PGIM, INC.
CRD #105676 SEC #801-22808 NEWARK, NJ 973-367-6335
SEC Registered Private Funds
Total AUM
$1T
Discretionary
$1T
Employees
1,750
Clients
--
Accounts
927
| Fund Name | Type | GAV | Investors | Auditor |
|---|---|---|---|---|
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA VARIABLE CONTRACT ACCOUNT GI-200-3-CLO | Other Private Fund | $402.9M | 1 | -- |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA VARIABLE CONTRACT ACCOUNT GI-100-3-LONGCORP | Hedge Fund | $402.9M | 3 | -- |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA VARIABLE CONTRACT ACCOUNT GI-200-3-CLO | Other Private Fund | $402.9M | 1 | -- |
| DRYDEN 113 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 113 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 113 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 105 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 105 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 105 CLO LTD | Securitized Asset Fund | $400.8M | 0 | -- |
| DRYDEN 102 CLO, LTD | Securitized Asset Fund | $399.9M | 0 | -- |
| DRYDEN 102 CLO, LTD | Securitized Asset Fund | $399.9M | 0 | -- |
| DRYDEN 102 CLO, LTD | Securitized Asset Fund | $399.9M | 0 | -- |
| WINDHILL CLO 2, LTD | Securitized Asset Fund | $396.4M | 0 | -- |
| WINDHILL CLO 2, LTD | Securitized Asset Fund | $396.4M | 0 | -- |
| WINDHILL CLO 2, LTD | Securitized Asset Fund | $396.4M | 0 | -- |
| DRYDEN 112 CLO, LTD | Securitized Asset Fund | $394.9M | 0 | -- |
| DRYDEN 112 CLO, LTD | Securitized Asset Fund | $394.9M | 0 | -- |
| DRYDEN 112 CLO, LTD | Securitized Asset Fund | $394.9M | 0 | -- |
| DRYDEN 83 CLO, LTD | Securitized Asset Fund | $393.9M | 0 | -- |
| DRYDEN 83 CLO, LTD | Securitized Asset Fund | $393.9M | 0 | -- |
| DRYDEN 83 CLO, LTD | Securitized Asset Fund | $393.9M | 0 | -- |
| DRYDEN 80 CLO, LTD. | Securitized Asset Fund | $392.7M | 0 | -- |
| DRYDEN 80 CLO, LTD. | Securitized Asset Fund | $392.7M | 0 | -- |
| DRYDEN 80 CLO, LTD. | Securitized Asset Fund | $392.7M | 0 | -- |
| WINDHILL CLO 3, LTD | Securitized Asset Fund | $392.5M | 0 | -- |
TypeOther Private Fund
GAV$402.9M
Investors1
Auditor--
TypeHedge Fund
GAV$402.9M
Investors3
Auditor--
TypeOther Private Fund
GAV$402.9M
Investors1
Auditor--