/2025 47.85

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.

Date
Weekly Liquid Assets (%)
08/21/2025 52.37
08/20/2025 51.26
08/19/2025 53.23
08/18/2025 51.88
08/15/2025 53.64
08/14/2025 54.37
08/13/2025 53.95
08/12/2025 50.62
08/11/2025 51.71
08/08/2025 51.60
08/07/2025 52.16
08/06/2025 51.07
08/05/2025 51.96
08/04/2025 51.48
08/01/2025 51.75
07/31/2025 52.99
07/30/2025 51.52
07/29/2025 53.52
07/28/2025 53.29
07/25/2025 53.90
07/24/2025 53.08
07/23/2025 52.06
07/22/2025 52.06
07/21/2025 54.23
07/18/2025 55.05
07/17/2025 54.19
07/16/2025 53.74
07/15/2025 54.13
07/14/2025 53.46
07/11/2025 51.75
07/10/2025 53.49
07/09/2025 51.77
07/08/2025 51.13
07/07/2025 52.61
07/03/2025 52.51
07/02/2025 53.52
07/01/2025 53.27
06/30/2025 52.71
06/27/2025 53.87
06/26/2025 51.57
06/25/2025 53.69
06/24/2025 54.38
06/23/2025 54.42
06/20/2025 54.11
06/18/2025 55.06
06/17/2025 53.61
06/16/2025 53.08
06/13/2025 54.70
06/12/2025 55.21
06/11/2025 52.96
06/10/2025 53.90
06/09/2025 53.98
06/06/2025 54.11
06/05/2025 52.08
06/04/2025 52.35
06/03/2025 52.09
06/02/2025 53.22
05/30/2025 53.28
05/29/2025 51.98
05/28/2025 52.46
05/27/2025 53.72
05/23/2025 53.19
05/22/2025 52.32
05/21/2025 52.62
05/20/2025 52.95
05/19/2025 52.56
05/16/2025 52.54
05/15/2025 52.64
05/14/2025 54.29
05/13/2025 53.44
05/12/2025 53.68
05/09/2025 52.67
05/08/2025 53.27
05/07/2025 53.43
05/06/2025 54.31
05/05/2025 56.30
05/02/2025 54.42
05/01/2025 54.85
04/30/2025 55.04
04/29/2025 52.11
04/28/2025 51.91
04/25/2025 51.77
04/24/2025 52.28
04/23/2025 52.21
04/22/2025 52.24
04/21/2025 52.71
04/17/2025 52.74
04/16/2025 53.33
04/15/2025 55.33
04/14/2025 56.42
04/11/2025 56.90
04/10/2025 57.99
04/09/2025 58.04
04/08/2025 57.16
04/07/2025 60.29
04/04/2025 57.69
04/03/2025 56.37
04/02/2025 56.26
04/01/2025 55.54
03/31/2025 57.50
03/28/2025 55.06
03/27/2025 53.24
03/26/2025 53.55
03/25/2025 54.29
03/24/2025 53.90
03/21/2025 53.57
03/20/2025 54.18
03/19/2025 54.09
03/18/2025 53.34
03/17/2025 54.57
03/14/2025 53.34
03/13/2025 53.52
03/12/2025 54.20
03/11/2025 55.24
03/10/2025 53.74
03/07/2025 53.69
03/06/2025 55.02
03/05/2025 54.14
03/04/2025 55.83
03/03/2025 55.31
02/28/2025 55.02
02/27/2025 57.02
02/26/2025 56.86
02/25/2025 58.98
02/24/2025 57.45
02/21/2025 57.39

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.

Date
Net Inflows/Outflows ($)
08/21/2025 47,358,044.63
08/20/2025 -322,801,094.85
08/19/2025 402,968,037.33
08/18/2025 -255,377,580.24
08/15/2025 -122,086,615.85
08/14/2025 22,215,766.95
08/13/2025 381,802,092.66
08/12/2025 -244,526,334.02
08/11/2025 49,630,368.78
08/08/2025 -91,939,123.88
08/07/2025 200,862,537.99
08/06/2025 -152,542,897.46
08/05/2025 341,418,688.57
08/04/2025 -264,225,064.67
08/01/2025 -163,751,623.40
07/31/2025 299,302,663.80
07/30/2025 -272,238,120.24
07/29/2025 -28,511,575.51
07/28/2025 161,980,628.23
07/25/2025 417,472,953.30
07/24/2025 -61,638,943.94
07/23/2025 -229,435,086.51
07/22/2025 -90,326,282.23
07/21/2025 -315,849,318.02
07/18/2025 353,304,239.21
07/17/2025 189,817,528.03
07/16/2025 788,506.38
07/15/2025 142,980,622.88
07/14/2025 354,598,568.83
07/11/2025 -350,038,964.14
07/10/2025 185,370,951.63
07/09/2025 240,047,270.02
07/08/2025 -97,755,357.37
07/07/2025 84,149,787.86
07/03/2025 -288,191,061.61
07/02/2025 223,601,487.02
07/01/2025 -104,389,191.42
06/30/2025 -365,686,611.23
06/27/2025 457,548,574.44
06/26/2025 -213,272,236.27
06/25/2025 112,736,896.48
06/24/2025 -16,711,803.67
06/23/2025 -16,638,321.64
06/20/2025 -131,310,441.30
06/18/2025 38,583,003.04
06/17/2025 198,996,902.67
06/16/2025 -413,496,510.77
06/13/2025 -132,222,978.40
06/12/2025 232,059,983.54
06/11/2025 -48,066,931.23
06/10/2025 -284,047,438.97
06/09/2025 266,547,046.09
06/06/2025 82,475,731.56
06/05/2025 -120,353,249.73
06/04/2025 394,366,807.88
06/03/2025 -40,153,765.11
06/02/2025 21,685,435.05
05/30/2025 263,749,522.42
05/29/2025 -173,660,663.22
05/28/2025 -34,791,698.66
05/27/2025 333,872,432.88
05/23/2025 -56,092,721.91
05/22/2025 -196,698,802.13
05/21/2025 253,386,509.07
05/20/2025 11,482,525.74
05/19/2025 -96,432,118.17
05/16/2025 289,094,453.18
05/15/2025 -180,406,463.24
05/14/2025 180,563,351.91
05/13/2025 -48,606,256.22
05/12/2025 160,236,838.67
05/09/2025 -113,657,346.05
05/08/2025 -295,460,397.74
05/07/2025 -258,298,265.33
05/06/2025 -240,675,253.04
05/05/2025 506,775,945.18
05/02/2025 -186,076,889.36
05/01/2025 206,184,946.47
04/30/2025 385,418,243.07
04/29/2025 -244,769,390.25
04/28/2025 -182,681,860.56
04/25/2025 -201,504,918.82
04/24/2025 -19,050,820.81
04/23/2025 63,263,910.52
04/22/2025 -220,402,944.91
04/21/2025 -118,902,342.12
04/17/2025 -121,211,894.40
04/16/2025 -145,997,400.32
04/15/2025 445,727,069.46
04/14/2025 34,118,378.52
04/11/2025 9,059,045.13
04/10/2025 222,797,083.57
04/09/2025 140,959,093.79
04/08/2025 -154,539,792.14
04/07/2025 171,413,291.28
04/04/2025 195,579,452.01
04/03/2025 -49,342,379.20
04/02/2025 108,075,371.61
04/01/2025 -85,164,739.38
03/31/2025 369,740,022.71
03/28/2025 110,210,443.81
03/27/2025 -275,535,147.60
03/26/2025 -223,694,192.42
03/25/2025 43,796,913.48
03/24/2025 62,638,139.03
03/21/2025 -105,963,478.76
03/20/2025 -33,842,217.41
03/19/2025 223,697,621.11
03/18/2025 -353,769,765.87
03/17/2025 229,947,128.12
03/14/2025 -64,557,829.40
03/13/2025 -135,860,410.45
03/12/2025 -216,395,842.54
03/11/2025 161,641,090.63
03/10/2025 -29,141,073.27
03/07/2025 -52,783,442.91
03/06/2025 154,488,635.83
03/05/2025 -201,379,686.93
03/04/2025 255,511,424.81
03/03/2025 110,603,250.42
02/28/2025 -242,742,333.99
02/27/2025 228,093,131.43
02/26/2025 -256,467,372.59
02/25/2025 488,428,466.22
02/24/2025 39,576,635.68
02/21/2025 -80,085,822.69
FUND INFORMATION
Style: Money Market
Total Net Assets: $10.483 Billion
  •  Dividends:  Accrued daily, paid monthly, if any.
  •  Cap. Gains: Paid annually, if any.
Characteristics
Weighted Average Maturity (WAM)
Weighted Average Life (WAL)
07/31/2025 16.0 67.0
06/30/2025 19.0 60.0
05/31/2025 20.0 58.0
04/30/2025 21.0 64.0
03/31/2025 16.0 56.0
02/28/2025 20.0 57.0

WAM - Weighted Average Maturity - A dollar-weighted average of the portfolio’s days to maturity that treats certain adjustable rate securities as having maturities equaling to the securities’ next interest rate readjustment date.

WAL - Weighted Average Life - A dollar-weighted average of the portfolio’s days to maturity that is based on each security's final legal maturity date or, when relevant, the date of the next demand feature when the fund may receive payment of principal and interest.

________________________________________________________________________________________________________________________________________________

 

You could lose money by investing in the 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 is not required to reimburse the Fund for losses, and you should not expect that the sponsor will provide financial support to the Fund at any time, including during periods of market stress.

The purchase of any investment product is not a condition to the provision or term of any banking service or activity.

Risks of investing in the fund include but are not limited to the following: Fixed Income investments are subject to credit, market, prepayment and interest rate risks, and their value will decline as interest rates rise. The value of adjustable and floating rate securities may lag behind the value of fixed rate securities when interest rates change and may be subject to extended settlement periods. Mortgage-backed and asset-backed securities tend to increase in value less than other debt securities when interest rates decline, but are subject to a similar risk of decline in market value during periods of rising interest rates. The Fund is subject to fixed income obligations and municipal bonds risk, where the Fund's holdings, share price, yield and total return may fluctuate in response to bond market movements and municipal bond market movements. 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. Not all US Government and Agency Securities are backed by the full and credit of the United States. Foreign securities are subject to currency fluctuations and political uncertainty. The Fund is subject to Yield Risk as the amount of income received by the Fund will go up or down depending on day-to-day variations in short-term interest rates, and when interest rates are very low the Fund’s expenses could absorb all or a significant portion of the Fund’s income. The Fund is subject to Cyber Security Risk as failures or breaches of the electronic systems of the Fund, or systems on which the Fund depends, have the ability to cause disruptions and negatively impact the Fund's business operations, potentially resulting in financial losses. There is no guarantee the Fund's objective will be achieved. Risks are more fully explained in the fund's prospectus.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Fixed Income is a unit of PGIM, a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly owned subsidiary of PGIM, Inc. (PGIM), the principal asset management business of Prudential Financial, Inc. (PFI), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Fixed Income, PGIM Limited, 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. Clients seeking information regarding their particular investment needs should contact their financial professional.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other information about the fund. For more information about a fund, click on the prospectus link above. Read it carefully before investing.

Investment Products are not insured by the FDIC or any federal government agency, are not a deposit of or guaranteed by any bank or any bank affiliate, and may lose value.

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4368843    Ed. 04/2025