Prudential Short-Term Corporate Bd A (PBSMX)

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Issue Coupon Maturity Date Amount Owned % of Fund
Citigroup 5.5% 5.5 2013-04-11 $38,815,000 0.99
Jpmorgan Chase 5.125% 5.12 2014-09-15 $34,861,000 0.89
Citigroup 5% 5 2014-09-15 $35,280,000 0.88
General Elec Cap Corp Mtn Be 5.9% 5.9 2014-05-13 $31,000,000 0.81
Rio Tinto Fin Usa 8.95% 8.95 2014-05-01 $26,975,000 0.77
Dryden Core Invest $31,128,026 0.74
At&T 2.5% 2.5 2015-08-15 $29,840,000 0.7
Anheuser Busch Inbev Worldwide 7.2% 7.2 2014-01-15 $24,040,000 0.65
Cs First Boston Ny Brh Sr Mtn 5% 5 2013-05-15 $22,636,000 0.57
Dow Chem 5.9% 5.9 2015-02-15 $21,120,000 0.56
Bk Amer Fdg 7.375% 7.38 2014-05-15 $20,300,000 0.54
Jpmorgan Chase 5.75% 5.75 2013-01-02 $20,437,000 0.52
Goldman Sachs Grp Inc Mtn Be 3.7% 3.7 2015-08-01 $21,620,000 0.52
Anheuser Busch Inbev Worldwide 5.375% 5.38 2014-11-15 $19,000,000 0.5
Wal Mart Stores 1.5% 1.5 2015-10-25 $21,530,000 0.49
Comcast Corp New 6.5% 6.5 2015-01-15 $17,855,000 0.48
Jpmorgan Chase 3.4% 3.4 2015-06-24 $20,000,000 0.48
General Elec Cap Corp Mtn Be 2.1% 2.1 2014-01-07 $20,000,000 0.48
Time Warner Cable 8.25% 8.25 2014-02-14 $17,095,000 0.47
Verizon Wireless Cap 5.55% 5.55 2014-02-01 $18,100,000 0.47
At&T Wireless Svcs 8.125% 8.12 2012-05-01 $17,970,000 0.46
Verizon Comms 3% 3 2016-04-01 $19,250,000 0.46
Bp Cap Mkts 5.25% 5.25 2013-11-07 $17,610,000 0.45
Hsbc Bk 144A 2% 2 2014-01-19 $19,000,000 0.45
Directv Hldgs Llc / Directv 4.75% 4.75 2014-10-01 $17,475,000 0.45