PAB

PGIM Active Aggregate Bond ETF (PAB)

About PGIM Active Aggregate Bond ETF (PAB)

The Fund invests, under normal circumstances, at least 80 percent of the Fund's investable assets in bonds. For purposes of this policy, bonds include all fixed income securities, including but not limited to debt obligations issued by the U.S. Government and its agencies, corporate debt securities, mortgage-related securities and asset-backed securities (including collateralized debt obligations and collateralized loan obligations). In pursuit of this policy, the Fund may invest a large percentage of its investable assets in securities included in the Bloomberg US Aggregate Bond Index (the Index). The Index invests in a wide spectrum of public, investment-grade, taxable, fixed income securities in the United States including government, corporate, and international U.S. dollar-denominated bonds, as well as mortgage-backed and asset-backed securities, all with maturities of more than 1 year. The Fund is not sponsored by or affiliated with Bloomberg. The term investable assets refers to the Fund's net assets plus any borrowings for investment purposes. The Fund's investable assets will be less than its total assets to the extent that it has borrowed money for non-investment purposes, such as to meet anticipated redemptions. The Fund is an actively managed exchange-traded fund (ETF) and therefore does not seek to replicate the performance of any specific index.

Details

Daily high
$42.34
Daily low
$42.33
Price at open
$42.33
52 Week High
$43.68
52 Week Low
$40.74
Market cap
63.5M
Dividend yield
4.14%
Volume
2,022
Avg. volume
4,203
P/E ratio
--
30-Day SEC yield
4.47%
Expense Ratio (gross)
0.19%

PGIM Active Aggregate Bond ETF News

Details

Daily high
$42.34
Daily low
$42.33
Price at open
$42.33
52 Week High
$43.68
52 Week Low
$40.74
Market cap
63.5M
Dividend yield
4.14%
Volume
2,022
Avg. volume
4,203
P/E ratio
--
30-Day SEC yield
4.47%
Expense Ratio (gross)
0.19%

Exchange Traded Funds (ETFs): Investors should carefully consider the information contained in the prospectus, which contains the Fund’s investment objectives, risks, charges, expenses, and other relevant information. You may obtain a prospectus from the Fund company’s website. Please read the prospectus carefully prior to investing.

Shares of ETFs must be bought and sold at market price, which can vary significantly from the Fund’s net asset value (NAV). Investment returns are subject to market volatility and shares may be worth more or less their original value when redeemed. The diversification of an ETF will not protect against loss. An ETF may not achieve its stated investment objective. Rebalancing and other activities within the fund may be subject to tax consequences.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment returns and principal value of an investment will fluctuate and when redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the standardized performance data quoted. Select the Standardized Performance link for the latest quarterly performance.