0001752724-23-117172.txt : 20230525 0001752724-23-117172.hdr.sgml : 20230525 20230525130115 ACCESSION NUMBER: 0001752724-23-117172 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230525 DATE AS OF CHANGE: 20230525 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PRUDENTIAL SERIES FUND CENTRAL INDEX KEY: 0000711175 IRS NUMBER: 860446842 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03623 FILM NUMBER: 23958536 BUSINESS ADDRESS: STREET 1: 655 BROAD STREET STREET 2: 17TH FLOOR CITY: NEWARK STATE: NJ ZIP: 07102 BUSINESS PHONE: (973) 367-8982 MAIL ADDRESS: STREET 1: 655 BROAD STREET STREET 2: 17TH FLOOR CITY: NEWARK STATE: NJ ZIP: 07102 FORMER COMPANY: FORMER CONFORMED NAME: PRUDENTIAL SERIES FUND INC DATE OF NAME CHANGE: 19920703 0000711175 S000002225 PSF PGIM FLEXIBLE MANAGED PORTFOLIO C000005723 Class I C000226564 Class III NPORT-P 1 primary_doc.xml NPORT-P false 0000711175 XXXXXXXX S000002225 C000226564 C000005723 Prudential Series Fund 811-03623 0000711175 5493007AGJZME68YC130 655 Broad Street Newark 07102-4077 1-888-778-2888 PSF PGIM Flexible Managed Portfolio S000002225 GZ8IGVJEYJG8HWH6OH73 2023-12-31 2023-03-31 N 4636703818.63 269410062.72 4367293755.91 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 22374747.95000000 84991695.77000000 0.00000000 60419356.20000000 USD N Blended Custom Benchmark N/A Government National Mortgage A 549300M8ZYFG0OCMTT87 Ginnie Mae II Pool 36179RB24 354053.51000000 PA USD 363628.68000000 0.008326178643 Long ABS-MBS USGA US N 2 2045-04-20 Fixed 5.00000000 N N N N N N Citigroup Mortgage Loan Trust N/A Citigroup Mortgage Loan Trust 2022-A 17330VAA4 669800.30000000 PA USD 665932.14000000 0.015248164589 Long ABS-MBS CORP US N 2 2062-09-25 Variable 6.17000000 N N N N N N BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 CDS UNITED STATES OF AMERICA 000000000 1.00000000 NC 9906.94000000 0.000226843911 N/A DCR CORP GB N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 US TREASURY N/B United States Treasury Note/Bond Y Default Event 2027-12-20 5059.78000000 USD 0.00000000 USD -915000.00000000 EUR 4847.16000000 N N N Octagon Investment Partners 31 5493003JSU68UU09PZ63 Octagon Investment Partners 31 Ltd 67575XAN1 3394926.05000000 PA USD 3359462.65000000 0.076923212354 Long ABS-CBDO CORP KY N 2 2030-07-20 Floating 5.85771000 N N N N N N Freddie Mac - 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Place PLC 000000000 756.00000000 NS 11344.14000000 0.000259752163 Long EC CORP GB N 2 N N N Randstad NV 7245009EAAUUQJ0U4T57 Randstad NV 000000000 1197.00000000 NS 71059.56000000 0.001627084505 Long EC CORP NL N 2 N N N Becton Dickinson & Co ICE2EP6D98PQUILVRZ91 Becton Dickinson & Co 075887109 3400.00000000 NS USD 841636.00000000 0.019271339347 Long EC CORP US N 1 N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae Pool 3140Q72X4 192233.24000000 PA USD 187227.30000000 0.004287032438 Long ABS-MBS USGSE US N 2 2032-11-01 Fixed 3.50000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae Pool 31416TNK1 387976.44000000 PA USD 389174.40000000 0.008911111130 Long ABS-MBS USGSE US N 2 2039-07-01 Fixed 4.50000000 N N N N N N Otsuka Corp 529900RG9DJ58J3UIE72 Otsuka Corp 000000000 100.00000000 NS 3551.48000000 0.000081319924 Long EC CORP JP N 2 N N N Aon PLC 635400FALWQYX5E6QC64 Aon PLC 000000000 9400.00000000 NS USD 2963726.00000000 0.067861842267 Long EC CORP US N 1 N N N SOUTHERN CO GAS CAPITAL E8CD46SWUD2TSN8PA636 Southern Co Gas Capital Corp 8426EPAF5 30000.00000000 PA USD 30273.88000000 0.000693195413 Long DBT CORP US N 2 2032-09-15 Fixed 5.15000000 N N N N N N NEW YORK CITY NY TRANSITIONAL N/A New York City Transitional Finance Authority Future Tax Secured Revenue 64971MZG0 1075000.00000000 PA USD 1133180.67000000 0.025946976167 Long DBT MUN US N 2 2036-08-01 Fixed 5.76700000 N N N N N N EXPORT-IMPORT BK INDIA 335800OFZ8YEIVN1QI11 Export-Import Bank of India 30216JAC9 1040000.00000000 PA USD 981695.00000000 0.022478336811 Long DBT NUSS IN N 2 2028-02-01 Fixed 3.87500000 N N N N N N Air Products and Chemicals Inc 7QEON6Y1RL5XR3R1W237 Air Products and Chemicals Inc 009158106 14800.00000000 NS USD 4250708.00000000 0.097330480557 Long EC CORP US N 1 N N N CANADIAN PACIFIC RAILWAY 54930036474DURYNB481 Canadian Pacific Railway Co 13645RBE3 10000.00000000 PA USD 9060.19000000 0.000207455474 Long DBT CORP CA N 2 2026-12-02 Fixed 1.75000000 N N N N N N FREEPORT INDONESIA PT 549300T4HTQHRKLNE619 Freeport Indonesia PT 69377FAA4 215000.00000000 PA USD 209262.19000000 0.004791575783 Long DBT CORP ID N 2 2027-04-14 Fixed 4.76300000 N N N N N N Government National Mortgage A 549300M8ZYFG0OCMTT87 Government National Mortgage Association 38383P5X5 3082048.73000000 PA USD 63235.63000000 0.001447936262 Long ABS-MBS USGA US N 2 2052-04-20 Floating 0.01000000 N N N N N N Shin-Etsu Chemical Co Ltd 353800PX8Q64N86H5W41 Shin-Etsu Chemical Co Ltd 000000000 2500.00000000 NS 81152.62000000 0.001858190095 Long EC CORP JP N 2 N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corp 88033GDR8 625000.00000000 PA USD 561097.43000000 0.012847714428 Long DBT CORP US N 2 2030-01-15 Fixed 4.37500000 N N N N N Home Partners of America Trust N/A Home Partners of America 2021-3 Trust 43730XAA2 1273426.15000000 PA USD 1104874.57000000 0.025298837947 Long ABS-O CORP US N 2 2041-01-17 Fixed 2.20000000 N N N N N N PACIFIC GAS & ELECTRIC 1HNPXZSMMB7HMBMVBS46 Pacific Gas and Electric Co 694308JF5 10000.00000000 PA USD 8719.49000000 0.000199654305 Long DBT CORP US N 2 2027-08-01 Fixed 2.10000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae Pool 31410CR46 12033.28000000 PA USD 12298.42000000 0.000281602765 Long ABS-MBS USGSE US N 2 2036-06-01 Fixed 6.00000000 N N N N N N BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 CDS CREDIT SUISSE GROUP AG 000000000 1.00000000 NC USD 82228.58000000 0.001882826862 N/A DCR CORP GB N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 CREDIT SUISSE GROUP AG Credit Suisse Group AG Y Default Event 2026-06-20 157226.53000000 USD 0.00000000 USD -3000000.00000000 USD -74997.95000000 N N N 2023-05-18 Prudential Series Fund Christian J. Kelly Christian J. Kelly Chief Financial Officer XXXX NPORT-EX 2 PI63221PRU033123.htm
PSF PGIM FLEXIBLE MANAGED PORTFOLIO
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Long-Term Investments — 95.2%
Common Stocks — 58.7%
Aerospace & Defense — 1.1%
BAE Systems PLC (United Kingdom)

4,200   $50,804
General Dynamics Corp.

59,800   13,646,958
Howmet Aerospace, Inc.

239,100   10,130,667
Kongsberg Gruppen ASA (Norway)

260   10,510
Lockheed Martin Corp.

1,600   756,368
MTU Aero Engines AG (Germany)

74   18,517
Northrop Grumman Corp.

6,400   2,955,008
Raytheon Technologies Corp.

224,600   21,995,078
Rolls-Royce Holdings PLC (United Kingdom)*

11,270   20,758
            49,584,668
Air Freight & Logistics — 0.4%
FedEx Corp.

68,700   15,697,263
Automobile Components — 0.1%
BorgWarner, Inc.

104,200   5,117,262
Automobiles — 1.2%
Bayerische Motoren Werke AG (Germany)

1,613   176,782
General Motors Co.

398,400   14,613,312
Isuzu Motors Ltd. (Japan)

800   9,561
Mazda Motor Corp. (Japan)

1,700   15,681
Mercedes-Benz Group AG (Germany)

2,691   206,945
Nissan Motor Co. Ltd. (Japan)

3,200   12,111
Stellantis NV

10,007   181,990
Tesla, Inc.*

179,100   37,156,086
Toyota Motor Corp. (Japan)

5,500   78,295
Volkswagen AG (Germany)

88   15,094
            52,465,857
Banks — 2.0%
ABN AMRO Bank NV (Netherlands), 144A, CVA

6,444   102,185
ANZ Group Holdings Ltd. (Australia)

11,052   170,313
Banco Santander SA (Spain)

22,873   85,236
Bank Hapoalim BM (Israel)

4,211   35,046
Bank Leumi Le-Israel BM (Israel)

2,142   16,204
Bank of America Corp.

460,300   13,164,580
Bank of Ireland Group PLC (Ireland)

1,435   14,520
Barclays PLC (United Kingdom)

24,906   44,828
Citigroup, Inc.

395,750   18,556,718
Citizens Financial Group, Inc.

151,300   4,594,981
Commerzbank AG (Germany)*

1,414   14,887
Commonwealth Bank of Australia (Australia)

383   25,288
DBS Group Holdings Ltd. (Singapore)

200   4,972
Erste Group Bank AG (Austria)

468   15,505
FinecoBank Banca Fineco SpA (Italy)

813   12,456
HSBC Holdings PLC (United Kingdom)

27,459   186,625
ING Groep NV (Netherlands)

5,020   59,614
Israel Discount Bank Ltd. (Israel) (Class A Stock)

3,668   18,018
JPMorgan Chase & Co.

130,694   17,030,735
KBC Group NV (Belgium)

1,732   119,007
Lloyds Banking Group PLC (United Kingdom)

255,219   150,056
      Shares   Value
Common Stocks (continued)
Banks (cont’d.)
Mediobanca Banca di Credito Finanziario SpA (Italy)

777   $7,808
Mizrahi Tefahot Bank Ltd. (Israel)

456   14,295
National Australia Bank Ltd. (Australia)

4,026   75,018
NatWest Group PLC (United Kingdom)

7,202   23,500
Nordea Bank Abp (Finland)

13,742   146,741
Oversea-Chinese Banking Corp. Ltd. (Singapore)

4,600   42,880
Popular, Inc. (Puerto Rico)

14,700   843,927
Skandinaviska Enskilda Banken AB (Sweden) (Class A Stock)*

2,229   24,604
Standard Chartered PLC (United Kingdom)

3,360   25,466
Sumitomo Mitsui Financial Group, Inc. (Japan)

2,400   96,042
Swedbank AB (Sweden) (Class A Stock)

2,176   35,784
Truist Financial Corp.

281,600   9,602,560
UniCredit SpA (Italy)

7,550   142,301
United Overseas Bank Ltd. (Singapore)

300   6,729
Wells Fargo & Co.

539,300   20,159,034
            85,668,463
Beverages — 1.1%
Coca-Cola Co. (The)

396,800   24,613,504
Coca-Cola Europacific Partners PLC (United Kingdom)

300   17,757
Diageo PLC (United Kingdom)

295   13,166
Heineken Holding NV (Netherlands)

157   14,404
Heineken NV (Netherlands)

359   38,575
PepsiCo, Inc.

120,700   22,003,610
            46,701,016
Biotechnology — 1.2%
AbbVie, Inc.

111,500   17,769,755
Amgen, Inc.

37,000   8,944,750
Biogen, Inc.*

12,600   3,503,178
Gilead Sciences, Inc.

123,850   10,275,835
Swedish Orphan Biovitrum AB (Sweden)*

494   11,510
United Therapeutics Corp.*

4,600   1,030,216
Vertex Pharmaceuticals, Inc.*

37,700   11,878,139
            53,413,383
Broadline Retail — 1.5%
Amazon.com, Inc.*

553,500   57,171,015
Macy’s, Inc.

487,800   8,531,622
Pan Pacific International Holdings Corp. (Japan)

900   17,412
            65,720,049
Building Products — 0.1%
AGC, Inc. (Japan)

3,600   134,212
Allegion PLC

15,200   1,622,296
Assa Abloy AB (Sweden) (Class B Stock)

1,365   32,695
Carrier Global Corp.

99,600   4,556,700
A1

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
Building Products (cont’d.)
Cie de Saint-Gobain (France)

666   $37,858
Lixil Corp. (Japan)

400   6,602
Nibe Industrier AB (Sweden) (Class B Stock)

4,437   50,578
            6,440,941
Capital Markets — 1.6%
3i Group PLC (United Kingdom)

6,015   125,374
Bank of New York Mellon Corp. (The)

289,200   13,141,248
Deutsche Bank AG (Germany)

9,135   92,895
Deutsche Boerse AG (Germany)

262   51,014
Goldman Sachs Group, Inc. (The)

34,300   11,219,873
Hargreaves Lansdown PLC (United Kingdom)

3,428   33,959
Intercontinental Exchange, Inc.

44,000   4,588,760
Invesco Ltd.

497,400   8,157,360
Japan Exchange Group, Inc. (Japan)

700   10,706
Julius Baer Group Ltd. (Switzerland)

294   20,083
Macquarie Group Ltd. (Australia)

1,812   214,540
MarketAxess Holdings, Inc.

35,100   13,734,279
Morgan Stanley

42,200   3,705,160
MSCI, Inc.

12,600   7,052,094
Singapore Exchange Ltd. (Singapore)

2,500   17,704
St. James’s Place PLC (United Kingdom)

756   11,344
State Street Corp.

21,100   1,597,059
UBS Group AG (Switzerland)

8,869   187,675
Virtu Financial, Inc. (Class A Stock)

307,400   5,809,860
            69,770,987
Chemicals — 0.9%
Air Products & Chemicals, Inc.

14,800   4,250,708
Albemarle Corp.

54,800   12,112,992
ICL Group Ltd. (Israel)

2,068   14,012
Linde PLC

23,600   8,388,384
LyondellBasell Industries NV (Class A Stock)

101,500   9,529,835
Mosaic Co. (The)(a)

32,200   1,477,336
PPG Industries, Inc.

35,400   4,728,732
Shin-Etsu Chemical Co. Ltd. (Japan)

2,500   81,153
Solvay SA (Belgium)

1,489   170,291
Tosoh Corp. (Japan)

800   10,871
Yara International ASA (Brazil)

223   9,692
            40,774,006
Commercial Services & Supplies — 0.2%
Brambles Ltd. (Australia)

4,120   37,147
Clean Harbors, Inc.*

8,700   1,240,272
Copart, Inc.*

57,400   4,317,054
Dai Nippon Printing Co. Ltd. (Japan)

4,200   117,594
Waste Management, Inc.

32,100   5,237,757
            10,949,824
Communications Equipment — 0.7%
Cisco Systems, Inc.

549,300   28,714,658
Nokia OYJ (Finland)

7,492   36,777
            28,751,435
      Shares   Value
Common Stocks (continued)
Construction & Engineering — 0.0%
ACS Actividades de Construccion y Servicios SA (Spain)

300   $9,555
Eiffage SA (France)

250   27,054
Skanska AB (Sweden) (Class B Stock)

980   15,010
Vinci SA (France)

2,132   244,418
            296,037
Construction Materials — 0.2%
Eagle Materials, Inc.

54,200   7,953,850
HeidelbergCement AG (Germany)

192   14,019
Holcim AG*

762   49,143
            8,017,012
Consumer Finance — 0.2%
Synchrony Financial

335,500   9,756,340
Consumer Staples Distribution & Retail — 1.0%
Albertson’s Cos., Inc. (Class A Stock)

178,300   3,705,074
Carrefour SA (France)

794   16,053
Coles Group Ltd. (Australia)

1,829   22,099
Costco Wholesale Corp.

55,700   27,675,659
Dollar General Corp.

6,700   1,410,082
Endeavour Group Ltd. (Australia)

3,910   17,764
J Sainsbury PLC (United Kingdom)

4,128   14,205
Kesko OYJ (Finland) (Class B Stock)

370   7,952
Koninklijke Ahold Delhaize NV (Netherlands)

6,113   208,852
Kroger Co. (The)(a)

75,300   3,717,561
Target Corp.(a)

5,700   944,091
Tesco PLC (United Kingdom)

9,998   32,778
Walmart, Inc.

52,800   7,785,360
Woolworths Group Ltd. (Australia)

1,666   42,354
            45,599,884
Containers & Packaging — 0.3%
Berry Global Group, Inc.

15,200   895,280
Westrock Co.

343,500   10,466,445
            11,361,725
Distributors — 0.2%
LKQ Corp.

155,200   8,809,152
Diversified REITs — 0.0%
GPT Group (The) (Australia)

5,640   16,118
Nomura Real Estate Master Fund, Inc. (Japan)

5   5,603
Stockland (Australia)

7,056   18,894
            40,615
Diversified Telecommunication Services — 0.4%
AT&T, Inc.

652,100   12,552,925
Bezeq The Israeli Telecommunication Corp. Ltd. (Israel)

2,901   3,950
Deutsche Telekom AG (Germany)

633   15,339
Elisa OYJ (Finland)

194   11,701
HKT Trust & HKT Ltd. (Hong Kong)

11,000   14,602
Koninklijke KPN NV (Netherlands)

24,166   85,392
Swisscom AG (Switzerland)

177   112,957
 
A2

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
Diversified Telecommunication Services (cont’d.)
Telefonica Deutschland Holding AG (Germany)

52,695   $162,208
Verizon Communications, Inc.

134,888   5,245,794
            18,204,868
Electric Utilities — 1.0%
CK Infrastructure Holdings Ltd. (Hong Kong)

2,000   10,882
Duke Energy Corp.

36,400   3,511,508
Endesa SA (Spain)

3,866   83,969
Enel SpA (Italy)

11,186   68,223
Entergy Corp.

50,900   5,483,966
Evergy, Inc.

14,700   898,464
Exelon Corp.

366,300   15,344,307
FirstEnergy Corp.

26,400   1,057,584
NRG Energy, Inc.

385,600   13,222,224
Pinnacle West Capital Corp.(a)

43,300   3,431,092
SSE PLC (United Kingdom)

7,485   167,019
            43,279,238
Electrical Equipment — 0.2%
ABB Ltd. (Switzerland)

2,156   74,169
Acuity Brands, Inc.(a)

17,500   3,197,775
Eaton Corp. PLC

14,700   2,518,698
Emerson Electric Co.

30,400   2,649,056
Fuji Electric Co. Ltd. (Japan)

300   11,847
Prysmian SpA (Italy)

775   32,543
Schneider Electric SE

740   123,672
Vertiv Holdings Co.

54,000   772,740
            9,380,500
Electronic Equipment, Instruments & Components — 0.3%
Corning, Inc.

95,800   3,379,824
Keysight Technologies, Inc.*

18,700   3,019,676
Omron Corp. (Japan)

2,400   140,465
Shimadzu Corp. (Japan)

300   9,418
TD SYNNEX Corp.

8,000   774,320
TDK Corp. (Japan)

500   17,948
TE Connectivity Ltd.

18,600   2,439,390
Vontier Corp.

63,000   1,722,420
Yokogawa Electric Corp. (Japan)

8,000   130,268
            11,633,729
Energy Equipment & Services — 0.3%
Halliburton Co.

371,200   11,744,768
Schlumberger NV

52,600   2,582,660
            14,327,428
Entertainment — 0.9%
Electronic Arts, Inc.

110,300   13,285,635
Netflix, Inc.*

70,400   24,321,792
Nexon Co. Ltd. (Japan)

600   14,327
Walt Disney Co. (The)*

33,300   3,334,329
            40,956,083
      Shares   Value
Common Stocks (continued)
Financial Services — 2.5%
Berkshire Hathaway, Inc. (Class B Stock)*

117,050   $36,141,529
Industrivarden AB (Sweden) (Class A Stock)

380   10,270
Investor AB (Sweden) (Class A Stock)

683   13,937
Mastercard, Inc. (Class A Stock)

54,300   19,733,163
ORIX Corp. (Japan)

11,000   181,368
PayPal Holdings, Inc.*

226,900   17,230,786
Visa, Inc. (Class A Stock)(a)

159,400   35,938,324
Voya Financial, Inc.(a)

11,700   836,082
            110,085,459
Food Products — 0.8%
Archer-Daniels-Midland Co.

92,800   7,392,448
Edita Food Industries SAE (Egypt), 144A, GDR^

158   371
Hershey Co. (The)

54,800   13,941,668
Lamb Weston Holdings, Inc.

119,400   12,479,688
Mondelez International, Inc. (Class A Stock)

12,200   850,584
Mowi ASA (Norway)

7,583   140,255
Nestle SA

2,774   338,235
WH Group Ltd. (Hong Kong), 144A

114,500   68,259
Wilmar International Ltd. (China)

51,600   163,475
            35,374,983
Gas Utilities — 0.1%
Enagas SA (Spain)

3,486   66,986
Osaka Gas Co. Ltd. (Japan)

7,000   114,995
Tokyo Gas Co. Ltd. (Japan)

6,600   124,035
UGI Corp.

182,100   6,329,796
            6,635,812
Ground Transportation — 0.4%
CSX Corp.

243,600   7,293,384
Ryder System, Inc.

33,600   2,998,464
Schneider National, Inc. (Class B Stock)

29,300   783,775
Union Pacific Corp.

24,800   4,991,248
            16,066,871
Health Care Equipment & Supplies — 1.7%
Abbott Laboratories

238,900   24,191,014
Alcon, Inc. (Switzerland)

516   36,630
Baxter International, Inc.

188,800   7,657,728
Becton, Dickinson & Co.

3,400   841,636
Boston Scientific Corp.*

16,000   800,480
Cochlear Ltd. (Australia)

90   14,328
DENTSPLY SIRONA, Inc.

36,400   1,429,792
Hologic, Inc.*

53,400   4,309,380
Hoya Corp. (Japan)

500   55,256
IDEXX Laboratories, Inc.*

4,500   2,250,360
Medtronic PLC

179,900   14,503,538
Stryker Corp.

28,900   8,250,083
Zimmer Biomet Holdings, Inc.

65,600   8,475,520
            72,815,745
 
A3

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
Health Care Providers & Services — 1.9%
Cardinal Health, Inc.

100,500   $7,587,750
Cigna Group (The)

44,200   11,294,426
CVS Health Corp.

125,300   9,311,043
Elevance Health, Inc.

9,300   4,276,233
Fresenius SE & Co. KGaA (Germany)

580   15,662
Humana, Inc.

14,300   6,942,078
Sonic Healthcare Ltd. (Australia)

7,327   171,766
UnitedHealth Group, Inc.

90,500   42,769,395
            82,368,353
Health Care REITs — 0.2%
Ventas, Inc.

179,000   7,759,650
Hotel & Resort REITs — 0.1%
Park Hotels & Resorts, Inc.(a)

235,900   2,915,724
Hotels, Restaurants & Leisure — 1.4%
Accor SA (France)*

520   16,906
Aristocrat Leisure Ltd. (Australia)

619   15,477
Booking Holdings, Inc.*

800   2,121,928
Darden Restaurants, Inc.(a)

45,000   6,982,200
Genting Singapore Ltd. (Singapore)

18,200   15,361
Hilton Worldwide Holdings, Inc.

30,200   4,254,274
Las Vegas Sands Corp.*

13,500   775,575
Lottery Corp. Ltd. (The) (Australia)

6,630   22,803
Marriott International, Inc. (Class A Stock)

93,500   15,524,740
McDonald’s Corp.

14,700   4,110,267
Meituan (China) (Class B Stock), 144A*

920   16,691
Starbucks Corp.

205,700   21,419,541
Whitbread PLC (United Kingdom)

4,677   172,774
Yum! Brands, Inc.

29,700   3,922,776
            59,371,313
Household Durables — 0.1%
Lennar Corp. (Class A Stock)

36,100   3,794,471
Sekisui House Ltd. (Japan)

7,000   142,669
Sharp Corp. (Japan)*

17,400   123,026
Sony Group Corp. (Japan)

1,700   154,842
            4,215,008
Household Products — 1.0%
Colgate-Palmolive Co.

218,200   16,397,730
Essity AB (Sweden) (Class B Stock)

1,820   51,986
Henkel AG & Co. KGaA (Germany)

144   10,476
Procter & Gamble Co. (The)

171,605   25,515,948
Reckitt Benckiser Group PLC (United Kingdom)

986   75,012
            42,051,152
Independent Power & Renewable Electricity Producers — 0.0%
AES Corp. (The)

70,300   1,692,824
Meridian Energy Ltd. (New Zealand)

4,020   13,225
RWE AG (Germany)

880   37,865
            1,743,914
Industrial Conglomerates — 0.6%
3M Co.

85,700   9,007,927
      Shares   Value
Common Stocks (continued)
Industrial Conglomerates (cont’d.)
General Electric Co.

17,000   $1,625,200
Honeywell International, Inc.

83,200   15,901,184
Jardine Cycle & Carriage Ltd. (Singapore)

1,400   32,969
Jardine Matheson Holdings Ltd. (Hong Kong)

1,300   63,235
Lifco AB (Sweden) (Class B Stock)

736   15,870
Siemens AG (Germany)

1,038   168,160
            26,814,545
Industrial REITs — 0.1%
Americold Realty Trust, Inc.

186,800   5,314,460
CapitaLand Ascendas REIT (Singapore)

4,600   9,918
Goodman Group (Australia)

14,535   184,447
            5,508,825
Insurance — 1.2%
Ageas SA/NV (Belgium)

718   31,060
AIA Group Ltd. (Hong Kong)

4,200   44,047
Allstate Corp. (The)

38,100   4,221,861
American International Group, Inc.

132,400   6,667,664
Aon PLC (Class A Stock)

9,400   2,963,726
Assicurazioni Generali SpA (Italy)

1,512   30,126
AXA SA (France)

7,833   239,044
Baloise Holding AG (Switzerland)

63   9,810
Marsh & McLennan Cos., Inc.

52,500   8,743,875
Medibank Private Ltd. (Australia)

34,610   78,103
MetLife, Inc.

192,500   11,153,450
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Germany)

191   66,781
NN Group NV (Netherlands)

378   13,725
Poste Italiane SpA (Italy), 144A

15,974   162,896
Progressive Corp. (The)

114,800   16,423,288
QBE Insurance Group Ltd. (Australia)

1,247   12,209
Sampo OYJ (Finland) (Class A Stock)

661   31,189
Suncorp Group Ltd. (Australia)

2,575   20,922
Swiss Life Holding AG (Switzerland)

253   156,128
T&D Holdings, Inc. (Japan)

700   8,676
Unum Group

56,100   2,219,316
            53,297,896
Interactive Media & Services — 2.9%
Alphabet, Inc. (Class A Stock)*

427,200   44,313,456
Alphabet, Inc. (Class C Stock)*

370,840   38,567,360
Meta Platforms, Inc. (Class A Stock)*

206,850   43,839,789
Scout24 SE (Germany), 144A

234   13,918
            126,734,523
IT Services — 0.7%
Accenture PLC (Class A Stock)

64,250   18,363,293
Cognizant Technology Solutions Corp. (Class A Stock)

26,800   1,632,924
DXC Technology Co.*

30,600   782,136
International Business Machines Corp.

66,900   8,769,921
Nomura Research Institute Ltd. (Japan)

500   11,694
 
A4

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
IT Services (cont’d.)
Otsuka Corp. (Japan)

100   $3,551
SCSK Corp. (Japan)

200   2,928
Wix.com Ltd. (Israel)*

200   19,960
            29,586,407
Life Sciences Tools & Services — 1.0%
Agilent Technologies, Inc.

59,900   8,286,566
Danaher Corp.

3,700   932,548
Mettler-Toledo International, Inc.*

600   918,126
Sotera Health Co.*

433,500   7,763,985
Thermo Fisher Scientific, Inc.

41,700   24,034,629
            41,935,854
Machinery — 1.2%
AGCO Corp.

8,000   1,081,600
Alfa Laval AB (Sweden)

390   13,926
ANDRITZ AG (Austria)

1,776   120,172
Atlas Copco AB (Sweden) (Class B Stock)

2,154   24,777
Caterpillar, Inc.

41,900   9,588,396
CNH Industrial NV (United Kingdom)

11,848   181,288
Daimler Truck Holding AG (Germany)*

609   20,553
Deere & Co.

29,700   12,262,536
Donaldson Co., Inc.

17,000   1,110,780
Dover Corp.

33,800   5,135,572
Epiroc AB (Sweden) (Class A Stock)

890   17,667
Epiroc AB (Sweden) (Class B Stock)

1,075   18,329
Esab Corp.

32,300   1,907,961
GEA Group AG (Germany)

3,536   161,304
Hitachi Construction Machinery Co. Ltd. (Japan)

100   2,331
Hoshizaki Corp. (Japan)

100   3,694
Indutrade AB (Sweden)

320   6,810
Komatsu Ltd. (Japan)

1,200   29,790
MINEBEA MITSUMI, Inc. (Japan)

500   9,548
Otis Worldwide Corp.

9,500   801,800
PACCAR, Inc.

148,700   10,884,840
Parker-Hannifin Corp.

20,800   6,991,088
Rational AG (Germany)

49   32,937
Schindler Holding AG (Switzerland)

55   11,639
Schindler Holding AG (Switzerland) (Part. Cert.)

56   12,408
SKF AB (Sweden) (Class B Stock)

506   9,967
Timken Co. (The)

10,600   866,232
Toyota Industries Corp. (Japan)

200   11,142
Volvo AB (Sweden) (Class A Stock)

612   13,164
Volvo AB (Sweden) (Class B Stock)(a)

2,040   42,038
            51,374,289
Marine Transportation — 0.0%
AP Moller - Maersk A/S (Denmark) (Class A Stock)

4   7,096
SITC International Holdings Co. Ltd. (China)

2,000   4,299
            11,395
      Shares   Value
Common Stocks (continued)
Media — 0.3%
Comcast Corp. (Class A Stock)

365,100   $13,840,941
Dentsu Group, Inc. (Japan)

600   21,149
Hakuhodo DY Holdings, Inc. (Japan)

11,700   132,648
Informa PLC (United Kingdom)

17,110   146,658
Liberty Broadband Corp. (Class C Stock)*

9,500   776,150
Publicis Groupe SA (France)

2,380   185,782
WPP PLC (United Kingdom)

1,488   17,679
            15,121,007
Metals & Mining — 0.2%
ArcelorMittal SA (Luxembourg)

5,053   153,087
BHP Group Ltd. (Australia)

12,032   380,379
BlueScope Steel Ltd. (Australia)

10,021   135,638
Boliden AB (Sweden)

364   14,299
Fortescue Metals Group Ltd. (Australia)

2,291   34,437
Glencore PLC (Australia)

5,403   31,090
JFE Holdings, Inc. (Japan)

1,500   19,039
Nippon Steel Corp. (Japan)

7,900   186,294
Norsk Hydro ASA (Norway)

1,776   13,255
Pilbara Minerals Ltd. (Australia)

3,125   8,314
Rio Tinto Ltd. (Australia)

504   40,496
Rio Tinto PLC (Australia)

1,513   102,699
South32 Ltd. (Australia)

6,175   18,097
Steel Dynamics, Inc.

30,600   3,459,636
Sumitomo Metal Mining Co. Ltd. (Japan)

400   15,306
United States Steel Corp.

108,300   2,826,630
voestalpine AG (Austria)

338   11,493
            7,450,189
Multi-Utilities — 0.4%
Ameren Corp.

11,200   967,568
DTE Energy Co.

42,000   4,600,680
E.ON SE (Germany)

15,827   197,437
Engie SA (France)

2,487   39,356
NiSource, Inc.

209,100   5,846,436
Sempra Energy

28,900   4,368,524
            16,020,001
Office REITs — 0.1%
Hudson Pacific Properties, Inc.(a)

342,100   2,274,965
Japan Real Estate Investment Corp. (Japan)

35   139,483
            2,414,448
Oil, Gas & Consumable Fuels — 2.4%
BP PLC (United Kingdom)

49,242   311,235
Cheniere Energy, Inc.

11,600   1,828,160
Chevron Corp.

88,800   14,488,608
ConocoPhillips

187,600   18,611,796
Equinor ASA (Norway)

6,738   191,551
Exxon Mobil Corp.

418,900   45,936,574
Hess Corp.

19,500   2,580,630
Inpex Corp. (Japan)

1,400   14,816
Marathon Petroleum Corp.

61,800   8,332,494
ONEOK, Inc.

26,400   1,677,456
 
A5

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
Oil, Gas & Consumable Fuels (cont’d.)
Phillips 66

16,400   $1,662,632
Pioneer Natural Resources Co.

11,600   2,369,184
Repsol SA (Spain)

1,852   28,480
Shell PLC (Netherlands)

11,410   325,169
TotalEnergies SE (France)

4,428   261,091
Valero Energy Corp.

50,300   7,021,880
            105,641,756
Paper & Forest Products — 0.0%
Oji Holdings Corp. (Japan)

2,500   9,898
Passenger Airlines — 0.2%
Alaska Air Group, Inc.*

223,600   9,382,256
Deutsche Lufthansa AG (Germany)*

15,956   177,471
Qantas Airways Ltd. (Australia)*

28,933   129,141
Singapore Airlines Ltd. (Singapore)

4,200   18,116
United Airlines Holdings, Inc.*

22,200   982,350
            10,689,334
Personal Care Products — 0.0%
Kao Corp. (Japan)

600   23,355
L’Oreal SA (France)

334   149,245
Unilever PLC (United Kingdom)

3,495   181,108
            353,708
Pharmaceuticals — 2.6%
Astellas Pharma, Inc. (Japan)

2,500   35,518
AstraZeneca PLC (United Kingdom)

1,260   174,579
Bayer AG (Germany)

1,327   84,771
Bristol-Myers Squibb Co.

201,900   13,993,689
Chugai Pharmaceutical Co. Ltd. (Japan)

900   22,223
Eli Lilly & Co.

34,300   11,779,306
GSK PLC

14,465   255,587
Ipsen SA (France)

566   62,323
Johnson & Johnson

225,048   34,882,440
Merck & Co., Inc.

287,200   30,555,208
Novartis AG (Switzerland)

4,680   429,711
Novo Nordisk A/S (Denmark) (Class B Stock)

3,293   522,999
Ono Pharmaceutical Co. Ltd. (Japan)

6,400   133,364
Orion OYJ (Finland) (Class B Stock)

323   14,437
Otsuka Holdings Co. Ltd. (Japan)

500   15,875
Pfizer, Inc.

481,600   19,649,280
Roche Holding AG

975   278,599
Sanofi

2,980   323,267
Shionogi & Co. Ltd. (Japan)

300   13,532
            113,226,708
Professional Services — 0.4%
Automatic Data Processing, Inc.

27,800   6,189,114
BayCurrent Consulting, Inc. (Japan)

3,200   132,858
Dun & Bradstreet Holdings, Inc.

259,100   3,041,834
Leidos Holdings, Inc.

78,100   7,189,886
Randstad NV (Netherlands)

1,197   71,060
Wolters Kluwer NV (Netherlands)

784   98,969
            16,723,721
      Shares   Value
Common Stocks (continued)
Real Estate Management & Development — 0.0%
CK Asset Holdings Ltd. (Hong Kong)

2,500   $15,157
Daito Trust Construction Co. Ltd. (Japan)

1,600   159,408
Mitsui Fudosan Co. Ltd. (Japan)

1,200   22,541
New World Development Co. Ltd. (Hong Kong)

5,000   13,403
Nomura Real Estate Holdings, Inc. (Japan)

100   2,214
Sino Land Co. Ltd. (Hong Kong)

4,000   5,409
Swire Pacific Ltd. (Hong Kong) (Class A Stock)

1,500   11,528
Wharf Real Estate Investment Co. Ltd. (Hong Kong)

2,000   11,515
            241,175
Residential REITs — 0.1%
American Homes 4 Rent (Class A Stock)

27,200   855,440
Equity Residential

44,800   2,688,000
            3,543,440
Retail REITs — 0.1%
Realty Income Corp.(a)

12,800   810,496
Scentre Group (Australia)

7,020   12,995
Simon Property Group, Inc.

16,200   1,813,914
Unibail-Rodamco-Westfield (France)*

160   8,609
Vicinity Ltd. (Australia)

11,837   15,481
            2,661,495
Semiconductors & Semiconductor Equipment — 3.7%
Allegro MicroSystems, Inc. (Japan)*(a)

46,400   2,226,736
Analog Devices, Inc.

34,800   6,863,256
ASM International NV (Netherlands)

64   25,978
ASML Holding NV (Netherlands)

571   389,107
Broadcom, Inc.

44,100   28,291,914
First Solar, Inc.*

61,200   13,311,000
Infineon Technologies AG (Germany)

3,027   124,304
KLA Corp.

3,000   1,197,510
Lam Research Corp.

29,100   15,426,492
NVIDIA Corp.

228,000   63,331,560
NXP Semiconductors NV (China)

51,800   9,659,405
QUALCOMM, Inc.

160,000   20,412,800
Renesas Electronics Corp. (Japan)*

1,600   23,169
STMicroelectronics NV (Singapore)

4,184   222,939
SUMCO Corp. (Japan)

10,900   163,979
            161,670,149
Software — 5.6%
Adobe, Inc.*

64,550   24,875,634
Check Point Software Technologies Ltd. (Israel)*

100   13,000
Lumine Group, Inc. (Canada)*

168   1,829
Microsoft Corp.

552,300   159,228,090
Oracle Corp. (Japan)

1,400   101,109
Palo Alto Networks, Inc.*

54,400   10,865,856
Roper Technologies, Inc.

8,400   3,701,796
Salesforce, Inc.*

90,200   18,020,156
 
A6

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
      Shares   Value
Common Stocks (continued)
Software (cont’d.)
SAP SE (Germany)

330   $41,669
ServiceNow, Inc.*

31,000   14,406,320
Synopsys, Inc.*

33,800   13,055,250
Teradata Corp.*

33,600   1,353,408
Trend Micro, Inc. (Japan)

200   9,812
WiseTech Global Ltd. (Australia)

201   8,855
Xero Ltd. (New Zealand)*

889   53,919
            245,736,703
Specialized REITs — 0.8%
American Tower Corp.

64,300   13,139,062
Digital Realty Trust, Inc.

52,000   5,112,120
Equinix, Inc.

1,800   1,297,872
Iron Mountain, Inc.(a)

35,100   1,857,141
Public Storage

34,300   10,363,402
SBA Communications Corp.

7,300   1,905,811
Weyerhaeuser Co.

55,300   1,666,189
            35,341,597
Specialty Retail — 1.1%
Fast Retailing Co. Ltd. (Japan)

200   43,782
Home Depot, Inc. (The)

58,300   17,205,496
Industria de Diseno Textil SA (Spain)

6,379   214,304
JD Sports Fashion PLC (United Kingdom)

3,427   7,547
Lowe’s Cos., Inc.

70,300   14,057,891
O’Reilly Automotive, Inc.*

4,100   3,480,818
TJX Cos., Inc. (The)

67,900   5,320,644
Ulta Beauty, Inc.*

17,900   9,767,493
USS Co. Ltd. (Japan)

700   12,145
ZOZO, Inc. (Japan)

400   9,149
            50,119,269
Technology Hardware, Storage & Peripherals — 4.4%
Apple, Inc.

1,100,400   181,455,960
Canon, Inc. (Japan)

8,400   187,067
FUJIFILM Holdings Corp. (Japan)

800   40,610
Hewlett Packard Enterprise Co.

700,700   11,162,151
            192,845,788
Textiles, Apparel & Luxury Goods — 0.3%
Burberry Group PLC (United Kingdom)

517   16,554
Cie Financiere Richemont SA (Switzerland) (Class A Stock)

730   117,060
Deckers Outdoor Corp.*

3,900   1,753,245
Ermenegildo Zegna NV (Italy)

3,958   53,987
Hermes International (France)

123   249,107
LVMH Moet Hennessy Louis Vuitton SE (France)

382   350,641
NIKE, Inc. (Class B Stock)

77,100   9,455,544
PVH Corp.

24,500   2,184,420
Swatch Group AG (The) (Switzerland)

86   29,618
Swatch Group AG (The) (Switzerland) (Registered Shares)

140   8,877
            14,219,053
      Shares   Value
Common Stocks (continued)
Tobacco — 0.3%
Altria Group, Inc.

76,600   $3,417,892
British American Tobacco PLC (United Kingdom)

7,296   255,757
Imperial Brands PLC (United Kingdom)

2,949   67,814
Japan Tobacco, Inc. (Japan)

3,400   71,820
Philip Morris International, Inc.

91,500   8,898,375
            12,711,658
Trading Companies & Distributors — 0.2%
Ashtead Group PLC (United Kingdom)

2,478   152,162
Bunzl PLC (United Kingdom)

462   17,451
IMCD NV (Netherlands)

165   26,980
ITOCHU Corp. (Japan)

1,600   52,106
Marubeni Corp. (Japan)

2,100   28,559
Mitsubishi Corp. (Japan)

1,700   61,092
Mitsui & Co. Ltd. (Japan)

6,200   193,253
MonotaRO Co. Ltd. (Japan)

700   8,817
Toyota Tsusho Corp. (Japan)

300   12,791
W.W. Grainger, Inc.

10,300   7,094,743
WESCO International, Inc.

8,800   1,359,952
            9,007,906
Transportation Infrastructure — 0.0%
Aena SME SA (Spain), 144A*

102   16,494
Water Utilities — 0.2%
American Water Works Co., Inc.

47,700   6,987,573
Wireless Telecommunication Services — 0.3%
SoftBank Group Corp. (Japan)

1,700   66,833
Tele2 AB (Sweden) (Class B Stock)

1,632   16,243
T-Mobile US, Inc.*

78,500   11,369,940
            11,453,016
 
Total Common Stocks

(cost $1,918,618,574)

  2,563,591,569
Exchange-Traded Fund — 0.0%
iShares MSCI EAFE ETF

1,188   84,966
(cost $57,907)      
Preferred Stocks — 0.0%
Automobiles — 0.0%
Bayerische Motoren Werke AG (Germany) (PRFC)

151   15,435
Volkswagen AG (Germany) (PRFC)

253   34,528
            49,963
Banks — 0.0%
Citigroup Capital XIII, 11.172%(c), 3 Month LIBOR + 6.370%, Maturing 10/30/40

22,000   627,880
 
Total Preferred Stocks

(cost $596,056)

  677,843
    
 
A7

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities — 7.6%
Automobiles — 1.9%
Americredit Automobile Receivables Trust,
Series 2023-01, Class C
5.800%   12/18/28     2,100   $2,138,618
AmeriCredit Automobile Receivables Trust,
Series 2019-02, Class C
2.740%   04/18/25     1,185   1,174,566
Series 2019-03, Class C
2.320%   07/18/25     2,795   2,762,825
Series 2020-01, Class C
1.590%   10/20/25     25   24,367
Series 2020-03, Class C
1.060%   08/18/26     15   14,071
Series 2021-02, Class C
1.010%   01/19/27     1,300   1,186,398
Series 2021-02, Class D
1.290%   06/18/27     10   9,013
Series 2021-03, Class C
1.410%   08/18/27     1,300   1,180,628
Avis Budget Rental Car Funding AESOP LLC,
Series 2019-02A, Class A, 144A
3.350%   09/22/25     3,000   2,918,180
Series 2019-03A, Class A, 144A
2.360%   03/20/26     4,000   3,792,254
Series 2020-01A, Class A, 144A
2.330%   08/20/26     1,800   1,689,969
Series 2021-01A, Class A, 144A
1.380%   08/20/27     3,500   3,102,246
Series 2021-02A, Class A, 144A
1.660%   02/20/28     3,700   3,253,176
Series 2022-01A, Class A, 144A
3.830%   08/21/28     4,200   3,989,533
Series 2023-02A, Class A, 144A
5.200%   10/20/27     2,000   1,995,361
CarMax Auto Owner Trust,
Series 2020-01, Class B
2.210%   09/15/25     15   14,550
Series 2021-01, Class D
1.280%   07/15/27     10   9,105
Series 2021-02, Class C
1.340%   02/16/27     1,100   1,015,473
Series 2021-04, Class C
1.380%   07/15/27     800   721,984
Series 2022-02, Class C
4.260%   12/15/27     25   24,306
Exeter Automobile Receivables Trust,
Series 2021-01A, Class C
0.740%   01/15/26     9   8,488
Series 2021-02A, Class C
0.980%   06/15/26     10   9,727
Series 2021-04A, Class C
1.460%   10/15/27     20   19,055
Ford Auto Securitization Trust (Canada),
Series 2020-AA, Class A3, 144A
1.153%   11/15/25   CAD 3,600   2,558,437
Ford Credit Auto Owner Trust,
Series 2018-01, Class A, 144A
3.190%   07/15/31     2,500   2,425,201
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Automobiles (cont’d.)
Series 2019-01, Class A, 144A
3.520%   07/15/30     2,200   $2,168,317
Series 2020-01, Class A, 144A
2.040%   08/15/31     3,600   3,416,623
Series 2020-02, Class A, 144A
1.060%   04/15/33     1,300   1,184,232
Series 2021-02, Class B, 144A
1.910%   05/15/34     500   445,373
Series 2023-01, Class A, 144A
4.850%   08/15/35     4,100   4,109,649
GM Financial Automobile Leasing Trust,
Series 2023-01, Class C
5.760%   01/20/27     25   25,007
GM Financial Revolving Receivables Trust,
Series 2021-01, Class B, 144A
1.490%   06/12/34     200   171,836
Hertz Vehicle Financing III LLC,
Series 2023-01A, Class A, 144A
5.490%   06/25/27     3,700   3,720,278
Hertz Vehicle Financing III LP,
Series 2021-02A, Class A, 144A
1.680%   12/27/27     1,900   1,682,956
Hertz Vehicle Financing LLC,
Series 2021-01A, Class A, 144A
1.210%   12/26/25     2,100   1,965,714
Series 2022-02A, Class A, 144A
2.330%   06/26/28     4,700   4,181,444
OneMain Direct Auto Receivables Trust,
Series 2019-01A, Class A, 144A
3.630%   09/14/27     6,300   6,117,374
Series 2021-01A, Class B, 144A
1.260%   07/14/28     2,600   2,333,912
Series 2023-01A, Class A, 144A
5.410%   11/14/29     4,700   4,733,012
Santander Drive Auto Receivables Trust,
Series 2020-02, Class C
1.460%   09/15/25     6   6,242
Series 2020-03, Class C
1.120%   01/15/26     540   537,890
Series 2020-04, Class C
1.010%   01/15/26     601   595,775
Series 2021-02, Class C
0.900%   06/15/26     989   971,008
Series 2021-02, Class D
1.350%   07/15/27     2,300   2,170,158
Series 2021-03, Class C
0.950%   09/15/27     2,000   1,941,279
Series 2021-04, Class C
1.260%   02/16/27     2,700   2,568,902
Series 2022-01, Class C
2.560%   04/17/28     1,600   1,535,140
Series 2022-03, Class C
4.490%   08/15/29     25   24,396
Series 2023-01, Class C
5.090%   05/15/30     800   790,710
A8

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Automobiles (cont’d.)
World Omni Select Auto Trust,
Series 2021-A, Class C
1.090%   11/15/27     600   $542,958
              83,977,716
Collateralized Loan Obligations — 4.9%
AIG CLO Ltd. (Cayman Islands),
Series 2019-02A, Class AR, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 1.100%)
5.918%(c)   10/25/33     11,000   10,786,208
Bain Capital Credit CLO Ltd. (Cayman Islands),
Series 2019-02A, Class AR, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 1.100%)
5.892%(c)   10/17/32     5,000   4,900,318
Balboa Bay Loan Funding Ltd. (Cayman Islands),
Series 2021-01A, Class A, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
6.008%(c)   07/20/34     3,750   3,664,324
Battalion CLO Ltd. (Cayman Islands),
Series 2016-10A, Class A1R2, 144A, 3 Month LIBOR + 1.170% (Cap N/A, Floor 1.170%)
5.986%(c)   01/25/35     700   681,774
Benefit Street Partners CLO Ltd. (Cayman Islands),
Series 2013-IIA, Class A1R2, 144A, 3 Month LIBOR + 0.870% (Cap N/A, Floor 0.870%)
5.662%(c)   07/15/29     639   634,405
BNPP AM Euro CLO DAC (Ireland),
Series 2018-01A, Class AR, 144A, 3 Month EURIBOR + 0.600% (Cap N/A, Floor 0.600%)
2.888%(c)   04/15/31   EUR 3,000   3,162,284
Canyon Capital CLO Ltd. (Cayman Islands),
Series 2017-01A, Class AR, 144A, 3 Month LIBOR + 1.000% (Cap N/A, Floor 1.000%)
5.792%(c)   07/15/30     2,967   2,929,269
Carlyle Euro CLO DAC (Ireland),
Series 2021-02A, Class A1, 144A, 3 Month EURIBOR + 0.990% (Cap N/A, Floor 0.990%)
3.278%(c)   10/15/35   EUR 5,000   5,214,886
Carlyle Global Market Strategies CLO Ltd. (Cayman Islands),
Series 2015-05A, Class A1RR, 144A, 3 Month LIBOR + 1.080% (Cap N/A, Floor 1.080%)
5.888%(c)   01/20/32     9,750   9,607,430
CarVal CLO Ltd. (Jersey),
Series 2023-01A, Class A1, 144A, 3 Month SOFR + 2.200% (Cap N/A, Floor 2.200%)
6.883%(c)   01/20/35     7,000   7,037,283
CIFC Funding Ltd. (Cayman Islands),
Series 2014-05A, Class A1R2, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
5.992%(c)   10/17/31     9,750   9,651,526
Elevation CLO Ltd. (Cayman Islands),
Series 2017-06A, Class A1, 144A, 3 Month LIBOR + 1.280% (Cap N/A, Floor 1.280%)
6.072%(c)   07/15/29     359   356,297
Series 2018-03A, Class A1R, 144A, 3 Month LIBOR + 1.210% (Cap N/A, Floor 1.210%)
6.028%(c)   01/25/35     7,500   7,303,823
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Collateralized Loan Obligations (cont’d.)
Greenwood Park CLO Ltd. (Cayman Islands),
Series 2018-01A, Class A2, 144A, 3 Month LIBOR + 1.010% (Cap N/A, Floor 0.000%)
5.802%(c)   04/15/31     2,000   $1,976,249
Greywolf CLO Ltd. (Cayman Islands),
Series 2018-01A, Class A1, 144A, 3 Month SOFR + 1.290% (Cap N/A, Floor 0.000%)
5.956%(c)   04/26/31     4,000   3,955,334
HPS Loan Management Ltd. (Cayman Islands),
Series 2015-06A, Class A1R, 144A, 3 Month LIBOR + 1.000% (Cap N/A, Floor 0.000%)
5.806%(c)   02/05/31     248   246,204
ICG US CLO Ltd. (Cayman Islands),
Series 2015-01A, Class A1R, 144A, 3 Month LIBOR + 1.140% (Cap N/A, Floor 1.140%)
5.938%(c)   10/19/28     6,236   6,188,914
Jamestown CLO Ltd. (Cayman Islands),
Series 2019-01A, Class A1, 144A, 3 Month LIBOR + 1.470% (Cap N/A, Floor 1.470%)
6.278%(c)   04/20/32     5,750   5,697,471
Series 2019-14A, Class A1AR, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
6.008%(c)   10/20/34     4,875   4,755,997
Jefferson Mill CLO Ltd. (Cayman Islands),
Series 2015-01A, Class AR, 144A, 3 Month LIBOR + 1.175% (Cap N/A, Floor 0.000%)
5.983%(c)   10/20/31     6,729   6,610,409
KKR Static CLO Ltd. (Cayman Islands),
Series 2022-02A, Class A1, 144A, 3 Month SOFR + 2.220% (Cap N/A, Floor 2.220%)
6.738%(c)   10/20/31     5,500   5,505,375
LCM Ltd. (Cayman Islands),
Series 34A, Class A1, 144A, 3 Month LIBOR + 1.170% (Cap N/A, Floor 1.170%)
5.978%(c)   10/20/34     6,000   5,841,686
MidOcean Credit CLO (Cayman Islands),
Series 2014-03A, Class A1R, 144A, 3 Month LIBOR + 1.120% (Cap N/A, Floor 1.120%)
5.935%(c)   04/21/31     2,372   2,339,524
Northwoods Capital Ltd. (Cayman Islands),
Series 2017-15A, Class A1R, 144A, 3 Month LIBOR + 1.210% (Cap N/A, Floor 1.210%)
6.173%(c)   06/20/34     9,500   9,177,889
Series 2020-22A, Class AR, 144A, 3 Month SOFR + 1.450% (Cap N/A, Floor 1.450%)
6.356%(c)   09/01/31     5,750   5,684,440
Octagon Investment Partners 31 Ltd. (Cayman Islands),
Series 2017-01A, Class AR, 144A, 3 Month LIBOR + 1.050% (Cap N/A, Floor 1.050%)
5.858%(c)   07/20/30     3,395   3,359,463
OFSI BSL Ltd. (Cayman Islands),
Series 2023-12A, Class A1, 144A, 3 Month SOFR + 2.400% (Cap N/A, Floor 2.400%)
7.355%(c)   01/20/35     7,000   7,027,777
 
A9

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Collateralized Loan Obligations (cont’d.)
OZLM Ltd. (Cayman Islands),
Series 2015-11A, Class A1R, 144A, 3 Month LIBOR + 1.250% (Cap N/A, Floor 0.000%)
6.052%(c)   10/30/30     1,384   $1,371,535
Palmer Square CLO Ltd. (Cayman Islands),
Series 2014-01A, Class A1R2, 144A, 3 Month LIBOR + 1.130% (Cap N/A, Floor 1.130%)
5.922%(c)   01/17/31     1,500   1,488,533
Series 2018-02A, Class A1A, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 0.000%)
5.892%(c)   07/16/31     2,350   2,320,568
Palmer Square European CLO DAC (Ireland),
Series 2022-02A, Class A1, 144A, 3 Month EURIBOR + 2.200% (Cap N/A, Floor 2.200%)
4.642%(c)   01/15/36   EUR 7,500   8,133,229
Park Avenue Institutional Advisers CLO Ltd. (Cayman Islands),
Series 2018-01A, Class A1AR, 144A, 3 Month LIBOR + 1.000% (Cap N/A, Floor 1.000%)
5.808%(c)   10/20/31     8,750   8,603,195
Regatta Funding Ltd. (Cayman Islands),
Series 2016-01A, Class A1R2, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 1.150%)
6.113%(c)   06/20/34     5,500   5,358,002
Romark CLO Ltd. (Cayman Islands),
Series 2018-02A, Class A1, 144A, 3 Month LIBOR + 1.175% (Cap N/A, Floor 1.175%)
5.993%(c)   07/25/31     1,000   986,320
Sound Point CLO Ltd. (Cayman Islands),
Series 2013-01A, Class A1R, 144A, 3 Month LIBOR + 1.070% (Cap N/A, Floor 1.070%)
5.892%(c)   01/26/31     4,250   4,200,355
Series 2019-01A, Class AR, 144A, 3 Month LIBOR + 1.080% (Cap N/A, Floor 1.080%)
5.888%(c)   01/20/32     1,240   1,221,505
TCW CLO Ltd. (Cayman Islands),
Series 2021-02A, Class AS, 144A, 3 Month LIBOR + 1.180% (Cap N/A, Floor 1.180%)
5.998%(c)   07/25/34     6,750   6,604,966
Telos CLO Ltd. (Cayman Islands),
Series 2013-04A, Class AR, 144A, 3 Month LIBOR + 1.240% (Cap N/A, Floor 0.000%)
6.032%(c)   01/17/30     1,935   1,916,971
Toro European CLO DAC (Ireland),
Series 02A, Class ARR, 144A, 3 Month EURIBOR + 0.990% (Cap N/A, Floor 0.990%)
3.439%(c)   07/25/34   EUR 4,500   4,704,790
Trimaran Cavu Ltd.,
Series 2019-01A, Class A1, 144A, 3 Month LIBOR + 1.460% (Cap N/A, Floor 1.460%)
6.268%(c)   07/20/32     3,000   2,967,044
TSTAT Ltd. (Bermuda),
Series 2022-02A, Class A1, 144A, 3 Month SOFR + 2.370% (Cap N/A, Floor 2.370%)
6.883%(c)   01/20/31     8,750   8,762,620
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Collateralized Loan Obligations (cont’d.)
Venture CLO Ltd. (Cayman Islands),
Series 2021-42A, Class A1A, 144A, 3 Month LIBOR + 1.130% (Cap N/A, Floor 1.130%)
5.922%(c)   04/15/34     10,000   $9,700,987
Wellfleet CLO Ltd.,
Series 2017-03A, Class A1, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 1.150%)
5.942%(c)   01/17/31     2,750   2,692,502
Series 2018-01A, Class A, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 1.100%)
5.892%(c)   07/17/31     3,500   3,447,880
Series 2018-02A, Class A1, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
6.008%(c)   10/20/31     5,750   5,666,737
              214,444,298
Consumer Loans — 0.2%
Lendmark Funding Trust,
Series 2019-02A, Class A, 144A
2.780%   04/20/28     1,847   1,815,302
OneMain Financial Issuance Trust,
Series 2020-01A, Class A, 144A
3.840%   05/14/32     359   356,837
Series 2020-02A, Class A, 144A
1.750%   09/14/35     2,900   2,602,566
Series 2021-01A, Class A2, 144A, 30 Day Average SOFR + 0.760% (Cap N/A, Floor 0.000%)
5.318%(c)   06/16/36     2,800   2,703,320
Series 2022-02A, Class A, 144A
4.890%   10/14/34     2,050   2,014,627
              9,492,652
Equipment — 0.2%
CNH Equipment Trust,
Series 2019-C, Class B
2.350%   04/15/27     20   19,610
MMAF Equipment Finance LLC,
Series 2017-B, Class A5, 144A
2.720%   06/15/40     2,403   2,340,503
Series 2018-A, Class A5, 144A
3.610%   03/10/42     195   193,829
Series 2019-A, Class A5, 144A
3.080%   11/12/41     2,500   2,428,977
Series 2019-B, Class A5, 144A
2.290%   11/12/41     2,400   2,236,453
              7,219,372
Home Equity Loans — 0.0%
Towd Point HE Trust,
Series 2023-01, Class A1A, 144A
6.875%   02/25/63     516   524,880
Other — 0.1%
Home Partners of America Trust,
Series 2021-03, Class A, 144A
2.200%   01/17/41     1,273   1,104,875
 
A10

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Other (cont’d.)
Series 2022-01, Class D, 144A
4.730%   04/17/39     97   $89,777
TH MSR Issuer Trust,
Series 2019-FT01, Class A, 144A, 1 Month LIBOR + 2.800% (Cap N/A, Floor 2.800%)
7.645%(c)   06/25/24     3,250   3,057,957
              4,252,609
Residential Mortgage-Backed Securities — 0.1%
Long Beach Mortgage Loan Trust,
Series 2004-02, Class M1, 1 Month LIBOR + 0.795% (Cap N/A, Floor 0.795%)
5.640%(c)   06/25/34     109   103,747
TFS (Spain),
Series 2018-03, Class A1
0.000%(s)   04/16/40^   EUR —(r)   1
Series 2018-03, Class A1, 1 Month EURIBOR + 3.000%
5.646%(c)   04/16/23^   EUR 1,185   1,217,884
              1,321,632
Student Loans — 0.2%
Commonbond Student Loan Trust,
Series 2017-BGS, Class A1, 144A
2.680%   09/25/42     695   622,679
Series 2018-AGS, Class A1, 144A
3.210%   02/25/44     507   474,063
Series 2018-CGS, Class A1, 144A
3.870%   02/25/46     145   138,464
Laurel Road Prime Student Loan Trust,
Series 2017-C, Class A2B, 144A
2.810%   11/25/42     86   84,596
Series 2018-B, Class A2FX, 144A
3.540%   05/26/43     176   172,821
Series 2019-A, Class A2FX, 144A
2.730%   10/25/48     237   229,721
Navient Private Education Refi Loan Trust,
Series 2018-A, Class A2, 144A
3.190%   02/18/42     154   153,206
Series 2018-CA, Class A2, 144A
3.520%   06/16/42     200   195,435
Series 2019-CA, Class A2, 144A
3.130%   02/15/68     776   740,126
Series 2020-BA, Class A2, 144A
2.120%   01/15/69     819   748,677
Pennsylvania Higher Education Assistance Agency,
Series 2021-01A, Class A, 144A, 1 Month LIBOR + 0.530% (Cap N/A, Floor 0.530%)
5.375%(c)   05/25/70     1,750   1,685,775
SoFi Professional Loan Program LLC,
Series 2019-A, Class A2FX, 144A
3.690%   06/15/48     643   617,254
Series 2019-B, Class A2FX, 144A
3.090%   08/17/48     777   734,206
Series 2019-C, Class A2FX, 144A
2.370%   11/16/48     1,192   1,110,748
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
Asset-Backed Securities (continued)
Student Loans (cont’d.)
SoFi Professional Loan Program Trust,
Series 2018-B, Class A2FX, 144A
3.340%   08/25/47     690   $669,757
Series 2020-A, Class A2FX, 144A
2.540%   05/15/46     1,546   1,441,335
              9,818,863
 
Total Asset-Backed Securities

(cost $340,451,114)

  331,052,022
Commercial Mortgage-Backed Securities — 4.7%
Arbor Multifamily Mortgage Securities Trust,
Series 2021-MF03, Class A3, 144A
2.168%   10/15/54     8,000   6,836,958
Series 2021-MF03, Class ASB, 144A
2.378%   10/15/54     3,800   3,260,861
Assurant Commercial Mortgage Trust,
Series 2016-01A, Class AS, 144A
3.172%   05/15/49     3,751   3,605,215
BANK,
Series 2017-BNK04, Class A3
3.362%   05/15/50     6,465   6,016,335
Series 2021-BN35, Class A3
1.717%   06/15/64     4,900   4,116,351
Series 2021-BN35, Class ASB
2.067%   06/15/64     3,200   2,705,013
BANK5,
Series 2023-5YR1, Class A3
6.260%   03/15/56     10,000   10,299,800
Barclays Commercial Mortgage Securities Trust,
Series 2018-C02, Class A4
4.047%   12/15/51     5,400   5,092,629
Series 2019-BWAY, Class D, 144A, 1 Month SOFR + 2.274% (Cap N/A, Floor 2.274%)
7.101%(c)   11/15/34     10   5,119
Series 2020-BID, Class A, 144A, 1 Month LIBOR + 2.140% (Cap N/A, Floor 2.140%)
6.824%(c)   10/15/37     20   19,313
Benchmark Mortgage Trust,
Series 2018-B03, Class A4
3.761%   04/10/51     5,000   4,667,241
Series 2018-B08, Class A4
3.963%   01/15/52     6,700   6,331,732
Series 2021-B24, Class A3
2.010%   03/15/54     2,900   2,489,833
BXP Trust,
Series 2021-601L, Class A, 144A
2.618%   01/15/44     7,750   5,961,952
Cantor Commercial Real Estate Lending,
Series 2019-CF02, Class A3
2.647%   11/15/52     8,000   7,475,346
CD Mortgage Trust,
Series 2016-CD02, Class A4
3.526%(cc)   11/10/49     10   9,341
Citigroup Commercial Mortgage Trust,
Series 2014-GC21, Class A4
3.575%   05/10/47     831   813,600
 
A11

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Commercial Mortgage-Backed Securities
(continued)
Series 2014-GC23, Class A3
3.356%   07/10/47     1,549   $1,498,132
Series 2015-GC33, Class A4
3.778%   09/10/58     10   9,588
Series 2016-C01, Class A3
2.944%   05/10/49     5,000   4,655,616
Series 2016-GC37, Class A3
3.050%   04/10/49     3,560   3,342,867
Series 2017-P07, Class A3
3.442%   04/14/50     5,084   4,736,371
Commercial Mortgage Trust,
Series 2014-CR18, Class A4
3.550%   07/15/47     1,052   1,021,582
Series 2014-CR18, Class A5
3.828%   07/15/47     25   24,299
Series 2014-CR20, Class A3
3.326%   11/10/47     4,083   3,940,435
Series 2014-UBS02, Class A5
3.961%   03/10/47     25   24,524
Series 2015-CR23, Class A3
3.230%   05/10/48     22   21,205
Series 2015-CR24, Class A5
3.696%   08/10/48     10   9,588
Series 2015-CR27, Class A3
3.349%   10/10/48     5,938   5,651,304
Series 2015-LC21, Class A4
3.708%   07/10/48     10   9,596
CSAIL Commercial Mortgage Trust,
Series 2015-C04, Class A3
3.544%   11/15/48     2,979   2,851,834
Series 2017-C08, Class A3
3.127%   06/15/50     5,052   4,573,749
FHLMC Multifamily Structured Pass-Through Certificates,
Series K055, Class X1, IO
1.344%(cc)   03/25/26     12,821   442,729
Series K068, Class A1
2.952%   02/25/27     6   6,081
GS Mortgage Securities Corp. Trust,
Series 2021-RENT, Class A, 144A, 1 Month LIBOR + 0.700% (Cap N/A, Floor 0.700%)
5.478%(c)   11/21/35     1,534   1,440,165
GS Mortgage Securities Trust,
Series 2015-GC28, Class A4
3.136%   02/10/48     3,684   3,543,261
Series 2015-GC32, Class A3
3.498%   07/10/48     5,265   5,027,807
Series 2015-GC32, Class A4
3.764%   07/10/48     10   9,599
Series 2016-GS03, Class A3
2.592%   10/10/49     5,387   4,950,591
Series 2016-GS04, Class A3
3.178%   11/10/49     5,219   4,862,066
Series 2018-GS09, Class A4
3.992%(cc)   03/10/51     10   9,416
Series 2020-GSA02, Class A4
1.721%   12/12/53     6,000   4,777,447
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Commercial Mortgage-Backed Securities
(continued)
Series 2021-GSA03, Class A4
2.369%   12/15/54     5,800   $4,672,681
JPMBB Commercial Mortgage Securities Trust,
Series 2014-C25, Class A4A1
3.408%   11/15/47     676   652,148
Series 2015-C27, Class A3A1
2.920%   02/15/48     4,719   4,454,035
Series 2015-C30, Class A5
3.822%   07/15/48     10   9,559
MHC Commercial Mortgage Trust,
Series 2021-MHC, Class C, 144A, 1 Month LIBOR + 1.351% (Cap N/A, Floor 1.351%)
6.035%(c)   04/15/38     3,000   2,864,654
Morgan Stanley Capital I Trust,
Series 2016-BNK02, Class A3
2.791%   11/15/49     3,000   2,748,800
Series 2016-UB11, Class A3
2.531%   08/15/49     10,156   9,257,163
Series 2018-H04, Class A3
4.043%   12/15/51     1,900   1,800,765
Series 2019-H07, Class A2
2.492%   07/15/52     13,500   12,891,899
Series 2019-MEAD, Class D, 144A
3.177%(cc)   11/10/36     10   8,686
UBS Commercial Mortgage Trust,
Series 2017-C02, Class ASB
3.264%   08/15/50     3,056   2,917,347
Series 2017-C05, Class A4
3.212%   11/15/50     6,750   6,281,540
Series 2018-C09, Class A3
3.854%   03/15/51     2,423   2,275,740
Series 2018-C14, Class A3
4.180%   12/15/51     3,411   3,251,228
Wells Fargo Commercial Mortgage Trust,
Series 2015-C30, Class A4
3.664%   09/15/58     10   9,693
Series 2015-NXS02, Class A5
3.767%(cc)   07/15/58     10   9,586
Series 2016-NXS06, Class A3
2.642%   11/15/49     8,000   7,392,190
Series 2017-C38, Class A4
3.190%   07/15/50     4,440   4,091,353
Series 2018-C48, Class A4
4.037%   01/15/52     7,000   6,641,823
Series 2020-C58, Class A3
1.810%   07/15/53     7,100   5,742,909
 
Total Commercial Mortgage-Backed Securities

(cost $226,041,500)

  205,120,290
Corporate Bonds — 10.2%
Aerospace & Defense — 0.2%
Boeing Co. (The),
Sr. Unsec’d. Notes
2.196%   02/04/26     2,160   2,003,640
3.300%   03/01/35     2,900   2,265,725
 
A12

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Aerospace & Defense (cont’d.)
3.900%   05/01/49     2,175   $1,644,736
Embraer Netherlands Finance BV (Brazil),
Gtd. Notes
5.050%   06/15/25     906   874,856
Embraer Overseas Ltd. (Brazil),
Gtd. Notes, 144A
5.696%   09/16/23     950   945,250
L3Harris Technologies, Inc.,
Sr. Unsec’d. Notes
4.854%   04/27/35     10   9,843
Raytheon Technologies Corp.,
Sr. Unsec’d. Notes
4.125%   11/16/28     1,270   1,251,474
              8,995,524
Agriculture — 0.4%
Altria Group, Inc.,
Gtd. Notes
3.400%   02/04/41     2,545   1,800,780
BAT Capital Corp. (United Kingdom),
Gtd. Notes
2.259%   03/25/28     5,140   4,414,480
3.557%   08/15/27     395   367,336
BAT International Finance PLC (United Kingdom),
Gtd. Notes
4.448%   03/16/28     1,500   1,424,358
Philip Morris International, Inc.,
Sr. Unsec’d. Notes
5.125%   02/15/30(h)     5,150   5,205,229
5.375%   02/15/33     780   797,062
5.625%   11/17/29     1,885   1,970,173
Vector Group Ltd.,
Sr. Sec’d. Notes, 144A
5.750%   02/01/29     1,250   1,111,947
              17,091,365
Airlines — 0.1%
American Airlines 2014-1 Class A Pass-Through Trust,
Pass-Through Certificates
3.700%   04/01/28     3   2,636
American Airlines 2015-1 Class A Pass-Through Trust,
Pass-Through Certificates
3.375%   11/01/28     2,040   1,773,353
American Airlines 2019-1 Class AA Pass-Through Trust,
Pass-Through Certificates
3.150%   08/15/33     21   18,307
Continental Airlines 2012-2 Class A Pass-Through Trust,
Pass-Through Certificates
4.000%   04/29/26     389   376,070
Southwest Airlines Co.,
Sr. Unsec’d. Notes
5.125%   06/15/27     905   903,526
United Airlines 2018-1 Class A Pass-Through Trust,
Pass-Through Certificates
3.700%   09/01/31     24   20,094
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Airlines (cont’d.)
United Airlines, Inc.,
Sr. Sec’d. Notes, 144A
4.375%   04/15/26     840   $805,478
4.625%   04/15/29     165   149,228
              4,048,692
Apparel — 0.0%
Wolverine World Wide, Inc.,
Gtd. Notes, 144A
4.000%   08/15/29(a)     725   589,188
Auto Manufacturers — 0.3%
Daimler Truck Finance North America LLC (Germany),
Gtd. Notes, 144A
1.625%   12/13/24     5,350   5,063,168
Ford Motor Co.,
Sr. Unsec’d. Notes
5.291%   12/08/46     1,220   989,701
Ford Motor Credit Co. LLC,
Sr. Unsec’d. Notes
2.900%   02/16/28     200   171,568
General Motors Co.,
Sr. Unsec’d. Notes
4.000%   04/01/25     5   4,870
6.250%   10/02/43     980   942,600
6.600%   04/01/36     760   783,308
General Motors Financial Co., Inc.,
Gtd. Notes
3.950%   04/13/24     2,800   2,752,635
PACCAR Financial Corp.,
Sr. Unsec’d. Notes, MTN
0.900%   11/08/24     20   18,886
              10,726,736
Banks — 2.9%
Banco Santander SA (Spain),
Sr. Unsec’d. Notes
1.849%   03/25/26     1,000   895,530
Sr. Unsec’d. Notes, 3 Month LIBOR + 1.120%
5.926%(c)   04/12/23     800   799,989
Bank of America Corp.,
Jr. Sub. Notes, Series JJ
5.125%(ff)   06/20/24(oo)     1,665   1,602,638
Sr. Unsec’d. Notes
0.976%(ff)   04/22/25     25   23,819
2.592%(ff)   04/29/31     50   42,349
5.080%(ff)   01/20/27     25   24,946
Sr. Unsec’d. Notes, MTN
1.898%(ff)   07/23/31     2,600   2,084,449
2.496%(ff)   02/13/31     3,085   2,614,456
3.824%(ff)   01/20/28     955   910,881
4.244%(ff)   04/24/38     20   17,995
4.271%(ff)   07/23/29     510   490,860
Sr. Unsec’d. Notes, Series N
1.658%(ff)   03/11/27     2,550   2,306,907
Sub. Notes, MTN
4.000%   01/22/25     2,000   1,958,365
 
A13

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Banks (cont’d.)
4.450%   03/03/26     8,455   $8,279,198
Bank of America NA,
Sub. Notes
6.000%   10/15/36     410   441,700
Bank of Montreal (Canada),
Sr. Unsec’d. Notes, MTN
2.650%   03/08/27     35   32,195
Barclays PLC (United Kingdom),
Sr. Unsec’d. Notes
3.650%   03/16/25     850   806,874
3.932%(ff)   05/07/25     585   569,709
Sr. Unsec’d. Notes, MTN
4.972%(ff)   05/16/29     3,825   3,688,888
BNP Paribas SA (France),
Sr. Unsec’d. Notes, 144A
1.323%(ff)   01/13/27     1,800   1,585,817
2.219%(ff)   06/09/26     680   624,546
2.591%(ff)   01/20/28     1,130   1,013,801
3.132%(ff)   01/20/33     1,505   1,250,935
Citigroup, Inc.,
Jr. Sub. Notes, Series V
4.700%(ff)   01/30/25(oo)     1,400   1,228,119
Sr. Unsec’d. Notes
2.561%(ff)   05/01/32     1,260   1,043,973
3.200%   10/21/26     1,870   1,765,122
3.700%   01/12/26     6,180   5,988,195
3.887%(ff)   01/10/28     35   33,504
Sub. Notes
4.450%   09/29/27     5,975   5,794,584
4.600%   03/09/26     10   9,812
4.750%   05/18/46     820   726,375
Credit Agricole SA (France),
Sr. Unsec’d. Notes, 144A, MTN
1.907%(ff)   06/16/26     1,160   1,065,535
Credit Suisse Group AG (Switzerland),
Sr. Unsec’d. Notes
4.550%   04/17/26     5,000   4,575,000
Sr. Unsec’d. Notes, 144A
2.193%(ff)   06/05/26     1,560   1,380,600
3.091%(ff)   05/14/32     885   711,319
4.282%   01/09/28     1,370   1,236,425
Deutsche Bank AG (Germany),
Sr. Unsec’d. Notes
2.129%(ff)   11/24/26     440   378,867
Discover Bank,
Sr. Unsec’d. Notes
4.250%   03/13/26(a)     970   921,847
Fifth Third Bancorp,
Sr. Unsec’d. Notes
1.625%   05/05/23     15   14,923
Sub. Notes
4.300%   01/16/24     10   9,768
Goldman Sachs Group, Inc. (The),
Sr. Unsec’d. Notes
2.650%(ff)   10/21/32     35   28,863
3.102%(ff)   02/24/33     7,000   5,999,440
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Banks (cont’d.)
3.500%   01/23/25     4,115   $4,004,289
3.750%   02/25/26(a)     1,010   982,411
3.814%(ff)   04/23/29     540   507,964
3.850%   01/26/27     2,920   2,819,216
Sub. Notes
5.150%   05/22/45     5   4,750
6.750%   10/01/37     104   112,778
JPMorgan Chase & Co.,
Jr. Sub. Notes, Series HH
4.600%(ff)   02/01/25(oo)     1,645   1,536,656
Jr. Sub. Notes, Series II
4.000%(ff)   04/01/25(a)(oo)     1,045   929,392
Sr. Unsec’d. Notes
3.782%(ff)   02/01/28     695   665,140
3.882%(ff)   07/24/38     20   17,610
3.964%(ff)   11/15/48     3,250   2,693,855
4.005%(ff)   04/23/29     2,170   2,073,634
4.452%(ff)   12/05/29     3,350   3,254,319
4.912%(ff)   07/25/33(a)     3,500   3,479,953
Sub. Notes
2.956%(ff)   05/13/31     15   12,917
3.375%   05/01/23     50   49,919
3.875%   09/10/24(a)     3,775   3,710,916
5.717%(ff)   09/14/33     20   20,406
KeyCorp,
Sr. Unsec’d. Notes, MTN
2.250%   04/06/27     25   21,238
M&T Bank Corp.,
Sr. Unsec’d. Notes
3.550%   07/26/23     25   24,567
Morgan Stanley,
Sr. Unsec’d. Notes
6.342%(ff)   10/18/33     2,000   2,186,565
Sr. Unsec’d. Notes, GMTN
2.239%(ff)   07/21/32     630   506,767
3.772%(ff)   01/24/29     8,775   8,314,428
3.875%   01/27/26     675   659,568
4.431%(ff)   01/23/30     515   495,687
Sr. Unsec’d. Notes, MTN
2.188%(ff)   04/28/26     25   23,492
3.591%(ff)   07/22/28     1,255   1,186,321
3.971%(ff)   07/22/38     15   13,224
4.300%   01/27/45     5   4,385
Sub. Notes, GMTN
4.350%   09/08/26     3,825   3,731,502
PNC Financial Services Group, Inc. (The),
Sr. Unsec’d. Notes
4.758%(ff)   01/26/27     35   34,572
Societe Generale SA (France),
Sr. Unsec’d. Notes, 144A
1.488%(ff)   12/14/26     4,400   3,840,195
Sr. Unsec’d. Notes, 144A, MTN
6.447%(ff)   01/12/27     1,495   1,487,746
State Bank of India (India),
Sr. Unsec’d. Notes, 144A
4.375%   01/24/24     1,925   1,909,720
 
A14

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Banks (cont’d.)
State Street Corp.,
Sr. Unsec’d. Notes
4.857%(ff)   01/26/26     10   $9,938
Sumitomo Mitsui Trust Bank Ltd. (Japan),
Sr. Unsec’d. Notes, 144A, MTN
5.650%   03/09/26     1,040   1,056,560
Texas Capital Bank NA,
Sr. Unsec’d. Notes, 144A, 3 Month LIBOR + 4.500%
9.659%(c)   09/30/24     2,670   2,590,161
Toronto-Dominion Bank (The) (Canada),
Sr. Unsec’d. Notes, MTN
1.150%   06/12/25     35   32,146
Truist Financial Corp.,
Sr. Unsec’d. Notes, MTN
1.950%   06/05/30     10   8,069
Wells Fargo & Co.,
Sr. Unsec’d. Notes
2.188%(ff)   04/30/26     50   46,916
Sr. Unsec’d. Notes, MTN
2.572%(ff)   02/11/31     4,175   3,542,300
4.897%(ff)   07/25/33     3,500   3,413,880
              126,995,190
Beverages — 0.1%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium),
Gtd. Notes
4.900%   02/01/46     630   611,092
Anheuser-Busch InBev Worldwide, Inc. (Belgium),
Gtd. Notes
3.500%   06/01/30     25   23,582
4.600%   04/15/48     360   341,004
8.000%   11/15/39     1,285   1,652,703
8.200%   01/15/39     250   326,455
Constellation Brands, Inc.,
Sr. Unsec’d. Notes
2.250%   08/01/31     1,015   833,710
Keurig Dr. Pepper, Inc.,
Gtd. Notes
4.500%   04/15/52     2,291   2,036,376
              5,824,922
Biotechnology — 0.1%
Amgen, Inc.,
Sr. Unsec’d. Notes
2.800%   08/15/41     4,050   2,963,957
Biogen, Inc.,
Sr. Unsec’d. Notes
2.250%   05/01/30     40   33,666
              2,997,623
Building Materials — 0.0%
Masonite International Corp.,
Gtd. Notes, 144A
3.500%   02/15/30     550   456,500
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Building Materials (cont’d.)
Standard Industries, Inc.,
Sr. Unsec’d. Notes, 144A
4.375%   07/15/30     760   $659,872
4.750%   01/15/28     700   653,481
              1,769,853
Chemicals — 0.1%
Air Products & Chemicals, Inc.,
Sr. Unsec’d. Notes
1.500%   10/15/25     5   4,649
Dow Chemical Co. (The),
Sr. Unsec’d. Notes
4.375%   11/15/42     95   82,336
6.900%   05/15/53     35   40,508
9.400%   05/15/39     155   207,809
NOVA Chemicals Corp. (Canada),
Sr. Unsec’d. Notes, 144A
4.875%   06/01/24     1,300   1,279,109
Sasol Financing USA LLC (South Africa),
Gtd. Notes
5.875%   03/27/24     700   691,600
6.500%   09/27/28     670   627,000
              2,933,011
Commercial Services — 0.1%
ERAC USA Finance LLC,
Gtd. Notes, 144A
4.200%   11/01/46     975   825,585
6.700%   06/01/34     420   476,950
7.000%   10/15/37     380   449,043
George Washington University (The),
Unsec’d. Notes, Series 2014
4.300%   09/15/44     5   4,465
Massachusetts Institute of Technology,
Unsec’d. Notes
3.885%   07/01/2116     1,500   1,181,849
Northwestern University,
Unsec’d. Notes, Series 2020
2.640%   12/01/50     20   13,947
PayPal Holdings, Inc.,
Sr. Unsec’d. Notes
2.400%   10/01/24     30   29,051
RELX Capital, Inc. (United Kingdom),
Gtd. Notes
3.000%   05/22/30     10   8,899
Transurban Finance Co. Pty Ltd. (Australia),
Sr. Sec’d. Notes, 144A
4.125%   02/02/26     5   4,837
United Rentals North America, Inc.,
Gtd. Notes
3.750%   01/15/32     325   279,690
4.875%   01/15/28(a)     1,190   1,137,925
5.250%   01/15/30     385   370,341
 
A15

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Commercial Services (cont’d.)
University of Miami,
Sr. Unsec’d. Notes, Series 2022
4.063%   04/01/52     1,170   $1,011,617
              5,794,199
Computers — 0.0%
Apple, Inc.,
Sr. Unsec’d. Notes
1.650%   05/11/30     15   12,765
3.200%   05/13/25     25   24,527
              37,292
Distribution/Wholesale — 0.0%
Ritchie Bros Holdings, Inc. (Canada),
Sr. Sec’d. Notes, 144A
6.750%   03/15/28     75   77,237
Diversified Financial Services — 0.2%
Avolon Holdings Funding Ltd. (Ireland),
Gtd. Notes, 144A
3.950%   07/01/24     5   4,868
5.250%   05/15/24     20   19,806
BOC Aviation USA Corp. (China),
Gtd. Notes, 144A, MTN
1.625%   04/29/24     670   643,863
Cantor Fitzgerald LP,
Sr. Unsec’d. Notes, 144A
4.500%   04/14/27(a)     4,985   4,715,784
Capital One Financial Corp.,
Sr. Unsec’d. Notes
3.650%   05/11/27     20   18,271
CDP Financial, Inc. (Canada),
Gtd. Notes, 144A
3.150%   07/24/24     480   471,275
Discover Financial Services,
Sr. Unsec’d. Notes
3.750%   03/04/25     5   4,743
Nomura Holdings, Inc. (Japan),
Sr. Unsec’d. Notes
2.608%   07/14/31     2,055   1,611,828
OneMain Finance Corp.,
Gtd. Notes
8.250%   10/01/23     1,600   1,604,555
Private Export Funding Corp.,
U.S. Gov’t. Gtd. Notes, Series NN
3.250%   06/15/25     330   320,768
              9,415,761
Electric — 1.2%
Abu Dhabi National Energy Co. PJSC (United Arab Emirates),
Sr. Unsec’d. Notes, 144A, MTN
2.000%   04/29/28     525   465,609
AEP Texas, Inc.,
Sr. Unsec’d. Notes
3.950%   06/01/28     2,910   2,800,852
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Electric (cont’d.)
Alfa Desarrollo SpA (Chile),
Sr. Sec’d. Notes, 144A
4.550%   09/27/51     627   $454,498
Appalachian Power Co.,
Sr. Unsec’d. Notes
4.450%   06/01/45     10   8,541
Baltimore Gas & Electric Co.,
Sr. Unsec’d. Notes
6.350%   10/01/36     550   613,501
Berkshire Hathaway Energy Co.,
Sr. Unsec’d. Notes
3.800%   07/15/48     15   12,115
5.950%   05/15/37     305   329,217
Calpine Corp.,
Sr. Sec’d. Notes, 144A
3.750%   03/01/31(a)     2,000   1,698,565
CenterPoint Energy Houston Electric LLC,
General Ref. Mortgage, Series K2
6.950%   03/15/33     590   686,858
Comision Federal de Electricidad (Mexico),
Gtd. Notes, 144A
4.688%   05/15/29     1,400   1,244,950
Commonwealth Edison Co.,
First Mortgage, Series 123
3.750%   08/15/47     1,610   1,312,108
Connecticut Light & Power Co. (The),
First Mortgage, Series A
2.050%   07/01/31     3,255   2,700,039
Consolidated Edison Co. of New York, Inc.,
Sr. Unsec’d. Notes, Series 09-C
5.500%   12/01/39     220   222,440
Duke Energy Carolinas LLC,
First Mortgage
6.050%   04/15/38     550   601,084
First Ref. Mortgage
4.000%   09/30/42     570   487,781
El Paso Electric Co.,
Sr. Unsec’d. Notes
6.000%   05/15/35     670   696,501
Enel Finance International NV (Italy),
Gtd. Notes, 144A
2.250%   07/12/31     2,140   1,667,144
Engie Energia Chile SA (Chile),
Sr. Unsec’d. Notes, 144A
3.400%   01/28/30     400   325,825
Evergy Kansas Central, Inc.,
First Mortgage
5.700%   03/15/53     1,310   1,369,353
Eversource Energy,
Sr. Unsec’d. Notes, Series M
3.300%   01/15/28     5   4,698
Sr. Unsec’d. Notes, Series N
3.800%   12/01/23     10   9,883
Exelon Corp.,
Sr. Unsec’d. Notes
3.400%   04/15/26     25   24,041
 
A16

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Electric (cont’d.)
FirstEnergy Corp.,
Sr. Unsec’d. Notes, Series C
7.375%   11/15/31     10   $11,302
FirstEnergy Transmission LLC,
Sr. Unsec’d. Notes, 144A
4.350%   01/15/25     10   9,842
Florida Power & Light Co.,
First Mortgage
5.100%   04/01/33     2,840   2,942,020
5.950%   10/01/33     295   322,454
Iberdrola International BV (Spain),
Gtd. Notes
6.750%   09/15/33     145   155,945
Israel Electric Corp. Ltd. (Israel),
Sr. Sec’d. Notes, 144A, GMTN
4.250%   08/14/28     470   439,979
Kentucky Utilities Co.,
First Mortgage
4.375%   10/01/45     10   8,578
Metropolitan Edison Co.,
Sr. Unsec’d. Notes, 144A
5.200%   04/01/28     900   909,089
Monongahela Power Co.,
First Mortgage, 144A
4.100%   04/15/24     2,170   2,124,709
NextEra Energy Capital Holdings, Inc.,
Gtd. Notes
2.440%   01/15/32     25   20,729
4.900%   02/28/28(a)     3,800   3,826,179
6.051%   03/01/25     780   793,679
Northern States Power Co.,
First Mortgage
3.600%   09/15/47     1,580   1,278,244
NRG Energy, Inc.,
Gtd. Notes, 144A
3.625%   02/15/31     75   60,797
3.875%   02/15/32     200   160,116
Sr. Sec’d. Notes, 144A
2.000%   12/02/25     320   288,162
2.450%   12/02/27     1,395   1,196,781
Pacific Gas & Electric Co.,
First Mortgage
2.100%   08/01/27     10   8,720
3.950%   12/01/47     2,000   1,424,092
6.700%   04/01/53     1,120   1,153,292
PacifiCorp,
First Mortgage
5.350%   12/01/53     3,010   3,088,594
PECO Energy Co.,
First Mortgage
2.800%   06/15/50     1,110   754,919
Public Service Electric & Gas Co.,
First Mortgage, MTN
2.050%   08/01/50     1,005   592,672
3.700%   05/01/28     1,280   1,235,529
4.900%   12/15/32     1,050   1,073,931
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Electric (cont’d.)
Sec’d. Notes, MTN
4.650%   03/15/33     1,380   $1,385,170
Sr. Sec’d. Notes, MTN
5.800%   05/01/37     535   578,846
Public Service Enterprise Group, Inc.,
Sr. Unsec’d. Notes
1.600%   08/15/30     710   568,062
Puget Energy, Inc.,
Sr. Sec’d. Notes
2.379%   06/15/28     1,115   982,229
San Diego Gas & Electric Co.,
First Mortgage
4.150%   05/15/48     1,400   1,217,743
Sempra Energy,
Sr. Unsec’d. Notes
3.300%   04/01/25     20   19,373
Southern California Edison Co.,
First Mortgage
5.300%   03/01/28     1,670   1,713,255
First Ref. Mortgage
4.000%   04/01/47     580   477,529
First Ref. Mortgage, Series C
3.600%   02/01/45     860   644,200
Vistra Operations Co. LLC,
Gtd. Notes, 144A
5.000%   07/31/27(a)     725   685,183
Sr. Sec’d. Notes, 144A
3.550%   07/15/24     2,145   2,071,966
Xcel Energy, Inc.,
Sr. Unsec’d. Notes
4.800%   09/15/41     480   438,546
              52,398,059
Engineering & Construction — 0.1%
AECOM,
Gtd. Notes
5.125%   03/15/27     575   563,978
Mexico City Airport Trust (Mexico),
Sr. Sec’d. Notes, 144A
3.875%   04/30/28     500   462,500
4.250%   10/31/26     445   424,697
5.500%   07/31/47     800   611,040
              2,062,215
Entertainment — 0.0%
Warnermedia Holdings, Inc.,
Gtd. Notes, 144A
5.050%   03/15/42     900   752,537
5.141%   03/15/52     810   657,136
5.391%   03/15/62     405   327,343
              1,737,016
Environmental Control — 0.0%
Clean Harbors, Inc.,
Gtd. Notes, 144A
6.375%   02/01/31     100   102,036
 
A17

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Environmental Control (cont’d.)
Republic Services, Inc.,
Sr. Unsec’d. Notes
2.500%   08/15/24     15   $14,536
3.375%   11/15/27     5   4,775
Waste Connections, Inc.,
Sr. Unsec’d. Notes
3.200%   06/01/32     20   17,778
              139,125
Foods — 0.2%
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.,
Gtd. Notes, 144A
5.125%   02/01/28     2,000   1,933,516
Kraft Heinz Foods Co.,
Gtd. Notes
6.500%   02/09/40     1,420   1,558,270
Lamb Weston Holdings, Inc.,
Gtd. Notes, 144A
4.125%   01/31/30     275   251,752
4.375%   01/31/32     850   772,919
Mars, Inc.,
Sr. Unsec’d. Notes, 144A
2.375%   07/16/40     660   476,747
Pilgrim’s Pride Corp.,
Gtd. Notes, 144A
5.875%   09/30/27     1,625   1,614,816
              6,608,020
Gas — 0.1%
NiSource, Inc.,
Sr. Unsec’d. Notes
1.700%   02/15/31(a)     915   724,928
3.490%   05/15/27     1,425   1,351,056
3.600%   05/01/30     1,270   1,173,548
3.950%   03/30/48     15   12,224
Southern Co. Gas Capital Corp.,
Gtd. Notes
5.150%   09/15/32     30   30,274
              3,292,030
Healthcare-Products — 0.0%
Abbott Laboratories,
Sr. Unsec’d. Notes
1.150%   01/30/28     20   17,468
Baxter International, Inc.,
Sr. Unsec’d. Notes
1.915%   02/01/27     25   22,374
Medline Borrower LP,
Sr. Sec’d. Notes, 144A
3.875%   04/01/29     675   585,662
              625,504
Healthcare-Services — 0.2%
Aetna, Inc.,
Sr. Unsec’d. Notes
6.625%   06/15/36     515   571,442
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Healthcare-Services (cont’d.)
AHS Hospital Corp.,
Unsec’d. Notes
5.024%   07/01/45     5   $4,934
Banner Health,
Unsec’d. Notes
1.897%   01/01/31     5   4,093
Centra Health, Inc.,
Unsec’d. Notes
4.700%   01/01/48     25   22,019
CommonSpirit Health,
Sr. Sec’d. Notes
2.760%   10/01/24     15   14,533
2.782%   10/01/30     5   4,266
Elevance Health, Inc.,
Sr. Unsec’d. Notes
4.625%   05/15/42     390   363,986
4.650%   01/15/43     15   14,051
Hackensack Meridian Health, Inc.,
Sr. Sec’d. Notes
4.211%   07/01/48     20   17,532
HCA, Inc.,
Gtd. Notes
4.125%   06/15/29     20   18,782
5.375%   02/01/25     305   305,101
Gtd. Notes, 144A
4.375%   03/15/42     10   8,388
Gtd. Notes, MTN
7.750%   07/15/36     450   503,170
Humana, Inc.,
Sr. Unsec’d. Notes
3.700%   03/23/29     15   14,071
Indiana University Health, Inc. Obligated Group,
Sec’d. Notes
3.970%   11/01/48     15   12,847
Kaiser Foundation Hospitals,
Gtd. Notes
4.150%   05/01/47     940   824,913
MedStar Health, Inc.,
Sec’d. Notes, Series 20A
3.626%   08/15/49     20   14,574
Providence St. Joseph Health Obligated Group,
Unsec’d. Notes, Series 19A
2.532%   10/01/29     765   657,545
Tenet Healthcare Corp.,
Sr. Sec’d. Notes
4.375%   01/15/30(a)     625   561,097
Trinity Health Corp.,
Sec’d. Notes
4.125%   12/01/45     5   4,377
UnitedHealth Group, Inc.,
Sr. Unsec’d. Notes
2.000%   05/15/30     10   8,544
3.250%   05/15/51     1,000   752,196
3.750%   07/15/25     5   4,945
5.050%   04/15/53     3,098   3,131,426
 
A18

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Healthcare-Services (cont’d.)
6.050%   02/15/63     915   $1,046,208
              8,885,040
Home Builders — 0.0%
KB Home,
Gtd. Notes
4.000%   06/15/31(a)     575   497,903
Taylor Morrison Communities, Inc.,
Gtd. Notes, 144A
5.875%   06/15/27     525   516,663
Taylor Morrison Communities, Inc./Taylor Morrison Holdings II, Inc.,
Gtd. Notes, 144A
5.625%   03/01/24     800   794,000
              1,808,566
Housewares — 0.0%
Newell Brands, Inc.,
Sr. Unsec’d. Notes
4.450%(cc)   04/01/26     275   264,756
4.875%   06/01/25     1,420   1,390,509
              1,655,265
Insurance — 0.1%
American International Group, Inc.,
Sr. Unsec’d. Notes
3.400%   06/30/30     30   26,889
Aon Corp./Aon Global Holdings PLC,
Gtd. Notes
5.000%   09/12/32     25   25,216
Aon Global Ltd.,
Gtd. Notes
3.875%   12/15/25     5   4,871
Berkshire Hathaway Finance Corp.,
Gtd. Notes
3.850%   03/15/52     50   42,032
Corebridge Financial, Inc.,
Sr. Unsec’d. Notes, 144A
4.400%   04/05/52     35   27,356
Liberty Mutual Group, Inc.,
Gtd. Notes, 144A
3.951%   10/15/50     1,215   922,190
Lincoln National Corp.,
Sr. Unsec’d. Notes
6.300%   10/09/37     772   761,575
Markel Corp.,
Sr. Unsec’d. Notes
4.150%   09/17/50     410   328,568
5.000%   03/30/43     200   177,890
Marsh & McLennan Cos., Inc.,
Sr. Unsec’d. Notes
2.250%   11/15/30     10   8,439
3.500%   06/03/24     10   9,815
4.350%   01/30/47     5   4,373
New York Life Global Funding,
Sec’d. Notes, 144A
1.100%   05/05/23     5   4,982
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Insurance (cont’d.)
New York Life Insurance Co.,
Sub. Notes, 144A
6.750%   11/15/39     660   $770,300
Principal Financial Group, Inc.,
Gtd. Notes
2.125%   06/15/30     20   16,669
3.400%   05/15/25     10   9,642
4.625%   09/15/42     130   113,056
Teachers Insurance & Annuity Association of America,
Sub. Notes, 144A
4.270%   05/15/47     1,470   1,234,070
6.850%   12/16/39     124   139,565
              4,627,498
Internet — 0.0%
Amazon.com, Inc.,
Sr. Unsec’d. Notes
2.800%   08/22/24     5   4,892
3.875%   08/22/37     10   9,316
Booking Holdings, Inc.,
Sr. Unsec’d. Notes
3.650%   03/15/25     5   4,896
              19,104
Iron/Steel — 0.0%
Nucor Corp.,
Sr. Unsec’d. Notes
2.700%   06/01/30     10   8,772
3.950%   05/01/28     15   14,464
              23,236
Lodging — 0.0%
Marriott International, Inc.,
Sr. Unsec’d. Notes
4.900%   04/15/29     555   549,855
5.000%   10/15/27     15   15,034
              564,889
Machinery-Diversified — 0.0%
John Deere Capital Corp.,
Sr. Unsec’d. Notes, MTN
2.125%   03/07/25     25   23,944
4.150%   09/15/27     25   24,870
              48,814
Media — 0.3%
CCO Holdings LLC/CCO Holdings Capital Corp.,
Sr. Unsec’d. Notes, 144A
5.500%   05/01/26     750   730,222
Charter Communications Operating LLC/Charter Communications Operating Capital,
Sr. Sec’d. Notes
3.900%   06/01/52     580   382,075
4.908%   07/23/25     10   9,890
5.375%   04/01/38     1,950   1,696,211
6.384%   10/23/35     875   868,371
 
A19

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Media (cont’d.)
6.484%   10/23/45     1,386   $1,306,445
Comcast Corp.,
Gtd. Notes
3.950%   10/15/25     275   271,882
Cox Communications, Inc.,
Sr. Unsec’d. Notes, 144A
2.600%   06/15/31     5,275   4,363,422
CSC Holdings LLC,
Gtd. Notes, 144A
4.500%   11/15/31     1,400   1,002,570
Thomson Reuters Corp. (Canada),
Sr. Unsec’d. Notes
3.350%   05/15/26     5   4,784
Time Warner Cable LLC,
Sr. Sec’d. Notes
5.500%   09/01/41     360   311,001
Walt Disney Co. (The),
Gtd. Notes
3.800%   03/22/30     50   48,206
              10,995,079
Mining — 0.1%
Freeport Indonesia PT (Indonesia),
Sr. Unsec’d. Notes, 144A, MTN
4.763%   04/14/27     215   209,262
Yamana Gold, Inc. (Canada),
Gtd. Notes
2.630%   08/15/31     3,050   2,446,690
              2,655,952
Miscellaneous Manufacturing — 0.0%
Amsted Industries, Inc.,
Gtd. Notes, 144A
5.625%   07/01/27     1,200   1,166,457
Office/Business Equipment — 0.1%
CDW LLC/CDW Finance Corp.,
Gtd. Notes
2.670%   12/01/26     1,810   1,647,530
5.500%   12/01/24     700   698,820
              2,346,350
Oil & Gas — 0.4%
Aker BP ASA (Norway),
Gtd. Notes, 144A
3.100%   07/15/31     755   635,862
Sr. Unsec’d. Notes, 144A
3.750%   01/15/30     3,250   2,926,871
BP Capital Markets America, Inc.,
Gtd. Notes
3.410%   02/11/26     25   24,354
Canadian Natural Resources Ltd. (Canada),
Sr. Unsec’d. Notes
2.950%   07/15/30     20   17,326
Cenovus Energy, Inc. (Canada),
Sr. Unsec’d. Notes
5.400%   06/15/47     1,200   1,115,663
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Oil & Gas (cont’d.)
Chevron Corp.,
Sr. Unsec’d. Notes
1.995%   05/11/27     10   $9,181
Devon Energy Corp.,
Sr. Unsec’d. Notes
5.600%   07/15/41     300   287,389
Ecopetrol SA (Colombia),
Sr. Unsec’d. Notes
6.875%   04/29/30     637   582,880
Endeavor Energy Resources LP/EER Finance, Inc.,
Sr. Unsec’d. Notes, 144A
5.750%   01/30/28     500   496,378
Energean Israel Finance Ltd. (Israel),
Sr. Sec’d. Notes, 144A
4.500%   03/30/24     570   552,187
4.875%   03/30/26     795   732,990
Hilcorp Energy I LP/Hilcorp Finance Co.,
Sr. Unsec’d. Notes, 144A
6.000%   04/15/30     400   368,919
6.250%   04/15/32     500   462,268
KazMunayGas National Co. JSC (Kazakhstan),
Sr. Unsec’d. Notes, 144A
4.750%   04/24/25     550   530,338
Korea National Oil Corp. (South Korea),
Sr. Unsec’d. Notes, 144A
4.750%   04/03/26     510   508,230
4.875%   04/03/28     530   533,530
Petroleos Mexicanos (Mexico),
Gtd. Notes
5.950%   01/28/31     2,146   1,632,891
6.490%   01/23/27     471   427,433
6.500%   03/13/27     330   298,188
Gtd. Notes, MTN
6.750%   09/21/47     313   202,276
6.875%   08/04/26(a)     670   633,083
QatarEnergy (Qatar),
Sr. Unsec’d. Notes, 144A
1.375%   09/12/26     2,159   1,935,409
2.250%   07/12/31     820   694,335
Shell International Finance BV (Netherlands),
Gtd. Notes
3.250%   05/11/25     10   9,770
Southwestern Energy Co.,
Gtd. Notes
4.750%   02/01/32(a)     500   441,823
TotalEnergies Capital International SA (France),
Gtd. Notes
2.434%   01/10/25     30   28,994
              16,088,568
Packaging & Containers — 0.1%
Ball Corp.,
Gtd. Notes
3.125%   09/15/31     425   351,805
 
A20

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Packaging & Containers (cont’d.)
Berry Global, Inc.,
Sr. Sec’d. Notes
1.570%   01/15/26     5,135   $4,665,137
Graphic Packaging International LLC,
Gtd. Notes
4.125%   08/15/24     625   613,101
Sealed Air Corp./Sealed Air Corp. US,
Gtd. Notes, 144A
6.125%   02/01/28     125   126,486
              5,756,529
Pharmaceuticals — 0.7%
AbbVie, Inc.,
Sr. Unsec’d. Notes
2.950%   11/21/26     10   9,516
3.600%   05/14/25     10   9,810
3.800%   03/15/25     1,175   1,156,050
4.250%   11/21/49     1,750   1,543,903
4.500%   05/14/35     1,920   1,861,448
4.550%   03/15/35     2,190   2,142,020
4.700%   05/14/45     1,475   1,384,251
AstraZeneca PLC (United Kingdom),
Sr. Unsec’d. Notes
4.000%   09/18/42     25   22,610
Bayer US Finance II LLC (Germany),
Gtd. Notes, 144A
4.250%   12/15/25     1,600   1,566,493
Becton, Dickinson & Co.,
Sr. Unsec’d. Notes
2.823%   05/20/30     20   17,835
3.700%   06/06/27     17   16,432
3.734%   12/15/24     130   127,346
Bristol-Myers Squibb Co.,
Sr. Unsec’d. Notes
4.125%   06/15/39     410   381,748
Cardinal Health, Inc.,
Sr. Unsec’d. Notes
3.410%   06/15/27     15   14,217
3.750%   09/15/25     5   4,880
Cigna Group (The),
Gtd. Notes
3.750%   07/15/23     9   8,955
4.375%   10/15/28     9,285   9,145,691
CVS Health Corp.,
Sr. Unsec’d. Notes
3.250%   08/15/29     50   45,733
4.780%   03/25/38     3,750   3,572,994
5.300%   12/05/43     250   245,655
Eli Lilly & Co.,
Sr. Unsec’d. Notes
4.875%   02/27/53     340   351,542
4.950%   02/27/63     165   169,498
Mylan, Inc.,
Gtd. Notes
5.200%   04/15/48     1,375   1,083,792
5.400%   11/29/43     845   701,922
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Pharmaceuticals (cont’d.)
Organon & Co./Organon Foreign Debt Co-Issuer BV,
Sr. Sec’d. Notes, 144A
4.125%   04/30/28     900   $828,321
Viatris, Inc.,
Gtd. Notes
3.850%   06/22/40     470   330,238
Wyeth LLC,
Gtd. Notes
6.450%   02/01/24     60   60,644
Zoetis, Inc.,
Sr. Unsec’d. Notes
2.000%   05/15/30     35   29,444
5.600%   11/16/32     2,658   2,835,636
              29,668,624
Pipelines — 0.8%
Antero Midstream Partners LP/Antero Midstream Finance Corp.,
Gtd. Notes, 144A
5.750%   01/15/28     750   720,856
Boardwalk Pipelines LP,
Gtd. Notes
3.400%   02/15/31     1,625   1,418,137
4.950%   12/15/24     5   4,969
DCP Midstream Operating LP,
Gtd. Notes
5.125%   05/15/29     5,240   5,170,248
Eastern Gas Transmission & Storage, Inc.,
Sr. Unsec’d. Notes
4.600%   12/15/44     65   56,622
EIG Pearl Holdings Sarl (Saudi Arabia),
Sr. Sec’d. Notes, 144A
3.545%   08/31/36     1,429   1,220,009
Energy Transfer LP,
Sr. Unsec’d. Notes
4.950%   06/15/28     1,115   1,107,827
5.000%   05/15/50     965   821,077
5.250%   04/15/29     10   9,975
6.125%   12/15/45     180   173,444
6.250%   04/15/49     1,900   1,881,604
6.500%   02/01/42     25   25,957
EQM Midstream Partners LP,
Sr. Unsec’d. Notes, 144A
7.500%   06/01/27     50   50,183
7.500%   06/01/30     50   48,422
Florida Gas Transmission Co. LLC,
Sr. Unsec’d. Notes, 144A
4.350%   07/15/25     5   4,910
Greensaif Pipelines Bidco Sarl (Saudi Arabia),
Sr. Sec’d. Notes, 144A
6.129%   02/23/38     550   564,437
6.510%   02/23/42     715   751,331
Kinder Morgan, Inc.,
Gtd. Notes
3.600%   02/15/51     2,260   1,600,671
 
A21

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Pipelines (cont’d.)
MPLX LP,
Sr. Unsec’d. Notes
2.650%   08/15/30     595   $505,459
4.000%   02/15/25     1,430   1,400,602
4.000%   03/15/28     1,385   1,325,587
4.875%   06/01/25     3,250   3,227,440
5.200%   03/01/47     40   35,863
5.500%   02/15/49     395   367,698
ONEOK Partners LP,
Gtd. Notes
6.650%   10/01/36     145   151,148
ONEOK, Inc.,
Gtd. Notes
3.100%   03/15/30     5,205   4,557,617
4.500%   03/15/50     295   228,830
4.950%   07/13/47     935   782,763
Plains All American Pipeline LP/PAA Finance Corp.,
Sr. Unsec’d. Notes
3.600%   11/01/24     5   4,877
Spectra Energy Partners LP,
Gtd. Notes
3.375%   10/15/26     15   14,252
Targa Resources Corp.,
Gtd. Notes
6.125%   03/15/33     2,605   2,694,888
Venture Global Calcasieu Pass LLC,
Sr. Sec’d. Notes, 144A
3.875%   08/15/29     115   103,726
4.125%   08/15/31     90   79,031
Western Midstream Operating LP,
Sr. Unsec’d. Notes
5.300%   03/01/48     125   106,692
Williams Cos., Inc. (The),
Sr. Unsec’d. Notes
4.900%   01/15/45     1,000   880,370
5.100%   09/15/45     500   458,987
5.300%   08/15/52     290   273,809
              32,830,318
Real Estate Investment Trusts (REITs) — 0.4%
Alexandria Real Estate Equities, Inc.,
Gtd. Notes
2.000%   05/18/32     1,815   1,386,752
4.750%   04/15/35     405   379,466
American Tower Corp.,
Sr. Unsec’d. Notes
1.450%   09/15/26     30   26,658
3.600%   01/15/28     5,420   5,090,503
Brixmor Operating Partnership LP,
Sr. Unsec’d. Notes
3.850%   02/01/25     5   4,792
3.900%   03/15/27     5   4,631
4.050%   07/01/30     5   4,479
Corporate Office Properties LP,
Gtd. Notes
2.900%   12/01/33     1,345   935,549
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Real Estate Investment Trusts (REITs) (cont’d.)
Crown Castle, Inc.,
Sr. Unsec’d. Notes
2.900%   03/15/27     10   $9,272
3.700%   06/15/26     10   9,635
4.750%   05/15/47     5   4,371
Essex Portfolio LP,
Gtd. Notes
2.650%   03/15/32     15   12,217
3.000%   01/15/30     5   4,391
GLP Capital LP/GLP Financing II, Inc.,
Gtd. Notes
5.375%   04/15/26     1,050   1,020,819
Healthpeak OP LLC,
Gtd. Notes
2.125%   12/01/28     5   4,336
2.875%   01/15/31     5   4,303
Kimco Realty OP LLC,
Gtd. Notes
2.700%   10/01/30     3,480   2,895,140
MPT Operating Partnership LP/MPT Finance Corp.,
Gtd. Notes
3.500%   03/15/31     950   634,794
5.000%   10/15/27(a)     400   328,921
Prologis LP,
Sr. Unsec’d. Notes
2.125%   04/15/27     5   4,560
Public Storage,
Sr. Unsec’d. Notes
1.950%   11/09/28     10   8,726
2.250%   11/09/31     1,288   1,069,048
Realty Income Corp.,
Sr. Unsec’d. Notes
3.250%   01/15/31     3,235   2,847,954
4.625%   11/01/25     20   19,747
Simon Property Group LP,
Sr. Unsec’d. Notes
2.650%   02/01/32     30   24,287
3.375%   10/01/24     5   4,879
Sun Communities Operating LP,
Gtd. Notes
2.700%   07/15/31     3,000   2,430,044
WP Carey, Inc.,
Sr. Unsec’d. Notes
3.850%   07/15/29     20   18,551
              19,188,825
Retail — 0.2%
1011778 BC ULC/New Red Finance, Inc. (Canada),
Sr. Sec’d. Notes, 144A
3.875%   01/15/28(a)     675   627,750
Advance Auto Parts, Inc.,
Gtd. Notes
5.900%   03/09/26     830   847,589
AutoZone, Inc.,
Sr. Unsec’d. Notes
1.650%   01/15/31     770   612,670
 
A22

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Retail (cont’d.)
3.125%   04/21/26     5   $4,784
3.750%   06/01/27     15   14,518
Dollar General Corp.,
Sr. Unsec’d. Notes
4.625%   11/01/27     30   29,948
Dollar Tree, Inc.,
Sr. Unsec’d. Notes
4.000%   05/15/25     4,705   4,614,617
Gap, Inc. (The),
Gtd. Notes, 144A
3.625%   10/01/29     275   192,241
3.875%   10/01/31     275   186,621
Home Depot, Inc. (The),
Sr. Unsec’d. Notes
2.500%   04/15/27     50   46,931
Lowe’s Cos., Inc.,
Sr. Unsec’d. Notes
5.000%   04/15/33     30   29,966
O’Reilly Automotive, Inc.,
Sr. Unsec’d. Notes
3.600%   09/01/27     20   19,323
Sally Holdings LLC/Sally Capital, Inc.,
Gtd. Notes
5.625%   12/01/25     1,375   1,358,861
TJX Cos., Inc. (The),
Sr. Unsec’d. Notes
1.600%   05/15/31     5   4,077
Walmart, Inc.,
Sr. Unsec’d. Notes
3.900%   09/09/25     20   19,952
              8,609,848
Semiconductors — 0.1%
Broadcom, Inc.,
Sr. Unsec’d. Notes, 144A
3.137%   11/15/35     320   246,609
3.187%   11/15/36     4,445   3,369,018
Intel Corp.,
Sr. Unsec’d. Notes
5.625%   02/10/43     385   394,386
NXP BV/NXP Funding LLC/NXP USA, Inc. (China),
Gtd. Notes
2.650%   02/15/32     25   20,411
3.150%   05/01/27     5   4,621
QUALCOMM, Inc.,
Sr. Unsec’d. Notes
2.150%   05/20/30     25   21,906
3.250%   05/20/27     12   11,608
Texas Instruments, Inc.,
Sr. Unsec’d. Notes
1.750%   05/04/30     15   12,717
              4,081,276
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Software — 0.2%
Fiserv, Inc.,
Sr. Unsec’d. Notes
3.200%   07/01/26     10   $9,492
5.450%   03/02/28     2,560   2,614,915
Microsoft Corp.,
Sr. Unsec’d. Notes
2.525%   06/01/50     1,425   1,003,581
2.921%   03/17/52     60   45,467
Oracle Corp.,
Sr. Unsec’d. Notes
2.400%   09/15/23     25   24,669
4.900%   02/06/33     2,500   2,448,196
Roper Technologies, Inc.,
Sr. Unsec’d. Notes
2.950%   09/15/29     5   4,488
3.800%   12/15/26     15   14,522
ServiceNow, Inc.,
Sr. Unsec’d. Notes
1.400%   09/01/30     2,055   1,656,361
              7,821,691
Telecommunications — 0.4%
AT&T, Inc.,
Sr. Unsec’d. Notes
2.250%   02/01/32     50   40,833
2.550%   12/01/33     576   463,343
3.500%   09/15/53     5,308   3,854,486
3.650%   09/15/59     160   114,321
4.300%   02/15/30     615   598,006
4.500%   05/15/35     545   511,080
Level 3 Financing, Inc.,
Sr. Sec’d. Notes, 144A
3.400%   03/01/27     300   237,065
Rogers Communications, Inc. (Canada),
Gtd. Notes, 144A
4.500%   03/15/42     60   51,059
T-Mobile USA, Inc.,
Gtd. Notes
2.050%   02/15/28     380   337,531
2.550%   02/15/31     1,385   1,173,263
3.875%   04/15/30     8,000   7,503,115
Verizon Communications, Inc.,
Sr. Unsec’d. Notes
2.550%   03/21/31(a)     1,600   1,363,124
2.625%   08/15/26     45   42,545
2.650%   11/20/40     1,595   1,139,171
4.016%   12/03/29     1,900   1,819,819
              19,248,761
Transportation — 0.0%
Burlington Northern Santa Fe LLC,
Sr. Unsec’d. Notes
4.150%   04/01/45     10   8,900
6.700%   08/01/28     670   724,140
 
A23

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Corporate Bonds (continued)
Transportation (cont’d.)
Canadian Pacific Railway Co. (Canada),
Gtd. Notes
1.750%   12/02/26     10   $9,060
CSX Corp.,
Sr. Unsec’d. Notes
6.150%   05/01/37     715   787,009
Kansas City Southern,
Gtd. Notes
2.875%   11/15/29     5   4,482
3.500%   05/01/50     20   15,089
Norfolk Southern Corp.,
Sr. Unsec’d. Notes
5.590%   05/17/25     100   101,119
              1,649,799
 
Total Corporate Bonds

(cost $477,860,575)

  443,899,051
Municipal Bonds — 0.3%
Alabama — 0.0%
Alabama Economic Settlement Authority,
Taxable, Revenue Bonds, Series B
4.263%   09/15/32     240   230,415
California — 0.1%
Bay Area Toll Authority,
Revenue Bonds, BABs, Series F2
6.263%   04/01/49     1,325   1,612,225
Taxable, Revenue Bonds
2.574%   04/01/31     1,210   1,080,542
Taxable, Revenue Bonds, Series S
3.176%   04/01/41     25   20,117
State of California,
General Obligation Unlimited, BABs
7.300%   10/01/39     1,270   1,580,608
General Obligation Unlimited, Taxable, BABs
7.500%   04/01/34     475   594,790
7.625%   03/01/40     220   285,402
7.550%   04/01/39     245   316,854
University of California,
Taxable, Revenue Bonds, Series J
4.131%   05/15/45     5   4,554
              5,495,092
Colorado — 0.0%
Regional Transportation District Sales Tax Revenue,
Revenue Bonds, BABs, Series B
5.844%   11/01/50     680   774,096
Florida — 0.0%
County of Miami-Dade Transit System,
Revenue Bonds, BABs, Series B
5.624%   07/01/40     10   10,656
County of Miami-Dade Water & Sewer System Revenue,
Taxable, Revenue Bonds, Series C
3.490%   10/01/42     5   4,128
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Municipal Bonds (continued)
Florida (cont’d.)
Florida Development Finance Corp.,
Taxable, Revenue Bonds, Series B
4.109%   04/01/50     40   $31,330
              46,114
Georgia — 0.0%
Municipal Electric Authority of Georgia,
Taxable, Revenue Bonds, BABs
6.655%   04/01/57     14   15,516
Illinois — 0.1%
Chicago O’Hare International Airport,
Revenue Bonds, BABs, Series B
6.395%   01/01/40     1,030   1,209,896
Michigan — 0.0%
Great Lakes Water Authority Water Supply System Revenue,
Taxable, Revenue Bonds, Series C
3.473%   07/01/41     30   25,804
New Jersey — 0.1%
New Jersey Turnpike Authority,
Taxable, Revenue Bonds, BABs, Series F
7.414%   01/01/40     1,070   1,345,310
New York — 0.0%
New York City Transitional Finance Authority Future Tax Secured Revenue,
Taxable, Revenue Bonds, BABs
5.767%   08/01/36     1,075   1,133,181
New York State Urban Development Corp.,
Taxable, Revenue Bonds, Series B
2.590%   03/15/35     30   24,190
              1,157,371
Ohio — 0.0%
Ohio State University (The),
Taxable, Revenue Bonds, BABs, Series C
4.910%   06/01/40     455   462,149
Ohio Water Development Authority Water Pollution Control Loan Fund,
Taxable, Revenue Bonds, BABs, Series B2
4.879%   12/01/34     300   305,900
              768,049
Oregon — 0.0%
State of Oregon Department of Transportation,
Taxable, Revenue Bonds, BABs, Series A
5.834%   11/15/34     445   494,122
Pennsylvania — 0.0%
Pennsylvania Turnpike Commission,
Revenue Bonds, BABs, Series B
5.511%   12/01/45     550   599,784
South Carolina — 0.0%
South Carolina Public Service Authority,
Taxable, Revenue Bonds, Series D
2.388%   12/01/23     5   4,926
 
A24

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Municipal Bonds (continued)
Texas — 0.0%
Central Texas Regional Mobility Authority,
Taxable, Revenue Bonds, Series E
3.167%   01/01/41     15   $11,471
Dallas Fort Worth International Airport,
Taxable, Revenue Bonds
2.843%   11/01/46     15   11,112
Taxable, Revenue Bonds, Series A
4.087%   11/01/51     25   22,390
Texas A&M University,
Taxable, Revenue Bonds, Series B
3.330%   05/15/39     25   21,672
              66,645
Virginia — 0.0%
University of Virginia,
Taxable, Revenue Bonds, Series C
4.179%   09/01/2117     495   410,189
Wisconsin — 0.0%
State of Wisconsin,
Taxable, Revenue Bonds, Series A
3.954%   05/01/36     15   13,979
 
Total Municipal Bonds

(cost $11,473,199)

  12,657,308
Residential Mortgage-Backed Securities — 1.5%
Alternative Loan Trust,
Series 2004-18CB, Class 3A1
5.250%   09/25/35     8   7,350
Angel Oak Mortgage Trust,
Series 2021-01, Class A1, 144A
0.909%(cc)   01/25/66     17   14,184
Banc of America Mortgage Trust,
Series 2005-A, Class 2A1
3.901%(cc)   02/25/35     97   90,828
Bellemeade Re Ltd.,
Series 2021-02A, Class M1A, 144A, 30 Day Average SOFR + 1.200% (Cap N/A, Floor 1.200%)
5.760%(c)   06/25/31     1,716   1,703,143
Series 2021-03A, Class A2, 144A, 30 Day Average SOFR + 1.000% (Cap N/A, Floor 1.000%)
5.560%(c)   09/25/31     2,100   2,038,060
Series 2021-03A, Class M1A, 144A, 30 Day Average SOFR + 1.000% (Cap N/A, Floor 1.000%)
5.560%(c)   09/25/31     1,242   1,232,463
Series 2022-01, Class M1A, 144A, 30 Day Average SOFR + 1.750% (Cap N/A, Floor 1.750%)
6.310%(c)   01/26/32     3,260   3,247,616
Chase Mortgage Finance Trust,
Series 2007-A01, Class 1A5
3.949%(cc)   02/25/37     72   68,016
Citigroup Mortgage Loan Trust,
Series 2022-A, Class A1, 144A
6.170%   09/25/62     670   665,932
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Residential Mortgage-Backed Securities
(continued)
Connecticut Avenue Securities Trust,
Series 2022-R01, Class 1M1, 144A, 30 Day Average SOFR + 1.000% (Cap N/A, Floor 0.000%)
5.560%(c)   12/25/41     6   $6,009
Series 2022-R01, Class 1M2, 144A, 30 Day Average SOFR + 1.900% (Cap N/A, Floor 0.000%)
6.460%(c)   12/25/41     1,760   1,684,750
Series 2022-R04, Class 1M1, 144A, 30 Day Average SOFR + 2.000% (Cap N/A, Floor 0.000%)
6.560%(c)   03/25/42     8   7,661
Series 2023-R02, Class 1M1, 144A, 30 Day Average SOFR + 2.300% (Cap N/A, Floor 0.000%)
6.868%(c)   01/25/43     10   9,814
Credit Suisse Mortgage Trust,
Series 2018-RPL09, Class A, 144A
3.850%(cc)   09/25/57     676   637,037
Eagle Re Ltd.,
Series 2019-01, Class M1B, 144A, 1 Month LIBOR + 1.800% (Cap N/A, Floor 0.000%)
6.645%(c)   04/25/29     180   180,178
Series 2021-02, Class M1A, 144A, 30 Day Average SOFR + 1.550% (Cap N/A, Floor 1.550%)
6.110%(c)   04/25/34     4,286   4,273,442
Fannie Mae Connecticut Avenue Securities,
Series 2017-C05, Class 1ED3, 1 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
6.045%(c)   01/25/30     2   2,307
Series 2017-C06, Class 2ED1, 1 Month LIBOR + 1.000% (Cap N/A, Floor 1.000%)
5.845%(c)   02/25/30     3   2,579
Series 2018-C03, Class 1EB2, 1 Month LIBOR + 0.850% (Cap N/A, Floor 0.850%)
5.695%(c)   10/25/30     7   6,803
Series 2021-R02, Class 2M1, 144A, 30 Day Average SOFR + 0.900% (Cap N/A, Floor 0.000%)
5.460%(c)   11/25/41     9   9,322
Fannie Mae REMIC,
Series 2014-73, Class CZ
3.000%   11/25/44     1,561   1,404,521
Series 2020-24, Class SP, IO, 1 Month LIBOR x (1) + 6.050% (Cap 6.050%, Floor 0.000%)
1.205%(c)   04/25/50     1,132   142,339
Series 2020-45, Class ZC
2.000%   07/25/50     2,240   1,563,321
Series 2022-51, Class PS, IO, 30 Day Average SOFR x (1) + 5.950% (Cap 5.950%, Floor 0.000%)
1.390%(c)   08/25/52     2,679   182,396
Series 2022-67, Class ZJ
4.500%   10/25/52     4,148   3,942,148
FHLMC Structured Agency Credit Risk Debt Notes,
Series 2020-HQA05, Class M2, 144A, 30 Day Average SOFR + 2.600% (Cap N/A, Floor 0.000%)
7.160%(c)   11/25/50     1,714   1,715,352
Series 2021-DNA02, Class M1, 144A, 30 Day Average SOFR + 0.800% (Cap N/A, Floor 0.000%)
5.360%(c)   08/25/33     —(r)   237
 
A25

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Residential Mortgage-Backed Securities
(continued)
FHLMC Structured Agency Credit Risk REMIC Trust,
Series 2020-HQA04, Class B1, 144A, 1 Month LIBOR + 5.250% (Cap N/A, Floor 0.000%)
10.095%(c)   09/25/50     220   $230,682
Series 2021-DNA03, Class M2, 144A, 30 Day Average SOFR + 2.100% (Cap N/A, Floor 0.000%)
6.660%(c)   10/25/33     10   9,663
Series 2021-DNA05, Class M2, 144A, 30 Day Average SOFR + 1.650% (Cap N/A, Floor 0.000%)
6.210%(c)   01/25/34     243   238,226
Series 2021-DNA07, Class M1, 144A, 30 Day Average SOFR + 0.850% (Cap N/A, Floor 0.000%)
5.410%(c)   11/25/41     13   12,858
Series 2021-HQA01, Class M1, 144A, 30 Day Average SOFR + 0.700% (Cap N/A, Floor 0.000%)
5.260%(c)   08/25/33     —(r)   90
Series 2021-HQA03, Class M1, 144A, 30 Day Average SOFR + 0.850% (Cap N/A, Floor 0.000%)
5.410%(c)   09/25/41     5,905   5,697,481
Series 2022-DNA01, Class M1A, 144A, 30 Day Average SOFR + 1.000% (Cap N/A, Floor 0.000%)
5.560%(c)   01/25/42     1,370   1,343,027
Series 2022-DNA04, Class M1A, 144A, 30 Day Average SOFR + 2.200% (Cap N/A, Floor 0.000%)
6.760%(c)   05/25/42     21   20,668
Series 2022-DNA05, Class M1A, 144A, 30 Day Average SOFR + 2.950% (Cap N/A, Floor 0.000%)
7.510%(c)   06/25/42     21   21,544
Series 2022-HQA01, Class M1A, 144A, 30 Day Average SOFR + 2.100% (Cap N/A, Floor 0.000%)
6.660%(c)   03/25/42     15   15,415
Freddie Mac REMIC,
Series 4117, Class ZC
3.000%   10/15/42     2,608   2,375,379
Series 4213, Class GZ
3.500%   06/15/43     5,609   5,261,657
Series 4535, Class PA
3.000%   03/15/44     514   489,339
Series 4680, Class GZ
3.500%   03/15/47     3,660   3,363,734
Series 5021, Class SB, IO, 30 Day Average SOFR x (1) + 3.550% (Cap 3.550%, Floor 0.000%)
0.000%(c)   10/25/50     3,847   148,541
Series 5222, Class SA, IO, 30 Day Average SOFR x (1) + 3.500% (Cap 3.500%, Floor 0.000%)
0.000%(c)   05/25/52     436   8,657
Series 5250, Class NH
3.000%   08/25/52     1,000   869,107
Series 5281, Class AY
2.500%   08/25/52     811   648,590
Freddie Mac Structured Agency Credit Risk REMIC Trust,
Series 2022-DNA03, Class M1A, 144A, 30 Day Average SOFR + 2.000% (Cap N/A, Floor 0.000%)
6.560%(c)   04/25/42     16   15,942
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Residential Mortgage-Backed Securities
(continued)
Government National Mortgage Assoc.,
Series 2015-124, Class VZ
3.500%   09/20/45     2,599   $2,416,929
Series 2018-135, Class Z
3.500%   10/20/48     1,167   1,045,642
Series 2019-69, Class KB
3.000%   06/20/49     3,423   2,810,800
Series 2021-165, Class ST, IO, 1 Month LIBOR x (1) + 3.360% (Cap 0.020%, Floor 0.000%)
0.000%(c)   01/20/50     659   271
Series 2021-177, Class SB, IO, 30 Day Average SOFR x (1) + 3.200% (Cap 3.200%, Floor 0.000%)
0.000%(c)   10/20/51     2,943   58,350
Series 2021-205, Class DS, IO, 30 Day Average SOFR x (1) + 3.200% (Cap 3.200%, Floor 0.000%)
0.000%(c)   11/20/51     4,793   92,228
Series 2022-046, Class S, IO, 30 Day Average SOFR x (1) + 3.500% (Cap 3.500%, Floor 0.000%)
0.000%(c)   03/20/52     1,220   23,265
Series 2022-051, Class SC, IO, 30 Day Average SOFR x (1) + 3.500% (Cap 3.500%, Floor 0.000%)
0.000%(c)   03/20/52     5,284   93,086
Series 2022-066, Class SB, IO, 30 Day Average SOFR x (1) + 3.850% (Cap 3.850%, Floor 0.000%)
0.000%(c)   04/20/52     1,792   39,318
Series 2022-068, Class SP, IO, 30 Day Average SOFR x (1) + 3.850% (Cap 3.850%, Floor 0.000%)
0.000%(c)   04/20/52     1,403   28,548
Series 2022-078, Class MS, IO, 30 Day Average SOFR x (1) + 3.600% (Cap 3.600%, Floor 0.000%)
0.000%(c)   04/20/52     4,636   77,620
Series 2022-078, Class SB, IO, 30 Day Average SOFR x (1) + 3.750% (Cap 3.750%, Floor 0.000%)
0.000%(c)   04/20/52     3,082   63,236
Series 2022-093, Class GS, IO, 30 Day Average SOFR x (1) + 3.650% (Cap 3.650%, Floor 0.000%)
0.000%(c)   05/20/52     1,046   16,789
Series 2022-126, Class CS, IO, 30 Day Average SOFR x (1) + 3.760% (Cap 3.760%, Floor 0.000%)
0.000%(c)   07/20/52     6,282   75,023
Series 2022-133, Class SA, IO, 30 Day Average SOFR x (1) + 3.950% (Cap 3.950%, Floor 0.000%)
0.000%(c)   07/20/52     2,305   40,292
Series 2022-148, Class DS, IO, 30 Day Average SOFR x (1) + 3.600% (Cap 3.600%, Floor 0.000%)
0.000%(c)   08/20/52     2,316   48,335
Home Re Ltd.,
Series 2019-01, Class M1, 144A, 1 Month LIBOR + 1.650% (Cap N/A, Floor 0.000%)
6.495%(c)   05/25/29     168   168,223
Series 2021-02, Class M1A, 144A, 30 Day Average SOFR + 1.250% (Cap N/A, Floor 0.000%)
5.810%(c)   01/25/34     142   141,539
JPMorgan Mortgage Trust,
Series 2007-A01, Class 4A1
3.938%(cc)   07/25/35     26   24,439
 
A26

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Residential Mortgage-Backed Securities
(continued)
Series 2020-INV02, Class A3, 144A
3.000%(cc)   10/25/50     7   $5,989
Legacy Mortgage Asset Trust,
Series 2021-GS01, Class A1, 144A
1.892%   10/25/66     336   310,761
MFA Trust,
Series 2021-RPL01, Class A1, 144A
1.131%(cc)   07/25/60     2,502   2,188,252
Mill City Mortgage Loan Trust,
Series 2017-03, Class A1, 144A
2.750%(cc)   01/25/61     379   366,202
New Residential Mortgage Loan Trust,
Series 2018-04A, Class A1S, 144A, 1 Month LIBOR + 0.750% (Cap N/A, Floor 0.750%)
5.595%(c)   01/25/48     247   238,704
Oaktown Re II Ltd.,
Series 2018-01A, Class M1, 144A, 1 Month LIBOR + 1.550% (Cap N/A, Floor 0.000%)
6.395%(c)   07/25/28     117   117,148
Oaktown Re VII Ltd.,
Series 2021-02, Class M1A, 144A, 30 Day Average SOFR + 1.600% (Cap N/A, Floor 1.600%)
6.160%(c)   04/25/34     1,300   1,276,070
PMT Credit Risk Transfer Trust,
Series 2021-01R, Class A, 144A, 1 Month LIBOR + 2.900% (Cap N/A, Floor 2.900%)
7.752%(c)   02/27/24     2,483   2,403,367
Series 2023-1R, Class A, 144A, 30 Day Average SOFR + 4.400% (Cap N/A, Floor 0.000%)
9.131%(c)   03/27/25     2,900   2,900,000
Seasoned Credit Risk Transfer Trust,
Series 2019-02, Class MA
3.500%   08/25/58     643   613,188
Shamrock Residential (Ireland),
Series 2023-01A, Class A, 144A, 1 Month EURIBOR + 1.000% (Cap N/A, Floor 0.000%)
3.902%(c)   06/24/71   EUR 426   450,749
Structured Adjustable Rate Mortgage Loan Trust,
Series 2004-01, Class 4A3
5.193%(cc)   02/25/34     51   46,698
Towd Point Mortgage Trust,
Series 2017-05, Class A1, 144A, 1 Month LIBOR + 0.600% (Cap N/A, Floor 0.000%)
4.208%(c)   02/25/57     579   576,664
Series 2020-04, Class A1, 144A
1.750%   10/25/60     752   670,016
 
Total Residential Mortgage-Backed Securities

(cost $68,721,955)

  65,036,149
Sovereign Bonds — 0.3%
Abu Dhabi Government International Bond (United Arab Emirates),
Sr. Unsec’d. Notes, 144A
3.125%   10/11/27     3,350   3,223,328
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
Sovereign Bonds (continued)
Bermuda Government International Bond (Bermuda),
Sr. Unsec’d. Notes, 144A
2.375%   08/20/30     710   $602,302
Colombia Government International Bond (Colombia),
Sr. Unsec’d. Notes
4.000%   02/26/24     175   172,572
Export-Import Bank of India (India),
Sr. Unsec’d. Notes, 144A
3.875%   02/01/28     1,040   981,695
Finnvera OYJ (Finland),
Gov’t. Gtd. Notes, 144A, MTN
2.375%   06/04/25     400   383,845
Indonesia Government International Bond (Indonesia),
Sr. Unsec’d. Notes
1.450%   09/18/26   EUR 2,100   2,083,582
3.375%   07/30/25   EUR 1,500   1,607,737
Japan Finance Organization for Municipalities (Japan),
Sr. Unsec’d. Notes, 144A, MTN
2.125%   10/25/23     1,400   1,376,705
3.000%   03/12/24     400   394,295
Panama Government International Bond (Panama),
Sr. Unsec’d. Notes
4.500%   04/16/50     475   360,644
Peruvian Government International Bond (Peru),
Sr. Unsec’d. Notes
2.783%   01/23/31     453   386,409
Province of Alberta (Canada),
Sr. Unsec’d. Notes
3.300%   03/15/28     20   19,417
Province of Manitoba (Canada),
Sr. Unsec’d. Notes, Series GX
2.600%   04/16/24     22   21,556
Province of New Brunswick (Canada),
Sr. Unsec’d. Notes
3.625%   02/24/28     20   19,614
Province of Quebec (Canada),
Sr. Unsec’d. Notes, Series QO
2.875%   10/16/24     10   9,768
Qatar Government International Bond (Qatar),
Sr. Unsec’d. Notes, 144A
5.103%   04/23/48     915   928,725
Republic of Poland Government International Bond (Poland),
Sr. Unsec’d. Notes
3.250%   04/06/26     5   4,851
Tokyo Metropolitan Government (Japan),
Sr. Unsec’d. Notes, 144A
3.250%   06/01/23     800   796,904
Uruguay Government International Bond (Uruguay),
Sr. Unsec’d. Notes
5.100%   06/18/50     545   546,635
 
Total Sovereign Bonds

(cost $14,553,087)

  13,920,584
U.S. Government Agency Obligations — 10.2%
Federal Home Loan Bank
5.500%   07/15/36(k)     1,080   1,244,080
 
A27

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
Federal Home Loan Mortgage Corp.
1.500%   11/01/50     4,146   $3,265,095
2.000%   01/01/32     392   362,364
2.000%   02/01/36     1,367   1,236,996
2.000%   06/01/40     1,095   946,458
2.000%   10/01/40     1,618   1,387,502
2.000%   09/01/50     3,225   2,675,898
2.000%   10/01/50     2,650   2,198,320
2.000%   03/01/51     1,702   1,411,463
2.000%   04/01/51     106   87,776
2.000%   07/01/51     5,894   4,883,677
2.000%   09/01/51     476   395,055
2.000%   11/01/51     2,010   1,664,851
2.500%   03/01/30     188   178,893
2.500%   10/01/32     427   400,295
2.500%   03/01/51     1,042   911,988
2.500%   04/01/51     8,091   6,987,076
2.500%   05/01/51     4,531   3,907,861
2.500%   08/01/51     479   413,604
2.500%   09/01/51     2,779   2,398,153
2.500%   10/01/51     3,851   3,352,330
2.500%   12/01/51     3,333   2,875,111
2.500%   01/01/52     7,056   6,086,508
3.000%   10/01/28     128   124,223
3.000%   06/01/29     347   333,518
3.000%   03/01/32     428   410,160
3.000%   01/01/37     191   179,596
3.000%   01/01/43     417   385,315
3.000%   07/01/43     843   778,069
3.000%   01/01/47     2,099   1,923,340
3.000%   02/01/50     1,764   1,597,299
3.000%   06/01/51     631   567,165
3.000%   07/01/51     993   899,533
3.000%   11/01/51     971   872,905
3.000%   12/01/51     138   123,739
3.000%   12/01/51     991   890,607
3.000%   01/01/52     994   893,227
3.000%   02/01/52     497   448,183
3.000%   03/01/52     986   885,093
3.000%   03/01/52     2,473   2,221,225
3.000%   04/01/52     988   887,635
3.000%   04/01/52     2,493   2,238,378
3.000%   05/01/52     458   410,999
3.000%   05/01/52     995   893,352
3.000%   05/01/52     6,690   6,007,444
3.000%   06/01/52     3,744   3,362,315
3.500%   03/01/42     196   187,288
3.500%   06/01/42     140   133,501
3.500%   01/01/47     349   330,225
3.500%   02/01/47     512   484,169
3.500%   04/01/52     2,949   2,746,535
3.500%   05/01/52     1,465   1,361,794
3.500%   06/01/52     62   58,046
3.500%   06/01/52     2,961   2,751,759
3.500%   06/01/52     5,427   5,044,056
3.500%   07/01/52     63   58,441
4.000%   06/01/26     125   124,445
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
4.000%   09/01/26     64   $63,302
4.000%   11/01/37     3,513   3,458,802
4.000%   10/01/39     351   343,978
4.000%   12/01/40     153   149,712
4.000%   10/01/41     125   122,521
4.000%   01/01/42     49   47,919
4.000%   10/01/45     163   159,053
4.000%   04/01/52     1,410   1,362,815
4.500%   09/01/39     108   108,837
4.500%   10/01/39     603   607,120
4.500%   12/01/39     194   195,223
4.500%   07/01/41     63   63,102
4.500%   07/01/41     1,111   1,118,846
4.500%   08/01/41     106   105,883
4.500%   08/01/41     109   108,064
4.500%   08/01/41     176   175,869
4.500%   10/01/41     96   95,854
4.500%   10/01/46     93   92,588
4.500%   12/01/47     419   418,022
4.500%   07/01/52     4,478   4,386,953
4.500%   09/01/52     239   234,593
5.000%   05/01/34     10   10,411
5.000%   05/01/34     108   109,983
5.000%   08/01/35     11   10,853
5.000%   09/01/35     24   24,845
5.000%   10/01/36     17   17,337
5.000%   05/01/37     10   10,327
5.000%   07/01/37     179   182,822
5.000%   09/01/38     24   24,790
5.000%   09/01/38     26   26,145
5.000%   09/01/38     29   29,812
5.000%   02/01/39     10   10,062
5.000%   06/01/39     29   29,877
5.000%   10/01/52     482   480,852
5.000%   11/01/52     1,486   1,482,422
5.500%   02/01/34     26   26,801
5.500%   04/01/34     257   260,881
5.500%   06/01/34     44   44,915
5.500%   06/01/34     76   78,235
5.500%   05/01/37     23   24,201
5.500%   02/01/38     180   187,366
5.500%   05/01/38     33   34,712
5.500%   07/01/38     162   168,173
6.000%   03/01/32     112   115,058
6.000%   12/01/33     21   21,633
6.000%   07/01/36     2   2,406
6.000%   12/01/36     4   4,168
6.000%   05/01/37     6   6,440
6.000%   12/01/37     9   9,606
6.000%   01/01/38     3   2,679
6.000%   01/01/38     5   5,389
6.000%   01/01/38     111   115,541
6.000%   10/01/38     49   50,824
6.000%   08/01/39     19   20,235
6.000%   12/01/52     485   495,366
6.750%   03/15/31     500   599,167
7.000%   01/01/31     8   8,298
 
A28

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
7.000%   06/01/31     7   $6,775
7.000%   09/01/31     2   1,837
7.000%   10/01/31     21   22,105
7.000%   10/01/32     25   24,972
Federal Home Loan Mortgage Corp., 30 Day Average SOFR + 2.341% (Cap 10.167%, Floor 2.341%)
5.167%(c)   02/01/53     3,096   3,104,438
Federal National Mortgage Assoc.
1.500%   01/01/36     2,947   2,591,986
1.500%   02/01/42     474   388,502
1.500%   10/01/50     393   309,694
1.500%   11/01/50     4,215   3,319,410
1.500%   12/01/50     4,704   3,698,929
2.000%   08/01/31     588   541,836
2.000%   02/01/41     2,220   1,896,964
2.000%   05/01/41(k)     4,962   4,289,992
2.000%   08/01/50     1,144   949,175
2.000%   10/01/50     11,992   9,958,604
2.000%   12/01/50     41   34,338
2.000%   01/01/51     1,953   1,620,074
2.000%   02/01/51(k)     12,144   10,071,031
2.000%   03/01/51     3,811   3,159,531
2.000%   04/01/51     695   575,973
2.000%   05/01/51     14,802   12,269,629
2.000%   08/01/51     2,197   1,820,070
2.000%   10/01/51     4,261   3,524,423
2.500%   10/01/43     492   431,973
2.500%   12/01/46     904   793,262
2.500%   03/01/50     677   587,483
2.500%   08/01/50     3,016   2,606,350
2.500%   12/01/50     297   259,464
2.500%   02/01/51     2,366   2,039,949
2.500%   02/01/51     2,881   2,483,478
2.500%   04/01/51     3,573   3,080,405
2.500%   08/01/51     944   814,738
2.500%   08/01/51     962   830,760
2.500%   09/01/51     2,992   2,581,510
2.500%   10/01/51     1,038   895,335
2.500%   11/01/51     4,818   4,156,817
2.500%   12/01/51     9,012   7,822,475
2.500%   02/01/52     476   412,519
2.500%   03/01/52     986   850,462
2.500%   04/01/52     3,965   3,419,501
2.500%   05/01/52     945   819,749
3.000%   02/01/27     455   442,649
3.000%   08/01/30     409   390,136
3.000%   05/01/35     3,182   3,022,267
3.000%   07/01/36     1,977   1,877,252
3.000%   11/01/36     831   779,040
3.000%   12/01/42     465   429,137
3.000%   12/01/42     687   634,089
3.000%   03/01/43     115   105,763
3.000%   11/01/46     114   104,416
3.000%   01/01/47     913   837,167
3.000%   02/01/47     649   593,294
3.000%   03/01/47     509   465,339
3.000%   11/01/49     502   454,560
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
3.000%   12/01/49     295   $267,543
3.000%   12/01/49     430   389,478
3.000%   01/01/50     477   431,209
3.000%   02/01/50     446   404,110
3.000%   02/01/50     486   440,061
3.000%   02/01/50     5,339   4,833,076
3.000%   03/01/50     373   337,171
3.000%   05/01/51     827   744,493
3.000%   02/01/52     3,316   2,975,109
3.000%   03/01/52     67   59,761
3.000%   03/01/52     496   444,886
3.000%   03/01/52     1,883   1,696,941
3.000%   04/01/52     961   864,484
3.000%   04/01/52     986   885,426
3.000%   04/01/52     1,939   1,754,446
3.000%   05/01/52     994   893,885
3.000%   06/01/52     986   885,963
3.000%   06/01/52     994   892,543
3.500%   07/01/31     322   312,612
3.500%   11/01/32     192   187,227
3.500%   02/01/33     400   389,861
3.500%   05/01/33     541   526,589
3.500%   06/01/39     316   301,981
3.500%   01/01/42     2,145   2,046,339
3.500%   05/01/42     1,047   999,067
3.500%   07/01/42     398   380,086
3.500%   08/01/42     151   144,268
3.500%   08/01/42     387   369,037
3.500%   09/01/42     441   420,041
3.500%   09/01/42     767   731,949
3.500%   11/01/42     215   204,710
3.500%   03/01/43     1,547   1,475,865
3.500%   04/01/43     239   228,375
3.500%   04/01/43     578   550,905
3.500%   07/01/43     110   104,590
3.500%   06/01/45     2,004   1,892,532
3.500%   07/01/46     273   257,401
3.500%   11/01/46     508   479,767
3.500%   09/01/47     487   459,225
3.500%   01/01/48     4,898   4,619,724
3.500%   05/01/48     452   425,166
3.500%   06/01/48     2,280   2,151,703
3.500%   02/01/52     5,735   5,334,841
3.500%   03/01/52     977   915,114
3.500%   04/01/52     25   23,285
3.500%   05/01/52     6,491   6,033,111
3.500%   06/01/52     25   23,495
3.500%   06/01/52     4,448   4,133,068
3.500%   07/01/52     496   460,692
3.500%   07/01/52     9,818   9,123,359
3.500%   08/01/52     62   57,180
3.500%   10/01/52     142   132,001
4.000%   TBA     2,500   2,392,197
4.000%   12/01/36     390   380,831
4.000%   10/01/41     1,232   1,205,618
4.000%   07/01/44     460   448,536
4.000%   09/01/44     764   745,361
 
A29

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
4.000%   10/01/46     395   $382,472
4.000%   06/01/47     332   323,570
4.000%   09/01/47     124   120,200
4.000%   11/01/47     403   394,530
4.000%   11/01/47     525   512,375
4.000%   12/01/47     1,685   1,641,394
4.000%   03/01/49     3,461   3,361,700
4.000%   05/01/52     970   928,007
4.000%   06/01/52     955   912,959
4.000%   07/01/52     7,004   6,701,103
4.000%   12/01/52     8,023   7,673,443
4.500%   TBA     19,500   19,106,018
4.500%   07/01/33     20   20,284
4.500%   08/01/33     7   6,791
4.500%   09/01/33     21   21,269
4.500%   10/01/33     53   52,916
4.500%   03/01/34     15   15,170
4.500%   01/01/35     1   1,026
4.500%   07/01/39     388   389,174
4.500%   08/01/39     269   269,936
4.500%   09/01/39     160   160,889
4.500%   12/01/39     2   2,205
4.500%   03/01/41     610   613,857
4.500%   07/01/42     60   60,360
4.500%   06/01/50     768   757,636
4.500%   07/01/52     3,991   3,910,846
4.500%   09/01/52     264   258,186
4.500%   12/01/52     4,500   4,408,331
5.000%   TBA     5,000   4,986,133
5.000%   03/01/34     107   109,404
5.000%   04/01/35     254   259,496
5.000%   06/01/35     61   61,855
5.000%   07/01/35     62   63,013
5.000%   07/01/35     65   65,950
5.000%   09/01/35     47   48,206
5.000%   11/01/35     60   61,315
5.000%   02/01/36     34   34,413
5.000%   06/01/49     495   500,474
5.000%   08/01/52     477   475,486
5.000%   09/01/52     488   486,204
5.000%   12/01/52     1,032   1,029,639
5.500%   02/01/33     47   48,870
5.500%   08/01/33     119   121,199
5.500%   10/01/33     29   29,938
5.500%   12/01/33     24   25,206
5.500%   12/01/34     73   75,518
5.500%   10/01/35     172   174,550
5.500%   03/01/36     43   43,664
5.500%   04/01/36     45   45,321
5.500%   01/01/37     34   34,954
5.500%   04/01/37     16   16,771
5.500%   05/01/37     101   105,372
5.500%   08/01/37     126   129,567
6.000%   10/01/33     131   134,106
6.000%   11/01/33     12   12,376
6.000%   11/01/33     12   12,649
6.000%   01/01/34     155   159,991
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
6.000%   02/01/34     51   $53,119
6.000%   03/01/34     1   1,072
6.000%   03/01/34     11   11,372
6.000%   11/01/34     14   14,265
6.000%   01/01/35     26   26,448
6.000%   01/01/35     62   62,984
6.000%   02/01/35     2   1,824
6.000%   02/01/35     92   93,893
6.000%   02/01/35     97   100,462
6.000%   04/01/35     9   8,983
6.000%   05/01/36     13   13,402
6.000%   06/01/36     12   12,298
6.000%   02/01/37     35   36,599
6.000%   06/01/37     11   11,100
6.000%   05/01/38     87   90,465
6.500%   09/01/32     1   855
6.500%   09/01/32     11   11,320
6.500%   09/01/32     20   21,073
6.500%   09/01/32     22   22,438
6.500%   10/01/32     26   27,265
6.500%   04/01/33     26   27,284
6.500%   11/01/33     18   18,523
6.500%   01/01/34     19   19,092
6.500%   09/01/34     33   34,262
6.500%   09/01/36     87   92,783
6.500%   10/01/36     15   16,078
6.500%   01/01/37     35   35,914
6.500%   01/01/37     51   52,975
6.500%   09/01/37     9   9,543
6.625%   11/15/30(k)     945   1,119,877
7.000%   02/01/32     7   6,596
7.000%   05/01/32     8   8,682
7.000%   06/01/32     6   6,548
7.000%   07/01/32     28   29,258
7.125%   01/15/30(k)(kk)     3,600   4,311,593
Government National Mortgage Assoc.
2.000%   03/20/51     1,534   1,309,636
2.000%   07/20/51     467   398,245
2.000%   10/20/51     957   814,534
2.500%   03/20/43     351   314,257
2.500%   12/20/46     322   287,201
2.500%   05/20/51     13,825   12,201,134
2.500%   08/20/51     1,030   906,974
2.500%   11/20/51     448   394,188
2.500%   12/20/51     4,977   4,380,069
2.500%   04/20/52     2,982   2,623,719
3.000%   03/15/45     300   276,602
3.000%   11/20/45     401   373,160
3.000%   03/20/46     2,370   2,200,488
3.000%   07/20/46     1,541   1,429,072
3.000%   10/20/46     514   475,992
3.000%   02/20/47     779   719,841
3.000%   12/20/49     154   141,427
3.000%   01/20/50     1,359   1,249,662
3.000%   06/20/51     362   331,354
3.000%   10/20/51     4,835   4,418,076
3.000%   11/20/51     912   833,486
 
A30

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
3.000%   12/20/51     1,619   $1,477,158
3.000%   04/20/52     956   871,279
3.000%   05/20/52     4,000   3,642,976
3.000%   06/20/52     2,959   2,694,788
3.500%   12/20/42     794   759,086
3.500%   05/20/43     161   154,103
3.500%   03/20/45     494   469,945
3.500%   04/20/45     661   630,263
3.500%   07/20/46     2,281   2,169,493
3.500%   06/20/49     2,950   2,792,301
4.000%   06/15/40     62   59,661
4.000%   05/20/41     121   119,560
4.000%   12/20/42     300   296,600
4.000%   08/20/44     108   107,037
4.000%   11/20/45     517   506,980
4.000%   12/20/45     566   554,477
4.000%   11/20/46     120   117,522
4.000%   09/20/47     1,569   1,535,906
4.000%   02/20/49     891   867,202
4.000%   01/20/50     883   857,918
4.500%   TBA     22,500   22,161,421
4.500%   04/15/40     218   220,305
4.500%   01/20/41     557   564,170
4.500%   02/20/41     331   335,175
4.500%   06/20/44     355   358,393
4.500%   09/20/46     194   192,033
4.500%   11/20/46     332   335,296
4.500%   03/20/47     268   269,556
4.500%   05/20/48     271   270,656
4.500%   06/20/48     351   349,973
4.500%   08/20/48     1,177   1,173,982
5.000%   TBA     3,000   3,003,750
5.000%   10/20/37     76   78,360
5.000%   04/20/45     354   363,629
5.500%   11/15/32     28   28,992
5.500%   02/15/33     24   24,407
5.500%   08/15/33     45   46,008
5.500%   08/15/33     62   63,027
5.500%   09/15/33     33   33,572
5.500%   09/15/33     54   55,668
5.500%   10/15/33     40   40,613
5.500%   12/15/33     4   3,861
5.500%   04/15/34     141   145,726
5.500%   07/15/35     30   31,257
5.500%   02/15/36     82   84,383
6.000%   02/15/33     1   1,522
6.000%   04/15/33     12   11,941
6.000%   09/15/33     9   8,984
6.000%   12/15/33     20   21,131
6.000%   12/15/33     63   64,033
6.000%   01/15/34     10   10,990
6.000%   01/15/34     16   16,098
6.000%   06/20/34     37   38,947
6.000%   07/15/34     81   85,370
6.000%   10/15/34     105   107,523
6.500%   10/15/23     —(r)   51
6.500%   12/15/23     —(r)   176
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Government Agency Obligations(continued)
6.500%   01/15/24     —(r)   $174
6.500%   01/15/24     —(r)   457
6.500%   01/15/24     1   1,006
6.500%   01/15/24     1   1,441
6.500%   01/15/24     5   4,848
6.500%   02/15/24     —(r)   32
6.500%   02/15/24     —(r)   52
6.500%   02/15/24     —(r)   180
6.500%   02/15/24     —(r)   198
6.500%   02/15/24     —(r)   207
6.500%   02/15/24     1   735
6.500%   02/15/24     1   807
6.500%   02/15/24     1   876
6.500%   02/15/24     6   6,316
6.500%   04/15/24     —(r)   27
6.500%   04/15/24     —(r)   182
6.500%   04/15/24     —(r)   430
6.500%   04/15/24     2   1,571
6.500%   05/15/24     1   1,050
6.500%   05/15/24     1   1,298
6.500%   10/15/24     1   1,480
6.500%   12/15/30     4   4,209
6.500%   01/15/32     13   13,249
6.500%   02/15/32     8   7,893
6.500%   07/15/32     19   19,330
6.500%   08/15/32     3   3,319
6.500%   08/15/32     6   6,802
6.500%   08/15/32     22   22,711
6.500%   08/15/32     105   109,112
6.500%   06/15/35     17   17,467
6.500%   07/15/35     6   6,010
8.000%   01/15/24     1   718
8.000%   04/15/25     1   507
Tennessee Valley Authority, Sr. Unsec’d. Notes
1.500%   09/15/31     625   509,442
 
Total U.S. Government Agency Obligations

(cost $463,668,039)

  444,383,561
U.S. Treasury Obligations — 1.7%
U.S. Treasury Bonds
1.750%   08/15/41     10,535   7,626,352
2.000%   11/15/41(h)     21,340   16,098,362
2.250%   05/15/41     5,895   4,681,920
2.375%   02/15/42(a)     11,610   9,333,352
2.375%   11/15/49     12,360   9,550,031
2.750%   11/15/42     10   8,475
2.875%   05/15/52     4,555   3,898,084
3.125%   11/15/41     33   30,071
3.125%   05/15/48(h)     610   544,520
3.250%   05/15/42     5,335   4,922,371
3.375%   08/15/42     35   32,873
3.625%   08/15/43     50   48,508
4.000%   11/15/52     2,305   2,447,262
U.S. Treasury Notes
0.125%   08/31/23     160   157,000
3.125%   11/15/28(h)     4,605   4,489,155
 
A31

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
  Value
 
U.S. Treasury Obligations(continued)
U.S. Treasury Strips Coupon
2.000%(s)   08/15/39     3,780   $2,018,313
2.228%(s)   05/15/28     718   597,090
2.365%(s)   08/15/44     3,095   1,321,420
2.395%(s)   11/15/43     1,156   509,679
2.955%(s)   11/15/41     10,800   5,192,859
 
Total U.S. Treasury Obligations

(cost $84,285,213)

  73,507,697
 
Total Long-Term Investments

(cost $3,606,327,219)

  4,153,931,040
    
      Shares  
Short-Term Investments — 8.5%
Affiliated Mutual Funds — 8.5%
PGIM Core Ultra Short Bond Fund(wa)

278,302,330 278,302,330
PGIM Institutional Money Market Fund

(cost $93,966,922; includes $93,566,623 of cash collateral for securities on loan)(b)(wa)

94,100,957 94,053,906
 
Total Affiliated Mutual Funds

(cost $372,269,252)

372,356,236
    
Interest
Rate
  Maturity
Date
  Principal
Amount
(000)#
 
U.S. Treasury Obligation(k)(n) — 0.0%
U.S. Treasury Bills
4.677%   06/15/23     140 138,684
(cost $138,653)      
 
Total Short-Term Investments

(cost $372,407,905)

  372,494,920
 
TOTAL INVESTMENTS, BEFORE OPTIONS WRITTEN—103.7%

(cost $3,978,735,124)

  4,526,425,960
    
           
Options Written*~ — (0.0)%  
(premiums received $75,469)

(23,271)
 
TOTAL INVESTMENTS, NET OF OPTIONS WRITTEN—103.7%

(cost $3,978,659,655)

4,526,402,689
 
Liabilities in excess of other assets(z) — (3.7)%

(160,041,467)
 
Net Assets — 100.0%

$4,366,361,222
    
Below is a list of the abbreviation(s) used in the quarterly schedule of portfolio holdings:
CAD Canadian Dollar
EUR Euro
    
144A Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, pursuant to the requirements of Rule 144A, may not be resold except to qualified institutional buyers.
A Annual payment frequency for swaps
BABs Build America Bonds
BARC Barclays Bank PLC
BNP BNP Paribas S.A.
BOA Bank of America, N.A.
CDX Credit Derivative Index
CGM Citigroup Global Markets, Inc.
CITI Citibank, N.A.
CLO Collateralized Loan Obligation
CVA Certificate Van Aandelen (Bearer)
DAC Designated Activity Company
EAFE Europe, Australasia, Far East
ETF Exchange-Traded Fund
EURIBOR Euro Interbank Offered Rate
FHLMC Federal Home Loan Mortgage Corporation
FNMA Federal National Mortgage Association
GDR Global Depositary Receipt
GMTN Global Medium Term Note
GSI Goldman Sachs International
HSBC HSBC Bank PLC
IO Interest Only (Principal amount represents notional)
JPM JPMorgan Chase Bank N.A.
LIBOR London Interbank Offered Rate
LP Limited Partnership
M Monthly payment frequency for swaps
MSCI Morgan Stanley Capital International
MTN Medium Term Note
OTC Over-the-counter
PJSC Public Joint-Stock Company
PRFC Preference Shares
Q Quarterly payment frequency for swaps
REITs Real Estate Investment Trust
REMIC Real Estate Mortgage Investment Conduit
S&P Standard & Poor’s
SOFR Secured Overnight Financing Rate
SSB State Street Bank & Trust Company
T Swap payment upon termination
TBA To Be Announced
TD The Toronto-Dominion Bank
USOIS United States Overnight Index Swap
    
* Non-income producing security.
# Principal or notional amount is shown in U.S. dollars unless otherwise stated.
~ See tables subsequent to the Schedule of Investments for options detail. Excludes centrally cleared swaptions.
^ Indicates a Level 3 instrument. The aggregate value of Level 3 instruments is $1,225,112 and 0.0% of net assets.
(a) All or a portion of security is on loan. The aggregate market value of such securities, including those sold and pending settlement, is $92,426,502; cash collateral of $93,566,623 (included in liabilities) was received with which the Portfolio purchased highly liquid short-term investments. In the event of significant appreciation in value of securities on loan on the last business day of the reporting period, the Portfolio may reflect a collateral value that is less than the market value of the loaned securities and such shortfall is remedied the following business day.
(b) Represents security, or portion thereof, purchased with cash collateral received for securities on loan and includes dividend reinvestment.
 
A32

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
(c) Variable rate instrument. The interest rate shown reflects the rate in effect at March 31, 2023.
(cc) Variable rate instrument. The rate shown is based on the latest available information as of March 31, 2023. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
(ff) Variable rate security. Security may be issued at a fixed coupon rate, which converts to a variable rate at a specified date. Rate shown is the rate in effect as of period end.
(h) Represents security, or a portion thereof, segregated as collateral for OTC derivatives.
(k) Represents security, or a portion thereof, segregated as collateral for centrally cleared/exchange-traded derivatives.
(kk) Represents security, or a portion thereof, segregated as collateral for TBA securities.
(n) Rate shown reflects yield to maturity at purchased date.
(oo) Perpetual security. Maturity date represents next call date.
(r) Principal or notional amount is less than $500 par.
(s) Represents zero coupon bond or principal only security. Rate represents yield to maturity at purchase date.
(wa) PGIM Investments LLC, the manager of the Portfolio, also serves as manager of the PGIM Core Ultra Short Bond Fund and PGIM Institutional Money Market Fund, if applicable.
(z) Includes net unrealized appreciation/(depreciation) and/or market value of the below holdings which are excluded from the Schedule of Investments:
 
Forward Commitment Contracts:                      
U.S. Government Agency Obligations   Interest
Rate
  Maturity
Date
  Settlement
Date
  Principal
Amount
(000)#
Value
Federal National Mortgage Assoc.   3.000%   TBA   04/13/23     $(12,000)   $(10,767,115)
Federal National Mortgage Assoc.   3.500%   TBA   05/11/23     (27,000)   (25,104,726)
TOTAL FORWARD COMMITMENT CONTRACTS
(proceeds receivable $35,693,359)
                    $(35,871,841)
Options Written:
OTC Traded  
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
Value
FNMA TBA 5.50%   Call   BOA   04/06/23     $100.75       6,000 $(22,827)  
FNMA TBA 5.50%   Put   CGM   04/06/23     $99.52       12,000 (224)  
Total OTC Traded (premiums received $75,469)                     $(23,051)  
    
OTC Swaptions
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
Value
GS_21-PJA^   Put   GSI   06/17/24   0.25%   0.25%(M)   GS_21-PJA(M)     13,500   $(220)
(premiums received $0)                        
Total Options Written (premiums received $75,469)       $(23,271)  
Options Purchased:
Centrally Cleared Swaptions    
Description   Call/
Put
  Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value at
March 31,
2023
  Unrealized
Appreciation
(Depreciation)
CDX.NA.IG.39.V1, 12/20/27   Put   04/19/23   0.85%   CDX.NA.IG.39.V1(Q)   1.00%(Q)     19,380   $7,886   $(53,354)
(cost $61,240)                              
Options Written:
Centrally Cleared Swaptions
Description   Call/
Put
  Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value at
March 31,
2023
  Unrealized
Appreciation
(Depreciation)
CDX.NA.IG.39.V1, 12/20/27   Call   04/19/23   0.75%   CDX.NA.IG.39.V1(Q)   1.00%(Q)     19,380   $(37,154)   $11,296
(premiums received $48,450)                      
    
A33

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Options Written (continued):
Futures contracts outstanding at March 31, 2023:
Number
of
Contracts
  Type   Expiration
Date
  Current
Notional
Amount
  Value /
Unrealized
Appreciation
(Depreciation)
Long Positions:
168   2 Year U.S. Treasury Notes   Jun. 2023   $34,684,125   $421,849
365   5 Year U.S. Treasury Notes   Jun. 2023   39,970,351   477,064
711   10 Year U.S. Treasury Notes   Jun. 2023   81,709,457   821,563
40   10 Year U.S. Ultra Treasury Notes   Jun. 2023   4,845,625   147,355
141   30 Year U.S. Ultra Treasury Bonds   Jun. 2023   19,898,625   432,286
10   Mini MSCI EAFE Index   Jun. 2023   1,048,250   33,180
6   S&P 500 E-Mini Index   Jun. 2023   1,241,325   72,664
                2,405,961
Short Positions:
11   5 Year Euro-Bobl   Jun. 2023   1,406,249   (33,595)
2   10 Year Euro-Bund   Jun. 2023   294,637   (10,381)
416   20 Year U.S. Treasury Bonds   Jun. 2023   54,561,000   (2,288,533)
                (2,332,509)
                $73,452
Forward foreign currency exchange contracts outstanding at March 31, 2023:
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts:
Euro,
Expiring 04/04/23   HSBC   EUR 25,849   $27,867,948   $28,039,482   $171,534   $—
Expiring 04/04/23   SSB   EUR 276   291,714   299,661   7,947  
              $28,159,662   $28,339,143   179,481  
    
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts:
Canadian Dollar,
Expiring 04/19/23   TD   CAD 4,041   $3,018,730   $2,990,704   $28,026   $
Euro,
Expiring 04/04/23   CITI   EUR 424   452,246   459,813     (7,567)
Expiring 04/04/23   TD   EUR 25,701   27,417,142   27,879,331     (462,189)
Expiring 05/02/23   HSBC   EUR 25,849   27,913,184   28,083,821     (170,637)
              $58,801,302   $59,413,669   28,026   (640,393)
                      $207,507   $(640,393)
Credit default swap agreements outstanding at March 31, 2023:
Reference Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
March 31,
2023(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreement on asset-backed and/or mortgage-backed securities - Sell Protection(2)^:
GS_21-PJA   04/14/23   0.500%(M)     8,226   *   $7,076   $(768)   $7,844   GSI
    
A34

PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Credit default swap agreements outstanding at March 31, 2023: (continued)
Reference Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Buy Protection(1):
Credit Suisse Group AG   06/20/26   1.000%(Q)     3,000   $82,228   $161,188   $(78,960)   BARC
Credit Suisse Group AG   06/20/26   1.000%(Q)     3,000   82,229   157,227   (74,998)   BARC
Credit Suisse Group AG   06/20/26   1.000%(Q)     3,000   82,229   176,865   (94,636)   BARC
U.S. Treasury Note   12/20/27   0.250%(Q)   EUR 915   9,907   5,060   4,847   BARC
U.S. Treasury Note   12/20/27   0.250%(Q)   EUR 915   9,907   5,060   4,847   BARC
U.S. Treasury Note   12/20/32   0.250%(Q)   EUR 460   7,355   5,592   1,763   BNP
                    $273,855   $510,992   $(237,137)    
    
Reference Entity/
Obligation
Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Value at
Trade Date
  Value at
March 31,
2023
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Credit Default Swap Agreement on credit indices - Buy Protection(1):
CDX.NA.IG.40.V1 06/20/28   1.000%(Q)     12,494   $(55,018)   $(147,060)   $(92,042)
The Portfolio entered into credit default swaps (“CDS”) to provide a measure of protection against defaults or to take an active long or short position with respect to the likelihood of a particular issuer’s default or the reference entity’s credit soundness. CDS contracts generally trade based on a spread which represents the cost a protection buyer has to pay the protection seller. The protection buyer is said to be short the credit as the value of the contract rises the more the credit deteriorates. The value of the CDS contract increases for the protection buyer if the spread increases.
(1) If the Portfolio is a buyer of protection, it pays the fixed rate. When a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and make delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
(2) If the Portfolio is a seller of protection, it receives the fixed rate. When a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
(3) Notional amount represents the maximum potential amount the Portfolio could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
(4) Implied credit spreads, represented in absolute terms, utilized in determining the fair value of credit default swap agreements where the Portfolio is the seller of protection as of the reporting date serve as an indicator of the current status of the payment/ performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include up-front payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.
* When an implied credit spread is not available, reference the fair value of credit default swap agreements on credit indices and asset-backed securities. Where the Portfolio is the seller of protection, it serves as an indicator of the current status of the payment/performance risk and represents the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the reporting date. Increasing fair value in absolute terms, when compared to the notional amount of the swap, represents a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.
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PSF PGIM FLEXIBLE MANAGED PORTFOLIO (continued)
SCHEDULE OF INVESTMENTS as of March 31, 2023 (unaudited)
Interest rate swap agreements outstanding at March 31, 2023:
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
March 31,
2023
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements:
  7,208   03/08/25   4.946%(A)   1 Day SOFR(2)(A)/ 4.870%   $—   $110,280   $110,280
  9,116   03/09/25   5.110%(A)   1 Day SOFR(2)(A)/ 4.870%     167,973   167,973
  20,448   03/10/25   5.088%(A)   1 Day SOFR(2)(A)/ 4.870%     367,987   367,987
                    $—   $646,240   $646,240
    
(1) The Portfolio pays the fixed rate and receives the floating rate.
(2) The Portfolio pays the floating rate and receives the fixed rate.
    
Total return swap agreements outstanding at March 31, 2023:
Reference Entity   Financing
Rate
  Counterparty   Termination
Date
  Long (Short)
Notional
Amount
(000)#(1)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)(2)
OTC Total Return Swap Agreements:
Total Return Benchmark Bond Index(T)   1 Day USOIS -54bps(T)/ 4.290%   JPM   09/20/23   (7,885)   $(97,059)   $—   $(97,059)
U.S. Treasury Bond(T)   1 Day USOIS +10bps(T)/ 4.930%   JPM   04/18/23   9,385   (146,281)     (146,281)
U.S. Treasury Bond(T)   1 Day USOIS +10bps(T)/ 4.930%   GSI   04/19/23   17,470   (525,272)     (525,272)
U.S. Treasury Bond(T)   1 Day USOIS +10bps(T)/ 4.930%   JPM   04/21/23   16,725   (426,979)     (426,979)
U.S. Treasury Bond(T)   1 Day USOIS +11bps(T)/ 4.940%   JPM   04/26/23   14,990   (457,136)     (457,136)
U.S. Treasury Bond(T)   1 Day USOIS +10bps(T)/ 4.930%   GSI   04/27/23   24,575   (608,902)     (608,902)
U.S. Treasury Bond(T)   1 Day USOIS +12bps(T)/ 4.950%   BOA   05/10/23   27,440   (77,957)     (77,957)
U.S. Treasury Bond(T)   1 Day USOIS +12bps(T)/ 4.950%   JPM   05/23/23   18,765   546,759     546,759
                    $(1,792,827)   $—   $(1,792,827)
(1) On a long total return swap, the Portfolio receives payments for any positive return on the reference entity (makes payments for any negative return) and pays the financing rate. On a short total return swap, the Portfolio makes payments for any positive return on the reference entity (receives payments for any negative return) and receives the financing rate.
(2) Upfront/recurring fees or commissions, as applicable, are included in the net unrealized appreciation (depreciation).
Other information regarding the Portfolio is available in the Portfolio’s most recent Report to Shareholders. This information is available on the Securities and Exchange Commission’s website (www.sec.gov).
A36