05/27/2026 | Press release | Distributed by Public on 05/27/2026 09:33
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PGIM AAA CLO Aggregate Duration ETF
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Ticker Symbol: AAAD
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Listing Exchange: NYSE Arca, Inc.
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The Securities and Exchange Commission
("SEC") has not approved or disapproved the
Fund's shares, nor has the SEC determined
that this prospectus is complete or accurate.
It is a criminal offense to state otherwise.
Exchange-traded funds are distributed by
Prudential Investment Management Services
LLC ("PIMS"), member SIPC. PGIM Credit is
an investment group of PGIM, Inc. and PGIM
Limited, each of which is a registered
investment adviser. PIMS, PGIM, Inc. and
PGIM Limited are Prudential Financial
companies. © 2026 Prudential Financial, Inc.
and its related entities. The Prudential logo
and the Rock symbol are service marks of
Prudential Financial, Inc. and its related
entities, registered in many jurisdictions
worldwide.
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3
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FUND SUMMARY
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3
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INVESTMENT OBJECTIVE
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3
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FUND FEES AND EXPENSES
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3
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INVESTMENTS, RISKS AND PERFORMANCE
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10
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MANAGEMENT OF THE FUND
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10
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BUYING AND SELLING FUND SHARES
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10
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TAX INFORMATION
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10
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PAYMENTS TO BROKER-DEALERS AND OTHER FINANCIAL INTERMEDIaries
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12
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MORE ABOUT THE FUND'S PRINCIPAL AND NON-PRINCIPAL INVESTMENT STRATEGIES, INVESTMENTS AND RISKS
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12
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INVESTMENT STRATEGIES AND INVESTMENTS
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16
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RISKS OF INVESTING IN THE FUND
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25
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HOW THE FUND IS MANAGED
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25
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BOARD OF TRUSTEES
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25
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MANAGER
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25
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SUBADVISERS
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26
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PORTFOLIO MANAGERS
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26
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DISTRIBUTOR
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27
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DISCLOSURE OF PORTFOLIO HOLDINGS
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28
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FUND DISTRIBUTIONS AND TAX ISSUES
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28
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DISTRIBUTIONS
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28
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TAX ISSUES
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30
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TAXES WHEN SHARES ARE SOLD
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31
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HOW TO BUY AND SELL SHARES
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35
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FINANCIAL HIGHLIGHTS
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Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
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Management fee
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0.19%
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Distribution and service (12b-1) fees
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None
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Other expenses
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None
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Acquired Fund fees and expenses
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0.18%
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Total annual Fund operating expenses
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0.37%
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Fee waiver and/or expense reimbursement
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(0.18)%
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Total annual Fund operating expenses after fee waiver and/or expense reimbursement(1)
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0.19%
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Number of Years You Own Shares
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1 Year
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3 Years
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$19
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$61
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Investment Manager
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Subadvisers
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Portfolio Managers
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Title
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Service Date
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PGIM Investments LLC
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PGIM Credit*
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Edwin Wilches, CFA
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Managing Director
and Co-Head of PGIM
Credit's Securitized
Products Team
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May 2026
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Gabriel Rivera
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Managing Director
and Co-Head of PGIM
Credit's Securitized
Products Team
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May 2026
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Connor Byrnes
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Executive Director and
Portfolio Manager
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May 2026
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Principal Strategies: Investment Limits
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■ U.S. dollar-denominated CLOs that are, at the time of purchase, rated AAA (or equivalent) or other registered funds
(including ETFs) or collective investment vehicles that invest principally in CLOs rated AAA (or equivalent): At least 80% of
investable assets under normal circumstances
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Principal Strategies: Investment Limits
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■ U.S. dollar-denominated CLOs that are, at the time of purchase, rated below AAA but not less that A- (or equivalent): Up to
20% of investable assets
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Certain Non-Principal Strategies: Investment Limits
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■ Non-U.S. dollar denominated instruments: Up to 20% of investable assets
■ Derivatives: Up to 25% of total assets (subject to the Fund's operation under the requirements of Rule 18f-4 under 1940
Act)
■ Illiquid investments: Up to 15% of investable assets
■ Money market instruments: Up to 20% of investable assets under normal circumstances and up to 100% of investable
assets on a temporary basis
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Expected Distribution Schedule*
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Net Investment Income
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Monthly
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Short-Term Capital Gains
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Annually
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Long-Term Capital Gains
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Annually
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FOR MORE INFORMATION
Please read this Prospectus before you invest in the Fund and keep it for future reference. Information on the Fund's net asset
value, market price, premiums and discounts, and bid-ask spreads can be found at pgim.com/investments.
For information or shareholder questions contact:
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■ MAIL
PGIM Investments LLC
655 Broad Street, 6th Floor
Newark, NJ 07102
■ WEBSITE
pgim.com/investments
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■ TELEPHONE
(888) 247-8090
(973) 802-2093
(from outside the U.S.)
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■ E-DELIVERY
You may request e-delivery of Fund documents by contacting your financial intermediary directly or by going to
www.icsdelivery.com. Instead of receiving printed documents by mail, you will receive notification via email when new materials
are available. You can cancel your enrollment or change your email address at any time by visiting the website address above.
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The Annual and Semi-Annual Reports, Form N-CSR, and the SAI contain additional information about the Fund. In Form N-CSR,
you will find the Fund's annual and semi-annual financial statements. Shareholders may obtain free copies of the SAI, Annual
Report and Semi-Annual Report as well as other information about the Fund such as Fund financial statements and may make
other shareholder inquiries through the telephone number, address and website listed above.
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■ STATEMENT OF ADDITIONAL INFORMATION (SAI)
(incorporated by reference into this Prospectus)
■ SEMI-ANNUAL REPORT
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■ ANNUAL REPORT
(contains a discussion of the market conditions and
investment strategies that significantly affected the Fund's
performance during the last fiscal year)
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You can also obtain copies of Fund documents, including the SAI, from the Securities and Exchange Commission as follows (the
SEC charges a fee to copy documents):
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■ ELECTRONIC REQUEST
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■ VIA THE INTERNET
on the EDGAR Database at www.sec.gov
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PGIM AAA CLO Aggregate Duration ETF
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Ticker Symbol
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AAAD
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Listing Exchange
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NYSE Arca, Inc.
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