Liquidation: PRUDENTIAL INVESTMENT PORTFOLIOS, INC. 15
Form Type: N-CSRS
Filing Date: 2025-04-25
Corporate Action: Liquidation
Type: Update
Accession Number: 000119312525096190
Filing Summary: The document details the semiannual shareholder report for Prudential Investment Portfolios, Inc. 15, specifically for the PGIM ESG High Yield Fund for the reporting period ending February 28, 2025. On December 4, 2024, the Board of Directors approved a proposal to liquidate the Fund, which was executed on March 11, 2025. The fund reported assets of approximately $26.36 million, with a portfolio turnover rate of 37% and cash/cash equivalents accounting for 99.4% of its holdings. The report also outlines the fund’s costs, key statistics, and characteristics related to credit quality. The standard reporting metrics include percentages for various credit ratings.
Additional details:
Report Date: 2025-02-28
Net Assets: 26355009
Portfolio Turnover Rate: 37%
Comments
No comments yet. Be the first to comment!