0001752724-21-061971.txt : 20210325 0001752724-21-061971.hdr.sgml : 20210325 20210325111921 ACCESSION NUMBER: 0001752724-21-061971 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210129 FILED AS OF DATE: 20210325 PERIOD START: 20211031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PRUDENTIAL GLOBAL TOTAL RETURN FUND, INC. CENTRAL INDEX KEY: 0000793159 IRS NUMBER: 133352347 STATE OF INCORPORATION: MD FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04661 FILM NUMBER: 21770969 BUSINESS ADDRESS: STREET 1: 655 BROAD STREET CITY: NEWARK STATE: NJ ZIP: 07102 BUSINESS PHONE: (973) 367-8982 MAIL ADDRESS: STREET 1: 655 BROAD STREET CITY: NEWARK STATE: NJ ZIP: 07102 FORMER COMPANY: FORMER CONFORMED NAME: DRYDEN GLOBAL TOTAL RETURN FUND INC DATE OF NAME CHANGE: 20030716 FORMER COMPANY: FORMER CONFORMED NAME: PRUDENTIAL GLOBAL TOTAL RETURN FUND INC DATE OF NAME CHANGE: 19990816 FORMER COMPANY: FORMER CONFORMED NAME: GLOBAL TOTAL RETURN FUND INC /MD DATE OF NAME CHANGE: 19950301 0000793159 S000004375 PGIM Global Total Return Fund C000012110 Class A GTRAX C000012112 Class C PCTRX C000012113 Class Z PZTRX C000109121 Class R6 PGTQX C000196748 Class R2 PGTOX C000196749 Class R4 PGTSX NPORT-P 1 primary_doc.xml NPORT-P false 0000793159 XXXXXXXX S000004375 C000196749 C000196748 C000012112 C000109121 C000012110 C000012113 Prudential Global Total Return Fund, Inc. 811-04661 0000793159 549300X4XNCFYMTTNX09 655 Broad Street 17th Floor Newark 07102-4077 1-800-225-1852 PGIM Global Total Return Fund S000004375 YMW0Y3TQ2LKMQXWJ6O25 2021-10-31 2021-01-29 N 5586007712.27 353434019.69 5232573692.58 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 19772470.20000000 AUD CAD CNY EUR GBP JPY USD N DEUTSCHE BANK AG 7LTWFZYICNSX8D621K86 JPY/AUD FORWARD 000000000 1.00000000 NC USD 416086.05000000 0.007951843097 N/A DFE CORP US N 2 DEUTSCHE BANK AG 7LTWFZYICNSX8D621K86 -451976180.00000000 JPY 6194000.00000000 AUD 2021-05-28 416086.05000000 N N N LONDON CLEARING HOUSE 213800O8SCO4XJGBU385 IRS ZAR 000000000 1.00000000 NC 315850.77000000 0.006036241218 N/A DIR CORP GB N 2 LONDON CLEARING HOUSE 213800O8SCO4XJGBU385 Y 2029-06-21 0.00000000 USD -200.71000000 USD 46800000.00000000 ZAR 316051.48000000 N N N CODERE FINANCE 2 LUXEMBO 2221005CUH65GSJUKB29 Codere Finance 2 Luxembourg SA 000000000 1191000.00000000 PA 1518500.28000000 0.029020141315 Long DBT CORP LU Y 2 2023-09-30 Variable 10.75000000 N N N N N N Citibank, National Association E57ODZWZ7FF32TWEFA76 INR/USD FORWARD 000000000 1.00000000 NC USD 207416.42000000 0.003963946466 N/A DFE CORP US N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 -2646000.00000000 USD 208726667.10000000 INR 2021-02-26 207416.42000000 N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS KRW 000000000 1.00000000 NC -46452.96000000 -0.00088776504 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2030-04-27 1.86000000 USD 0.00000000 USD 2455000000.00000000 KRW -46454.82000000 N N N J.P. 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CYYGQCGNHMHPSMRL3R97 AUD/USD FORWARD 000000000 1.00000000 NC USD 361770.08000000 0.006913807645 N/A DFE CORP US N 2 HSBC SECURITIES (USA) INC. CYYGQCGNHMHPSMRL3R97 -2328605.70000000 USD 3517000.00000000 AUD 2021-07-30 361770.08000000 N N N LONDON CLEARING HOUSE 213800O8SCO4XJGBU385 IRS SEK 000000000 1.00000000 NC 35918.21000000 0.000686434861 N/A DIR CORP GB N 2 LONDON CLEARING HOUSE 213800O8SCO4XJGBU385 Y 2023-04-25 16.66000000 USD 0.00000000 USD 12700000.00000000 SEK 35901.55000000 N N N UBS Commercial Mortgage Trust N/A UBS Commercial Mortgage Trust 2017-C4 90276RBD9 6500000.00000000 PA USD 7101068.65000000 0.135708908602 Long ABS-MBS CORP US N 2 2050-10-15 Fixed 3.30100000 N N N N N N REPUBLIC OF PANAMA 549300SHS4T08CL0LP14 Panama Government International Bond 698299AT1 3799000.00000000 PA USD 5489141.74000000 0.104903285887 Long DBT NUSS PA N 2 2034-04-28 Fixed 8.12500000 N N N N N N LIBERTY MUTUAL GROUP INC QUR0DG15Z6FFGYCHH861 Liberty Mutual Group Inc 53079EBJ2 90000.00000000 PA USD 104891.41000000 0.002004585432 Long DBT CORP US N 2 2050-10-15 Fixed 3.95100000 N N N N N N Oaktown Re Ltd 2549008N2FD0KB1Y5E03 Oaktown Re III Ltd 67400KAA8 30245.08000000 PA USD 30252.15000000 0.000578150481 Long ABS-MBS CORP US N 2 2029-07-25 Floating 1.53000000 N N N N N N GENERALITAT DE CATALUNYA 95980020140005848404 Autonomous Community of Catalonia 000000000 430000.00000000 PA 702208.44000000 0.013419943631 Long DBT NUSS ES N 2 2034-10-28 Fixed 4.69000000 N N N N N N DEUTSCHE BANK AKTIENGESELLSCHAFT 7LTWFZYICNSX8D621K86 JPY CALL VERSUS USD PUT 000000000 -481600000.00000000 NC USD -2633566.17000000 -0.05033022609 N/A DFE CORP DE N 2 DEUTSCHE BANK AKTIENGESELLSCHAFT 7LTWFZYICNSX8D621K86 Put Written DEUTSCHE BANK AKTIENGESELLSCHAFT 7LTWFZYICNSX8D621K86 DEUTSCHE BANK AKTIENGESELLSCHAFT 7LTWFZYICNSX8D621K86 JPY CALL VERSUS USD PUT 000000000 0.00000000 NC USD 0.00000000 0.00000000 DFE CORP DE US N/A USD N/A JPY 2022-01-26 -481600000.00000000 USD 95.00000000 USD 2022-01-26 XXXX 4468589.03000000 N N N GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 CDS BARCLAYS BANK PLC 000000000 1.00000000 NC 24454.65000000 0.000467354144 N/A DCR CORP GB N 2 GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 BARCLAYS PLC BARCLAYS PLC Y Default Event 2021-06-20 12278.99000000 USD 0.00000000 USD 4500000.00000000 EUR 12175.66000000 N N N Citibank, National Association E57ODZWZ7FF32TWEFA76 USD/JPY FORWARD 000000000 1.00000000 NC USD -246315.80000000 -0.00470735463 N/A DFE CORP US N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 -19781304.21000000 USD 2043507631.00000000 JPY 2021-05-28 -246315.80000000 N N N MORGAN STANLEY & COMPANY LLC 9R7GPTSO7KV3UQJZQ078 JPY/AUD FORWARD 000000000 1.00000000 NC USD 1233020.80000000 0.023564327469 N/A DFE CORP US N 2 MORGAN STANLEY & COMPANY LLC 9R7GPTSO7KV3UQJZQ078 -1246406535.00000000 JPY 17193000.00000000 AUD 2021-05-28 1233020.80000000 N N N BX Trust N/A BX Commercial Mortgage Trust 2019-XL 056054AL3 21149937.58000000 PA USD 21190221.87000000 0.404967480917 Long ABS-MBS CORP US N 2 2036-10-15 Floating 2.77600000 N N N N N N 2021-03-19 Prudential Global Total Return Fund, Inc. Christian J. Kelly Christian J. Kelly Treasurer and Principal Financial and Accounting Officer XXXX NPORT-EX 2 PI62090PGIMGloTotalRetFd.htm
PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Long-Term Investments 95.3%          
Asset-Backed Securities 13.2%
Canada 0.0%
Fairstone Financial Issuance Trust,
Series 2020-01A, Class A, 144A
2.509 % 10/20/39 CAD 1,500  $1,165,321
Ford Auto Securitization Trust,          
Series 2020-AA, Class B, 144A 1.872 06/15/26 CAD 400 313,296
Series 2020-AA, Class C, 144A 2.763 04/15/28 CAD 500 397,662
          1,876,279
Cayman Islands 6.3%
Anchorage Capital CLO LLC,
Series 2019-13A, Class A, 144A, 3 Month LIBOR + 1.470% (Cap N/A, Floor 1.470%)
1.711(c) 04/15/32   10,000 10,007,507
Anchorage Capital CLO Ltd.,
Series 2019-11A, Class A, 144A, 3 Month LIBOR + 1.390% (Cap N/A, Floor 1.390%)
1.612(c) 07/22/32   20,000 20,024,208
ArrowMark Colorado Holdings,
Series 2017-06A, Class A1, 144A, 3 Month LIBOR + 1.280% (Cap N/A, Floor 0.000%)
1.521(c) 07/15/29   500 500,201
Battalion CLO Ltd.,
Series 2015-08A, Class A1R2, 144A, 3 Month LIBOR + 1.070% (Cap N/A, Floor 1.070%)
1.293(c) 07/18/30   5,500 5,498,353
Benefit Street Partners CLO Ltd.,          
Series 2013-IIA, Class A1R, 144A, 3 Month LIBOR + 1.250% (Cap N/A, Floor 0.000%) 1.491(c) 07/15/29   1,249 1,249,854
Series 2017-12A, Class A1, 144A, 3 Month LIBOR + 1.250% (Cap N/A, Floor 0.000%) 1.491(c) 10/15/30   750 750,284
     
 
BlueMountain CLO Ltd.,
Series 2016-02A, Class A1R, 144A, 3 Month LIBOR + 1.310% (Cap N/A, Floor 1.310%)
1.534(c) 08/20/32   11,000 11,010,262
Brookside Mill CLO Ltd.,
Series 2013-01A, Class BR, 144A, 3 Month LIBOR + 1.350% (Cap N/A, Floor 0.000%)
1.573(c) 01/17/28   4,000 3,973,349
Canyon Capital CLO Ltd.,
Series 2015-01A, Class AS, 144A, 3 Month LIBOR + 1.250% (Cap N/A, Floor 0.000%)
1.491(c) 04/15/29   3,750 3,749,993
Carlyle CLO Ltd.,
Series C17A, Class A1AR, 144A, 3 Month LIBOR + 1.030% (Cap N/A, Floor 0.000%)
1.244(c) 04/30/31   15,000 15,000,007
Carlyle Global Market Strategies CLO Ltd.,
Series 2016-03A, Class A1R, 144A, 3 Month LIBOR + 1.020% (Cap N/A, Floor 1.020%)
1.244(c) 10/20/29   5,468 5,467,689
1

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Cayman Islands (cont’d.)
     
Carlyle US CLO Ltd.,
Series 2018-01A, Class A1, 144A, 3 Month LIBOR + 1.020% (Cap N/A, Floor 0.000%)
1.244 %(c) 04/20/31   12,500  $12,499,989
CBAM Ltd.,
Series 2019-11A, Class A1, 144A, 3 Month LIBOR + 1.360% (Cap N/A, Floor 1.360%)
1.584(c) 10/20/32   25,000 25,039,597
Elevation CLO Ltd.,
Series 2015-04A, Class BR, 144A, 3 Month LIBOR + 1.670% (Cap N/A, Floor 0.000%)
1.893(c) 04/18/27   10,000 10,000,189
Greywolf CLO Ltd.,
Series 2020-03RA, Class A1R, 144A, 3 Month LIBOR + 1.290% (Cap N/A, Floor 1.290%)
1.512(c) 04/15/33   14,000 13,999,986
Madison Park Funding Ltd.,
Series 2016-21A, Class A1AR, 144A, 3 Month LIBOR + 1.350% (Cap N/A, Floor 1.350%)
1.591(c) 10/15/32   10,000 10,014,680
MidOcean Credit CLO,          
Series 2016-05A, Class AR, 144A, 3 Month LIBOR + 1.120% (Cap N/A, Floor 0.000%) 1.343(c) 07/19/28   7,170 7,170,154
Series 2018-08A, Class B, 144A, 3 Month LIBOR + 1.650% (Cap N/A, Floor 0.000%) 1.874(c) 02/20/31   2,000 1,997,024
Series 2018-09A, Class A1, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 1.150%) 1.374(c) 07/20/31   2,000 1,999,998
     
 
Mountain View CLO Ltd.,
Series 2015-09A, Class A2R, 144A, 3 Month LIBOR + 1.780% (Cap N/A, Floor 0.000%)
2.021(c) 07/15/31   5,750 5,749,981
OCP CLO Ltd.,
Series 2019-17A, Class A1, 144A, 3 Month LIBOR + 1.330% (Cap N/A, Floor 1.330%)
1.554(c) 07/20/32   5,000 5,004,496
OZLM Ltd.,          
Series 2014-06A, Class A2AS, 144A, 3 Month LIBOR + 1.750% (Cap N/A, Floor 0.000%) 1.973(c) 04/17/31   2,000 2,003,965
Series 2018-20A, Class A1, 144A, 3 Month LIBOR + 1.050% (Cap N/A, Floor 0.000%) 1.268(c) 04/20/31   5,000 4,999,995
Series 2019-24A, Class A1A, 144A, 3 Month LIBOR + 1.390% (Cap N/A, Floor 0.000%) 1.614(c) 07/20/32   8,000 8,005,587
     
 
Pikes Peak CLO,
Series 2019-04A, Class A, 144A, 3 Month LIBOR + 1.370% (Cap N/A, Floor 1.370%)
1.611(c) 07/15/32   18,000 18,019,172
Race Point CLO Ltd.,
Series 2013-08A, Class AR2, 144A, 3 Month LIBOR + 1.040% (Cap N/A, Floor 1.040%)
1.264(c) 02/20/30   8,540 8,540,363
2

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Cayman Islands (cont’d.)
Shackleton CLO Ltd.,          
Series 2014-05RA, Class A, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 0.000%) 1.313 %(c) 05/07/31   5,000  $4,999,994
Series 2014-05RA, Class B, 144A, 3 Month LIBOR + 1.700% (Cap N/A, Floor 0.000%) 1.913(c) 05/07/31   6,500 6,483,757
Series 2017-10A, Class BR, 144A, 3 Month LIBOR + 1.550% (Cap N/A, Floor 0.000%) 1.774(c) 04/20/29   10,000 9,956,153
     
 
Signal Peak CLO, LLC,
Series 2018-05A, Class A, 144A, 3 Month LIBOR + 1.110% (Cap N/A, Floor 1.110%)
1.328(c) 04/25/31   6,250 6,252,386
Silver Creek CLO Ltd.,
Series 2014-01A, Class AR, 144A, 3 Month LIBOR + 1.240% (Cap N/A, Floor 0.000%)
1.464(c) 07/20/30   500 499,999
Sound Point CLO Ltd.,          
Series 2016-03A, Class AR, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 0.000%) 1.368(c) 01/23/29   8,000 7,999,996
Series 2017-03A, Class A1B, 144A, 3 Month LIBOR + 1.220% (Cap N/A, Floor 0.000%) 1.444(c) 10/20/30   500 499,753
TCW CLO Ltd.,          
Series 2017-01A, Class AR, 144A, 3 Month LIBOR + 1.030% (Cap N/A, Floor 0.000%) 1.242(c) 07/29/29   20,000 20,000,000
Series 2018-01A, Class A1A, 144A, 3 Month LIBOR + 1.050% (Cap N/A, Floor 0.000%) 1.268(c) 04/25/31   15,000 14,999,994
     
 
Telos CLO Ltd.,
Series 2013-03A, Class AR, 144A, 3 Month LIBOR + 1.300% (Cap N/A, Floor 1.300%)
1.523(c) 07/17/26   222 222,370
TIAA CLO Ltd.,
Series 2016-01A, Class AR, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 0.000%)
1.424(c) 07/20/31   2,000 1,999,998
TICP CLO Ltd.,
Series 2015-01A, Class BR, 144A, 3 Month LIBOR + 1.300% (Cap N/A, Floor 0.000%)
1.524(c) 07/20/27   5,188 5,153,083
Trinitas CLO Ltd.,
Series 2015-03A, Class BR, 144A, 3 Month LIBOR + 1.400% (Cap N/A, Floor 0.000%)
1.641(c) 07/15/27   5,000 4,957,782
Tryon Park CLO Ltd.,
Series 2013-01A, Class A2R, 144A, 3 Month LIBOR + 1.500% (Cap N/A, Floor 0.000%)
1.741(c) 04/15/29   3,700 3,694,071
Voya CLO Ltd.,
Series 2013-02A, Class A1R, 144A, 3 Month LIBOR + 0.970% (Cap N/A, Floor 0.970%)
1.188(c) 04/25/31   4,500 4,495,113
3

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Cayman Islands (cont’d.)
     
Wellfleet CLO Ltd.,
Series 2017-03A, Class A1, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 1.150%)
1.373 %(c) 01/17/31   2,500  $2,499,567
York CLO Ltd.,
Series 2015-01A, Class AR, 144A, 3 Month LIBOR + 1.150% (Cap N/A, Floor 0.000%)
1.372(c) 01/22/31   5,000 5,004,390
Zais CLO Ltd.,          
Series 2015-03A, Class A2R, 144A, 3 Month LIBOR + 2.190% (Cap N/A, Floor 0.000%) 2.431(c) 07/15/31   8,500 8,437,321
Series 2017-01A, Class A1, 144A, 3 Month LIBOR + 1.370% (Cap N/A, Floor 0.000%) 1.611(c) 07/15/29   4,129 4,109,694
Series 2017-02A, Class A, 144A, 3 Month LIBOR + 1.290% (Cap N/A, Floor 0.000%) 1.531(c) 04/15/30   733 729,267
Series 2018-01A, Class A, 144A, 3 Month LIBOR + 0.950% (Cap N/A, Floor 0.000%) 1.191(c) 04/15/29   7,011 6,899,952
          332,171,523
Ireland 2.8%
Anchorage Capital Europe CLO,
Series 01X, Class A2
1.500 01/15/31 EUR 8,250 10,028,655
Arbour CLO DAC,
Series 03A, Class B1R, 144A
1.920 03/15/29 EUR 4,000 4,861,988
Armada Euro CLO DAC,
Series 02A, Class A3, 144A
1.500 11/15/31 EUR 1,500 1,823,533
Capital Four CLO DAC,
Series 2A, Class A, 144A, 3 Month EURIBOR + 1.050% (Cap N/A, Floor 1.050%)
1.050(c) 01/15/34 EUR 23,000 27,919,270
Carlyle Euro CLO Ltd.,
Series 2019-02A, Class A1B, 144A, 3 Month EURIBOR + 1.400% (Cap N/A, Floor 1.400%)
1.400(c) 08/15/32 EUR 8,000 9,686,116
CIFC European Funding CLO DAC,          
Series 3A, Class A, 144A, 3 Month EURIBOR + 1.050% (Cap N/A, Floor 1.050%) 1.050(c) 01/15/34 EUR 15,000 18,215,555
Series 3A, Class B2, 144A 2.000 01/15/34 EUR 11,500 14,032,973
Hayfin Emerald CLO,          
Series 02A, Class B2, 144A 2.650 05/27/32 EUR 4,000 4,846,388
Series 05A, Class A, 144A, 3 Month EURIBOR + 1.100% (Cap N/A, Floor 1.100%) 1.100(c) 11/17/32 EUR 18,500 22,488,706
     
 
Henley CLO DAC,
Series 04A, Class A, 144A
(p) 04/25/34 EUR 5,000 6,067,750
4

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Ireland (cont’d.)
     
OAK Hill European Credit Partners DAC,
Series 2017-06A, Class A2, 144A
1.150 % 01/20/32 EUR 3,000  $3,614,132
RRE Loan Management DAC,
Series 05A, Class A1, 144A, 3 Month EURIBOR + 1.100% (Cap N/A, Floor 1.100%)
1.100(c) 10/15/33 EUR 8,500 10,371,520
St Paul’s CLO DAC,          
Series 02A, Class ARRR, 144A, 3 Month EURIBOR + 0.750% (Cap N/A, Floor 0.750%) 0.750(c) 10/15/30 EUR 11,000 13,309,298
Series 07A, Class B2R, 144A 2.400 04/30/30 EUR 1,000 1,210,939
          148,476,823
Spain 0.2%
TFS,
Series 2018-03, Class A1, 1 Month EURIBOR + 2.900%
2.900(c) 04/16/23 EUR 6,632 7,243,477
United Kingdom 0.3%
Newday Funding Master Issuer PLC,          
Series 2021-01A, Class A1, 144A (p) 03/15/29 GBP 3,700 5,069,555
Series 2021-01A, Class A2, 144A (p) 03/15/29   2,300 2,300,000
     
 
Newday Partnership Funding PLC,
Series 2020-01A, Class A3, 144A, 1 Month Sterling Overnight Index Average + 1.400% (Cap N/A, Floor 0.000%)
1.448(c) 11/15/28 GBP 6,205 8,548,642
          15,918,197
United States 3.6%
ACE Securities Corp. Home Equity Loan Trust,
Series 2005-HE2, Class M4, 1 Month LIBOR + 0.960% (Cap N/A, Floor 0.960%)
1.090(c) 04/25/35   21 21,542
AmeriCredit Automobile Receivables Trust,
Series 2020-03, Class D
1.490 09/18/26   1,900 1,936,206
Ameriquest Mortgage Securities, Inc., Asset-Backed
Pass-Through Certificates,
         
Series 2002-02, Class M3, 1 Month LIBOR + 2.655% (Cap N/A, Floor 2.655%) 2.785(c) 08/25/32   402 403,182
Series 2002-03, Class M3, 1 Month LIBOR + 2.850% (Cap N/A, Floor 2.850%) 2.980(c) 08/25/32   210 211,018
     
 
5

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
United States (cont’d.)
     
Argent Securities, Inc., Asset-Backed Pass-Through Certificates,
Series 2005-W02, Class A2C, 1 Month LIBOR + 0.720% (Cap N/A, Floor 0.720%)
0.850 %(c) 10/25/35   9  $8,995
Battalion CLO Ltd.,
Series 2018-12A, Class A1, 144A, 3 Month LIBOR + 1.070% (Cap N/A, Floor 1.070%)
1.292(c) 05/17/31   15,000 14,998,483
Chase Funding Trust,
Series 2003-04, Class 2A2, 1 Month LIBOR + 0.600% (Cap N/A, Floor 0.600%)
0.730(c) 05/25/33   645 630,233
CHEC Loan Trust,
Series 2004-01, Class A3, 144A, 1 Month LIBOR + 1.000% (Cap N/A, Floor 1.000%)
1.130(c) 07/25/34   590 581,551
CIT Mortgage Loan Trust,
Series 2007-01, Class 1A, 144A, 1 Month LIBOR + 1.350% (Cap N/A, Floor 1.350%)
1.480(c) 10/25/37   815 818,313
Commonbond Student Loan Trust,
Series 2020-AGS, Class A, 144A
1.980 08/25/50   4,328 4,446,648
Countrywide Asset-Backed Certificates,
Series 2002-05, Class MV1, 1 Month LIBOR + 1.500% (Cap N/A, Floor 1.500%)
1.630(c) 03/25/33   85 85,393
Credit Suisse Mortgage Trust,
Series 2020-11R, Class 1A1, 144A
2.294 04/25/38   4,226 4,228,259
ELFI Graduate Loan Program LLC,
Series 2020-A, Class A, 144A
1.730 08/25/45   7,495 7,628,559
EquiFirst Mortgage Loan Trust,
Series 2004-01, Class 1A1, 1 Month LIBOR + 0.480% (Cap N/A, Floor 0.480%)
0.610(c) 01/25/34   594 573,190
Exeter Automobile Receivables Trust,
Series 2020-03A, Class D
1.730 07/15/26   700 714,992
Ford Credit Auto Owner Trust,
Series 2020-02, Class C, 144A
1.740 04/15/33   1,300 1,338,376
Ford Credit Floorplan Master Owner Trust,          
Series 2018-04, Class A 4.060 11/15/30   3,600 4,227,341
Series 2020-02, Class C 1.870 09/15/27   2,100 2,119,876
JPMorgan Chase Bank, NA,          
Series 2020-01, Class R, 144A 33.784 01/25/28   1,288 1,294,268
Series 2020-02, Class E, 144A 3.072 02/25/28   3,579 3,600,824
Series 2020-02, Class R, 144A^ 31.355 02/25/28   600 586,989
Laurel Road Prime Student Loan Trust,          
Series 2018-A, Class A, 144A 0.000 02/25/43   3,430 2,024,860
Series 2018-C, Class A, 144A 0.000(cc) 08/25/43   1,871 1,929,056
6

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
United States (cont’d.)
Laurel Road Prime Student Loan Trust, (cont’d.)          
Series 2019-A, Class R, IO, 144A 0.000 % 10/25/48   4,612  $392,003
Legacy Mortgage Asset Trust,          
Series 2019-GS01, Class A1, 144A 4.000 01/25/59   1,279 1,298,709
Series 2019-GS02, Class A1, 144A 3.750 01/25/59   1,592 1,595,635
Series 2019-GS04, Class A1, 144A 3.438 05/25/59   2,718 2,729,275
Series 2019-SL01, Class A, 144A 4.000(cc) 12/28/54   684 690,328
     
 
Lending Funding Trust,
Series 2020-02A, Class A, 144A
2.320 04/21/31   1,100 1,119,182
Lendmark Funding Trust,          
Series 2018-02A, Class A, 144A 4.230 04/20/27   1,600 1,639,968
Series 2019-02A, Class A, 144A 2.780 04/20/28   2,300 2,374,145
     
 
Long Beach Mortgage Loan Trust,
Series 2004-03, Class M1, 1 Month LIBOR + 0.855% (Cap N/A, Floor 0.855%)
0.985(c) 07/25/34   122 120,529
Mariner Finance Issuance Trust,
Series 2020-AA, Class A, 144A
2.190 08/21/34   1,800 1,840,336
MASTR Asset-Backed Securities Trust,
Series 2004-WMC02, Class M1, 1 Month LIBOR + 0.900% (Cap N/A, Floor 0.900%)
1.030(c) 04/25/34   1,239 1,229,212
Merrill Lynch Mortgage Investors Trust,
Series 2004-HE02, Class M1, 1 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
1.330(c) 08/25/35   43 42,980
Morgan Stanley ABS Capital I, Inc. Trust,
Series 2003-NC08, Class M1, 1 Month LIBOR + 1.050% (Cap N/A, Floor 1.050%)
1.180(c) 09/25/33   113 113,247
Morgan Stanley Dean Witter Capital I, Inc. Trust,
Series 2002-AM3, Class A3, 1 Month LIBOR + 0.980% (Cap N/A, Floor 0.980%)
1.110(c) 02/25/33   176 175,565
Navient Private Education Refi Loan Trust,          
Series 2020-DA, Class A, 144A 1.690 05/15/69   3,006 3,070,276
Series 2020-GA, Class B, 144A 2.500 09/16/69   2,000 2,034,668
Series 2021-A, Class B, 144A 2.240 05/15/69   1,850 1,819,644
OneMain Direct Auto Receivables Trust,          
Series 2019-01A, Class A, 144A 3.630 09/14/27   5,900 6,511,825
Series 2019-01A, Class B, 144A 3.950 11/14/28   1,300 1,445,389
OneMain Financial Issuance Trust,          
Series 2017-01A, Class C, 144A 3.350 09/14/32   400 401,297
Series 2020-02A, Class B, 144A 2.210 09/14/35   6,300 6,520,390
Series 2020-02A, Class C, 144A 2.760 09/14/35   4,500 4,748,555
     
 
Oportun Funding IX LLC,
Series 2018-B, Class D, 144A
5.770 07/08/24   2,700 2,708,035
7

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
United States (cont’d.)
     
Oportun Funding LLC,
Series 2020-01, Class A, 144A
2.200 % 05/15/24   3,379  $3,389,931
Oportun Funding VIII LLC,
Series 2018-A, Class A, 144A
3.610 03/08/24   1,330 1,330,835
Oportun Funding X LLC,
Series 2018-C, Class A, 144A
4.100 10/08/24   2,450 2,492,630
Oportun Funding XII LLC,
Series 2018-D, Class A, 144A
4.150 12/09/24   1,500 1,524,316
Oportun Funding XIII LLC,          
Series 2019-A, Class B, 144A 3.870 08/08/25   4,158 4,248,348
Series 2019-A, Class D, 144A 6.220 08/08/25   3,400 3,428,120
     
 
Option One Mortgage Acceptance Corp., Asset-Backed Certificates,
Series 2003-06, Class A2, 1 Month LIBOR + 0.660% (Cap N/A, Floor 0.660%)
0.790(c) 11/25/33   689 667,176
PNMAC FMSR Issuer Trust,
Series 2018-FT01, Class A, 144A, 1 Month LIBOR + 2.350% (Cap N/A, Floor 0.000%)
2.480(c) 04/25/23   4,290 4,186,078
PNMAC GMSR Issuer Trust,          
Series 2018-GT01, Class A, 144A, 1 Month LIBOR + 2.850% (Cap N/A, Floor 2.850%) 2.980(c) 02/25/23   1,020 1,009,991
Series 2018-GT02, Class A, 144A, 1 Month LIBOR + 2.650% (Cap N/A, Floor 0.000%) 2.780(c) 08/25/25   2,300 2,254,685
Santander Consumer Auto Receivables Trust,          
Series 2021-AA, Class D, 144A 1.570 01/15/27   850 851,096
Series 2021-AA, Class R, 144A 0.000 08/15/28   6 1,086,001
Santander Drive Auto Receivables Trust,          
Series 2020-03, Class D 1.640 11/16/26   4,800 4,911,568
Series 2020-04, Class D 1.480 01/15/27   3,200 3,262,666
SoFi Alternative Trust,          
Series 2019-B, Class PT, 144A 0.000(cc) 12/15/45   7,354 7,611,080
Series 2019-D, Class 1PT, 144A 2.653(cc) 01/16/46   7,927 8,211,982
Series 2019-F, Class PT1, 144A 3.932(cc) 02/15/45   9,846 10,165,526
     
 
SoFi Professional Loan Program LLC,
Series 2019-C, Class BFX, 144A
3.050 11/16/48   2,100 2,176,382
SoFi Professional Loan Program Trust,
Series 2020-C, Class AFX, 144A
1.950 02/15/46   3,669 3,755,346
SoFi RR Funding II Trust,
Series 2019-01, Class A, 144A, 1 Month LIBOR + 1.250% (Cap N/A, Floor 1.250%)
1.380(c) 11/29/24   6,800 6,727,576
8

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
United States (cont’d.)
     
SoFi RR Funding III Trust,
Series 2020-01, Class A, 144A, 1 Month LIBOR + 3.750% (Cap N/A, Floor 3.750%)
3.880 %(c) 11/29/24   3,773  $3,808,519
Springleaf Funding Trust,
Series 2017-AA, Class C, 144A
3.860 07/15/30   800 809,122
TH MSR Issuer Trust,
Series 2019-FT01, Class A, 144A, 1 Month LIBOR + 2.800% (Cap N/A, Floor 2.800%)
2.930(c) 06/25/24   9,330 9,052,846
World Omni Select Auto Trust,
Series 2020-A, Class D
1.700 10/15/26   5,900 5,951,652
          191,942,819
     
 
Total Asset-Backed Securities
(cost $689,200,501)
697,629,118
Bank Loans 0.6%
France 0.0%
Ceva Sante Animale SA,
Term Loan, 1 - 6 Month EURIBOR + 4.500% (Cap N/A, Floor 0.000%)
4.500(c) 04/13/26 EUR 1,575 1,915,034
Germany 0.1%
Speedster Bidco GmbH,
Second Lien Term Loan, 6 Month EURIBOR + 6.250% (Cap N/A, Floor 0.000%)
6.250(c) 03/31/28 EUR 3,265 3,925,919
Netherlands 0.2%
Clay Holdco BV,
Facility B Loan, 3 Month EURIBOR + 4.500% (Cap N/A, Floor 0.000%)
4.500(c) 10/30/26 EUR 9,000 10,911,705
United Kingdom 0.2%
BBD Bidco Ltd.,
Facility B1 Loan, 6 Month GBP LIBOR + 4.750%
4.839(c) 11/13/26 GBP 2,125 2,882,451
Froneri Finco SARL,
Second Lien Facility (EUR) Loan, 6 Month EURIBOR + 5.750% (Cap N/A, Floor 0.000%)
5.750(c) 01/31/28 EUR 6,400 7,805,554
          10,688,005
9

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Bank Loans (Continued)
United States 0.1%
Ascent Resources Utica Holdings LLC,
Second Lien Term Loan, 3 Month LIBOR + 9.000%
10.000 %(c) 11/01/25   1,199  $1,312,905
Chesapeake Energy Corp.,
Class A Loan, 3 Month LIBOR + 8.000% (Cap N/A, Floor 1.000%)
9.000(c) 06/24/24(d)   3,575 4,333,572
          5,646,477
     
 
Total Bank Loans
(cost $30,118,088)
33,087,140
Commercial Mortgage-Backed Securities 6.8%
Canada 0.1%
Real Estate Asset Liquidity Trust,
Series 2020-01A, Class A1, 144A
2.381(cc) 02/12/55 CAD 2,235 1,801,627
United Kingdom 0.0%
Salus European Loan Conduit DAC,
Series 33A, Class A, 144A, 3 Month GBP LIBOR + 1.500% (Cap 6.500%, Floor 1.500%)
1.533(c) 01/23/29 GBP 500 673,681
United States 6.7%
20 Times Square Trust,          
Series 2018-20TS, Class G, 144A 3.100(cc) 05/15/35   1,000 904,927
Series 2018-20TS, Class H, 144A 3.100(cc) 05/15/35   1,000 845,732
BANK,          
Series 2017-BNK05, Class A3 3.020 06/15/60   3,600 3,823,678
Series 2017-BNK06, Class A3 3.125 07/15/60   4,400 4,659,272
Series 2017-BNK07, Class A4 3.175 09/15/60   5,000 5,507,082
Series 2017-BNK09, Class A3 3.279 11/15/54   3,000 3,323,855
Series 2019-BN21, Class A3 2.458 10/17/52   6,293 6,675,772
Benchmark Mortgage Trust,          
Series 2018-B02, Class A3 3.544 02/15/51   5,000 5,434,937
Series 2018-B03, Class A3 3.746 04/10/51   7,200 7,848,545
Series 2020-B17, Class A4 2.042 03/15/53   6,200 6,405,029
Series 2020-B20, Class A3 1.945 10/15/53   11,000 11,341,224
BX Commercial Mortgage Trust,          
Series 2019-XL, Class F, 144A, 1 Month LIBOR + 2.000% (Cap N/A, Floor 2.000%) 2.126(c) 10/15/36   3,133 3,138,329
10

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Commercial Mortgage-Backed Securities (Continued)
United States (cont’d.)
BX Commercial Mortgage Trust, (cont’d.)          
Series 2019-XL, Class G, 144A, 1 Month LIBOR + 2.300% (Cap N/A, Floor 2.300%) 2.426 %(c) 10/15/36   8,283  $8,295,891
Series 2019-XL, Class J, 144A, 1 Month LIBOR + 2.650% (Cap N/A, Floor 2.650%) 2.776(c) 10/15/36   21,150 21,190,222
Series 2020-BXLP, Class F, 144A, 1 Month LIBOR + 2.000% (Cap N/A, Floor 2.000%) 2.126(c) 12/15/36   3,796 3,798,905
     
 
Cantor Commercial Real Estate Lending,
Series 2019-CF02, Class A3
2.647 11/15/52   16,531 17,239,775
CF Mortgage Trust,
Series 2020-P01, Class A1, 144A
2.840(cc) 04/15/25   9,457 9,951,764
Citigroup Commercial Mortgage Trust,          
Series 2014-GC21, Class XB, IO 0.439(cc) 05/10/47   27,500 389,848
Series 2016-GC37, Class XB, IO 0.692(cc) 04/10/49   33,868 1,119,778
Series 2016-P04, Class XB, IO 1.344(cc) 07/10/49   9,100 597,630
Series 2017-P08, Class A2 3.109 09/15/50   2,000 2,107,422
Series 2018-B02, Class A3 3.744 03/10/51   7,500 8,532,174
     
 
Cold Storage Trust,
Series 2020-ICE05, Class E, 144A, 1 Month LIBOR + 2.766% (Cap N/A, Floor 2.833%)
2.892(c) 11/15/37   4,475 4,488,851
Commercial Mortgage Trust,          
Series 2012-CR01, Class XA, IO 1.841(cc) 05/15/45   2,971 46,214
Series 2014-UBS04, Class XB, IO, 144A 0.214(cc) 08/10/47   50,000 376,525
Series 2015-CR24, Class A4 3.432 08/10/48   3,889 4,276,288
     
 
Credit Suisse Mortgage Capital Certificates,
Series 2019-ICE04, Class E, 144A, 1 Month LIBOR + 2.150% (Cap N/A, Floor 2.150%)
2.276(c) 05/15/36   14,125 14,161,253
CSAIL Commercial Mortgage Trust,          
Series 2018-CX11, Class A3 4.095 04/15/51   2,250 2,497,850
Series 2019-C17, Class A3 2.769 09/15/52   12,444 13,333,309
     
 
DBWF Mortgage Trust,
Series 2016-85T, Class E, 144A
3.808(cc) 12/10/36   3,000 2,892,301
Deutsche Bank Commercial Mortgage Trust,          
Series 2016-C03, Class A3 2.362 08/10/49   1,500 1,541,775
Series 2017-C06, Class A3 3.269 06/10/50   4,400 4,671,766
Series 2020-C09, Class A3 1.882 09/15/53   20,000 20,607,340
     
 
Eleven Madison Mortgage Trust,
Series 2015-11MD, Class C, 144A
3.555(cc) 09/10/35   500 538,909
FHLMC Multifamily Structured Pass-Through
Certificates,
         
Series K019, Class X1, IO 1.585(cc) 03/25/22   8,598 98,289
Series K020, Class X1, IO 1.343(cc) 05/25/22   9,924 138,387
11

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Commercial Mortgage-Backed Securities (Continued)
United States (cont’d.)
FHLMC Multifamily Structured Pass-Through Certificates, (cont’d.)          
Series K025, Class X1, IO 0.797 %(cc) 10/25/22   17,787  $192,506
Series K037, Class X1, IO 0.954(cc) 01/25/24   10,221 241,346
Series K043, Class X1, IO 0.528(cc) 12/25/24   11,979 222,165
Series K049, Class X1, IO 0.592(cc) 07/25/25   40,176 960,489
Series K052, Class X1, IO 0.653(cc) 11/25/25   12,025 329,538
Series K053, Class X1, IO 0.885(cc) 12/25/25   45,150 1,734,206
Series K054, Class X1, IO 1.169(cc) 01/25/26   30,571 1,577,919
Series K058, Class X1, IO 0.924(cc) 08/25/26   41,020 1,888,223
Series K090, Class X1, IO 0.705(cc) 02/25/29   22,972 1,236,476
Series K111, Class X1, IO 1.572(cc) 05/25/30   29,421 3,756,409
Series K113, Class X1, IO 1.387(cc) 06/25/30   119,117 13,532,096
Series K114, Class X1, IO 1.118(cc) 06/25/30   75,555 7,025,646
Series K116, Class X1, IO 1.427(cc) 07/25/30   49,237 5,691,688
Series K121, Class X1, IO 1.029(cc) 10/25/30   56,612 4,853,645
Series K717, Class X1, IO 0.470(cc) 09/25/21   10,693 9,333
Series KG03, Class X1, IO 1.381(cc) 06/25/30   101,850 11,290,582
Series Q001, Class XA, IO 2.179(cc) 02/25/32   6,318 712,393
GS Mortgage Securities Trust,          
Series 2014-GC20, Class XB, IO 0.430(cc) 04/10/47   30,000 404,241
Series 2014-GC22, Class XB, IO 0.301(cc) 06/10/47   35,000 408,433
Series 2014-GC24, Class XB, IO 0.021(cc) 09/10/47   83,262 54,187
Series 2014-GC26, Class XB, IO 0.296(cc) 11/10/47   56,483 701,937
Series 2018-GS09, Class A3 3.727 03/10/51   7,000 7,927,067
     
 
JPMBB Commercial Mortgage Securities Trust,
Series 2016-C01, Class A3
3.515 03/15/49   1,500 1,558,411
JPMCC Commercial Mortgage Securities Trust,          
Series 2017-JP05, Class A3 3.342 03/15/50   1,600 1,677,170
Series 2017-JP06, Class A3 3.109 07/15/50   4,600 4,837,219
Series 2017-JP07, Class A3 3.379 09/15/50   5,100 5,443,095
     
 
JPMDB Commercial Mortgage Securities Trust,
Series 2020-COR07, Class A4
1.915 05/13/53   10,000 10,296,687
JPMorgan Chase Commercial Mortgage Securities Corp.,
Series 2018-AON, Class E, 144A
4.613(cc) 07/05/31   3,984 4,138,930
MKT Mortgage Trust,
Series 2020-525M, Class F, 144A
2.941(cc) 02/12/40   3,775 3,431,705
Morgan Stanley Bank of America Merrill Lynch Trust,
Series 2016-C31, Class A3
2.731 11/15/49   2,211 2,286,847
Morgan Stanley Capital I Trust,          
Series 2016-UBS09, Class A2 2.982 03/15/49   312 323,162
Series 2017-H01, Class A3 3.153 06/15/50   4,500 4,780,545
12

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Commercial Mortgage-Backed Securities (Continued)
United States (cont’d.)
Morgan Stanley Capital I Trust, (cont’d.)          
Series 2019-MEAD, Class E, 144A 3.177 %(cc) 11/10/36   1,700  $1,340,679
Series 2020-HR08, Class XB, IO 0.878(cc) 07/15/53   54,413 4,110,004
One New York Plaza Trust,          
Series 2020-01NYP, Class C, 144A, 1 Month LIBOR + 2.200% (Cap N/A, Floor 2.200%) 2.359(c) 01/15/26   8,475 8,559,736
Series 2020-01NYP, Class D, 144A, 1 Month LIBOR + 2.750% (Cap N/A, Floor 2.750%) 2.909(c) 01/15/26   2,975 3,004,744
UBS Commercial Mortgage Trust,          
Series 2017-C04, Class A3 3.301 10/15/50   6,500 7,101,069
Series 2017-C06, Class A3 3.581 12/15/50   5,000 5,410,899
Series 2017-C07, Class A3 3.418 12/15/50   4,400 4,907,101
     
 
UBS-Barclays Commercial Mortgage Trust,
Series 2012-C02, Class XA, IO, 144A
1.289(cc) 05/10/63   4,200 60,151
Wells Fargo Commercial Mortgage Trust,          
Series 2016-C35, Class XB, IO 0.935(cc) 07/15/48   24,000 1,119,312
Series 2016-LC24, Class XB, IO 1.002(cc) 10/15/49   20,910 1,055,142
Series 2017-C40, Class A3 3.317 10/15/50   2,600 2,827,167
Series 2018-C43, Class A3 3.746 03/15/51   8,350 9,348,477
          355,169,625
     
 
Total Commercial Mortgage-Backed Securities
(cost $343,143,511)
357,644,933
Corporate Bonds 34.1%
Australia 0.1%
Australia & New Zealand Banking Group Ltd.,
Sr. Unsec’d. Notes, EMTN
3.700 03/18/24 CNH 2,000 317,214
Westpac Banking Corp.,
Sr. Unsec’d. Notes, EMTN
4.420 08/14/23 CNH 21,000 3,387,754
          3,704,968
Belgium 0.1%
Anheuser-Busch InBev Worldwide, Inc.,
Gtd. Notes
5.550 01/23/49   3,800 5,181,556
Brazil 0.7%
Petrobras Global Finance BV,          
Gtd. Notes(a) 5.375 10/01/29 GBP 9,400 14,953,129
Gtd. Notes 6.625 01/16/34 GBP 3,200 5,450,150
13

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Brazil (cont’d.)
Petrobras Global Finance BV, (cont’d.)          
Gtd. Notes, EMTN 6.250 % 12/14/26 GBP 6,443   $10,516,909
     
 
Suzano Austria GmbH,
Gtd. Notes
6.000 01/15/29   200 239,989
Swiss Insured Brazil Power Finance Sarl,
Sr. Sec’d. Notes
9.850 07/16/32 BRL 21,407 4,447,910
          35,608,087
Canada 0.7%
Barrick Gold Corp.,
Sr. Unsec’d. Notes
5.250 04/01/42   35 47,135
Barrick North America Finance LLC,
Gtd. Notes
5.700 05/30/41   45 63,351
Barrick PD Australia Finance Pty Ltd.,
Gtd. Notes
5.950 10/15/39   50 71,061
Bombardier, Inc.,          
Sr. Unsec’d. Notes, 144A 7.500 12/01/24   4,050 3,902,090
Sr. Unsec’d. Notes, 144A 7.875 04/15/27   1,335 1,232,163
Brookfield Residential Properties, Inc./Brookfield
Residential US Corp.,
         
Gtd. Notes, 144A 4.875 02/15/30   2,320 2,379,434
Gtd. Notes, 144A 6.250 09/15/27   2,175 2,305,035
     
 
Cenovus Energy, Inc.,
Sr. Unsec’d. Notes(a)
4.250 04/15/27   3,500 3,845,437
Husky Energy, Inc.,
Sr. Unsec’d. Notes
4.000 04/15/24   400 429,286
Hydro-Quebec,          
Local Gov’t. Gtd. Notes 9.400 02/01/21   730 730,000
Local Gov’t. Gtd. Notes, MTN 6.000 02/15/40 CAD 1,000 1,259,336
Local Gov’t. Gtd. Notes, Series B, MTN 8.400 03/28/25   654 853,203
Local Gov’t. Gtd. Notes, Series HE 8.625 06/15/29   600 920,214
Local Gov’t. Gtd. Notes, Series HK 9.375 04/15/30   1,000 1,645,346
Local Gov’t. Gtd. Notes, Series HQ 9.500 11/15/30   800 1,350,591
Local Gov’t. Gtd. Notes, Series JM 5.000 02/15/45 CAD 2,000 2,355,278
     
 
Kinross Gold Corp.,
Gtd. Notes
5.950 03/15/24   1,000 1,139,526
MEG Energy Corp.,
Gtd. Notes, 144A
7.125 02/01/27   1,225 1,265,692
Methanex Corp.,
Sr. Unsec’d. Notes
4.250 12/01/24   1,500 1,568,770
14

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Canada (cont’d.)
Nutrien Ltd.,          
Sr. Unsec’d. Notes 3.375 % 03/15/25   1,450  $1,585,734
Sr. Unsec’d. Notes 4.200 04/01/29   490 579,542
Sr. Unsec’d. Notes 6.125 01/15/41   25 35,482
     
 
Ontario Electricity Financial Corp.,
Local Gov’t. Gtd. Notes, Series 40
1.848(s) 04/11/31 CAD 10,000 6,532,337
Rogers Communications, Inc.,
Gtd. Notes
3.250 05/01/29 CAD 700 606,567
Toronto-Dominion Bank (The),          
Sr. Unsec’d. Notes 2.050 07/10/24 AUD 2,470 1,974,097
Sr. Unsec’d. Notes 3.005 05/30/23 CAD 1,000 827,459
          39,504,166
China 0.8%
Agricultural Development Bank of China,
Sr. Unsec’d. Notes
3.400 11/06/24 CNH 72,790 11,540,039
Aircraft Finance Co. Ltd.,          
Sr. Sec’d. Notes, Series B 4.100 03/29/26   3,905 4,048,029
Sr. Sec’d. Notes, Series C 3.955 03/29/23   10,048 10,376,978
Bank of China Ltd.,          
Sr. Unsec’d. Notes, EMTN 0.420 11/29/21 JPY 100,000 954,226
Sr. Unsec’d. Notes, EMTN 3.150 10/16/21 CNH 6,000 933,028
Sr. Unsec’d. Notes, EMTN 3.300 04/17/22 CNH 4,950 772,820
Sr. Unsec’d. Notes, EMTN 4.650 03/05/21 CNH 2,000 310,885
China Development Bank,          
Sr. Unsec’d. Notes 4.300 08/02/32 CNH 2,000 335,048
Sr. Unsec’d. Notes, EMTN 0.500 06/01/21 EUR 1,000 1,215,690
Sr. Unsec’d. Notes, EMTN 4.350 08/06/24 CNH 4,700 765,947
Sr. Unsec’d. Notes, EMTN 4.350 09/19/24 CNH 8,990 1,468,912
Unsec’d. Notes 1.860 04/09/23 CNH 10,000 1,510,017
Unsec’d. Notes 4.200 01/19/27 CNH 16,000 2,657,239
Unsec’d. Notes, Series 2015 3.700 10/20/30 CNH 20,000 3,130,073
     
 
China Development Bank Corp.,
Certificate of Deposit
3.200 09/28/21 CNH 9,000 1,400,903
Industrial & Commercial Bank of China Ltd.,
Sr. Unsec’d. Notes
2.957 11/08/22   2,000 2,073,918
Sinopec Century Bright Capital Investment Ltd.,
Gtd. Notes
4.500 10/31/21 CNH 10,000 1,566,681
          45,060,433
15

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Denmark 0.3%
Danske Bank A/S,          
Sr. Unsec’d. Notes, 144A 1.171 %(ff) 12/08/23   9,300  $9,349,345
Sr. Unsec’d. Notes, 144A 1.621(ff) 09/11/26   4,645 4,670,571
Sr. Unsec’d. Notes, 144A 3.244(ff) 12/20/25   1,095 1,178,242
          15,198,158
France 2.5%
Altice France SA,
Sr. Sec’d. Notes
3.375 01/15/28 EUR 8,475 10,198,296
Banque Federative du Credit Mutuel SA,          
Sr. Unsec’d. Notes, Series 19 0.999 10/15/25 JPY 200,000 1,973,345
Sr. Unsec’d. Notes, Series 21 0.300 10/13/23 JPY 300,000 2,868,366
BNP Paribas SA,          
Sr. Unsec’d. Notes, 144A 1.323(ff) 01/13/27   3,400 3,409,153
Sr. Unsec’d. Notes, 144A 1.904(ff) 09/30/28   12,100 12,285,881
Sr. Unsec’d. Notes, 144A 3.375 01/09/25   4,800 5,234,638
Sr. Unsec’d. Notes, EMTN 6.420 09/11/23 MXN 250 12,132
Sub. Notes, EMTN 4.625 03/09/27 AUD 370 315,548
BPCE SA,          
Sr. Unsec’d. Notes, 144A 2.277(ff) 01/20/32   7,422 7,466,388
Sr. Unsec’d. Notes, EMTN 0.562 06/24/24 JPY 100,000 952,578
Sr. Unsec’d. Notes, Series 3 0.989 07/12/28 JPY 300,000 2,888,644
Sr. Unsec’d. Notes, Series 5 0.530(ff) 12/10/26 JPY 500,000 4,778,230
     
 
Credit Agricole Assurances SA,
Sub. Notes
4.250(ff) 01/13/25(oo) EUR 2,000 2,681,820
Credit Agricole SA,          
Sr. Unsec’d. Notes, 144A 1.247(ff) 01/26/27   2,545 2,545,087
Sr. Unsec’d. Notes, Series 4 0.959 06/08/28 JPY 400,000 3,824,641
Sr. Unsec’d. Notes, Series 7 1.248(ff) 06/04/26 JPY 600,000 5,913,458
     
 
Dexia Credit Local SA,
Gov’t. Liquid Gtd. Notes, EMTN
2.125 02/12/25 GBP 2,800 4,120,295
La Poste SA,
Sr. Unsec’d. Notes, EMTN
1.450 11/30/28 EUR 600 810,690
Loxam SAS,          
Sr. Sec’d. Notes 2.875 04/15/26 EUR 5,200 6,215,803
Sr. Sec’d. Notes, 144A 2.875 04/15/26 EUR 1,100 1,314,881
Sr. Sub. Notes 4.500 04/15/27 EUR 3,800 4,415,709
Sr. Sub. Notes(a) 5.750 07/15/27 EUR 4,100 5,000,433
Sr. Sub. Notes, 144A 4.500 04/15/27 EUR 1,100 1,278,232
     
 
Picard Bondco SA,
Gtd. Notes
5.500 11/30/24 EUR 1,489 1,846,538
16

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
France (cont’d.)
SNCF Reseau,          
Sr. Unsec’d. Notes 4.700 % 06/01/35 CAD 6,100  $6,175,715
Sr. Unsec’d. Notes, EMTN 5.250 12/07/28 GBP 1,000 1,840,798
Sr. Unsec’d. Notes, EMTN 5.250 01/31/35 GBP 200 417,444
Societe Generale SA,          
Sr. Unsec’d. Notes, 144A, MTN 2.625 01/22/25   18,960 19,991,321
Sr. Unsec’d. Notes, 144A, MTN 3.875 03/28/24   5,055 5,509,724
Sub. Notes, EMTN 4.875 10/13/26 AUD 2,364 1,994,125
Sub. Notes, EMTN 5.000 05/19/27 AUD 220 188,891
Sub. Notes, EMTN 5.000(ff) 07/20/28 AUD 1,006 814,388
     
 
Societe Nationale SNCF SA,
Sr. Unsec’d. Notes, EMTN
5.375 03/18/27 GBP 1,622 2,826,730
          132,109,922
Germany 0.7%
Daimler International Finance BV,          
Gtd. Notes 4.800 04/09/21 CNH 5,000 777,911
Gtd. Notes, EMTN 3.450 09/27/22 CNH 1,000 156,203
Gtd. Notes, EMTN 3.780 03/22/22 CNH 2,000 313,026
Gtd. Notes, EMTN 4.500 09/21/21 CNH 16,000 2,504,704
Deutsche Bahn Finance GMBH,          
Gtd. Notes, MTN 1.987 07/08/30 AUD 1,000 759,489
Gtd. Notes, MTN 3.800 09/27/27 AUD 900 785,675
Deutsche Bank AG,          
Sr. Unsec’d. Notes 2.129(ff) 11/24/26   3,760 3,812,654
Sr. Unsec’d. Notes 3.950 02/27/23   3,040 3,226,427
Sr. Unsec’d. Notes 4.250 02/04/21   2,760 2,760,529
Sub. Notes, EMTN 3.671(ff) 04/10/25 CNH 9,000 1,354,171
Unsec’d. Notes 4.550(s) 11/07/22   1,814 1,779,853
     
 
Kreditanstalt fuer Wiederaufbau,
Gov’t. Gtd. Notes
4.700 06/02/37 CAD 402 429,328
thyssenkrupp AG,
Sr. Unsec’d. Notes
1.375 03/03/22 EUR 3,550 4,301,457
Vertical Midco GmbH,          
Sr. Sec’d. Notes 4.375 07/15/27 EUR 1,300 1,651,311
Sr. Sec’d. Notes, 3 Month EURIBOR + 4.750% (Cap N/A, Floor 4.750%) 4.750(c) 07/15/27 EUR 3,100 3,811,114
Sr. Sec’d. Notes, 144A 4.375 07/15/27 EUR 4,300 5,462,027
17

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Germany (cont’d.)
Volkswagen International Finance NV,          
Gtd. Notes 2.700 %(ff) 12/14/22(oo) EUR 1,000  $1,236,217
Gtd. Notes 3.750(ff) 03/24/21(oo) EUR 500 609,143
          35,731,239
Hong Kong 0.1%
HKT Capital No 3 Ltd.,
Gtd. Notes
1.650 04/10/27 EUR 4,000 5,277,660
Hong Kong Mortgage Corp. Ltd. (The),
Sr. Unsec’d. Notes, EMTN
2.310 04/12/21 HKD 2,000 258,901
Swire Pacific MTN Financing Ltd.,
Gtd. Notes, EMTN
3.900 11/05/30 HKD 5,000 736,567
          6,273,128
Hungary 0.1%
MFB Magyar Fejlesztesi Bank Zrt,
Gov’t. Gtd. Notes
1.375 06/24/25 EUR 4,170 5,281,443
Iceland 0.1%
Landsvirkjun,
Gov’t. Gtd. Notes, EMTN
0.000(cc) 07/24/26 EUR 5,000 5,958,493
India 0.2%
NTPC Ltd.,
Sr. Unsec’d. Notes, EMTN
2.750 02/01/27 EUR 8,100 10,426,502
Indonesia 0.2%
Pertamina Persero PT,
Sr. Unsec’d. Notes, 144A, MTN
4.300 05/20/23   500 536,440
Perusahaan Listrik Negara PT,          
Sr. Unsec’d. Notes, 144A 1.875 11/05/31 EUR 6,900 8,369,956
Sr. Unsec’d. Notes, 144A 2.875 10/25/25 EUR 900 1,189,629
          10,096,025
Israel 0.4%
Israel Electric Corp. Ltd.,          
Sr. Sec’d. Notes 7.875 12/15/26   2,750 3,591,141
Sr. Sec’d. Notes, 144A, GMTN 4.250 08/14/28   3,100 3,538,168
18

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Israel (cont’d.)
Israel Electric Corp. Ltd., (cont’d.)          
Sr. Sec’d. Notes, EMTN 3.700 % 05/23/30 JPY 100,000  $1,071,268
Sr. Sec’d. Notes, EMTN 7.750 12/15/27   9,750 12,968,278
          21,168,855
Italy 0.2%
Agenzia Nazionale per l’Attrazione degli Investimenti e lo Sviluppo d’Impresa,
Sr. Unsec’d. Notes
1.375 07/20/22 EUR 1,000 1,234,120
Assicurazioni Generali SpA,
Sub. Notes, EMTN
5.500(ff) 10/27/47 EUR 2,075 3,046,921
Intesa Sanpaolo SpA,          
Sr. Unsec’d. Notes, 144A 3.125 07/14/22   2,500 2,578,841
Sr. Unsec’d. Notes, 144A 3.375 01/12/23   310 323,891
     
 
Rossini Sarl,
Sr. Sec’d. Notes, 144A
6.750 10/30/25 EUR 1,980 2,564,643
          9,748,416
Jamaica 0.2%
Digicel Holdings Bermuda Ltd./Digicel International
Finance Ltd.,
         
Gtd. Notes, 144A, Cash coupon 6.000% and PIK 7.000% 13.000 12/31/25   1,000 1,005,000
Sr. Sec’d. Notes, 144A 8.750 05/25/24   750 784,085
Sr. Sec’d. Notes, 144A 8.750 05/25/24   7,250 7,565,199
          9,354,284
Japan 0.2%
Central Nippon Expressway Co. Ltd.,
Sr. Unsec’d. Notes, EMTN
1.873 09/26/24 AUD 3,000 2,349,590
East Japan Railway Co.,
Sr. Unsec’d. Notes, EMTN
5.250 04/22/33 GBP 1,500 3,021,460
Mitsubishi UFJ Financial Group, Inc.,
Sr. Unsec’d. Notes
2.801 07/18/24   2,100 2,252,846
Mizuho Bank Ltd.,
Certificate of Deposit
1.700 08/07/24 AUD 600 474,884
Mizuho Financial Group, Inc.,
Sr. Unsec’d. Notes
3.752 07/19/23 AUD 1,042 853,124
          8,951,904
19

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Kazakhstan 0.2%
Kazakhstan Temir Zholy National Co. JSC,          
Gtd. Notes 3.250 % 12/05/23 CHF 3,800  $4,507,827
Gtd. Notes 3.638 06/20/22 CHF 4,550 5,271,529
          9,779,356
Luxembourg 0.4%
ARD Finance SA,          
Sr. Sec’d. Notes, Cash coupon 5.000% or PIK 5.750% 5.000 06/30/27 EUR 6,300 7,847,033
Sr. Sec’d. Notes, 144A, Cash coupon 5.000% or PIK 5.750% 5.000 06/30/27 EUR 10,000 12,455,607
          20,302,640
Mexico 0.7%
Petroleos Mexicanos,          
Gov’t. Gtd. Notes, 3 Month LIBOR + 0.430% (Cap N/A, Floor 0.000%) 0.652(c) 02/15/24   2,438 2,440,462
Gtd. Notes 3.625 11/24/25 EUR 11,020 13,183,806
Gtd. Notes 6.500 01/23/29   480 477,338
Gtd. Notes 6.840 01/23/30   525 526,766
Gtd. Notes, EMTN 1.875 04/21/22 EUR 1,200 1,445,338
Gtd. Notes, EMTN 3.750 02/21/24 EUR 4,200 5,123,785
Gtd. Notes, EMTN 3.750 11/16/25 GBP 290 379,000
Gtd. Notes, EMTN 3.750 04/16/26 EUR 3,057 3,654,702
Gtd. Notes, EMTN 4.875 02/21/28 EUR 6,800 8,179,899
Gtd. Notes, EMTN 5.125 03/15/23 EUR 1,600 2,010,341
Gtd. Notes, EMTN 8.250 06/02/22 GBP 528 767,772
          38,189,209
Netherlands 0.9%
ABN AMRO Bank NV,
Sub. Notes, 144A
4.750 07/28/25   500 574,278
BNG Bank NV,          
Sr. Unsec’d. Notes 5.150 03/07/25 CAD 1,000 919,467
Sr. Unsec’d. Notes, EMTN 0.500 03/03/21 NZD 3,000 2,155,260
Sr. Unsec’d. Notes, EMTN 0.500 03/29/21 NZD 2,200 1,581,395
Sr. Unsec’d. Notes, EMTN 0.500 05/12/21 ZAR 10,000 650,755
Sr. Unsec’d. Notes, EMTN 0.500 06/22/21 ZAR 6,000 387,971
Sr. Unsec’d. Notes, EMTN 0.500 06/07/22 ZAR 10,000 618,759
Sr. Unsec’d. Notes, EMTN 0.500 08/15/22 ZAR 30,000 1,838,693
20

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Netherlands (cont’d.)
BNG Bank NV, (cont’d.)          
Sr. Unsec’d. Notes, EMTN 7.000 % 12/09/21 AUD 2,000  $1,617,573
Sr. Unsec’d. Notes, MTN 1.765(s) 04/05/28 CAD 2,600 1,841,214
Cooperatieve Rabobank UA,          
Sr. Unsec’d. Notes, GMTN 3.500 12/14/26 AUD 2,412 2,006,019
Sub. Notes, Series 1 1.429 12/19/24 JPY 300,000 2,929,228
     
 
ING Groep NV,
Sr. Unsec’d. Notes(a)
4.050 04/09/29   2,525 2,962,525
Nederlandse Waterschapsbank NV,
Sr. Unsec’d. Notes, MTN
4.550 03/16/29 CAD 230 223,849
Nouryon Holding BV,
Gtd. Notes
6.500 10/01/26 EUR 1,590 2,020,777
NXP BV/NXP Funding LLC/NXP USA, Inc.,          
Gtd. Notes, 144A 3.150 05/01/27   575 632,629
Gtd. Notes, 144A 3.400 05/01/30   725 809,620
     
 
OCI NV,
Sr. Sec’d. Notes, 144A
3.625 10/15/25 EUR 9,300 11,755,512
United Group BV,          
Sr. Sec’d. Notes 4.875 07/01/24 EUR 300 371,346
Sr. Sec’d. Notes, 144A 3.125 02/15/26 EUR 3,800 4,473,145
     
 
Ziggo Bond Co. BV,
Gtd. Notes, 144A
3.375 02/28/30 EUR 6,000 7,263,097
Ziggo BV,
Sr. Sec’d. Notes
4.250 01/15/27 EUR 160 202,906
          47,836,018
Norway 0.2%
Equinor ASA,          
Gtd. Notes 2.875 04/06/25   9,650 10,460,566
Sr. Unsec’d. Notes 6.800 01/15/28   2,265 2,957,673
          13,418,239
Peru 0.0%
Lima Metro Line 2 Finance Ltd.,
Sr. Sec’d. Notes
5.875 07/05/34   104 125,579
Peru Enhanced Pass-Through Finance Ltd.,
Pass-Through Certificates
2.077(s) 06/02/25   1,404 1,355,216
          1,480,795
21

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Philippines 0.1%
Bangko Sentral ng Pilipinas International Bond,
Sr. Unsec’d. Notes, Series A
8.600 % 06/15/27   3,500  $4,859,061
Power Sector Assets & Liabilities Management Corp.,
Gov’t. Gtd. Notes
7.390 12/02/24   200 249,411
          5,108,472
Poland 0.1%
Bank Gospodarstwa Krajowego,          
Gov’t. Gtd. Notes 1.375 06/01/25 EUR 500 643,009
Gov’t. Gtd. Notes 1.625 04/30/28 EUR 600 800,986
Gov’t. Gtd. Notes, EMTN 1.750 05/06/26 EUR 4,700 6,194,706
          7,638,701
Portugal 0.3%
CP-Comboios de Portugal EPE,
Sr. Unsec’d. Notes
5.700 03/05/30 EUR 9,500 16,428,778
Infraestruturas de Portugal SA,
Sr. Unsec’d. Notes
4.250 12/13/21 EUR 1,000 1,257,578
          17,686,356
Qatar 0.2%
QNB Finance Ltd.,          
Gtd. Notes, EMTN 3.500 03/09/26 CNH 7,400 1,158,460
Gtd. Notes, EMTN 4.350 01/29/22 CNH 8,310 1,307,003
Gtd. Notes, EMTN 5.100 03/08/21 CNH 29,300 4,553,107
Gtd. Notes, EMTN 5.100 05/14/21 CNH 7,360 1,148,168
Gtd. Notes, EMTN 5.200 06/07/21 CNH 10,000 1,562,027
Gtd. Notes, EMTN 5.250 06/21/21 CNH 3,970 620,741
Gtd. Notes, MTN 4.900 02/01/28 AUD 840 733,643
          11,083,149
Russia 0.7%
Gazprom PJSC Via Gaz Capital SA,          
Sr. Unsec’d. Notes 2.250 07/19/22 CHF 2,000 2,288,521
Sr. Unsec’d. Notes(a) 2.500 03/21/26 EUR 2,000 2,570,127
Sr. Unsec’d. Notes 2.750 11/30/21 CHF 1,200 1,372,768
Sr. Unsec’d. Notes 4.250 04/06/24 GBP 9,080 13,322,213
     
 
22

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Russia (cont’d.)
     
Gazprom PJSC via Gaz Finance PLC,
Sr. Unsec’d. Notes
2.950 % 04/15/25 EUR 2,000  $2,592,670
Russian Railways Via RZD Capital PLC,          
Sr. Unsec’d. Notes 0.898 10/03/25 CHF 9,450 10,635,936
Sr. Unsec’d. Notes 1.195 04/03/28 CHF 1,300 1,443,307
Sr. Unsec’d. Notes 7.487 03/25/31 GBP 850 1,589,345
          35,814,887
Singapore 0.1%
Clifford Capital Pte Ltd.,
Gov’t. Gtd. Notes, EMTN
3.110 08/18/32   5,000 5,444,325
South Africa 0.2%
Eskom Holdings SOC Ltd.,          
Gov’t. Gtd. Notes, 144A, MTN(a) 6.350 08/10/28   1,350 1,496,377
Gov’t. Gtd. Notes, MTN 6.350 08/10/28   5,500 6,096,349
     
 
Sasol Financing International Ltd.,
Gtd. Notes
4.500 11/14/22   800 814,533
          8,407,259
South Korea 0.6%
Hyundai Capital Services, Inc.,
Sr. Unsec’d. Notes, Series 14
0.400 08/02/21 JPY 100,000 951,730
Korea Development Bank (The),
Sr. Unsec’d. Notes, EMTN
6.000 01/22/25 IDR 15,000,000 1,085,612
Korea Expressway Corp.,          
Sr. Unsec’d. Notes, GMTN 2.310 04/28/32 SEK 80,000 11,012,883
Sr. Unsec’d. Notes, GMTN 3.030 05/11/32 CAD 7,500 6,532,360
     
 
Korea Hydro & Nuclear Power Co. Ltd.,
Sr. Unsec’d. Notes, EMTN
3.350 03/13/28 HKD 2,000 284,665
Korean Air Lines Co. Ltd.,
Gov’t. Gtd. Notes, Series 1
0.320 02/21/22 JPY 500,000 4,773,975
KT Corp.,
Sr. Unsec’d. Notes, Series 9
0.220 07/19/22 JPY 700,000 6,670,533
          31,311,758
Spain 0.2%
Adif Alta Velocidad,
Sr. Unsec’d. Notes, EMTN
3.500 05/27/24 EUR 400 547,038
23

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Spain (cont’d.)
Banco Santander SA,          
Sr. Unsec’d. Notes 3.306 % 06/27/29   1,600  $1,781,107
Sr. Unsec’d. Notes(a) 3.800 02/23/28   2,200 2,474,126
Sub. Notes 2.749 12/03/30   2,400 2,423,627
Codere Finance 2 Luxembourg SA,          
Sr. Sec’d. Notes, 144A (original cost $1,379,631; purchased 07/24/20 - 10/09/20)(f) 10.750 09/30/23 EUR 1,191 1,518,500
Sr. Sec’d. Notes, 144A, Cash coupon 4.500% and PIK 7.125% (original cost $1,742,500; purchased 10/31/19)(f) 11.625 11/01/23   2,000 1,295,756
          10,040,154
Supranational Bank 1.4%
African Development Bank,          
Sr. Unsec’d. Notes, EMTN 0.500 09/21/21 NZD 4,000 2,867,652
Sr. Unsec’d. Notes, EMTN 0.500 03/13/23 MXN 20,000 881,620
Corp. Andina de Fomento,          
Sr. Unsec’d. Notes 2.750 01/06/23   1,350 1,405,654
Sr. Unsec’d. Notes 4.375 06/15/22   3,300 3,467,090
Sr. Unsec’d. Notes, MTN 4.000 03/31/21 AUD 1,636 1,255,571
     
 
EUROFIMA,
Sr. Unsec’d. Notes, MTN
4.550 03/30/27 CAD 900 840,372
European Bank for Reconstruction & Development,          
Sr. Unsec’d. Notes, GMTN 0.500 09/01/23 AUD 400 304,381
Sr. Unsec’d. Notes, GMTN 0.500 11/21/23 AUD 1,200 917,724
Sr. Unsec’d. Notes, GMTN 6.450 12/13/22 IDR 60,560,000 4,450,714
Unsec’d. Notes, GMTN^ 1.250 07/10/23 PEN 4,500 1,252,437
European Investment Bank,          
Sr. Unsec’d. Notes, 144A, EMTN 4.600 01/30/37 CAD 1,528 1,606,057
Sr. Unsec’d. Notes, 144A, EMTN 5.400 01/05/45 CAD 4,200 5,105,854
Sr. Unsec’d. Notes, 144A, MTN 2.047(s) 05/28/37 CAD 20,500 11,243,067
Sr. Unsec’d. Notes, EMTN 1.954(s) 05/28/37 CAD 7,550 4,140,739
Sr. Unsec’d. Notes, EMTN 0.500 06/21/23 AUD 1,600 1,226,360
Sr. Unsec’d. Notes, EMTN 0.500 07/21/23 AUD 800 612,972
Sr. Unsec’d. Notes, EMTN 0.500 08/10/23 AUD 1,210 927,191
Sr. Unsec’d. Notes, EMTN 0.500 10/26/23 AUD 6,930 5,305,176
Sr. Unsec’d. Notes, EMTN 1.250 05/12/25 SEK 16,500 2,068,630
Sr. Unsec’d. Notes, EMTN 1.250 11/12/29 SEK 10,000 1,272,939
Sr. Unsec’d. Notes, EMTN 3.250 05/24/23 NOK 10,000 1,236,306
Sr. Unsec’d. Notes, EMTN 4.600 01/30/37 CAD 550 578,096
Sr. Unsec’d. Notes, EMTN 6.270 08/28/24 IDR 10,000,000 741,625
24

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Supranational Bank (cont’d.)
Inter-American Development Bank,          
Sr. Unsec’d. Notes 4.400 % 01/26/26 CAD 1,800  $1,662,366
Sr. Unsec’d. Notes, EMTN 0.500 05/23/23 CAD 744 584,297
Sr. Unsec’d. Notes, EMTN 7.875 03/14/23 IDR 137,000,000 10,390,617
Sr. Unsec’d. Notes, GMTN 7.500 12/05/24 MXN 600 31,722
International Bank for Reconstruction &
Development,
         
Sr. Unsec’d. Notes, EMTN 0.500 03/07/22 AUD 1,145 874,948
Sr. Unsec’d. Notes, EMTN 0.500 03/28/22 AUD 200 152,945
Sr. Unsec’d. Notes, EMTN 0.500 07/29/22 AUD 350 268,358
Sr. Unsec’d. Notes, EMTN 6.630 07/24/28 MXN 17,700 882,257
Sr. Unsec’d. Notes, MTN 1.600(cc) 10/20/26   18 18,111
International Finance Corp.,          
Sr. Unsec’d. Notes, GMTN 6.000 07/25/22 MXN 20,000 995,743
Sr. Unsec’d. Notes, GMTN 7.020 04/06/28 MXN 41,300 2,128,360
     
 
Nordic Investment Bank,
Sr. Unsec’d. Notes, MTN
3.875 09/02/25 NZD 2,000 1,637,012
North American Development Bank,
Sr. Unsec’d. Notes
2.400 10/26/22   198 203,474
          73,538,437
Switzerland 0.4%
Credit Suisse Group AG,          
Sr. Unsec’d. Notes, 144A 0.000(cc) 02/02/27   6,440 6,433,134
Sr. Unsec’d. Notes, 144A 2.593(ff) 09/11/25   1,390 1,467,506
Sr. Unsec’d. Notes, 144A 4.207(ff) 06/12/24   2,850 3,078,587
Sr. Unsec’d. Notes, 144A 4.282 01/09/28   2,975 3,423,997
Sr. Unsec’d. Notes, EMTN 1.000 04/14/23 CHF 1,000 1,150,417
Sr. Unsec’d. Notes, EMTN 3.500(ff) 03/08/24 AUD 750 602,042
     
 
UBS AG,
Sr. Unsec’d. Notes
1.200 07/30/25 AUD 1,855 1,443,486
UBS Group AG,          
Sr. Unsec’d. Notes, 144A 2.859(ff) 08/15/23   990 1,025,266
Sr. Unsec’d. Notes, 144A 3.491 05/23/23   1,100 1,142,801
Sr. Unsec’d. Notes, 144A 4.125 09/24/25   2,500 2,841,185
          22,608,421
Tunisia 0.0%
Banque Centrale de Tunisie International Bond,
Sr. Unsec’d. Notes
4.200 03/17/31 JPY 100,000 708,547
25

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Ukraine 0.0%
NAK Naftogaz Ukraine via Kondor Finance PLC,
Sr. Unsec’d. Notes
7.125 % 07/19/24 EUR 1,100  $1,375,204
United Arab Emirates 0.9%
Abu Dhabi National Energy Co. PJSC,          
Sr. Unsec’d. Notes 3.625 01/12/23   1,000 1,056,299
Sr. Unsec’d. Notes, 144A(a) 4.375 04/23/25   1,070 1,210,419
Sr. Unsec’d. Notes, GMTN 2.750 05/02/24 EUR 13,800 18,176,128
ADCB Finance Cayman Ltd.,          
Gtd. Notes, MTN 3.750 10/25/22 AUD 1,130 897,869
Gtd. Notes, MTN 4.500 10/25/27 AUD 2,370 2,021,742
DP World PLC,          
Sr. Unsec’d. Notes 2.375 09/25/26 EUR 550 704,783
Sr. Unsec’d. Notes 4.250 09/25/30 GBP 4,900 7,596,986
Sr. Unsec’d. Notes, 144A 4.250 09/25/30 GBP 1,840 2,852,746
Emirates NBD Bank PJSC,          
Sr. Unsec’d. Notes 3.050 02/26/30 AUD 100 77,713
Sr. Unsec’d. Notes, MTN 4.750 02/09/28 AUD 4,830 4,199,365
Sr. Unsec’d. Notes, MTN 4.850 10/12/27 AUD 4,090 3,589,742
     
 
Emirates Telecommunications Group Co. PJSC,
Sr. Unsec’d. Notes, GMTN
2.750 06/18/26 EUR 4,000 5,533,576
First Abu Dhabi Bank PJSC,
Sr. Unsec’d. Notes, EMTN
4.500 09/10/21 CNH 8,000 1,252,104
          49,169,472
United Kingdom 2.8%
Barclays PLC,          
Sr. Unsec’d. Notes 4.375 01/12/26   800 913,121
Sr. Unsec’d. Notes, EMTN 1.125 07/12/23 CHF 1,200 1,383,803
Sr. Unsec’d. Notes, MTN 3.250 06/26/24 AUD 1,750 1,417,925
Sr. Unsec’d. Notes, MTN 4.000 06/26/29 AUD 2,000 1,690,750
Sr. Unsec’d. Notes, MTN 4.327 06/15/23 AUD 1,750 1,436,368
Sr. Unsec’d. Notes, MTN(a) 4.972(ff) 05/16/29   5,520 6,571,165
Sr. Unsec’d. Notes, MTN 5.244 06/15/28 AUD 1,000 904,528
Sr. Unsec’d. Notes, Series 1 1.232(ff) 09/25/24 JPY 100,000 964,231
Sub. Notes 5.200 05/12/26   3,780 4,387,068
     
 
BP Capital Markets PLC,
Gtd. Notes
4.375(ff) 06/22/25(oo)   14,500 15,411,822
Co-operative Group Holdings 2011 Ltd.,
Gtd. Notes
7.500 07/08/26 GBP 2,400 3,995,119
26

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United Kingdom (cont’d.)
     
Co-Operative Group Ltd.,
Sr. Unsec’d. Notes
5.125 % 05/17/24 GBP 3,400  $4,979,528
CPUK Finance Ltd.,
Sec’d. Notes, 144A
4.875 02/28/47 GBP 110 149,219
eG Global Finance PLC,          
Sr. Sec’d. Notes 6.250 10/30/25 EUR 6,400 7,957,232
Sr. Sec’d. Notes, 144A 4.375 02/07/25 EUR 5,500 6,576,064
Sr. Sec’d. Notes, 144A 6.250 10/30/25 EUR 3,200 3,978,616
     
 
Experian Finance PLC,
Gtd. Notes, 144A
2.750 03/08/30   3,625 3,885,186
HSBC Bank PLC,          
Sr. Unsec’d. Notes, 144A, EMTN 3.120 04/04/26 CNH 36,800 5,677,820
Sr. Unsec’d. Notes, EMTN 3.300(ff) 09/28/24   11,320 11,182,659
HSBC Holdings PLC,          
Sr. Unsec’d. Notes 1.645(ff) 04/18/26   1,255 1,280,837
Sr. Unsec’d. Notes 3.973(ff) 05/22/30   2,400 2,727,063
Sr. Unsec’d. Notes, EMTN 3.350(ff) 02/16/24 AUD 1,870 1,492,403
Sr. Unsec’d. Notes, Series 2 0.842 09/26/23 JPY 500,000 4,818,798
Sr. Unsec’d. Notes, Series 4 0.575(ff) 09/13/24 JPY 100,000 957,760
     
 
Ladbrokes Group Finance PLC,
Sr. Sec’d. Notes
5.125 09/08/23 GBP 1,900 2,732,113
Lloyds Banking Group PLC,          
Sr. Unsec’d. Notes 2.907(ff) 11/07/23   1,850 1,925,193
Sr. Unsec’d. Notes 3.870(ff) 07/09/25   5,695 6,253,720
Sr. Unsec’d. Notes, MTN 4.250 11/22/27 AUD 160 138,029
Sub. Notes 4.582 12/10/25   2,250 2,565,797
Natwest Group PLC,          
Sr. Unsec’d. Notes(a) 3.875 09/12/23   1,000 1,080,073
Sr. Unsec’d. Notes 4.269(ff) 03/22/25   5,860 6,456,549
Sr. Unsec’d. Notes 4.445(ff) 05/08/30   1,000 1,165,875
Sr. Unsec’d. Notes 4.892(ff) 05/18/29   1,500 1,775,346
Sr. Unsec’d. Notes, EMTN 2.000(ff) 03/08/23 EUR 700 867,973
Sr. Unsec’d. Notes, EMTN 2.500 03/22/23 EUR 1,500 1,917,794
     
 
Pinewood Finance Co. Ltd.,
Sr. Sec’d. Notes, 144A
3.250 09/30/25 GBP 1,700 2,383,516
Santander UK Group Holdings PLC,
Sr. Unsec’d. Notes
3.571 01/10/23   3,065 3,152,360
Tesco Corporate Treasury Services PLC,
Gtd. Notes, EMTN
2.500 07/01/24 EUR 750 987,907
Virgin Media Secured Finance PLC,          
Sr. Sec’d. Notes 5.000 04/15/27 GBP 2,800 4,030,103
Sr. Sec’d. Notes, 144A 5.000 04/15/27 GBP 5,900 8,492,002
27

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United Kingdom (cont’d.)
     
 
William Hill PLC,
Gtd. Notes, MTN
4.750 % 05/01/26 GBP 3,315  $5,027,210
          145,690,645
United States 16.1%
AbbVie, Inc.,          
Sr. Unsec’d. Notes 3.200 11/21/29   6,090 6,739,819
Sr. Unsec’d. Notes 4.050 11/21/39   2,975 3,490,924
Sr. Unsec’d. Notes 4.250 11/21/49   2,870 3,482,924
     
 
Adient Global Holdings Ltd.,
Gtd. Notes, 144A
3.500 08/15/24 EUR 1,234 1,498,751
Aflac, Inc.,          
Sr. Unsec’d. Notes 0.500 12/17/29 JPY 100,000 930,629
Sr. Unsec’d. Notes 0.830 03/12/35 JPY 100,000 925,213
Sr. Unsec’d. Notes 0.932 01/25/27 JPY 80,000 772,125
Sr. Unsec’d. Notes 1.159 10/18/30 JPY 600,000 5,894,422
     
 
Albertson’s Cos., Inc./Safeway, Inc./New Albertson’s LP/Albertson’s LLC,
Gtd. Notes, 144A
3.500 02/15/23   5,000 5,132,100
Altria Group, Inc.,
Gtd. Notes
3.125 06/15/31 EUR 2,900 4,202,640
AMC Entertainment Holdings, Inc.,
Sec’d. Notes, 144A, Cash coupon 10.000% / PIK 12.000% or Cash coupon 5.000% and PIK 6.000%
12.000 06/15/26   1,879 1,372,778
American International Group, Inc.,
Sr. Unsec’d. Notes
1.875 06/21/27 EUR 2,100 2,793,727
AmeriGas Partners LP/AmeriGas Finance Corp.,          
Sr. Unsec’d. Notes 5.500 05/20/25   3,800 4,175,847
Sr. Unsec’d. Notes 5.625 05/20/24   3,500 3,847,175
     
 
Amgen, Inc.,
Sr. Unsec’d. Notes
2.600 08/19/26   600 650,651
Antero Resources Corp.,          
Gtd. Notes 5.625 06/01/23   2,000 1,974,829
Gtd. Notes, 144A 8.375 07/15/26   1,800 1,907,391
Anthem, Inc.,          
Sr. Unsec’d. Notes 2.875 09/15/29   5,715 6,220,168
Sr. Unsec’d. Notes 4.101 03/01/28   1,005 1,174,212
Ascent Resources Utica Holdings LLC/ARU Finance
Corp.,
         
Gtd. Notes, 144A 9.000 11/01/27   629 710,741
28

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Ascent Resources Utica Holdings LLC/ARU Finance Corp., (cont’d.)          
Sr. Unsec’d. Notes, 144A 7.000 % 11/01/26   575  $549,043
Sr. Unsec’d. Notes, 144A 8.250 12/31/28   1,825 1,856,189
AT&T, Inc.,          
Sr. Unsec’d. Notes 4.100 01/19/26 AUD 2,280 1,993,722
Sr. Unsec’d. Notes 4.850 05/25/47 CAD 150 132,033
Sr. Unsec’d. Notes 5.100 11/25/48 CAD 4,575 4,188,369
Sr. Unsec’d. Notes, 144A 2.550 12/01/33   97 96,748
Sr. Unsec’d. Notes, 144A 3.500 09/15/53   1,511 1,456,661
Sr. Unsec’d. Notes, 144A 3.650 09/15/59   5,787 5,559,234
Sr. Unsec’d. Notes, EMTN 7.000 04/30/40 GBP 1,550 3,538,892
Bank of America Corp.,          
Jr. Sub. Notes, Series MM 4.300(ff) 01/28/25(oo)   8,760 9,031,930
Sr. Unsec’d. Notes 3.419(ff) 12/20/28   4,519 5,062,891
Sr. Unsec’d. Notes, EMTN 1.939(s) 05/31/21 EUR 1,100 1,598,989
Sr. Unsec’d. Notes, EMTN (5.214)(s) 03/31/22 EUR 1,143 1,643,503
Sr. Unsec’d. Notes, EMTN 5.145(cc) 06/27/22 EUR 500 646,527
Sr. Unsec’d. Notes, MTN 2.496(ff) 02/13/31   2,755 2,868,694
Sr. Unsec’d. Notes, MTN 2.884(ff) 10/22/30   4,865 5,229,496
Sr. Unsec’d. Notes, MTN 3.194(ff) 07/23/30   5,140 5,653,402
     
 
Bausch Health Americas, Inc.,
Gtd. Notes, 144A
8.500 01/31/27   550 608,207
Bausch Health Cos., Inc.,          
Gtd. Notes, 144A 5.000 01/30/28   2,590 2,667,591
Gtd. Notes, 144A 5.250 01/30/30   375 387,792
Gtd. Notes, 144A 6.125 04/15/25   1,500 1,536,934
Gtd. Notes, 144A 6.250 02/15/29   400 429,188
Beazer Homes USA, Inc.,          
Gtd. Notes 5.875 10/15/27   1,300 1,372,913
Gtd. Notes 6.750 03/15/25   2,075 2,142,992
Gtd. Notes 7.250 10/15/29   1,675 1,881,340
Berkshire Hathaway, Inc.,          
Sr. Unsec’d. Notes 0.440 09/13/29 JPY 1,640,000 15,217,593
Sr. Unsec’d. Notes 0.787 09/13/34 JPY 100,000 921,682
Sr. Unsec’d. Notes 0.965 09/13/39 JPY 300,000 2,697,392
     
 
Boeing Co. (The),
Sr. Unsec’d. Notes
5.805 05/01/50   4,030 5,312,228
Boxer Parent Co., Inc.,
Sr. Sec’d. Notes, 144A
7.125 10/02/25   4,800 5,191,621
Bristol-Myers Squibb Co.,          
Sr. Unsec’d. Notes(h) 3.200 06/15/26   1,670 1,869,866
Sr. Unsec’d. Notes(h) 3.400 07/26/29   3,790 4,328,489
29

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Bristol-Myers Squibb Co., (cont’d.)          
Sr. Unsec’d. Notes(h) 3.450 % 11/15/27   3,345  $3,834,505
Brixmor Operating Partnership LP,          
Sr. Unsec’d. Notes 3.650 06/15/24   2,000 2,170,960
Sr. Unsec’d. Notes(a) 4.125 05/15/29   2,865 3,276,371
Broadcom, Inc.,          
Gtd. Notes 3.459 09/15/26   2,626 2,887,972
Gtd. Notes 4.700 04/15/25   6,765 7,713,465
Gtd. Notes, 144A 3.500 02/15/41   3,765 3,796,750
     
 
Caesars Entertainment, Inc.,
Sr. Sec’d. Notes, 144A
6.250 07/01/25   2,660 2,804,035
Caledonia Generating LLC,
Sr. Sec’d. Notes, 144A
1.950 02/28/22   43 42,789
Calpine Corp.,          
Sr. Unsec’d. Notes, 144A 4.625 02/01/29   2,770 2,794,602
Sr. Unsec’d. Notes, 144A 5.000 02/01/31   1,180 1,212,990
Sr. Unsec’d. Notes, 144A 5.125 03/15/28   5,000 5,176,180
CCO Holdings LLC/CCO Holdings Capital Corp.,          
Sr. Unsec’d. Notes, 144A 5.375 06/01/29   675 732,396
Sr. Unsec’d. Notes, 144A 5.500 05/01/26   1,000 1,035,881
CF Industries, Inc.,          
Gtd. Notes 3.450 06/01/23   600 629,267
Sr. Sec’d. Notes, 144A 4.500 12/01/26   6,451 7,660,502
Charter Communications Operating LLC/Charter
Communications Operating Capital,
         
Sr. Sec’d. Notes 2.800 04/01/31   3,625 3,738,359
Sr. Sec’d. Notes 3.700 04/01/51   595 586,182
Sr. Sec’d. Notes 4.800 03/01/50   5,250 5,977,237
Sr. Sec’d. Notes 6.384 10/23/35   2,357 3,173,348
Cigna Corp.,          
Gtd. Notes 3.050 11/30/22   3,000 3,134,279
Sr. Unsec’d. Notes 2.400 03/15/30   2,665 2,779,108
     
 
CitiFinancial Credit Co.,
Sr. Unsec’d. Notes
7.875 02/01/25   662 831,309
Citigroup Global Markets Holdings, Inc.,          
Gtd. Notes, GMTN 3.000(cc) 06/12/24   8,398 9,242,983
Gtd. Notes, GMTN 3.790 09/28/28 HKD 6,000 876,996
Citigroup, Inc.,          
Sr. Unsec’d. Notes 1.122(ff) 01/28/27   15,750 15,751,661
Sr. Unsec’d. Notes 2.750 04/25/22   600 616,514
Sr. Unsec’d. Notes 2.800 06/25/27 JPY 770,000 8,149,458
Sr. Unsec’d. Notes 3.106(ff) 04/08/26   12,950 14,049,094
30

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Citigroup, Inc., (cont’d.)          
Sr. Unsec’d. Notes, EMTN 6.500 % 08/16/30 GBP 7  $13,477
Sr. Unsec’d. Notes, GMTN 2.210 08/23/22 HKD 27,000 3,562,481
Sr. Unsec’d. Notes, GMTN 2.600 12/07/22 HKD 5,000 666,940
Sr. Unsec’d. Notes, Series 18BR 2.360 09/16/25 JPY 300,000 3,096,434
Sub. Notes 4.400 06/10/25   3,000 3,402,945
     
 
Clear Channel Worldwide Holdings, Inc.,
Gtd. Notes
9.250 02/15/24   2,300 2,392,279
Comcast Corp.,
Gtd. Notes(h)
3.150 02/15/28   2,000 2,224,773
Corning, Inc.,
Sr. Unsec’d. Notes
0.698 08/09/24 JPY 100,000 938,117
CVS Health Corp.,
Sr. Unsec’d. Notes
4.300 03/25/28   1,227 1,442,364
Dana Financing Luxembourg Sarl,
Gtd. Notes, 144A
6.500 06/01/26   1,625 1,696,789
Dana, Inc.,
Sr. Unsec’d. Notes
5.375 11/15/27   2,625 2,774,779
Danaher Corp.,
Sr. Unsec’d. Notes
2.100 09/30/26 EUR 600 809,247
Delta Air Lines 2007-1 Class A Pass-Through Trust,
Pass-Through Certificates
6.821 02/10/24   110 113,295
DH Europe Finance II Sarl,          
Gtd. Notes 0.200 03/18/26 EUR 4,200 5,135,603
Gtd. Notes 0.450 03/18/28 EUR 2,200 2,702,987
     
 
Diamond BC BV,
Sr. Unsec’d. Notes
5.625 08/15/25 EUR 6,900 8,525,823
Diamond Sports Group LLC/Diamond Sports Finance Co.,
Gtd. Notes, 144A
6.625 08/15/27   3,740 2,375,520
Diamondback Energy, Inc.,
Gtd. Notes
3.500 12/01/29   3,250 3,451,898
Discovery Communications LLC,          
Gtd. Notes 3.450 03/15/25   2,500 2,732,519
Gtd. Notes 5.300 05/15/49   2,480 3,175,509
     
 
DISH DBS Corp.,
Gtd. Notes(a)
7.750 07/01/26   3,000 3,255,739
Dow Chemical Co. (The),          
Sr. Unsec’d. Notes 3.625 05/15/26   720 812,343
Sr. Unsec’d. Notes 9.400 05/15/39   152 270,805
     
 
Eastman Chemical Co.,
Sr. Unsec’d. Notes
4.500 12/01/28   600 721,026
31

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
Eli Lilly & Co.,
Sr. Unsec’d. Notes
0.625 % 11/01/31 EUR 3,000  $3,815,477
Embarq Corp.,
Sr. Unsec’d. Notes
7.995 06/01/36   6,850 8,392,952
Energizer Gamma Acquisition BV,
Gtd. Notes
4.625 07/15/26 EUR 13,998 17,543,125
Energy Transfer Operating LP,
Jr. Sub. Notes, Series G
7.125(ff) 05/15/30(oo)   7,800 7,337,192
Enterprise Products Operating LLC,          
Gtd. Notes 3.125 07/31/29   1,580 1,731,432
Gtd. Notes 3.700 01/31/51   210 219,861
Gtd. Notes 3.950 01/31/60   220 236,207
     
 
ERAC USA Finance LLC,
Gtd. Notes, 144A
7.000 10/15/37   190 290,963
Everi Payments, Inc.,
Gtd. Notes, 144A
7.500 12/15/25   1,959 2,030,664
Ferrellgas Partners LP/Ferrellgas Partners Finance Corp.,
Sr. Unsec’d. Notes
8.625 06/15/20(d)   750 344,142
Fidelity National Information Services, Inc.,          
Gtd. Notes 1.100 07/15/24 EUR 2,300 2,897,336
Sr. Unsec’d. Notes 1.500 05/21/27 EUR 7,600 9,933,696
     
 
Ford Motor Co.,
Sr. Unsec’d. Notes
4.750 01/15/43   2,000 2,016,869
Ford Motor Credit Co. LLC,          
Sr. Unsec’d. Notes 4.134 08/04/25   200 209,609
Sr. Unsec’d. Notes 4.687 06/09/25   2,015 2,155,538
Sr. Unsec’d. Notes, EMTN 4.125 06/20/24 SGD 2,000 1,513,429
     
 
General Motors Co.,
Sr. Unsec’d. Notes
5.400 04/01/48   4,600 5,824,154
General Motors Financial Co., Inc.,          
Gtd. Notes 3.200 07/06/21   370 373,346
Gtd. Notes 3.850 01/05/28   2,900 3,202,270
Gtd. Notes 3.950 04/13/24   250 272,183
     
 
Golden Entertainment, Inc.,
Sr. Unsec’d. Notes, 144A(a)
7.625 04/15/26   1,000 1,070,172
Goldman Sachs Group, Inc. (The),          
Jr. Sub. Notes, Series M, 3 Month LIBOR + 3.922% 4.128(c) 02/05/21(oo)   700 699,967
Sr. Unsec’d. Notes 1.992(ff) 01/27/32   2,450 2,454,741
Sr. Unsec’d. Notes 3.500 01/23/25   1,500 1,642,690
Sr. Unsec’d. Notes 4.500 05/16/28 AUD 210 186,467
32

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Goldman Sachs Group, Inc. (The), (cont’d.)          
Sr. Unsec’d. Notes, EMTN 1.428 %(s) 12/15/23 EUR 200  $239,536
Sr. Unsec’d. Notes, EMTN 0.000(cc) 08/12/25 EUR 3,216 3,831,434
Sr. Unsec’d. Notes, EMTN 1.000 08/06/24 JPY 100,000 962,102
Sr. Unsec’d. Notes, EMTN 1.000 08/16/32 JPY 200,000 1,951,986
Sr. Unsec’d. Notes, EMTN 1.300 03/22/30 JPY 10,000 97,987
Sr. Unsec’d. Notes, EMTN 2.200(cc) 11/26/22   1,500 1,544,371
Sr. Unsec’d. Notes, EMTN 3.000(cc) 05/31/24   9,338 10,195,738
Sr. Unsec’d. Notes, EMTN 4.000(ff) 11/30/24   40 39,992
Sub. Notes 4.750 10/12/21 EUR 3,000 3,757,923
     
 
Goldman Sachs International,
Gtd. Notes, EMTN
1.750 05/29/24 EUR 3,685 4,691,749
Greystone Commercial Capital Trust,
Sr. Unsec’d. Notes, 144A, Series 1A, 1 Month LIBOR + 2.830% (Cap N/A, Floor 3.030%)
3.030(c) 02/01/24   6,000 6,000,000
HCA, Inc.,          
Gtd. Notes 5.625 09/01/28   1,200 1,405,188
Sr. Sec’d. Notes 5.250 04/15/25   3,000 3,497,323
Sr. Sec’d. Notes 5.250 06/15/49   1,500 1,914,729
Honeywell International, Inc.,          
Sr. Unsec’d. Notes 0.000 03/10/24 EUR 6,700 8,172,462
Sr. Unsec’d. Notes 0.750 03/10/32 EUR 3,000 3,787,021
     
 
Host Hotels & Resorts LP,
Sr. Unsec’d. Notes
3.875 04/01/24   5,000 5,293,986
Housing & Urban Development Corp. Ltd. AID Bond,
Gov’t. Gtd. Notes, 6 Month LIBOR + 0.035% (Cap N/A, Floor 0.000%)
0.317(c) 09/15/30   450 446,005
Hunt Cos., Inc.,
Sr. Sec’d. Notes, 144A
6.250 02/15/26   2,461 2,519,655
Hyundai Capital America,
Sr. Unsec’d. Notes, 144A
3.000 06/20/22   2,000 2,061,591
International Paper Co.,
Sr. Unsec’d. Notes
7.300 11/15/39   75 119,604
IQVIA, Inc.,
Gtd. Notes, 144A
2.250 01/15/28 EUR 1,800 2,203,303
Jabil, Inc.,
Sr. Unsec’d. Notes
4.700 09/15/22   655 697,954
JBS USA LUX SA/JBS USA Finance, Inc.,
Gtd. Notes, 144A
5.750 06/15/25   470 484,023
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance,
Inc.,
         
Gtd. Notes, 144A 6.500 04/15/29   1,150 1,307,339
33

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc., (cont’d.)          
Sr. Unsec’d. Notes, 144A 5.500 % 01/15/30   100   $113,531
     
 
Jefferies Group LLC,
Sr. Unsec’d. Notes(a)
2.750 10/15/32   9,275 9,615,854
John Sevier Combined Cycle Generation LLC,
Sec’d. Notes(h)
4.626 01/15/42   3,984 4,911,176
JPMorgan Chase & Co.,          
Jr. Sub. Notes, Series HH 4.600(ff) 02/01/25(oo)   2,100 2,157,667
Jr. Sub. Notes, Series I, 3 Month LIBOR + 3.470% 3.682(c) 04/30/21(oo)   219 217,977
Jr. Sub. Notes, Series V, 3 Month LIBOR + 3.320% 3.558(c) 04/01/21(oo)   1,000 993,091
Jr. Sub. Notes, Series Z, 3 Month LIBOR + 3.800% 4.005(c) 05/01/21(oo)   1,410 1,410,566
Sr. Unsec’d. Notes 0.000(cc) 02/04/32   13,490 13,487,556
Sr. Unsec’d. Notes 2.525(ff) 11/19/41   6,200 6,134,886
Sr. Unsec’d. Notes 3.509(ff) 01/23/29   3,200 3,584,116
Sr. Unsec’d. Notes 3.702(ff) 05/06/30   1,590 1,817,470
     
 
JPMorgan Chase Bank, NA,
Sr. Unsec’d. Notes
4.762(s) 03/17/48 ITL(jj) 15,390 5,299,714
KB Home,          
Gtd. Notes 6.875 06/15/27   1,650 1,951,269
Gtd. Notes 7.500 09/15/22   1,000 1,090,132
     
 
Kinder Morgan Energy Partners LP,
Gtd. Notes
4.150 02/01/24   2,000 2,184,162
Kraft Heinz Foods Co.,          
Gtd. Notes 3.000 06/01/26   2,000 2,115,927
Gtd. Notes 4.875 10/01/49   15 16,955
     
 
Level 3 Financing, Inc.,
Sr. Sec’d. Notes, 144A
3.400 03/01/27   4,042 4,440,112
Liberty Mutual Group, Inc.,          
Gtd. Notes 2.750 05/04/26 EUR 1,000 1,371,804
Gtd. Notes, 144A 3.951 10/15/50   90 104,891
     
 
LYB International Finance III LLC,
Gtd. Notes
4.200 10/15/49   960 1,087,011
Marriott International, Inc.,
Sr. Unsec’d. Notes, Series EE
5.750 05/01/25   875 1,015,315
Mars, Inc.,
Gtd. Notes, 144A
3.600 04/01/34   420 498,705
Marsh & McLennan Cos., Inc.,
Sr. Unsec’d. Notes
1.979 03/21/30 EUR 4,700 6,512,226
McDonald’s Corp.,          
Sr. Unsec’d. Notes, MTN 3.450 09/08/26 AUD 1,220 1,048,390
Sr. Unsec’d. Notes, MTN 3.800 03/08/29 AUD 5,090 4,484,503
34

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Medtronic Global Holdings SCA,          
Gtd. Notes 0.750 % 10/15/32 EUR 6,200  $7,856,558
Gtd. Notes 1.500 07/02/39 EUR 500 664,612
Gtd. Notes 1.625 03/07/31 EUR 2,500 3,434,864
Gtd. Notes 1.750 07/02/49 EUR 2,100 2,863,927
Gtd. Notes 2.250 03/07/39 EUR 1,910 2,845,303
     
 
MetLife, Inc.,
Sr. Unsec’d. Notes
0.769 05/23/29 JPY 600,000 5,766,320
Metropolitan Life Global Funding I,
Sec’d. Notes, MTN
4.000 07/13/27 AUD 300 262,903
Morgan Guaranty Trust Co. of New York,
Sr. Unsec’d. Notes
1.390(s) 01/21/27 ITL(jj) 824 954,253
Morgan Stanley,          
Jr. Sub. Notes, Series H, 3 Month LIBOR + 3.610% 3.851(c) 04/15/21(oo)   1,415 1,410,102
Sr. Unsec’d. Notes, EMTN 0.637(ff) 07/26/24 EUR 5,000 6,170,410
Sr. Unsec’d. Notes, EMTN 1.342(ff) 10/23/26 EUR 600 769,763
Sr. Unsec’d. Notes, EMTN 3.240 12/14/22 EUR 2,200 2,804,552
Sr. Unsec’d. Notes, EMTN 7.500 04/02/32   14,000 11,967,323
Sr. Unsec’d. Notes, GMTN 1.875 03/06/30 EUR 900 1,193,840
Sr. Unsec’d. Notes, MTN 1.928(ff) 04/28/32   9,080 9,054,161
     
 
Motorola Solutions, Inc.,
Sr. Unsec’d. Notes(a)
4.600 02/23/28   1,665 1,983,658
MPLX LP,          
Sr. Unsec’d. Notes(a) 4.000 03/15/28   515 583,937
Sr. Unsec’d. Notes 4.125 03/01/27   2,000 2,281,020
     
 
MPT Operating Partnership LP/MPT Finance Corp.,
Gtd. Notes
3.325 03/24/25 EUR 1,700 2,211,021
Nationstar Mortgage Holdings, Inc.,          
Gtd. Notes, 144A 5.500 08/15/28   2,490 2,582,248
Gtd. Notes, 144A 6.000 01/15/27   735 777,041
     
 
Newell Brands, Inc.,
Sr. Unsec’d. Notes
4.700 04/01/26   1,300 1,429,519
Newmont Corp.,
Gtd. Notes
2.250 10/01/30   1,995 2,051,833
Norfolk Southern Corp.,          
Sr. Unsec’d. Notes 3.942 11/01/47   232 274,816
Sr. Unsec’d. Notes 4.050 08/15/52   165 199,924
     
 
NRG Energy, Inc.,
Sr. Sec’d. Notes, 144A
3.750 06/15/24   5,600 6,108,750
Occidental Petroleum Corp.,
Sr. Unsec’d. Notes
6.450 09/15/36   35 38,361
35

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
ONEOK Partners LP,
Gtd. Notes
4.900 % 03/15/25   2,000  $2,266,872
ONEOK, Inc.,          
Gtd. Notes(a) 3.100 03/15/30   7,350 7,629,975
Gtd. Notes 4.450 09/01/49   2,000 2,050,614
     
 
Ovintiv Exploration, Inc.,
Gtd. Notes
5.625 07/01/24   7,200 7,825,072
Phillips 66 Partners LP,
Sr. Unsec’d. Notes(a)
3.605 02/15/25   2,000 2,168,128
Plains All American Pipeline LP/PAA Finance Corp.,          
Sr. Unsec’d. Notes 3.550 12/15/29   2,055 2,135,896
Sr. Unsec’d. Notes 4.900 02/15/45   2,350 2,460,190
     
 
Private Export Funding Corp.,
Sr. Unsec’d. Notes, 144A
0.550 07/30/24   3,000 2,988,755
Prologis Yen Finance LLC,          
Gtd. Notes 0.972 09/25/28 JPY 450,000 4,355,876
Gtd. Notes 1.003 06/24/32 JPY 1,500,000 14,259,468
Gtd. Notes 1.222 06/22/35 JPY 200,000 1,900,738
Range Resources Corp.,          
Gtd. Notes 9.250 02/01/26   4,805 5,233,012
Gtd. Notes, 144A 8.250 01/15/29   500 525,002
Refinitiv US Holdings, Inc.,          
Sr. Sec’d. Notes 4.500 05/15/26 EUR 1,000 1,273,890
Sr. Unsec’d. Notes 6.875 11/15/26 EUR 2,700 3,536,476
     
 
Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer Lu,
Sr. Sec’d. Notes, 144A
5.125 07/15/23   97 98,302
Ryder System, Inc.,
Sr. Unsec’d. Notes, MTN
4.625 06/01/25   9,000 10,370,308
Sally Holdings LLC/Sally Capital, Inc.,
Gtd. Notes(a)
5.625 12/01/25   4,525 4,661,155
Schlumberger Holdings Corp.,
Sr. Unsec’d. Notes, 144A
3.900 05/17/28   1,955 2,190,033
Scientific Games International, Inc.,
Gtd. Notes, 144A
7.000 05/15/28   225 239,197
Service Properties Trust,
Sr. Unsec’d. Notes
4.350 10/01/24   3,600 3,535,582
Shire Acquisitions Investments Ireland DAC,
Gtd. Notes
3.200 09/23/26   2,470 2,740,518
Southaven Combined Cycle Generation LLC,
Sec’d. Notes
3.846 08/15/33   9 10,150
36

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
Spectrum Brands, Inc.,
Gtd. Notes, 144A
4.000 % 10/01/26 EUR 675  $848,088
Sprint Capital Corp.,
Gtd. Notes
8.750 03/15/32   1,985 3,031,676
Sprint Corp.,          
Gtd. Notes 7.125 06/15/24   2,000 2,331,586
Gtd. Notes 7.625 02/15/25   300 358,569
     
 
Standard Industries, Inc.,
Sr. Unsec’d. Notes, 144A
4.375 07/15/30   3,175 3,364,847
Stryker Corp.,
Sr. Unsec’d. Notes
2.625 11/30/30 EUR 2,300 3,368,536
Sunoco Logistics Partners Operations LP,
Gtd. Notes
5.400 10/01/47   2,200 2,338,948
Tallgrass Energy Partners LP/Tallgrass Energy
Finance Corp.,
         
Gtd. Notes, 144A 5.500 01/15/28   2,625 2,630,014
Gtd. Notes, 144A 6.000 12/31/30   1,700 1,708,104
Gtd. Notes, 144A 7.500 10/01/25   1,075 1,143,906
Taylor Morrison Communities, Inc.,          
Gtd. Notes, 144A 6.625 07/15/27   2,330 2,512,940
Sr. Unsec’d. Notes, 144A 5.125 08/01/30   375 411,498
Tenet Healthcare Corp.,          
Gtd. Notes, 144A 6.125 10/01/28   1,850 1,932,637
Sec’d. Notes, 144A 6.250 02/01/27   800 842,819
Sr. Sec’d. Notes, 144A 5.125 11/01/27   2,905 3,067,064
Sr. Unsec’d. Notes 6.750 06/15/23   1,025 1,109,938
Thermo Fisher Scientific, Inc.,          
Sr. Unsec’d. Notes 0.500 03/01/28 EUR 4,500 5,566,473
Sr. Unsec’d. Notes 2.875 07/24/37 EUR 450 712,214
     
 
Time Warner Entertainment Co. LP,
Sr. Sec’d. Notes
8.375 07/15/33   2,065 3,110,598
T-Mobile USA, Inc.,          
Sr. Sec’d. Notes, 144A 4.375 04/15/40   2,500 2,921,010
Sr. Sec’d. Notes, 144A 4.500 04/15/50   3,110 3,670,594
     
 
Tote Shipholdings, Inc.,
Gov’t. Gtd. Notes
3.400 10/16/40   104 113,824
Toyota Motor Credit Corp.,
Sr. Unsec’d. Notes, EMTN
2.900(cc) 10/24/25   3,158 3,495,008
U.S. Concrete, Inc.,
Gtd. Notes
6.375 06/01/24   1,252 1,287,682
United Airlines 2007-1 Class A Pass-Through Trust,
Pass-Through Certificates
6.636 01/02/24   48 49,537
37

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
United Rentals North America, Inc.,          
Gtd. Notes 3.875 % 02/15/31   840  $877,852
Gtd. Notes 4.875 01/15/28   3,115 3,310,097
Gtd. Notes 5.250 01/15/30   2,340 2,590,241
Gtd. Notes 5.500 05/15/27   500 534,873
     
 
Univision Communications, Inc.,
Sr. Sec’d. Notes, 144A
6.625 06/01/27   3,335 3,521,459
Vector Group Ltd.,
Sr. Sec’d. Notes, 144A
6.125 02/01/25   1,300 1,319,903
VEREIT Operating Partnership LP,          
Gtd. Notes 2.200 06/15/28   480 490,795
Gtd. Notes 2.850 12/15/32   8,375 8,610,768
Verizon Communications, Inc.,          
Sr. Unsec’d. Notes 1.250 04/08/30 EUR 5,000 6,540,968
Sr. Unsec’d. Notes 2.500 04/08/31 GBP 1,400 2,122,009
Sr. Unsec’d. Notes, MTN 2.650 05/06/30 AUD 1,600 1,277,802
Sr. Unsec’d. Notes, MTN 4.050 02/17/25 AUD 4,950 4,271,957
Sr. Unsec’d. Notes, MTN 4.500 08/17/27 AUD 730 664,953
     
 
ViacomCBS, Inc.,
Sr. Unsec’d. Notes
5.850 09/01/43   5,680 7,721,291
Viatris, Inc.,          
Gtd. Notes, 144A 3.850 06/22/40   4,410 4,880,669
Gtd. Notes, 144A 4.000 06/22/50   4,425 4,931,171
Vistra Operations Co. LLC,          
Gtd. Notes, 144A 5.000 07/31/27   3,520 3,704,776
Sr. Sec’d. Notes, 144A 3.550 07/15/24   14,300 15,498,262
Wells Fargo & Co.,          
Sr. Unsec’d. Notes 4.000 04/27/27 AUD 198 171,192
Sr. Unsec’d. Notes, GMTN 3.700 07/27/26 AUD 1,458 1,246,173
     
 
Welltower, Inc.,
Sr. Unsec’d. Notes(a)
3.100 01/15/30   5,600 6,051,024
Williams Cos., Inc. (The),          
Sr. Unsec’d. Notes 3.750 06/15/27   2,000 2,269,437
Sr. Unsec’d. Notes(a) 4.000 09/15/25   1,500 1,681,932
     
 
Xerox Corp.,
Sr. Unsec’d. Notes
4.375 03/15/23   460 483,258
XPO Logistics, Inc.,
Gtd. Notes, 144A
6.750 08/15/24   530 560,509
          848,078,300
     
 
Total Corporate Bonds
(cost $1,692,736,298)
1,804,067,923
38

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities 3.5%
Bermuda 0.7%
Bellemeade Re Ltd.,          
Series 2018-01A, Class M1B, 144A, 1 Month LIBOR + 1.600% (Cap N/A, Floor 0.000%) 1.730 %(c) 04/25/28   545  $545,258
Series 2018-02A, Class M1C, 144A, 1 Month LIBOR + 1.600% (Cap N/A, Floor 0.000%) 1.730(c) 08/25/28   358 358,151
Series 2018-03A, Class M1B, 144A, 1 Month LIBOR + 1.850% (Cap N/A, Floor 1.850%) 1.980(c) 10/25/28   518 520,822
Series 2019-02A, Class M1B, 144A, 1 Month LIBOR + 1.450% (Cap N/A, Floor 1.450%) 1.580(c) 04/25/29   532 532,599
Series 2019-03A, Class M1A, 144A, 1 Month LIBOR + 1.100% (Cap N/A, Floor 1.100%) 1.230(c) 07/25/29   807 807,598
Series 2019-03A, Class M1B, 144A, 1 Month LIBOR + 1.600% (Cap N/A, Floor 1.600%) 1.730(c) 07/25/29   2,400 2,404,103
Series 2019-04A, Class M1A, 144A, 1 Month LIBOR + 1.400% (Cap N/A, Floor 1.400%) 1.530(c) 10/25/29   1,240 1,239,203
Series 2019-04A, Class M1B, 144A, 1 Month LIBOR + 2.000% (Cap N/A, Floor 2.000%) 2.130(c) 10/25/29   4,500 4,512,166
Eagle Re Ltd.,          
Series 2019-01, Class M1B, 144A, 1 Month LIBOR + 1.800% (Cap N/A, Floor 0.000%) 1.930(c) 04/25/29   620 620,437
Series 2020-02, Class M1A, 144A, 1 Month LIBOR + 3.000% (Cap N/A, Floor 0.000%) 3.130(c) 10/25/30   6,420 6,476,951
Series 2020-02, Class M1B, 144A, 1 Month LIBOR + 4.000% (Cap N/A, Floor 0.000%) 4.130(c) 10/25/30   3,180 3,235,957
Series 2020-02, Class M1C, 144A, 1 Month LIBOR + 4.500% (Cap N/A, Floor 0.000%) 4.630(c) 10/25/30   2,240 2,291,867
Home Re Ltd.,          
Series 2019-01, Class M1, 144A, 1 Month LIBOR + 1.650% (Cap N/A, Floor 0.000%) 1.780(c) 05/25/29   378 378,193
Series 2021-01, Class M1B, 144A (p) 07/25/33   9,211 9,210,177
     
 
Oaktown Re II Ltd.,
Series 2018-01A, Class M1, 144A, 1 Month LIBOR + 1.550% (Cap N/A, Floor 0.000%)
1.680(c) 07/25/28   186 186,022
Oaktown Re III Ltd.,
Series 2019-01A, Class M1A, 144A, 1 Month LIBOR + 1.400% (Cap N/A, Floor 1.400%)
1.530(c) 07/25/29   30 30,252
Radnor Re Ltd.,          
Series 2018-01, Class M1, 144A, 1 Month LIBOR + 1.400% (Cap N/A, Floor 0.000%) 1.530(c) 03/25/28   59 58,883
39

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities (Continued)
Bermuda (cont’d.)
Radnor Re Ltd., (cont’d.)          
Series 2020-01, Class M1A, 144A, 1 Month LIBOR + 0.950% (Cap N/A, Floor 0.950%) 1.080 %(c) 02/25/30   600  $599,821
Series 2020-01, Class M1B, 144A, 1 Month LIBOR + 1.450% (Cap N/A, Floor 1.450%) 1.580(c) 02/25/30   1,800 1,803,526
          35,811,986
United Kingdom 0.2%
Finsbury Square PLC,
Series 2020-02A, Class A, 144A, 3 Month Sterling Overnight Index Average + 1.300% (Cap N/A, Floor 0.000%)
1.355(c) 06/16/70 GBP 2,085 2,882,921
Paragon Mortgages PLC,
Series 12X, Class B1B
0.000(cc) 11/15/38 EUR 1,128 1,337,474
Residential Mortgage Securities PLC,
Series 32A, Class A, 144A, 3 Month Sterling Overnight Index Average + 1.250% (Cap N/A, Floor 0.000%)
1.304(c) 06/20/70 GBP 6,051 8,365,646
          12,586,041
United States 2.6%
APS Resecuritization Trust,
Series 2016-01, Class 1A, 144A, 1 Month LIBOR + 0.150% (Cap N/A, Floor 0.150%)
0.294(c) 07/27/57   1,145 1,131,706
Banc of America Funding Trust,
Series 2014-R05, Class 1A1, 144A, 6 Month LIBOR + 1.500% (Cap 11.000%, Floor 1.500%)
1.764(c) 09/26/45   148 150,146
BVRT Financing Trust,
Series 2019-01, Class F, 144A^
2.283 09/15/21   13,683 13,600,963
Central Park Funding Trust,
Series 2018-01, Class A, 144A, 1 Month LIBOR + 1.500% (Cap N/A, Floor 1.500%)
1.644(c) 11/01/23   3,500 3,501,761
CIM Trust,          
Series 2017-03, Class A1, 144A, 1 Month LIBOR + 2.000% (Cap N/A, Floor 0.000%) 2.144(c) 01/25/57   1,204 1,212,527
Series 2017-05, Class A3, 144A 4.000(cc) 05/25/57   6,100 6,103,269
Connecticut Avenue Securities Trust,          
Series 2019-R04, Class 2M2, 144A, 1 Month LIBOR + 2.100% (Cap N/A, Floor 0.000%) 2.230(c) 06/25/39   1,777 1,779,426
Series 2019-R07, Class 1M2, 144A, 1 Month LIBOR + 2.100% (Cap N/A, Floor 0.000%) 2.230(c) 10/25/39   990 990,804
40

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities (Continued)
United States (cont’d.)
Connecticut Avenue Securities Trust, (cont’d.)          
Series 2020-R01, Class 1M2, 144A, 1 Month LIBOR + 2.050% (Cap N/A, Floor 2.050%) 2.180 %(c) 01/25/40   1,600   $1,600,499
     
 
Credit Suisse Mortgage Trust,
Series 2020-RPL06, Class A1, 144A
2.688(cc) 03/25/59   2,813 2,816,217
Fannie Mae Connecticut Avenue Securities,
Series 2018-C03, Class 1M2, 1 Month LIBOR + 2.150% (Cap N/A, Floor 2.150%)
2.280(c) 10/25/30   442 442,845
Fannie Mae REMICS,
Series 2012-107, Class GI, IO
3.500 09/25/27   4,635 301,071
FHLMC REMICS,
Series 4166, Class IO, IO
3.500 02/15/43   7,129 1,142,924
FHLMC Structured Agency Credit Risk Debt Notes,          
Series 2020-HQA05, Class B1, 144A, 30 Day Average SOFR + 4.000% (Cap N/A, Floor 0.000%) 4.082(c) 11/25/50   595 617,850
Series 2020-HQA05, Class M2, 144A, 30 Day Average SOFR + 2.600% (Cap N/A, Floor 0.000%) 2.682(c) 11/25/50   2,875 2,900,608
FHLMC Structured Agency Credit Risk REMIC Trust,          
Series 2020-DNA02, Class M2, 144A, 1 Month LIBOR + 1.850% (Cap N/A, Floor 1.850%) 1.980(c) 02/25/50   4,060 4,049,836
Series 2020-DNA03, Class B1, 144A, 1 Month LIBOR + 5.100% (Cap N/A, Floor 0.000%) 5.230(c) 06/25/50   750 785,154
Series 2020-DNA03, Class M2, 144A, 1 Month LIBOR + 3.000% (Cap N/A, Floor 0.000%) 3.130(c) 06/25/50   2,780 2,800,951
Series 2020-HQA02, Class M2, 144A, 1 Month LIBOR + 3.100% (Cap N/A, Floor 0.000%) 3.230(c) 03/25/50   320 324,607
Series 2020-HQA04, Class B1, 144A, 1 Month LIBOR + 5.250% (Cap N/A, Floor 0.000%) 5.380(c) 09/25/50   1,310 1,375,562
Series 2020-HQA04, Class M2, 144A, 1 Month LIBOR + 3.150% (Cap N/A, Floor 0.000%) 3.280(c) 09/25/50   940 950,020
Series 2021-DNA01, Class B1, 144A, 30 Day Average SOFR + 2.650% (Cap N/A, Floor 0.000%) 2.729(c) 01/25/51   1,835 1,837,893
Series 2021-DNA01, Class M2, 144A, 30 Day Average SOFR + 1.800% (Cap N/A, Floor 0.000%) 1.879(c) 01/25/51   12,595 12,596,024
     
 
FHLMC Structured Agency Credit Risk Trust,
Series 2019-DNA01, Class M2, 144A, 1 Month LIBOR + 2.650% (Cap N/A, Floor 0.000%)
2.780(c) 01/25/49   417 420,384
41

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities (Continued)
United States (cont’d.)
Legacy Mortgage Asset Trust,          
Series 2020-GS01, Class A1, 144A 2.882 % 10/25/59   7,173  $7,200,320
Series 2020-GS05, Class A1, 144A 3.250 06/25/60   991 1,011,098
     
 
LSTAR Securities Investment Trust,
Series 2019-02, Class A1, 144A, 1 Month LIBOR + 1.500% (Cap N/A, Floor 0.000%)
1.644(c) 04/01/24   1,094 1,091,980
MRA Issuance Trust,          
Series 2020-01, Class A, 144A, 1 Month LIBOR + 1.400% (Cap N/A, Floor 1.400%) 1.544(c) 06/25/21   5,131 5,134,414
Series 2020-07, Class A, 144A, 1 Month LIBOR + 1.600% (Cap N/A, Floor 1.600%) 1.744(c) 12/11/21   11,820 11,822,399
Series 2020-08, Class A1X, 144A, 1 Month LIBOR + 1.750% (Cap N/A, Floor 2.250%) 2.250(c) 09/23/21   11,840 11,851,606
Series 2020-08, Class A2, 144A, 1 Month LIBOR + 3.000% (Cap N/A, Floor 3.500%) 3.500(c) 09/23/21   6,920 6,927,467
Series 2020-09, Class AX, 144A, 1 Month LIBOR + 1.750% (Cap N/A, Floor 2.250%)^ 2.250(c) 05/05/21   10,000 10,027,160
     
 
New Residential Mortgage Loan Trust,
Series 2018-04A, Class A1S, 144A, 1 Month LIBOR + 0.750% (Cap N/A, Floor 0.750%)
0.880(c) 01/25/48   1,186 1,190,449
PMT Credit Risk Transfer Trust,
Series 2020-02R, Class A, 144A, 1 Month LIBOR + 3.815% (Cap N/A, Floor 3.815%)
3.967(c) 12/25/22   18,614 18,612,767
          138,302,707
     
 
Total Residential Mortgage-Backed Securities
(cost $184,765,570)
186,700,734
Sovereign Bonds 35.4%
Albania 0.1%
Albania Government International Bond,          
Sr. Unsec’d. Notes 3.500 10/09/25 EUR 1,000 1,289,830
Sr. Unsec’d. Notes, 144A 3.500 10/09/25 EUR 1,000 1,289,830
          2,579,660
Argentina 0.1%
Argentine Republic Government International Bond,          
Bonds 4.330 12/31/33(d) JPY 519,215 1,377,774
42

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Argentina (cont’d.)
Argentine Republic Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes 0.670 %(cc) 12/31/38(d) JPY 952,628  $1,571,187
Sr. Unsec’d. Notes 0.670(cc) 12/31/38(d) JPY 55,495 91,392
          3,040,353
Australia 0.2%
Australia Government Bond,          
Sr. Unsec’d. Notes, Series 145 2.750 06/21/35 AUD 6,000 5,331,848
Sr. Unsec’d. Notes, Series 150 3.000 03/21/47 AUD 2,400 2,174,335
     
 
Northern Territory Treasury Corp.,
Local Gov’t. Gtd. Notes
2.000 04/21/31 AUD 2,300 1,813,977
Treasury Corp. of Victoria,          
Local Gov’t. Gtd. Notes 2.250 11/20/34 AUD 2,100 1,685,281
Local Gov’t. Gtd. Notes, MTN 2.250 11/20/41 AUD 2,000 1,498,330
          12,503,771
Austria 0.3%
Republic of Austria Government Bond,
Sr. Unsec’d. Notes, 144A
0.750 03/20/51 EUR 860 1,216,402
Republic of Austria Government International Bond,          
Sr. Unsec’d. Notes, 144A, EMTN 5.000 12/20/24 CAD 11,441 10,488,440
Sr. Unsec’d. Notes, 144A, MTN 5.375 12/01/34 CAD 2,123 2,339,909
          14,044,751
Belgium 0.0%
Kingdom of Belgium Government International
Bond,
         
Notes, 144A 8.875 12/01/24   750 973,774
Unsec’d. Notes, EMTN 5.700 05/28/32 GBP 650 1,335,358
          2,309,132
Brazil 1.4%
Brazil Loan Trust 1,          
Gov’t. Gtd. Notes 5.477 07/24/23   19,218 20,125,351
Gov’t. Gtd. Notes, 144A 5.477 07/24/23   775 811,750
Brazil Minas SPE via State of Minas Gerais,          
Gov’t. Gtd. Notes 5.333 02/15/28   39,470 43,010,359
Gov’t. Gtd. Notes, 144A 5.333 02/15/28   564 614,583
43

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Brazil (cont’d.)
Brazilian Government International Bond,          
Sr. Unsec’d. Notes 2.875 % 04/01/21 EUR 7,476  $9,107,436
Sr. Unsec’d. Notes 8.500 01/05/24 BRL 30 5,963
Sr. Unsec’d. Notes, Series B 8.875 04/15/24   200 248,597
          73,924,039
Bulgaria 0.3%
Bulgaria Government International Bond,          
Sr. Unsec’d. Notes 0.375 09/23/30 EUR 3,167 3,862,529
Sr. Unsec’d. Notes, GMTN 3.125 03/26/35 EUR 8,212 13,047,511
          16,910,040
Canada 0.3%
Canadian Government Bond,
Bonds(k)
4.000 06/01/41 CAD 650 752,969
City of Quebec,
Unsec’d. Notes
2.650 12/20/27 CAD 1,000 851,719
City of Toronto,          
Sr. Unsec’d. Notes 3.500 06/02/36 CAD 2,000 1,854,665
Unsec’d. Notes 2.650 11/09/29 CAD 775 671,941
Unsec’d. Notes 3.250 06/24/46 CAD 1,000 898,973
     
 
City of Vancouver,
Notes
2.700 12/15/26 CAD 2,000 1,723,351
Province of Alberta Strips Coupon,          
Bonds 1.031(s) 06/01/26 CAD 500 370,049
Bonds 1.101(s) 12/01/26 CAD 550 402,621
Bonds 1.187(s) 06/01/27 CAD 650 471,306
     
 
Province of British Columbia,
Unsec’d. Notes
7.875 11/30/23 CAD 2,122 1,983,093
Province of Nova Scotia,
Unsec’d. Notes
3.150 12/01/51 CAD 2,000 1,848,615
Province of Quebec,          
Unsec’d. Notes, Series A, MTN 6.350 01/30/26   500 629,134
Unsec’d. Notes, Series A, MTN 7.140 02/27/26   430 561,600
     
 
Province of Saskatchewan,
Unsec’d. Notes
3.300 06/02/48 CAD 3,000 2,785,911
          15,805,947
44

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Chile 0.1%
Chile Government International Bond,          
Sr. Unsec’d. Notes 0.830 % 07/02/31 EUR 1,000  $1,262,092
Sr. Unsec’d. Notes 1.440 02/01/29 EUR 1,884 2,483,524
Sr. Unsec’d. Notes 1.750 01/20/26 EUR 240 316,006
          4,061,622
China 0.9%
China Government Bond,          
Bonds 3.270 11/19/30 CNH 20,000 3,126,568
Bonds, Series 1906 3.290 05/23/29 CNH 10,000 1,561,578
Sr. Unsec’d. Notes 3.160 06/27/23 CNH 5,000 785,798
Sr. Unsec’d. Notes 3.300 07/04/23 CNH 2,000 315,688
Sr. Unsec’d. Notes 3.310 11/30/25 CNH 4,000 641,401
Sr. Unsec’d. Notes 3.380 11/21/24 CNH 500 79,909
Sr. Unsec’d. Notes 3.390 05/21/25 CNH 2,500 400,691
Sr. Unsec’d. Notes 3.480 06/29/27 CNH 2,000 324,647
Sr. Unsec’d. Notes 3.600 06/27/28 CNH 10,500 1,716,337
Sr. Unsec’d. Notes 3.600 05/21/30 CNH 18,500 3,044,977
Sr. Unsec’d. Notes 3.900 07/04/36 CNH 6,000 1,009,645
Sr. Unsec’d. Notes 4.000 11/30/35 CNH 35,000 5,973,576
Sr. Unsec’d. Notes 4.100 05/21/45 CNH 21,000 3,621,183
Sr. Unsec’d. Notes 4.290 05/22/29 CNH 6,000 1,033,607
Sr. Unsec’d. Notes 4.400 12/12/46 CNH 33,000 5,944,889
Sr. Unsec’d. Notes 4.500 05/22/34 CNH 5,000 898,111
China Government International Bond,          
Sr. Unsec’d. Notes 0.500 11/12/31 EUR 1,800 2,209,646
Sr. Unsec’d. Notes, 144A 1.200 10/21/30   6,000 5,917,261
Export-Import Bank of China (The),          
Sr. Unsec’d. Notes 4.150 06/18/27 CNH 4,000 660,779
Sr. Unsec’d. Notes 4.400 05/14/24 CNH 20,000 3,258,727
Unsec’d. Notes, Series 1910 3.860 05/20/29 CNH 10,000 1,570,962
Unsec’d. Notes, Series 2010 3.230 03/23/30 CNH 30,000 4,493,008
          48,588,988
Colombia 1.4%
Colombia Government International Bond,          
Sr. Unsec’d. Notes 3.000 01/30/30   1,400 1,443,395
Sr. Unsec’d. Notes 4.000 02/26/24   1,000 1,074,633
Sr. Unsec’d. Notes 8.375 02/15/27   2,745 3,281,354
Sr. Unsec’d. Notes 9.850 06/28/27 COP 15,013,000 5,425,454
45

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Colombia (cont’d.)
Colombia Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes 10.375 % 01/28/33   1,401  $2,243,473
Sr. Unsec’d. Notes, EMTN 3.875 03/22/26 EUR 43,984 60,982,975
          74,451,284
Croatia 0.4%
Croatia Government International Bond,          
Sr. Unsec’d. Notes 1.125 06/19/29 EUR 200 254,227
Sr. Unsec’d. Notes(a) 2.750 01/27/30 EUR 3,000 4,329,957
Sr. Unsec’d. Notes 3.000 03/20/27 EUR 4,500 6,352,798
Sr. Unsec’d. Notes 3.875 05/30/22 EUR 3,000 3,828,111
Sr. Unsec’d. Notes 5.500 04/04/23   1,000 1,103,421
Sr. Unsec’d. Notes 6.375 03/24/21   500 504,129
Unsec’d. Notes 1.500 06/17/31 EUR 4,600 6,049,190
          22,421,833
Cyprus 1.7%
Cyprus Government International Bond,          
Notes, EMTN 1.500 04/16/27 EUR 3,000 3,956,076
Sr. Unsec’d. Notes, EMTN 1.250 01/21/40 EUR 7,550 9,818,257
Sr. Unsec’d. Notes, EMTN(a) 2.375 09/25/28 EUR 4,700 6,630,077
Sr. Unsec’d. Notes, EMTN 2.750 06/27/24 EUR 4,900 6,518,877
Sr. Unsec’d. Notes, EMTN 2.750 02/26/34 EUR 10,200 15,775,643
Sr. Unsec’d. Notes, EMTN 2.750 05/03/49 EUR 3,000 5,162,653
Sr. Unsec’d. Notes, EMTN 3.750 07/26/23 EUR 13,355 17,808,022
Sr. Unsec’d. Notes, EMTN 4.250 11/04/25 EUR 16,514 24,091,659
          89,761,264
Czech Republic 0.0%
Czech Republic Government Bond,
Bonds, Series 095
1.000 06/26/26 CZK 30,000 1,399,829
Denmark 0.1%
Denmark Government Bond,          
Bonds(k) 1.750 11/15/25 DKK 3,520 639,503
Bonds(k) 4.500 11/15/39 DKK 1,800 551,790
Bonds, 144A, Series 10 Year 0.500 11/15/29 DKK 4,300 758,601
46

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Denmark (cont’d.)
Denmark Government Bond, (cont’d.)          
Bonds, 144A, Series 30 Year 0.250 % 11/15/52 DKK 5,000  $861,847
Bonds, Series 10 Year(k) 0.500 11/15/27 DKK 12,110 2,111,366
          4,923,107
Dominican Republic 0.0%
Dominican Republic International Bond,
Sr. Unsec’d. Notes
5.875 04/18/24   1,306 1,418,553
Egypt 0.1%
Egypt Government International Bond,          
Sr. Unsec’d. Notes, 144A 5.577 02/21/23   1,835 1,936,041
Sr. Unsec’d. Notes, 144A, MTN 4.750 04/16/26 EUR 700 885,248
          2,821,289
Finland 0.1%
Finland Government International Bond,
Sr. Unsec’d. Notes
6.950 02/15/26   600 775,708
Kuntarahoitus OYJ,          
Local Gov’t. Gtd. Notes, EMTN 0.500 12/21/21 NZD 3,000 2,146,902
Local Gov’t. Gtd. Notes, EMTN 3.050 09/24/32 SEK 13,000 1,909,022
          4,831,632
France 0.1%
Agence France Locale,
Gtd. Notes, EMTN
1.125 06/20/28 EUR 1,500 1,995,065
French Republic Government Bond OAT,
Bonds, 144A(k)
1.500 05/25/50 EUR 390 616,800
          2,611,865
Germany 0.1%
Bundesrepublik Deutschland Bundesanleihe,          
Bonds(k) 0.000 08/15/26 EUR 1,620 2,048,907
Bonds(k) 0.000 08/15/50 EUR 800 993,570
          3,042,477
47

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Greece 2.7%
Hellenic Republic Government Bond,          
Bonds 3.650 %(cc) 02/24/23 EUR 8,529  $11,190,604
Bonds 3.650(cc) 02/24/24 EUR 6,733 9,153,888
Bonds 3.650(cc) 02/24/25 EUR 5,451 7,613,848
Bonds 3.650(cc) 02/24/26 EUR 3,791 5,440,489
Bonds 3.650(cc) 02/24/27 EUR 6,053 8,882,251
Bonds 3.650(cc) 02/24/28 EUR 2,110 3,157,199
Bonds 3.650(cc) 02/24/29 EUR 3,073 4,672,923
Bonds 3.650(cc) 02/24/30 EUR 1,881 2,903,369
Bonds 3.650(cc) 02/24/31 EUR 4,547 7,125,862
Bonds 3.650(cc) 02/24/32 EUR 2,159 3,454,778
Bonds 3.650(cc) 02/24/33 EUR 1,430 2,308,137
Bonds 3.650(cc) 02/24/34 EUR 2,103 3,448,975
Bonds 3.650(cc) 02/24/35 EUR 4,651 7,700,680
Bonds 3.650(cc) 02/24/36 EUR 1,318 2,209,490
Bonds 3.650(cc) 02/24/37 EUR 2,557 4,341,924
Bonds 3.650(cc) 02/24/38 EUR 1,481 2,546,684
Bonds 3.650(cc) 02/24/39 EUR 1,872 3,256,447
Bonds 3.650(cc) 02/24/40 EUR 1,887 3,325,146
Bonds 3.650(cc) 02/24/41 EUR 1,878 3,331,759
Bonds 3.650(cc) 02/24/42 EUR 3,587 6,436,236
Bonds 3.900 01/30/33 EUR 2,710 4,417,828
Bonds(a) 4.000 01/30/37 EUR 1,260 2,196,089
Bonds 4.200 01/30/42 EUR 2,380 4,524,853
Bonds, 144A 1.500 06/18/30 EUR 4,000 5,214,713
Hellenic Republic Government International Bond,          
Sr. Unsec’d. Notes 5.200 07/17/34 EUR 9,311 16,497,746
Sr. Unsec’d. Notes 6.140 04/14/28 EUR 5,200 8,601,029
          143,952,947
Guernsey 0.2%
States of Guernsey Bond,
Sr. Unsec’d. Notes
3.375 12/12/46 GBP 5,641 10,864,613
Hong Kong 0.0%
Airport Authority,
Sr. Unsec’d. Notes, EMTN
1.950 11/20/30 HKD 3,000 384,846
Hong Kong Sukuk 2017 Ltd.,
Sr. Unsec’d. Notes
3.132 02/28/27   1,500 1,651,407
          2,036,253
48

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Hungary 0.6%
Hungary Government Bond,
Bonds, Series 28/A
6.750 % 10/22/28 HUF 250,000  $1,154,749
Hungary Government International Bond,          
Sr. Unsec’d. Notes 1.250 10/22/25 EUR 2,000 2,564,586
Sr. Unsec’d. Notes 1.625 04/28/32 EUR 3,900 5,156,400
Sr. Unsec’d. Notes 4.300 12/19/21 CNH 32,500 5,064,691
Sr. Unsec’d. Notes 5.375 02/21/23   4,850 5,328,226
Sr. Unsec’d. Notes 5.750 11/22/23   4,050 4,623,492
Sr. Unsec’d. Notes, Series 2 1.290 09/18/30 JPY 700,000 6,679,431
Sr. Unsec’d. Notes, Series 8 0.740 09/18/25 JPY 100,000 955,559
          31,527,134
Iceland 0.1%
Iceland Government International Bond,          
Sr. Unsec’d. Notes 0.100 06/20/24 EUR 2,634 3,213,555
Sr. Unsec’d. Notes 5.875 05/11/22   2,560 2,687,199
Sr. Unsec’d. Notes, EMTN 0.500 12/20/22 EUR 500 614,103
          6,514,857
India 0.5%
Export-Import Bank of India,          
Sr. Unsec’d. Notes, 144A, MTN(a) 2.250 01/13/31   4,400 4,253,139
Sr. Unsec’d. Notes, 144A, MTN 3.250 01/15/30   2,910 3,047,425
Sr. Unsec’d. Notes, Series 3 0.590 09/05/22 JPY 1,700,000 16,179,272
          23,479,836
Indonesia 1.8%
Indonesia Government International Bond,          
Sr. Unsec’d. Notes 0.900 02/14/27 EUR 7,700 9,461,139
Sr. Unsec’d. Notes 1.100 03/12/33 EUR 2,915 3,555,186
Sr. Unsec’d. Notes 1.400 10/30/31 EUR 9,560 12,103,926
Sr. Unsec’d. Notes 1.450 09/18/26 EUR 3,400 4,306,247
Sr. Unsec’d. Notes 1.750 04/24/25 EUR 2,600 3,332,712
Sr. Unsec’d. Notes 3.375 07/30/25 EUR 12,505 17,110,312
Sr. Unsec’d. Notes, EMTN 2.150 07/18/24 EUR 5,195 6,714,178
Sr. Unsec’d. Notes, EMTN 2.625 06/14/23 EUR 5,700 7,323,622
Sr. Unsec’d. Notes, EMTN 2.875 07/08/21 EUR 6,080 7,468,364
Sr. Unsec’d. Notes, EMTN 3.750 06/14/28 EUR 12,980 19,058,251
49

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Indonesia (cont’d.)
Indonesia Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes, Series 05 0.920 % 05/31/23 JPY 100,000  $964,969
Sr. Unsec’d. Notes, Series 14 1.130 07/07/23 JPY 400,000 3,877,392
          95,276,298
Isle of Man 0.5%
Isle of Man Government International Bond,          
Unsec’d. Notes 5.375 08/14/34 GBP 7,876 16,256,685
Unsec’d. Notes 5.625 03/29/30 GBP 4,978 9,464,864
          25,721,549
Israel 0.5%
Israel Government Bond,
Bonds, Series 0928
2.250 09/28/28 ILS 5,000 1,710,724
Israel Government International Bond,          
Sr. Unsec’d. Notes 2.750 07/03/30   6,140 6,729,266
Sr. Unsec’d. Notes 4.500 04/03/2120   1,240 1,599,689
Sr. Unsec’d. Notes, EMTN 1.500 01/18/27 EUR 1,600 2,113,066
Sr. Unsec’d. Notes, EMTN 1.500 01/16/29 EUR 1,000 1,343,680
Sr. Unsec’d. Notes, EMTN 2.875 01/29/24 EUR 3,700 4,897,198
Sr. Unsec’d. Notes, EMTN 6.875 10/21/34 GBP 3,360 7,199,771
          25,593,394
Italy 4.3%
Cassa Del Trentino SPA,
Local Gov’t. Gtd. Notes, EMTN
1.160 06/17/26 EUR 564 692,889
Italy Buoni Poliennali Del Tesoro,          
Bonds, 144A 2.800 03/01/67 EUR 2,100 3,346,030
Sr. Unsec’d. Notes, 144A 3.350 03/01/35 EUR 15,640 24,970,390
     
 
Region of Lazio,
Sr. Unsec’d. Notes
3.088 03/31/43 EUR 1,846 2,598,084
Republic of Italy Government International Bond,          
Sr. Unsec’d. Notes 2.375 10/17/24   500 526,321
Sr. Unsec’d. Notes 2.875 10/17/29   2,900 3,033,750
Sr. Unsec’d. Notes 4.000 10/17/49   500 546,504
Sr. Unsec’d. Notes, EMTN 3.444 12/31/24 EUR 988 1,236,138
Sr. Unsec’d. Notes, EMTN, EURIBOR ICE SWAP 11:00 + 0.000% (Cap N/A, Floor 4.250%) 4.250(c) 06/28/29 EUR 5,892 9,176,997
Sr. Unsec’d. Notes, EMTN 5.200 07/31/34 EUR 868 1,578,859
Sr. Unsec’d. Notes, EMTN 5.250 12/07/34 GBP 11,765 22,680,376
50

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Italy (cont’d.)
Republic of Italy Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes, EMTN 5.345 % 01/27/48 EUR 2,000  $4,229,707
Sr. Unsec’d. Notes, EMTN 6.000 08/04/28 GBP 57,877 104,465,452
Sr. Unsec’d. Notes, MTN 5.125 07/31/24 EUR 15,045 21,461,996
Sr. Unsec’d. Notes, MTN 5.375 06/15/33   10,608 13,543,073
Sr. Unsec’d. Notes, Series 67, EMTN 0.000(cc) 05/11/26 EUR 3,000 3,582,750
Republic of Italy Government International Bond
Strips Coupon,
         
Sr. Unsec’d. Notes 3.486(s) 03/27/23   775 763,811
Sr. Unsec’d. Notes 1.737(s) 02/20/31 EUR 5,324 5,976,517
          224,409,644
Japan 0.8%
Agriculture Forestry & Fisheries Finance Corp.,
Sr. Sec’d. Notes, Series 12
2.240 03/19/27 JPY 100,000 1,080,483
Honshu-Shikoku Bridge,
Sr. Sec’d. Notes, Series 5
2.230 12/20/24 JPY 200,000 2,066,667
Japan Finance Organization for Municipalities,
Sr. Unsec’d. Notes, GMTN
0.875 09/22/21 EUR 2,535 3,103,373
Japan Government Ten Year Bond,
Bonds, Series 360
0.100 09/20/30 JPY 100,000 960,303
Japan Government Thirty Year Bond,          
Bonds, Series 66 0.400 03/20/50 JPY 450,000 4,006,140
Bonds, Series 68 0.600 09/20/50 JPY 1,335,000 12,534,600
Japan Government Twenty Year Bond,          
Bonds, Series 149(k) 1.500 06/20/34 JPY 50,000 558,585
Bonds, Series 150(k) 1.400 09/20/34 JPY 145,000 1,603,755
Bonds, Series 157(k) 0.200 06/20/36 JPY 224,100 2,108,015
Bonds, Series 159(k) 0.600 12/20/36 JPY 665,000 6,620,946
Bonds, Series 165(k) 0.500 06/20/38 JPY 407,000 3,965,065
Bonds, Series 171(k) 0.300 12/20/39 JPY 300,000 2,791,563
     
 
Japan Housing Finance Agency,
Sr. Sec’d. Notes, Series 102
1.441 03/19/27 JPY 100,000 1,033,164
Japanese Government CPI Linked Bond,
Bonds, Series 22
0.100 03/10/27 JPY 219,803 2,118,248
          44,550,907
Jersey 0.0%
Jersey International Bond,
Sr. Unsec’d. Notes
3.750 06/09/54 GBP 834 1,812,506
51

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Kazakhstan 0.4%
Kazakhstan Government International Bond,          
Sr. Unsec’d. Notes, EMTN 0.600 % 09/30/26 EUR 2,000  $2,436,297
Sr. Unsec’d. Notes, EMTN 1.500 09/30/34 EUR 3,200 4,041,728
Sr. Unsec’d. Notes, EMTN 2.375 11/09/28 EUR 10,815 14,880,623
          21,358,648
Kuwait 0.0%
Kuwait International Government Bond,
Sr. Unsec’d. Notes, 144A
2.750 03/20/22   2,050 2,099,063
Lithuania 0.1%
Lithuania Government Bond,
Bonds, Series 7 Year
0.600 06/29/23 EUR 200 247,896
Lithuania Government International Bond,
Sr. Unsec’d. Notes
6.625 02/01/22   4,920 5,224,734
          5,472,630
Macedonia 0.1%
North Macedonia Government International Bond,          
Sr. Unsec’d. Notes 3.975 07/24/21 EUR 3,000 3,698,332
Sr. Unsec’d. Notes 5.625 07/26/23 EUR 1,000 1,351,157
Sr. Unsec’d. Notes, 144A 3.975 07/24/21 EUR 500 616,389
          5,665,878
Malaysia 0.1%
1MDB Global Investments Ltd.,
Sr. Unsec’d. Notes
4.400 03/09/23   2,000 2,005,165
Malaysia Government Bond,
Bonds, Series 314
4.048 09/30/21 MYR 20,916 5,251,018
          7,256,183
Mexico 1.4%
Mexican Bonos,
Sr. Unsec’d. Notes, Series M
8.000 12/07/23 MXN 10,000 536,615
Mexico Government International Bond,          
Sr. Unsec’d. Notes 1.125 01/17/30 EUR 9,100 10,902,647
Sr. Unsec’d. Notes 1.350 09/18/27 EUR 500 626,979
Sr. Unsec’d. Notes 1.450 10/25/33 EUR 4,825 5,675,533
Sr. Unsec’d. Notes 1.625 04/08/26 EUR 200 255,452
52

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Mexico (cont’d.)
Mexico Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes 2.875 % 04/08/39 EUR 5,000  $6,537,790
Sr. Unsec’d. Notes 4.000 03/15/2115 EUR 950 1,350,871
Sr. Unsec’d. Notes, EMTN 1.750 04/17/28 EUR 800 1,017,702
Sr. Unsec’d. Notes, EMTN 5.625 03/19/2114 GBP 340 545,709
Sr. Unsec’d. Notes, GMTN 1.625 03/06/24 EUR 8,870 11,284,531
Sr. Unsec’d. Notes, GMTN 6.750 02/06/24 GBP 12,951 20,859,666
Sr. Unsec’d. Notes, Series 25 0.600 04/20/23 JPY 700,000 6,615,677
Sr. Unsec’d. Notes, Series 26 0.850 04/18/25 JPY 300,000 2,841,672
Sr. Unsec’d. Notes, Series 28 2.000 04/20/38 JPY 300,000 2,562,832
Sr. Unsec’d. Notes, Series A, MTN 7.500 04/08/33   875 1,231,056
          72,844,732
Montenegro 0.0%
Montenegro Government International Bond,
Sr. Unsec’d. Notes, 144A
3.375 04/21/25 EUR 750 925,461
New Zealand 0.2%
Auckland Council,          
Sr. Sec’d. Notes 2.900 09/16/27 AUD 1,000 829,960
Sr. Sec’d. Notes 3.500 03/09/26 AUD 2,000 1,695,993
     
 
New Zealand Government Bond,
Bonds
1.750 05/15/41 NZD 2,000 1,382,178
New Zealand Local Government Funding Agency
Bond,
         
Local Gov’t. Gtd. Notes 2.000 04/15/37 NZD 1,190 835,744
Local Gov’t. Gtd. Notes 2.750 04/15/25 NZD 1,800 1,402,554
Local Gov’t. Gtd. Notes 3.500 04/14/33 NZD 2,900 2,481,926
Local Gov’t. Gtd. Notes 4.500 04/15/27 NZD 1,800 1,565,937
          10,194,292
Norway 0.1%
City of Oslo,          
Sr. Unsec’d. Notes 2.300 12/01/27 NOK 3,000 369,801
Sr. Unsec’d. Notes 3.600 12/06/22 NOK 1,000 122,965
Sr. Unsec’d. Notes 3.650 11/08/23 NOK 9,000 1,130,742
     
 
Norway Government Bond,
Sr. Unsec’d. Notes, 144A, Series 481
1.750 09/06/29 NOK 10,000 1,239,766
          2,863,274
53

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Panama 0.2%
Panama Government International Bond,          
Sr. Unsec’d. Notes 4.000 % 09/22/24   400  $440,833
Sr. Unsec’d. Notes 8.125 04/28/34   3,799 5,489,141
Sr. Unsec’d. Notes 9.375 01/16/23   3,803 4,406,909
Sr. Unsec’d. Notes 9.375 04/01/29   800 1,226,562
          11,563,445
Peru 1.2%
Peru Government Bond,
Sr. Unsec’d. Notes
5.350 08/12/40 PEN 22,000 6,164,480
Peruvian Government International Bond,          
Sr. Unsec’d. Notes 2.392 01/23/26   690 731,294
Sr. Unsec’d. Notes 2.750 01/30/26 EUR 29,648 40,660,222
Sr. Unsec’d. Notes 3.750 03/01/30 EUR 9,408 14,727,586
Sr. Unsec’d. Notes 6.950 08/12/31 PEN 9,000 3,172,652
          65,456,234
Philippines 1.3%
Philippine Government International Bond,          
Sr. Unsec’d. Notes 0.000 02/03/23 EUR 2,000 2,424,344
Sr. Unsec’d. Notes 0.700 02/03/29 EUR 5,365 6,546,114
Sr. Unsec’d. Notes, EMTN 0.875 05/17/27 EUR 7,000 8,676,912
Sr. Unsec’d. Notes, Series 11 0.990 08/15/28 JPY 1,100,000 10,549,242
Sr. Unsec’d. Notes, Series 15 0.590 08/15/29 JPY 1,700,000 15,722,720
Unsec’d. Notes 3.580 05/20/22 CNH 165,000 25,620,654
          69,539,986
Poland 0.1%
Republic of Poland Government Bond,          
Bonds, Series 428 2.750 04/25/28 PLN 500 151,961
Bonds, Series 727 2.500 07/25/27 PLN 10,000 2,986,390
     
 
Republic of Poland Government International Bond,
Sr. Unsec’d. Notes
5.000 03/23/22   700 738,517
          3,876,868
Portugal 1.8%
Metropolitano de Lisboa EPE,
Gov’t. Gtd. Notes
4.799 12/07/27 EUR 5,800 9,327,990
54

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Portugal (cont’d.)
Parpublica-Participacoes Publicas SGPS SA,
Sr. Unsec’d. Notes, EMTN
3.750 % 07/05/21 EUR 1,500  $1,848,507
Portugal Government International Bond,          
Sr. Unsec’d. Notes 4.090 06/03/22 CNH 70,800 11,034,334
Sr. Unsec’d. Notes, EMTN 5.125 10/15/24   10,791 12,514,226
     
 
Portugal Obrigacoes do Tesouro OT,
Sr. Unsec’d. Notes, 144A
4.100 02/15/45 EUR 24,295 51,007,519
Regiao Autonoma Madeira,
Gov’t. Gtd. Notes
0.943 05/29/32 EUR 8,750 11,039,483
          96,772,059
Qatar 0.2%
Qatar Government International Bond,          
Sr. Unsec’d. Notes 3.400 04/16/25   500 549,882
Sr. Unsec’d. Notes 3.750 04/16/30   2,000 2,327,049
Sr. Unsec’d. Notes, 144A 3.400 04/16/25   4,410 4,849,956
Sr. Unsec’d. Notes, 144A 3.875 04/23/23   1,040 1,115,609
Sr. Unsec’d. Notes, 144A 4.500 04/23/28   2,000 2,400,204
          11,242,700
Romania 0.6%
Romania Government Bond,
Bonds, Series 15 Year
3.650 09/24/31 RON 2,000 531,497
Romanian Government International Bond,          
Sr. Unsec’d. Notes, 144A, MTN 2.500 02/08/30 EUR 4,150 5,517,920
Sr. Unsec’d. Notes, EMTN 2.375 04/19/27 EUR 1,000 1,324,041
Sr. Unsec’d. Notes, EMTN 3.375 02/08/38 EUR 2,138 2,970,016
Sr. Unsec’d. Notes, EMTN 3.500 04/03/34 EUR 1,000 1,444,124
Sr. Unsec’d. Notes, EMTN 3.875 10/29/35 EUR 1,000 1,485,182
Sr. Unsec’d. Notes, EMTN 4.125 03/11/39 EUR 2,966 4,480,698
Sr. Unsec’d. Notes, EMTN 4.375 08/22/23   1,000 1,090,867
Sr. Unsec’d. Notes, EMTN 6.750 02/07/22   2,600 2,759,587
Unsec’d. Notes, 144A, MTN 2.124 07/16/31 EUR 3,600 4,631,166
Unsec’d. Notes, 144A, MTN 2.875 05/26/28 EUR 1,100 1,498,828
Unsec’d. Notes, EMTN 2.124 07/16/31 EUR 2,000 2,572,870
Unsec’d. Notes, MTN 2.875 05/26/28 EUR 700 953,800
          31,260,596
55

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Russia 0.8%
Russian Federal Bond - OFZ,
Bonds, Series 6224
6.900 % 05/23/29 RUB 61,000  $847,795
Russian Foreign Bond - Eurobond,          
Sr. Unsec’d. Notes 2.875 12/04/25 EUR 22,900 30,648,802
Sr. Unsec’d. Notes 4.500 04/04/22   400 416,042
Sr. Unsec’d. Notes 5.100 03/28/35   6,000 7,474,371
          39,387,010
Saudi Arabia 0.4%
KSA Sukuk Ltd.,
Sr. Unsec’d. Notes, EMTN
2.894 04/20/22   1,000 1,028,906
Saudi Government International Bond,          
Sr. Unsec’d. Notes, 144A 2.000 07/09/39 EUR 5,945 7,792,532
Sr. Unsec’d. Notes, 144A, MTN 2.375 10/26/21   1,200 1,215,043
Sr. Unsec’d. Notes, 144A, MTN 2.875 03/04/23   3,335 3,484,745
Sr. Unsec’d. Notes, 144A, MTN 2.900 10/22/25   4,000 4,302,025
Sr. Unsec’d. Notes, 144A, MTN 4.000 04/17/25   1,135 1,265,835
Sr. Unsec’d. Notes, EMTN 2.875 03/04/23   1,300 1,358,371
          20,447,457
Senegal 0.0%
Senegal Government International Bond,
Sr. Unsec’d. Notes, 144A
4.750 03/13/28 EUR 1,395 1,794,537
Serbia 0.8%
Serbia International Bond,          
Sr. Unsec’d. Notes 1.500 06/26/29 EUR 1,000 1,241,298
Sr. Unsec’d. Notes 3.125 05/15/27 EUR 16,095 21,821,170
Sr. Unsec’d. Notes 7.250 09/28/21   4,646 4,839,396
Sr. Unsec’d. Notes, 144A 2.125 12/01/30   13,215 12,819,463
Sr. Unsec’d. Notes, 144A 7.250 09/28/21   200 208,325
          40,929,652
Singapore 0.0%
Housing & Development Board,
Sr. Unsec’d. Notes, MTN
2.320 01/24/28 SGD 500 408,021
Slovenia 0.2%
Slovenia Government International Bond,
Sr. Unsec’d. Notes
5.250 02/18/24   7,922 9,067,441
56

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
South Africa 0.2%
Republic of South Africa Government Bond,          
Sr. Unsec’d. Notes, Series 2035 8.875 % 02/28/35 ZAR 10,000  $585,543
Sr. Unsec’d. Notes, Series R186 10.500 12/21/26 ZAR 9,000 703,987
Sr. Unsec’d. Notes, Series R213 7.000 02/28/31 ZAR 1,800 101,820
Republic of South Africa Government International
Bond,
         
Sr. Unsec’d. Notes 3.750 07/24/26 EUR 5,415 7,156,350
Sr. Unsec’d. Notes, EMTN 3.800 09/07/21 JPY 100,000 968,733
          9,516,433
South Korea 0.2%
Export-Import Bank of Korea,          
Sr. Unsec’d. Notes, 144A, MTN 8.000 05/15/24 IDR 6,800,000 522,419
Sr. Unsec’d. Notes, EMTN 3.130 04/26/23 HKD 4,000 542,484
Sr. Unsec’d. Notes, EMTN 4.140 09/04/23 CNH 5,000 800,016
Sr. Unsec’d. Notes, EMTN 4.660 02/28/21 CNH 12,000 1,863,697
Sr. Unsec’d. Notes, EMTN 7.250 12/07/24 IDR 10,000,000 758,435
Sr. Unsec’d. Notes, EMTN 8.000 05/15/24 IDR 19,600,000 1,505,796
Sr. Unsec’d. Notes, MTN 3.500 07/28/21 NZD 2,000 1,457,941
Sr. Unsec’d. Notes, MTN 3.500 02/14/22 AUD 700 552,827
Korea International Bond,          
Sr. Unsec’d. Notes 2.125 06/10/24 EUR 1,100 1,443,906
Sr. Unsec’d. Notes 4.250 12/07/21 EUR 1,700 2,142,654
          11,590,175
Spain 2.9%
Autonomous Community of Catalonia,          
Sr. Unsec’d. Notes 4.690 10/28/34 EUR 430 702,209
Sr. Unsec’d. Notes, EMTN 4.900 09/15/21 EUR 600 750,276
Sr. Unsec’d. Notes, EMTN, EURIBOR ICE SWAP 11:00 Fft 10Y Index + 0.000% (Cap 12.000%, Floor 5.480%) 5.480(c) 05/11/29 EUR 1,000 1,640,796
Sr. Unsec’d. Notes, EMTN 5.900 05/28/30 EUR 3,250 5,636,353
Sr. Unsec’d. Notes, EMTN 6.350 11/30/41 EUR 100 210,785
Instituto de Credito Oficial,          
Gov’t. Gtd. Notes, EMTN 3.250 06/28/24 CHF 1,300 1,644,059
Gov’t. Gtd. Notes, GMTN 0.963 09/22/22 SEK 32,000 3,887,220
Gov’t. Gtd. Notes, GMTN 2.100 02/23/21 JPY 120,000 1,146,635
Spain Government Bond,          
Bonds, 144A(k) 5.150 10/31/28 EUR 8,120 13,881,124
Sr. Unsec’d. Notes, 144A 1.000 10/31/50 EUR 600 737,744
57

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Spain (cont’d.)
Spain Government Bond, (cont’d.)          
Sr. Unsec’d. Notes, 144A(k) 1.200 % 10/31/40 EUR 2,500  $3,318,052
Sr. Unsec’d. Notes, 144A 1.250 10/31/30 EUR 4,000 5,396,836
Sr. Unsec’d. Notes, 144A(k) 1.400 04/30/28 EUR 6,410 8,658,273
Sr. Unsec’d. Notes, 144A(k) 1.400 07/30/28 EUR 895 1,211,574
Sr. Unsec’d. Notes, 144A(k) 1.850 07/30/35 EUR 21,225 30,905,490
Sr. Unsec’d. Notes, 144A(k) 1.950 07/30/30 EUR 1,300 1,860,312
Sr. Unsec’d. Notes, 144A(k) 3.450 07/30/66 EUR 4,200 9,034,618
Spain Government Bond Strips Coupon,          
Bonds 0.449(s) 07/30/29 EUR 438 529,815
Bonds 0.246(s) 01/31/32 EUR 3,900 4,592,768
Bonds 0.320(s) 01/31/33 EUR 2,100 2,443,251
Bonds 0.958(s) 01/31/35 EUR 168 190,231
Bonds 1.027(s) 01/31/36 EUR 168 187,683
Bonds 1.078(s) 01/31/37 EUR 168 185,030
Bonds 1.296(s) 07/30/41 EUR 436 442,036
Bonds, Series CAC 0.579(s) 07/30/29 EUR 3,600 4,329,624
Bonds, Series CAC 1.128(s) 07/30/36 EUR 862 949,025
Bonds, Series CAC 1.212(s) 07/30/37 EUR 862 936,767
Bonds, Series CAC 1.297(s) 07/30/38 EUR 862 911,703
Bonds, Series CAC 1.365(s) 07/30/42 EUR 300 296,377
Bonds, Series CAC 1.405(s) 07/30/43 EUR 300 288,322
Bonds, Series CAC 1.455(s) 07/30/44 EUR 300 285,959
Bonds, Series CAC 1.475(s) 07/30/45 EUR 300 282,433
Bonds, Series CAC 1.485(s) 07/30/46 EUR 300 285,343
Bonds, Series CAC 1.504(s) 07/30/47 EUR 300 276,731
Bonds, Series CAC 1.514(s) 07/30/48 EUR 300 273,047
Bonds, Series CAC 1.544(s) 07/30/49 EUR 300 275,586
Bonds, Series CAC 1.564(s) 07/30/50 EUR 300 264,116
Bonds, Series CAC 1.594(s) 07/30/51 EUR 300 258,771
Bonds, Series CAC 1.623(s) 07/30/52 EUR 300 252,425
Bonds, Series CAC 1.663(s) 07/30/53 EUR 300 246,803
Bonds, Series CAC 1.683(s) 07/30/54 EUR 300 241,263
Bonds, Series CAC 1.703(s) 07/30/55 EUR 300 235,737
Bonds, Series CAC 1.732(s) 07/30/56 EUR 300 231,304
Bonds, Series CAC 1.772(s) 07/30/57 EUR 300 224,860
Bonds, Series CAC 1.782(s) 07/30/58 EUR 300 220,784
Bonds, Series CAC 1.812(s) 07/30/59 EUR 300 215,631
Bonds, Series CAC 1.851(s) 07/30/60 EUR 300 210,492
Bonds, Series CAC 1.871(s) 07/30/61 EUR 300 205,421
Bonds, Series CAC 1.891(s) 07/30/62 EUR 300 198,537
Bonds, Series CAC 1.921(s) 07/30/63 EUR 300 190,310
58

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Spain (cont’d.)
Spain Government Bond Strips Coupon, (cont’d.)          
Bonds, Series CAC 1.950 %(s) 07/30/64 EUR 300  $184,561
Bonds, Series CAC 1.980(s) 07/30/65 EUR 300 179,257
Bonds, Series CAC 2.010(s) 07/30/66 EUR 300 177,437
     
 
Spain Government Bond Strips Principal,
Bonds
0.794(s) 07/30/41 EUR 1,700 1,717,900
Spain Government International Bond,          
Sr. Unsec’d. Notes, EMTN 5.010 11/21/44   10,500 13,560,555
Sr. Unsec’d. Notes, EMTN 5.250 04/06/29 GBP 14,697 26,232,806
          153,833,057
Sweden 0.1%
Kommuninvest I Sverige AB,          
Local Gov’t. Gtd. Notes, EMTN 0.625 11/13/23 SEK 15,000 1,824,958
Local Gov’t. Gtd. Notes, EMTN 1.500 05/12/25 SEK 7,000 886,604
Local Gov’t. Gtd. Notes, MTN 4.750 08/17/22 AUD 200 162,937
     
 
Svensk Exportkredit AB,
Sr. Unsec’d. Notes, EMTN
8.904(s) 06/25/27 ZAR 1,400 59,395
Sweden Government Bond,
Bonds, Series 1053(k)
3.500 03/30/39 SEK 10,000 1,849,407
          4,783,301
Thailand 0.0%
Thailand Government Bond,
Sr. Unsec’d. Notes
3.650 06/20/31 THB 45,000 1,841,052
Turkey 0.1%
Turkey Government International Bond,          
Sr. Unsec’d. Notes 4.625 03/31/25 EUR 5,000 6,440,890
Sr. Unsec’d. Notes 5.750 03/22/24   1,000 1,053,816
          7,494,706
Ukraine 0.8%
Ukraine Government International Bond,          
Sr. Unsec’d. Notes 4.375 01/27/30 EUR 1,200 1,383,447
Sr. Unsec’d. Notes 6.750 06/20/26 EUR 14,700 19,489,309
Sr. Unsec’d. Notes 7.375 09/25/32   3,600 3,864,280
Sr. Unsec’d. Notes 7.750 09/01/24   1,875 2,067,387
Sr. Unsec’d. Notes 7.750 09/01/25   400 446,174
Sr. Unsec’d. Notes 7.750 09/01/26   500 561,813
59

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Ukraine (cont’d.)
Ukraine Government International Bond, (cont’d.)          
Sr. Unsec’d. Notes, 144A 4.375 % 01/27/30 EUR 9,705  $11,188,628
Sr. Unsec’d. Notes, 144A 7.253 03/15/33   1,560 1,658,919
          40,659,957
United Arab Emirates 0.5%
Abu Dhabi Government International Bond,          
Sr. Unsec’d. Notes 2.500 10/11/22   498 514,737
Sr. Unsec’d. Notes, 144A 2.500 10/11/22   2,365 2,444,486
Dubai DOF Sukuk Ltd.,          
Sr. Unsec’d. Notes 5.000 04/30/29   5,000 5,910,744
Sr. Unsec’d. Notes, EMTN 6.450 05/02/22   6,423 6,883,468
     
 
RAK Capital,
Sr. Unsec’d. Notes, EMTN
3.094 03/31/25   1,400 1,487,694
Sharjah Sukuk Ltd.,
Sr. Unsec’d. Notes
3.764 09/17/24   3,800 4,085,817
Sharjah Sukuk Program Ltd.,          
Sr. Unsec’d. Notes, EMTN 3.854 04/03/26   4,000 4,350,002
Sr. Unsec’d. Notes, EMTN 4.226 03/14/28   1,200 1,339,216
          27,016,164
United Kingdom 0.8%
Transport for London,          
Sr. Unsec’d. Notes, EMTN 4.000 09/12/33 GBP 1,000 1,818,049
Sr. Unsec’d. Notes, EMTN 4.000 04/07/64 GBP 800 1,870,673
Sr. Unsec’d. Notes, EMTN 4.500 03/31/31 GBP 3,813 6,425,224
Sr. Unsec’d. Notes, EMTN 5.000 03/31/35 GBP 3,140 5,853,788
United Kingdom Gilt,          
Bonds(k) 3.250 01/22/44 GBP 100 205,392
Bonds(k) 3.500 01/22/45 GBP 2,310 4,970,480
Bonds(k) 4.250 03/07/36 GBP 6,140 12,802,559
Bonds(k) 4.250 09/07/39 GBP 180 396,863
Bonds(k) 4.250 12/07/46 GBP 2,100 5,125,251
     
 
United Kingdom Municipal Bonds Agency Finance Co. Designated Activity Co.,
Local Gov’t. Gtd. Notes
1.625 08/26/60 GBP 750 1,048,497
          40,516,776
60

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Uruguay 0.1%
Uruguay Government International Bond,          
Sr. Unsec’d. Notes 4.375 % 10/27/27   394  $460,835
Sr. Unsec’d. Notes 4.375 01/23/31   625 752,492
Sr. Unsec’d. Notes 6.875 09/28/25   2,202 2,707,018
          3,920,345
     
 
Total Sovereign Bonds
(cost $1,691,598,045)
1,868,789,507
U.S. Government Agency Obligations 1.3%
Federal National Mortgage Assoc.
5.375 12/07/28 GBP 20,307 37,612,235
Tennessee Valley Authority          
Sr. Unsec’d. Notes 4.625 06/07/43 GBP 300 657,685
Sr. Unsec’d. Notes 5.350 06/07/21 GBP 1,217 1,698,187
Sr. Unsec’d. Notes 5.625 06/07/32 GBP 13,291 27,068,164
     
 
Total U.S. Government Agency Obligations
(cost $65,310,214)
67,036,271
U.S. Treasury Obligations(k) 0.2%
U.S. Treasury Notes 0.625 08/15/30   5,000 4,802,344
U.S. Treasury Notes 1.375 02/15/23   2,450 2,512,399
U.S. Treasury Notes 2.125 05/15/25   300 322,898
U.S. Treasury Strips Coupon 1.888(s) 08/15/29   400 364,297
U.S. Treasury Strips Coupon 1.872(s) 05/15/31   400 350,375
U.S. Treasury Strips Coupon 2.089(s) 11/15/35   800 634,156
U.S. Treasury Strips Coupon 2.251(s) 08/15/40   800 563,625
     
 
Total U.S. Treasury Obligations
(cost $9,527,243)
9,550,094
    
      Shares  
Common Stock 0.0%
Colombia 
Frontera Energy Corp.
(cost $44,527)
      2,232 6,514
Exchange-Traded Funds 0.2%
iShares iBoxx $ Investment Grade Corporate Bond ETF(a)       50,000 6,780,000
61

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Description     Shares Value
Exchange-Traded Funds (Continued)
iShares iBoxx High Yield Corporate Bond ETF(a)       60,000  $5,218,200
     
 
Total Exchange-Traded Funds
(cost $12,000,573)
11,998,200
Preferred Stock 0.0%
United States 
Citigroup Capital XIII, 6.584%, Maturing 10/30/2040
(cost $100,000)
      4,000 112,280
     
 
 
Total Long-Term Investments
(cost $4,718,544,570)
5,036,622,714
 
Short-Term Investments 6.4%
Affiliated Mutual Funds 5.2%
PGIM Core Ultra Short Bond Fund(wa)     217,519,131 217,519,131
PGIM Institutional Money Market Fund
(cost $59,489,413; includes $59,481,878 of cash collateral for securities on loan)(b)(wa)
    59,540,376 59,516,561
     
 
Total Affiliated Mutual Funds
(cost $277,008,544)
277,035,692
Options Purchased*~ 1.2%
(cost $191,537,752) 60,603,747
     
 
 
Total Short-Term Investments
(cost $468,546,296)
337,639,439
     
 
TOTAL INVESTMENTS, BEFORE OPTIONS WRITTEN101.7%
(cost $5,187,090,866)
5,374,262,153
Options Written*~ (1.1)%
(premiums received $186,607,597) (58,528,811)
 
TOTAL INVESTMENTS, NET OF OPTIONS WRITTEN100.6%
(cost $5,000,483,269)
5,315,733,342
Liabilities in excess of other assets(z) (0.6)% (33,610,264)
 
Net Assets 100.0% $5,282,123,078

Below is a list of the abbreviation(s) used in the quarterly schedule of portfolio holdings:
    
AUD—Australian Dollar
BRL—Brazilian Real
CAD—Canadian Dollar
CHF—Swiss Franc
CLP—Chilean Peso
62

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
CNH—Chinese Renminbi
CNY—China Yuan
COP—Colombian Peso
CZK—Czech Koruna
DKK—Danish Krone
EUR—Euro
GBP—British Pound
HKD—Hong Kong Dollar
HUF—Hungarian Forint
IDR—Indonesian Rupiah
ILS—Israeli Shekel
INR—Indian Rupee
ITL—Italian Lira
JPY—Japanese Yen
KRW—South Korean Won
MXN—Mexican Peso
MYR—Malaysian Ringgit
NOK—Norwegian Krone
NZD—New Zealand Dollar
PEN—Peruvian Nuevo Sol
PHP—Philippine Peso
PLN—Polish Zloty
RON—Romanian Leu
RUB—Russian Ruble
SEK—Swedish Krona
SGD—Singapore Dollar
THB—Thai Baht
TRY—Turkish Lira
TWD—New Taiwanese Dollar
USD—US Dollar
ZAR—South African Rand
    
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
ABS—Asset-Backed Security
AID—Agency for International Development
BBR—New Zealand Bank Bill Rate
BBSW—Australian Bank Bill Swap Reference Rate
BIBOR—Bangkok Interbank Offered Rate
BROIS—Brazil Overnight Index Swap
BUBOR—Budapest Interbank Offered Rate
CAC—French Stock Market Index
CDX—Credit Derivative Index
CIBOR—Copenhagen Interbank Offered Rate
CLO—Collateralized Loan Obligation
CLOIS—Sinacofi Chile Interbank Rate Average
CME—Chicago Mercantile Exchange
COOIS—Colombia Overnight Interbank Reference Rate
CPI—Consumer Price Index
EMTN—Euro Medium Term Note
EONIA—Euro Overnight Index Average
ETF—Exchange-Traded Fund
63

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
EURIBOR—Euro Interbank Offered Rate
FHLMC—Federal Home Loan Mortgage Corporation
GMTN—Global Medium Term Note
HIBOR—Hong Kong Interbank Offered Rate
HICP—Harmonised Index of Consumer Prices
iBoxx—Bond Market Indices
ICE—Intercontinental Exchange
IO—Interest Only (Principal amount represents notional)
iTraxx—International Credit Derivative Index
JIBAR—Johannesburg Interbank Agreed Rate
KLIBOR—Kuala Lumpur Interbank Offered Rate
KWCDC—Korean Won Certificate of Deposit
LIBOR—London Interbank Offered Rate
LP—Limited Partnership
M—Monthly payment frequency for swaps
MASTR—Morgan Stanley Structured Asset Security
MosPRIME—Moscow Prime Offered Rate
MTN—Medium Term Note
NIBOR—Norwegian Interbank Offered Rate
NSA—Non-Seasonally Adjusted
OAT—Obligations Assimilables du Tresor
OFZ—Obligatsyi Federal’novo Zaima (Federal Loan Obligations)
OTC—Over-the-counter
PIK—Payment-in-Kind
PJSC—Public Joint-Stock Company
PRIBOR—Prague Interbank Offered Rate
Q—Quarterly payment frequency for swaps
REMICS—Real Estate Mortgage Investment Conduit Security
S—Semiannual payment frequency for swaps
SIBOR—Singapore Interbank Offered Rate
SOFR—Secured Overnight Financing Rate
SONIA—Sterling Overnight Index Average
STIBOR—Stockholm Interbank Offered Rate
Strips—Separate Trading of Registered Interest and Principal of Securities
T—Swap payment upon termination
TAIBOR—Taiwan Interbank Offered Rate
TELBOR—Tel Aviv Interbank Offered Rate
USOIS—United States Overnight Index Swap
WIBOR—Warsaw Interbank Offered Rate
    
* 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.
^ Indicates a Level 3 instrument. The aggregate value of Level 3 instruments is $25,468,664 and 0.5% 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 $57,726,119; cash collateral of $59,481,878 (included in liabilities) was received with which the Fund 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 Fund 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.
(c) Variable rate instrument. The interest rate shown reflects the rate in effect at January 31, 2021.
64

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
(cc) Variable rate instrument. The rate shown is based on the latest available information as of January 31, 2021. 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.
(d) Represents issuer in default on interest payments and/or principal repayment. Non-income producing security. Such securities may be post-maturity.
(f) Indicates a restricted security that is acquired in unregistered, private sales from the issuing company or from an affiliate of the issuer and is considered restricted as to disposition under federal securities law; the aggregate original cost of such securities is $3,122,131. The aggregate value of $2,814,256 is 0.1% of net assets.
(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.
(jj) Represents original contract currency denomination, settlement to occur in Euro currency.
(k) Represents security, or a portion thereof, segregated as collateral for centrally cleared/exchange-traded derivatives.
(oo) Perpetual security. Maturity date represents next call date.
(p) Represents a security with a delayed settlement and therefore the interest rate is not available until settlement which is after the period end.
(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 Fund, 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:
Options Purchased:
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option AUD vs JPY   Call   Deutsche Bank AG   05/26/21     70.00     AUD   244,500  $23,755,383
Currency Option USD vs BRL   Call   Citibank, N.A.   02/24/21     5.10         103,800 7,419,826
Currency Option USD vs BRL   Call   Deutsche Bank AG   02/24/21     5.90         207,600 813,859
Currency Option USD vs ILS   Call   Bank of America, N.A.   06/28/21     3.60         66,000 159,172
Currency Option USD vs ILS   Call   Citibank, N.A.   06/28/21     3.95         66,000 35,538
Currency Option USD vs INR   Call   Goldman Sachs International   02/24/21     79.00         56,000 778
Currency Option USD vs INR   Call   Citibank, N.A.   02/24/21     81.00         100,400 366
Currency Option USD vs INR   Call   Bank of America, N.A.   02/24/21     86.00         112,000 31
Currency Option USD vs INR   Call   Morgan Stanley & Co. International PLC   02/24/21     87.00         200,800 36
Currency Option USD vs INR   Call   Goldman Sachs International   09/28/21     88.00         75,000 71,587
Currency Option USD vs JPY   Call   Deutsche Bank AG   05/27/22     114.00         113,400 479,050
65

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Options Purchased (continued):
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option USD vs KRW   Call   Goldman Sachs International   04/27/21     1,240.00         51,000  $40,819
Currency Option USD vs KRW   Call   Morgan Stanley & Co. International PLC   04/27/21     1,240.00         100,000 80,037
Currency Option USD vs KRW   Call   JPMorgan Chase Bank, N.A.   04/27/21     1,370.00         302,000 28,552
Currency Option USD vs KRW   Call   HSBC Bank USA, N.A.   07/28/21     1,275.00         69,500 133,847
Currency Option USD vs KRW   Call   Deutsche Bank AG   07/28/21     1,500.00         69,500 15,463
Currency Option USD vs MXN   Call   Citibank, N.A.   02/24/21     20.50         54,000 954,214
Currency Option USD vs MXN   Call   Deutsche Bank AG   02/24/21     22.00         108,000 274,943
Currency Option USD vs MXN   Call   Deutsche Bank AG   02/24/21     22.25         59,400 111,706
Currency Option USD vs MXN   Call   Citibank, N.A.   02/24/21     25.00         118,800 13,727
Currency Option USD vs MXN   Call   Morgan Stanley & Co. International PLC   04/27/21     22.00         59,500 702,503
Currency Option USD vs MXN   Call   Citibank, N.A.   04/27/21     26.00         119,000 150,967
Currency Option USD vs MXN   Call   Goldman Sachs International   02/23/22     26.00         159,750 2,439,957
Currency Option USD vs MXN   Call   Barclays Bank PLC   02/23/22     31.50         319,500 1,802,540
Currency Option USD vs MXN   Call   Goldman Sachs International   02/23/22     36.00         103,800 330,496
Currency Option USD vs RUB   Call   Goldman Sachs International   04/28/21     75.00         59,500 2,228,956
Currency Option USD vs RUB   Call   Deutsche Bank AG   04/28/21     90.00         119,000 393,431
Currency Option USD vs TRY   Call   Morgan Stanley & Co. International PLC   02/25/21     10.00         56,000 9,890
Currency Option USD vs TRY   Call   Goldman Sachs International   02/25/21     15.00         112,000 1,304
Currency Option USD vs ZAR   Call   Deutsche Bank AG   02/24/21     15.50         51,850 558,200
Currency Option USD vs ZAR   Call   Bank of America, N.A.   02/24/21     18.00         103,700 26,465
Currency Option AUD vs JPY   Put   Citibank, N.A.   05/26/21     62.00     AUD   640,000 232,026
66

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Options Purchased (continued):
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option AUD vs JPY   Put   Morgan Stanley & Co. International PLC   05/26/21     62.00     AUD   72,000  $26,103
Currency Option AUD vs JPY   Put   Deutsche Bank AG   05/26/21     70.00     AUD   356,000 607,453
Currency Option AUD vs JPY   Put   BNP Paribas S.A.   01/26/22     55.00     AUD   640,000 930,674
Currency Option AUD vs JPY   Put   Deutsche Bank AG   01/26/22     63.00     AUD   320,000 1,166,703
Currency Option GBP vs USD   Put   Deutsche Bank AG   03/31/21     1.12     GBP   141,450 2,130
Currency Option GBP vs USD   Put   Bank of America, N.A.   04/27/21     1.11     GBP   164,000 8,899
Currency Option GBP vs USD   Put   Citibank, N.A.   04/27/21     1.21     GBP   82,000 36,332
Currency Option GBP vs USD   Put   JPMorgan Chase Bank, N.A.   05/26/21     1.14     GBP   350,000 107,488
Currency Option GBP vs USD   Put   Bank of America, N.A.   05/26/21     1.22     GBP   175,000 217,293
Currency Option GBP vs USD   Put   JPMorgan Chase Bank, N.A.   01/26/22     1.25     GBP   141,450 1,649,259
Currency Option USD vs BRL   Put   Citibank, N.A.   03/29/21     3.75         119,000 119
Currency Option USD vs BRL   Put   Deutsche Bank AG   09/28/21     3.85         29,000 13,827
Currency Option USD vs JPY   Put   Deutsche Bank AG   02/18/21     90.00         240,800 40
Currency Option USD vs JPY   Put   Deutsche Bank AG   01/26/22     101.50         240,800 3,903,217
Currency Option USD vs MXN   Put   Deutsche Bank AG   02/24/21     24.00         51,900 8,667,911
Total OTC Traded (cost $191,537,035)                       $60,603,117  
    
OTC Swaptions    
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value
iTraxx.XO.34.V2, 12/20/25   Call   Barclays Bank PLC   03/17/21   1.88%   5.00%(Q)   iTraxx.XO. 34.V2(Q)   EUR 2,000    $630
(cost $717)                              
Total Options Purchased (cost $191,537,752)       $60,603,747
67

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Options Written:
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option AUD vs JPY   Call   Bank of America, N.A.   05/26/21     70.00     AUD   12,000  $(1,165,908)
Currency Option AUD vs JPY   Call   Citibank, N.A.   05/26/21     70.00     AUD   232,500 (22,589,474)
Currency Option USD vs BRL   Call   Deutsche Bank AG   02/24/21     5.10         103,800 (7,419,826)
Currency Option USD vs BRL   Call   Citibank, N.A.   02/24/21     5.90         207,600 (813,859)
Currency Option USD vs ILS   Call   Citibank, N.A.   06/28/21     3.60         66,000 (159,172)
Currency Option USD vs ILS   Call   Bank of America, N.A.   06/28/21     3.95         66,000 (35,538)
Currency Option USD vs INR   Call   Bank of America, N.A.   02/24/21     79.00         56,000 (778)
Currency Option USD vs INR   Call   Morgan Stanley & Co. International PLC   02/24/21     81.00         100,400 (366)
Currency Option USD vs INR   Call   Goldman Sachs International   02/24/21     86.00         112,000 (31)
Currency Option USD vs INR   Call   Citibank, N.A.   02/24/21     87.00         200,800 (36)
Currency Option USD vs INR   Call   Bank of America, N.A.   09/28/21     88.00         75,000 (71,587)
Currency Option USD vs KRW   Call   JPMorgan Chase Bank, N.A.   04/27/21     1,240.00         151,000 (120,855)
Currency Option USD vs KRW   Call   Goldman Sachs International   04/27/21     1,370.00         102,000 (9,643)
Currency Option USD vs KRW   Call   Morgan Stanley & Co. International PLC   04/27/21     1,370.00         200,000 (18,909)
Currency Option USD vs KRW   Call   Deutsche Bank AG   07/28/21     1,275.00         69,500 (133,847)
Currency Option USD vs KRW   Call   HSBC Bank USA, N.A.   07/28/21     1,500.00         69,500 (15,463)
Currency Option USD vs MXN   Call   Deutsche Bank AG   02/24/21     20.50         54,000 (954,214)
Currency Option USD vs MXN   Call   Citibank, N.A.   02/24/21     22.00         108,000 (274,943)
Currency Option USD vs MXN   Call   Citibank, N.A.   02/24/21     22.25         59,400 (111,706)
Currency Option USD vs MXN   Call   Deutsche Bank AG   02/24/21     25.00         118,800 (13,727)
Currency Option USD vs MXN   Call   Citibank, N.A.   04/27/21     22.00         59,500 (702,503)
Currency Option USD vs MXN   Call   Morgan Stanley & Co. International PLC   04/27/21     26.00         59,500 (75,484)
68

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Options Written (continued):
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option USD vs MXN   Call   Morgan Stanley & Co. International PLC   04/27/21     26.00         59,500  $(75,484)
Currency Option USD vs MXN   Call   Barclays Bank PLC   02/23/22     26.00         159,750 (2,439,957)
Currency Option USD vs MXN   Call   Goldman Sachs International   02/23/22     31.50         319,500 (1,802,540)
Currency Option USD vs MXN   Call   Citibank, N.A.   02/23/22     36.00         103,800 (330,496)
Currency Option USD vs RUB   Call   Deutsche Bank AG   04/28/21     75.00         59,500 (2,228,956)
Currency Option USD vs RUB   Call   Goldman Sachs International   04/28/21     90.00         119,000 (393,431)
Currency Option USD vs TRY   Call   Goldman Sachs International   02/25/21     10.00         56,000 (9,890)
Currency Option USD vs TRY   Call   Morgan Stanley & Co. International PLC   02/25/21     15.00         112,000 (1,304)
Currency Option USD vs ZAR   Call   Bank of America, N.A.   02/24/21     15.50         51,850 (558,200)
Currency Option USD vs ZAR   Call   Deutsche Bank AG   02/24/21     18.00         103,700 (26,465)
Currency Option AUD vs JPY   Put   Deutsche Bank AG   05/26/21     62.00     AUD   712,000 (258,129)
Currency Option AUD vs JPY   Put   Citibank, N.A.   05/26/21     70.00     AUD   320,000 (546,025)
Currency Option AUD vs JPY   Put   Morgan Stanley & Co. International PLC   05/26/21     70.00     AUD   36,000 (61,428)
Currency Option AUD vs JPY   Put   Deutsche Bank AG   01/26/22     55.00     AUD   640,000 (930,674)
Currency Option AUD vs JPY   Put   BNP Paribas S.A.   01/26/22     63.00     AUD   320,000 (1,166,703)
Currency Option GBP vs USD   Put   Citibank, N.A.   04/27/21     1.11     GBP   164,000 (8,899)
Currency Option GBP vs USD   Put   Bank of America, N.A.   04/27/21     1.21     GBP   82,000 (36,332)
Currency Option GBP vs USD   Put   Bank of America, N.A.   05/26/21     1.14     GBP   350,000 (107,488)
Currency Option GBP vs USD   Put   JPMorgan Chase Bank, N.A.   05/26/21     1.22     GBP   175,000 (217,293)
Currency Option GBP vs USD   Put   JPMorgan Chase Bank, N.A.   01/26/22     1.16     GBP   282,900 (1,248,611)
Currency Option USD vs BRL   Put   Deutsche Bank AG   03/29/21     3.75         119,000 (119)
69

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Options Written (continued):
OTC Traded
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike Contracts   Notional
Amount
(000)#
  Value
Currency Option USD vs BRL   Put   Bank of America, N.A.   09/28/21     3.85         29,000  $(13,827)
Currency Option USD vs JPY   Put   Deutsche Bank AG   01/26/22     95.00         481,600 (2,633,566)
Currency Option USD vs MXN   Put   Citibank, N.A.   02/24/21     24.00         51,900 (8,667,911)
Total OTC Traded (premiums received $186,555,402)                       $(58,451,597)  
    
OTC Swaptions
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value
iTraxx.XO.34.V2, 12/20/25   Put   Barclays Bank PLC   03/17/21   6.50%   5.00%(Q)   iTraxx.XO. 34.V2(Q)   EUR 2,000    $(898)
iTraxx.XO.34.V2, 12/20/25   Put   Barclays Bank PLC   11/17/21   6.00%   5.00%(Q)   iTraxx.XO. 34.V2(Q)   EUR 5,000   (76,316)
Total OTC Swaptions (premiums received $52,195)       $(77,214)
Total Options Written (premiums received $186,607,597)       $(58,528,811)
Futures contracts outstanding at January 31, 2021:
Number
of
Contracts
  Type   Expiration
Date
  Current
Notional
Amount
  Value /
Unrealized
Appreciation
(Depreciation)
Long Positions:
733   5 Year U.S. Treasury Notes   Mar. 2021    $92,266,375    $73,498
40   10 Year Australian Treasury Bonds   Mar. 2021   4,459,182   (16,288)
175   10 Year Euro-Bund   Mar. 2021   37,642,804   26,876
574   10 Year U.S. Ultra Treasury Notes   Mar. 2021   88,297,347   (1,654,243)
3,913   20 Year U.S. Treasury Bonds   Mar. 2021   660,196,469   (17,514,720)
24   30 Year Euro Buxl   Mar. 2021   6,445,407   (54,268)
1,959   30 Year U.S. Ultra Treasury Bonds   Mar. 2021   401,044,031   (18,945,478)
2,207   Japanese Yen Currency   Mar. 2021   263,488,212   (1,723,736)
                (39,808,359)
Short Positions:
200   30 Day Federal Funds   Jul. 2021   79,944,000   63,692
46   30 Day Federal Funds   Aug. 2021   18,386,200   15,569
200   30 Day Federal Funds   Oct. 2021   79,936,000   71,692
10   30 Day Federal Funds   Jan. 2022   3,996,800   3,185
1   30 Day Federal Funds   Apr. 2022   399,700   458
70

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Futures contracts outstanding at January 31, 2021 (continued):
Number
of
Contracts
  Type   Expiration
Date
  Current
Notional
Amount
  Value /
Unrealized
Appreciation
(Depreciation)
Short Positions (cont’d):
152   3 Month CME SOFR   Jun. 2022    $37,977,200    $36,459
510   3 Month CME SOFR   Sep. 2022   127,410,750   51,067
6,335   2 Year U.S. Treasury Notes   Mar. 2021   1,399,886,520   (1,362,502)
3,702   5 Year Euro-Bobl   Mar. 2021   607,619,024   (612,171)
277   10 Year U.K. Gilt   Mar. 2021   50,883,795   14,167
1,770   10 Year U.S. Treasury Notes   Mar. 2021   242,545,312   (1,053,276)
473   Euro Currency   Mar. 2021   71,795,488   991,830
3,991   Euro Schatz Index   Mar. 2021   543,996,991   (30,106)
                (1,809,936)
                $(41,618,295)
Forward foreign currency exchange contracts outstanding at January 31, 2021:
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts:
Australian Dollar,
Expiring 05/28/21   HSBC Bank USA, N.A.   AUD 17,251    $11,415,713    $13,192,089    $1,776,376    $
Expiring 05/28/21   JPMorgan Chase Bank, N.A.   AUD 10,828   7,450,379   8,280,504   830,125  
Expiring 07/30/21   HSBC Bank USA, N.A.   AUD 3,517   2,328,606   2,690,376   361,770  
Expiring 01/28/22   Citibank, N.A.   AUD 6,290   4,130,832   4,815,809   684,977  
Expiring 01/28/22   Morgan Stanley & Co. International PLC   AUD 25,868   19,530,568   19,805,269   274,701  
Expiring 10/31/23   JPMorgan Chase Bank, N.A.   AUD 4,867   3,379,499   3,725,663   346,164  
Brazilian Real,
Expiring 02/02/21   Citibank, N.A.   BRL 24,314   4,605,000   4,443,514     (161,486)
Expiring 02/02/21   The Toronto-Dominion Bank   BRL 89,109   16,687,082   16,284,883     (402,199)
Expiring 02/26/21   Deutsche Bank AG   BRL 43,592   7,633,000   7,961,373   328,373  
Expiring 03/31/21   Citibank, N.A.   BRL 41,302   9,998,790   7,535,520     (2,463,270)
Expiring 03/31/21   Deutsche Bank AG   BRL 61,095   13,860,000   11,146,716     (2,713,284)
71

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Brazilian Real (cont’d.),
Expiring 03/31/21   Morgan Stanley & Co. International PLC   BRL 44,233    $10,571,887    $8,070,237    $   $(2,501,650)
Expiring 03/31/21   Morgan Stanley & Co. International PLC   BRL 3   500   483     (17)
Expiring 04/29/21   JPMorgan Chase Bank, N.A.   BRL 41,903   7,622,867   7,638,569   15,702  
Expiring 05/28/21   Deutsche Bank AG   BRL 84,591   15,941,000   15,395,485     (545,515)
Expiring 09/30/21   Bank of America, N.A.   BRL 139,851   31,675,000   25,231,765     (6,443,235)
Expiring 09/30/21   Bank of America, N.A.   BRL 28,623   6,715,000   5,164,057     (1,550,943)
Expiring 09/30/21   Deutsche Bank AG   BRL 40,768   8,960,000   7,355,294     (1,604,706)
Expiring 09/30/21   Morgan Stanley & Co. International PLC   BRL 12,764   2,400,006   2,302,937     (97,069)
Expiring 01/28/22   Citibank, N.A.   BRL 1,600   302,000   285,105     (16,895)
Expiring 01/28/22   Deutsche Bank AG   BRL 89,787   15,343,000   16,002,296   659,296  
Expiring 01/28/22   JPMorgan Chase Bank, N.A.   BRL 55,832   9,989,575   9,950,590     (38,985)
Expiring 01/28/22   Morgan Stanley & Co. International PLC   BRL 60,555   11,124,328   10,792,442     (331,886)
British Pound,
Expiring 03/31/21   Citibank, N.A.   GBP 1,949   2,634,000   2,671,967   37,967  
Expiring 03/31/21   Goldman Sachs International   GBP 1,625   2,201,818   2,226,852   25,034  
Expiring 03/31/21   Morgan Stanley & Co. International PLC   GBP 2,159   2,872,000   2,959,171   87,171  
Expiring 03/31/21   Morgan Stanley & Co. International PLC   GBP 1,642   2,216,000   2,250,738   34,738  
Expiring 04/19/21   Morgan Stanley & Co. International PLC   GBP 2,265   3,101,136   3,104,760   3,624  
Expiring 04/29/21   Citibank, N.A.   GBP 1,569   1,955,460   2,150,801   195,341  
72

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
British Pound (cont’d.),
Expiring 04/29/21   Morgan Stanley & Co. International PLC   GBP 2,943    $3,911,865    $4,034,294    $122,429    $
Expiring 05/28/21   Morgan Stanley & Co. International PLC   GBP 7,718   10,260,000   10,581,386   321,386  
Canadian Dollar,
Expiring 04/20/21   Citibank, N.A.   CAD 65,312   51,380,798   51,083,066     (297,732)
Expiring 04/20/21   JPMorgan Chase Bank, N.A.   CAD 5,165   4,095,000   4,040,105     (54,895)
Chilean Peso,
Expiring 03/17/21   Citibank, N.A.   CLP 5,246,898   7,163,000   7,144,510     (18,490)
Expiring 03/17/21   Citibank, N.A.   CLP 370,400   505,700   504,360     (1,340)
Expiring 03/17/21   HSBC Bank USA, N.A.   CLP 4,994,691   6,992,624   6,801,090     (191,534)
Expiring 03/17/21   HSBC Bank USA, N.A.   CLP 3,455,064   4,721,000   4,704,635     (16,365)
Expiring 10/29/21   Deutsche Bank AG   CLP 4,289,139   5,419,000   5,846,619   427,619  
China Yuan,
Expiring 02/08/21   Citibank, N.A.   CNY 353,761   52,238,801   54,830,115   2,591,314  
Chinese Renminbi,
Expiring 02/08/21   Barclays Bank PLC   CNH 30,984   4,759,395   4,802,220   42,825  
Expiring 02/08/21   Citibank, N.A.   CNH 91,345   13,545,145   14,157,809   612,664  
Expiring 02/08/21   Citibank, N.A.   CNH 32,121   4,909,000   4,978,557   69,557  
Expiring 02/08/21   Citibank, N.A.   CNH 20,184   3,115,000   3,128,384   13,384  
Expiring 02/08/21   Goldman Sachs International   CNH 66,834   10,008,490   10,358,655   350,165  
Expiring 02/08/21   HSBC Bank USA, N.A.   CNH 740,318   109,917,726   114,743,274   4,825,548  
Expiring 02/08/21   HSBC Bank USA, N.A.   CNH 10,781   1,632,000   1,671,002   39,002  
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 57,498   8,632,000   8,911,686   279,686  
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 53,450   8,149,000   8,284,346   135,346  
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 12,876   1,953,000   1,995,650   42,650  
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 8,322   1,271,000   1,289,868   18,868  
73

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Chinese Renminbi (cont’d.),
Expiring 02/08/21   Standard Chartered   CNH 33,713    $5,185,000    $5,225,310    $40,310    $
Expiring 02/08/21   UBS AG   CNH 46,365   7,165,000   7,186,213   21,213  
Expiring 05/14/21   Citibank, N.A.   CNH 61,753   8,849,734   9,508,039   658,305  
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   CNH 8,703   1,230,000   1,336,177   106,177  
Expiring 06/30/21   Morgan Stanley & Co. International PLC   CNH 4,603   698,505   706,610   8,105  
Expiring 07/30/21   Deutsche Bank AG   CNH 21,908   3,221,000   3,357,115   136,115  
Expiring 07/30/21   Morgan Stanley & Co. International PLC   CNH 24,657   3,734,813   3,778,406   43,593  
Colombian Peso,
Expiring 03/17/21   BNP Paribas S.A.   COP 11,059,819   3,209,000   3,093,543     (115,457)
Expiring 03/17/21   Goldman Sachs International   COP 8,876,928   2,552,000   2,482,966     (69,034)
Expiring 03/17/21   Goldman Sachs International   COP 6,327,960   1,811,000   1,769,994     (41,006)
Expiring 03/17/21   Goldman Sachs International   COP 6,207,009   1,782,000   1,736,163     (45,837)
Czech Koruna,
Expiring 04/19/21   Barclays Bank PLC   CZK 27,244   1,264,205   1,270,665   6,460  
Expiring 04/19/21   JPMorgan Chase Bank, N.A.   CZK 50,596   2,348,855   2,359,806   10,951  
Danish Krone,
Expiring 04/19/21   Citibank, N.A.   DKK 21,472   3,511,180   3,508,946     (2,234)
Euro,
Expiring 04/19/21   Barclays Bank PLC   EUR 6,395   7,734,428   7,774,684   40,256  
Expiring 04/19/21   Citibank, N.A.   EUR 6,806   8,295,776   8,274,397     (21,379)
Expiring 08/31/21   HSBC Bank USA, N.A.   EUR 5,057   6,193,712   6,165,978     (27,734)
Indian Rupee,
Expiring 02/26/21   Citibank, N.A.   INR 208,727   2,646,000   2,853,416   207,416  
Expiring 02/26/21   HSBC Bank USA, N.A.   INR 466,958   5,970,567   6,383,591   413,024  
Expiring 02/26/21   HSBC Bank USA, N.A.   INR 240,985   3,157,143   3,294,403   137,260  
74

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Indian Rupee (cont’d.),
Expiring 02/26/21   Morgan Stanley & Co. International PLC   INR 364,682    $4,915,513    $4,985,416    $69,903    $
Expiring 03/17/21   Citibank, N.A.   INR 933,781   12,500,252   12,713,010   212,758  
Expiring 03/17/21   Credit Suisse International   INR 452,457   6,068,975   6,160,001   91,026  
Expiring 03/17/21   Goldman Sachs International   INR 137,785   1,845,000   1,875,875   30,875  
Expiring 03/17/21   HSBC Bank USA, N.A.   INR 603,276   8,094,029   8,213,334   119,305  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   INR 553,808   7,434,288   7,539,840   105,552  
Expiring 03/17/21   Morgan Stanley & Co. International PLC   INR 532,090   7,149,629   7,244,160   94,531  
Expiring 03/17/21   Morgan Stanley & Co. International PLC   INR 271,474   3,637,238   3,696,000   58,762  
Expiring 04/29/21   HSBC Bank USA, N.A.   INR 516,289   6,714,205   6,987,924   273,719  
Expiring 09/30/21   Goldman Sachs International   INR 512,311   6,725,000   6,807,227   82,227  
Expiring 09/30/21   HSBC Bank USA, N.A.   INR 384,058   4,791,744   5,103,100   311,356  
Indonesian Rupiah,
Expiring 03/17/21   HSBC Bank USA, N.A.   IDR 139,628,752   9,760,835   9,896,091   135,256  
Israeli Shekel,
Expiring 03/17/21   Barclays Bank PLC   ILS 67,854   20,770,957   20,682,625     (88,332)
Expiring 03/17/21   Barclays Bank PLC   ILS 46,186   14,085,825   14,078,089     (7,736)
Expiring 06/30/21   Bank of America, N.A.   ILS 47,344   13,695,000   14,466,446   771,446  
Japanese Yen,
Expiring 03/31/21   Barclays Bank PLC   JPY 325,644   3,152,000   3,110,923     (41,077)
Expiring 03/31/21   Morgan Stanley & Co. International PLC   JPY 290,643   2,789,000   2,776,554     (12,446)
Expiring 04/19/21   Citibank, N.A.   JPY 866,067   8,310,000   8,275,489     (34,511)
75

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Japanese Yen (cont’d.),
Expiring 04/19/21   Deutsche Bank AG   JPY 1,324,229    $12,795,000    $12,653,339    $   $(141,661)
Expiring 04/19/21   Morgan Stanley & Co. International PLC   JPY 19,436,967   186,949,636   185,725,041     (1,224,595)
Expiring 05/28/21   Citibank, N.A.   JPY 2,043,508   19,781,304   19,534,988     (246,316)
Expiring 05/28/21   Citibank, N.A.   JPY 1,579,165   14,774,292   15,096,087   321,795  
Expiring 05/28/21   Citibank, N.A.   JPY 1,309,387   12,481,643   12,517,132   35,489  
Expiring 05/28/21   Deutsche Bank AG   JPY 837,813   7,692,000   8,009,102   317,102  
Expiring 01/28/22   Citibank, N.A.   JPY 1,712,418   16,719,569   16,427,380     (292,189)
Expiring 01/28/22   Deutsche Bank AG   JPY 802,022   7,693,000   7,693,870   870  
Expiring 01/28/22   Deutsche Bank AG   JPY 408,984   3,775,000   3,923,415   148,415  
Expiring 05/31/22   Deutsche Bank AG   JPY 3,195,124   29,579,000   30,713,164   1,134,164  
Expiring 10/31/23   Bank of America, N.A.   JPY 1,051,903   10,538,000   10,218,239     (319,761)
Expiring 10/31/23   Barclays Bank PLC   JPY 525,393   5,512,000   5,103,691     (408,309)
Expiring 10/31/23   Barclays Bank PLC   JPY 406,236   4,196,000   3,946,194     (249,806)
Expiring 10/31/23   Deutsche Bank AG   JPY 511,039   5,354,000   4,964,261     (389,739)
Expiring 10/31/23   Goldman Sachs International   JPY 1,254,996   12,881,000   12,191,091     (689,909)
Expiring 10/31/23   Morgan Stanley & Co. International PLC   JPY 1,637,975   15,824,364   15,911,366   87,002  
Malaysian Ringgit,
Expiring 03/17/21   Morgan Stanley & Co. International PLC   MYR 30,511   7,505,899   7,515,047   9,148  
Mexican Peso,
Expiring 02/26/21   Citibank, N.A.   MXN 921,100   36,540,000   44,806,299   8,266,299  
Expiring 02/26/21   Deutsche Bank AG   MXN 254,611   11,920,000   12,385,389   465,389  
Expiring 03/17/21   Morgan Stanley & Co. International PLC   MXN 582,385   28,623,723   28,264,390     (359,333)
76

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Mexican Peso (cont’d.),
Expiring 04/29/21   Bank of America, N.A.   MXN 104,569    $4,592,939    $5,052,488    $459,549    $
Expiring 04/29/21   Goldman Sachs International   MXN 139,828   5,832,000   6,756,120   924,120  
Expiring 04/29/21   HSBC Bank USA, N.A.   MXN 59,268   2,325,684   2,863,660   537,976  
Expiring 04/29/21   JPMorgan Chase Bank, N.A.   MXN 100,978   4,601,957   4,879,011   277,054  
Expiring 04/29/21   Morgan Stanley & Co. International PLC   MXN 482,401   22,718,000   23,308,329   590,329  
Expiring 02/25/22   Bank of America, N.A.   MXN 206,269   8,742,706   9,641,913   899,207  
Expiring 02/25/22   Citibank, N.A.   MXN 127,232   6,119,126   5,947,353     (171,773)
Expiring 04/28/23   JPMorgan Chase Bank, N.A.   MXN 110,648   4,577,425   4,919,100   341,675  
Expiring 04/28/23   Morgan Stanley & Co. International PLC   MXN 352,530   14,859,000   15,672,513   813,513  
New Taiwanese Dollar,
Expiring 06/30/21   Citibank, N.A.   TWD 495,429   18,238,435   18,023,603     (214,832)
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   TWD 552,287   19,304,000   20,092,108   788,108  
Peruvian Nuevo Sol,
Expiring 03/17/21   Barclays Bank PLC   PEN 6,018   1,679,000   1,654,467     (24,533)
Philippine Peso,
Expiring 03/17/21   Citibank, N.A.   PHP 140,797   2,920,794   2,923,744   2,950  
Polish Zloty,
Expiring 04/19/21   UBS AG   PLN 8,519   2,293,361   2,289,249     (4,112)
Romanian Leu,
Expiring 04/19/21   JPMorgan Chase Bank, N.A.   RON 11,029   2,742,259   2,738,635     (3,624)
Russian Ruble,
Expiring 02/26/21   Deutsche Bank AG   RUB 496,590   6,278,000   6,549,006   271,006  
Expiring 02/26/21   Goldman Sachs International   RUB 690,766   9,971,000   9,109,794     (861,206)
Expiring 03/17/21   Barclays Bank PLC   RUB 190,945   2,511,000   2,512,663   1,663  
Expiring 03/17/21   Goldman Sachs International   RUB 1,118,267   14,713,550   14,715,336   1,786  
77

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Russian Ruble (cont’d.),
Expiring 03/17/21   Morgan Stanley & Co. International PLC   RUB 1,118,267    $14,898,104    $14,715,336    $   $(182,768)
Expiring 04/28/21   Barclays Bank PLC   RUB 705,532   9,363,399   9,237,619     (125,780)
Expiring 04/28/21   Goldman Sachs International   RUB 895,132   12,362,000   11,720,080     (641,920)
Expiring 04/29/21   Goldman Sachs International   RUB 135,453   1,909,000   1,773,294     (135,706)
Expiring 04/29/21   JPMorgan Chase Bank, N.A.   RUB 174,900   2,054,500   2,289,711   235,211  
Expiring 06/30/21   Goldman Sachs International   RUB 3,023,939   37,932,000   39,304,161   1,372,161  
Singapore Dollar,
Expiring 03/17/21   Credit Suisse International   SGD 2,474   1,852,000   1,861,974   9,974  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   SGD 7,999   5,990,824   6,021,148   30,324  
South African Rand,
Expiring 02/26/21   Bank of America, N.A.   ZAR 10,331   628,000   680,437   52,437  
Expiring 02/26/21   Barclays Bank PLC   ZAR 204,451   11,666,208   13,466,441   1,800,233  
Expiring 02/26/21   Deutsche Bank AG   ZAR 50,651   3,245,000   3,336,202   91,202  
Expiring 02/26/21   Goldman Sachs International   ZAR 504,558   27,744,000   33,233,313   5,489,313  
Expiring 02/26/21   Morgan Stanley & Co. International PLC   ZAR 16,620   1,123,005   1,094,728     (28,277)
Expiring 03/17/21   Barclays Bank PLC   ZAR 84,806   5,574,000   5,568,519     (5,481)
Expiring 03/17/21   Citibank, N.A.   ZAR 63,534   4,176,000   4,171,758     (4,242)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   ZAR 71,090   4,786,884   4,667,880     (119,004)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   ZAR 14,544   978,915   955,000     (23,915)
Expiring 03/17/21   Morgan Stanley & Co. International PLC   ZAR 55,527   3,652,100   3,645,967     (6,133)
Expiring 04/29/21   Goldman Sachs International   ZAR 30,290   1,589,000   1,977,842   388,842  
78

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
South African Rand (cont’d.),
Expiring 04/29/21   Morgan Stanley & Co. International PLC   ZAR 19,703    $1,322,115    $1,286,562    $   $(35,553)
Expiring 05/28/21   Morgan Stanley & Co. International PLC   ZAR 31,317   2,094,752   2,037,472     (57,280)
Expiring 12/23/21   Goldman Sachs International   ZAR 199,522   10,565,000   12,664,622   2,099,622  
South Korean Won,
Expiring 03/17/21   Barclays Bank PLC   KRW 62,392,636   57,146,580   55,790,942     (1,355,638)
Expiring 03/17/21   HSBC Bank USA, N.A.   KRW 4,030,378   3,712,000   3,603,928     (108,072)
Expiring 04/29/21   Citibank, N.A.   KRW 9,737,440   7,963,362   8,709,696   746,334  
Expiring 04/29/21   Goldman Sachs International   KRW 735,965   610,000   658,287   48,287  
Expiring 04/29/21   JPMorgan Chase Bank, N.A.   KRW 11,898,981   10,104,691   10,643,096   538,405  
Expiring 04/29/21   Morgan Stanley & Co. International PLC   KRW 7,160,671   5,914,000   6,404,894   490,894  
Expiring 06/30/21   Citibank, N.A.   KRW 12,388,857   11,332,653   11,082,618     (250,035)
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   KRW 17,122,762   14,927,000   15,317,396   390,396  
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   KRW 7,246,758   6,157,130   6,482,684   325,554  
Expiring 07/30/21   HSBC Bank USA, N.A.   KRW 15,153,153   12,858,000   13,556,239   698,239  
Swedish Krona,
Expiring 04/19/21   Barclays Bank PLC   SEK 39,770   4,770,728   4,763,458     (7,270)
Thai Baht,
Expiring 03/17/21   Citibank, N.A.   THB 421,938   14,039,342   14,095,542   56,200  
Expiring 03/17/21   Citibank, N.A.   THB 76,454   2,546,000   2,554,065   8,065  
Expiring 03/17/21   Citibank, N.A.   THB 52,724   1,756,000   1,761,328   5,328  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   THB 304,289   10,060,819   10,165,288   104,469  
Turkish Lira,
Expiring 02/26/21   Barclays Bank PLC   TRY 26,637   3,375,579   3,601,818   226,239  
Expiring 02/26/21   Barclays Bank PLC   TRY 14,639   2,008,630   1,979,528     (29,102)
79

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Purchase
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Turkish Lira (cont’d.),
Expiring 02/26/21   Barclays Bank PLC   TRY 10,388    $1,610,958    $1,404,659    $   $(206,299)
Expiring 02/26/21   Barclays Bank PLC   TRY 10,093   1,396,000   1,364,788     (31,212)
Expiring 02/26/21   Morgan Stanley & Co. International PLC   TRY 154,606   18,616,000   20,905,832   2,289,832  
Expiring 03/17/21   Barclays Bank PLC   TRY 19,850   2,451,000   2,661,757   210,757  
Expiring 03/17/21   Barclays Bank PLC   TRY 8,734   1,082,000   1,171,195   89,195  
Expiring 03/17/21   Barclays Bank PLC   TRY 7,893   974,340   1,058,357   84,017  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   TRY 50,417   6,203,310   6,760,679   557,369  
Expiring 05/28/21   BNP Paribas S.A.   TRY 10,016   1,287,000   1,301,466   14,466  
Expiring 05/28/21   Goldman Sachs International   TRY 3,514   507,678   456,554     (51,124)
              $1,749,297,270   $1,775,220,159   54,887,677   (28,964,788)
    
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts:
Australian Dollar,
Expiring 04/20/21   Bank of America, N.A.   AUD 3,572    $2,749,055    $2,731,399    $17,656    $
Expiring 04/20/21   Barclays Bank PLC   AUD 3,772   2,917,949   2,884,155   33,794  
Expiring 05/28/21   Barclays Bank PLC   AUD 42,218   27,447,706   32,285,949     (4,838,243)
Expiring 05/28/21   Citibank, N.A.   AUD 15,791   9,926,904   12,075,609     (2,148,705)
Expiring 05/28/21   Citibank, N.A.   AUD 5,809   3,819,406   4,442,671     (623,265)
Expiring 05/31/22   Morgan Stanley & Co. International PLC   AUD 6,023   4,547,606   4,611,873     (64,267)
Brazilian Real,
Expiring 02/02/21   BNP Paribas S.A.   BRL 14,253   2,738,058   2,604,762   133,296  
Expiring 02/02/21   Citibank, N.A.   BRL 99,170   19,311,897   18,123,634   1,188,263  
Expiring 02/26/21   Citibank, N.A.   BRL 16,276   3,169,000   2,972,541   196,459  
Expiring 02/26/21   JPMorgan Chase Bank, N.A.   BRL 27,316   4,972,436   4,988,832     (16,396)
80

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Brazilian Real (cont’d.),
Expiring 03/02/21   The Toronto-Dominion Bank   BRL 89,109    $16,675,527    $16,272,385    $403,142    $
Expiring 03/31/21   Citibank, N.A.   BRL 122,798   28,955,000   22,404,433   6,550,567  
Expiring 03/31/21   Morgan Stanley & Co. International PLC   BRL 23,832   5,878,515   4,348,040   1,530,475  
Expiring 04/29/21   BNP Paribas S.A.   BRL 7,590   1,538,000   1,383,659   154,341  
Expiring 04/29/21   Deutsche Bank AG   BRL 22,701   4,218,000   4,138,264   79,736  
Expiring 04/29/21   Deutsche Bank AG   BRL 8,405   1,538,000   1,532,196   5,804  
Expiring 04/29/21   Deutsche Bank AG   BRL 3,206   561,000   584,450     (23,450)
Expiring 05/28/21   BNP Paribas S.A.   BRL 26,535   5,366,000   4,829,327   536,673  
Expiring 05/28/21   JPMorgan Chase Bank, N.A.   BRL 58,056   10,531,709   10,566,158     (34,449)
Expiring 09/30/21   Bank of America, N.A.   BRL 100,848   23,296,000   18,194,896   5,101,104  
Expiring 09/30/21   Deutsche Bank AG   BRL 121,158   26,978,000   21,859,158   5,118,842  
Expiring 01/28/22   Citibank, N.A.   BRL 83,680   14,917,000   14,913,897   3,103  
Expiring 01/28/22   Citibank, N.A.   BRL 10,638   2,023,155   1,895,945   127,210  
Expiring 01/28/22   Deutsche Bank AG   BRL 113,456   24,675,000   20,220,590   4,454,410  
British Pound,
Expiring 03/31/21   Bank of America, N.A.   GBP 1,754   2,338,000   2,403,978     (65,978)
Expiring 03/31/21   Morgan Stanley & Co. International PLC   GBP 1,571   2,159,000   2,152,786   6,214  
Expiring 04/19/21   Citibank, N.A.   GBP 125,371   171,221,148   171,852,534     (631,386)
Expiring 04/19/21   Citibank, N.A.   GBP 2,574   3,515,476   3,528,685     (13,209)
Expiring 04/19/21   Deutsche Bank AG   GBP 20,901   28,593,862   28,650,669     (56,807)
Expiring 04/20/21   Morgan Stanley & Co. International PLC   GBP 6,383   8,716,601   8,749,452     (32,851)
Expiring 04/29/21   Bank of America, N.A.   GBP 4,512   5,687,196   6,185,095     (497,899)
Expiring 05/28/21   Bank of America, N.A.   GBP 3,167   3,992,257   4,341,961     (349,704)
Expiring 05/28/21   JPMorgan Chase Bank, N.A.   GBP 4,551   5,943,105   6,239,426     (296,321)
Expiring 01/28/22   JPMorgan Chase Bank, N.A.   GBP 3,429   4,482,937   4,708,914     (225,977)
Canadian Dollar,
Expiring 04/20/21   Barclays Bank PLC   CAD 8,275   6,548,760   6,472,062   76,698  
81

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Chilean Peso,
Expiring 03/17/21   BNP Paribas S.A.   CLP 3,903,908    $5,242,256    $5,315,810    $   $(73,554)
Expiring 03/17/21   HSBC Bank USA, N.A.   CLP 7,807,817   10,446,917   10,631,621     (184,704)
Expiring 03/17/21   Morgan Stanley & Co. International PLC   CLP 3,903,908   5,241,201   5,315,811     (74,610)
Expiring 10/29/21   Bank of America, N.A.   CLP 4,482,493   5,687,000   6,110,186     (423,186)
Chinese Renminbi,
Expiring 02/08/21   Citibank, N.A.   CNH 23,219   3,491,000   3,598,701     (107,701)
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 96,296   14,460,536   14,925,038     (464,502)
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 20,478   3,124,000   3,173,896     (49,896)
Expiring 02/08/21   JPMorgan Chase Bank, N.A.   CNH 17,822   2,714,000   2,762,328     (48,328)
Expiring 02/08/21   Morgan Stanley & Co. International PLC   CNH 18,046   2,684,000   2,796,964     (112,964)
Expiring 02/08/21   Morgan Stanley & Co. International PLC   CNH 14,876   2,228,000   2,305,680     (77,680)
Expiring 02/08/21   Morgan Stanley & Co. International PLC   CNH 14,842   2,242,000   2,300,396     (58,396)
Expiring 05/14/21   JPMorgan Chase Bank, N.A.   CNH 61,753   8,864,088   9,508,039     (643,951)
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   CNH 13,306   1,845,000   2,042,787     (197,787)
Expiring 07/30/21   JPMorgan Chase Bank, N.A.   CNH 46,564   6,568,000   7,135,520     (567,520)
Colombian Peso,
Expiring 03/17/21   BNP Paribas S.A.   COP 58,025,179   16,225,600   16,230,228     (4,628)
Euro,
Expiring 04/19/21   Barclays Bank PLC   EUR 67,438   82,188,002   81,987,314   200,688  
Expiring 04/19/21   Barclays Bank PLC   EUR 2,543   3,094,446   3,091,476   2,970  
Expiring 04/19/21   BNP Paribas S.A.   EUR 74,537   90,534,887   90,617,556     (82,669)
Expiring 04/19/21   Goldman Sachs International   EUR 69,928   85,170,340   85,014,338   156,002  
Expiring 08/31/21   Deutsche Bank AG   EUR 4,684   5,713,379   5,711,546   1,833  
82

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Euro (cont’d.),
Expiring 08/31/21   The Toronto-Dominion Bank   EUR 29,037    $35,335,590    $35,404,336    $   $(68,746)
Hong Kong Dollar,
Expiring 02/08/21   HSBC Bank USA, N.A.   HKD 29,720   3,834,399   3,833,172   1,227  
Hungarian Forint,
Expiring 04/19/21   Citibank, N.A.   HUF 474,455   1,598,649   1,611,682     (13,033)
Indian Rupee,
Expiring 02/26/21   Bank of America, N.A.   INR 257,903   3,425,000   3,525,679     (100,679)
Expiring 02/26/21   Citibank, N.A.   INR 331,407   4,203,000   4,530,523     (327,523)
Expiring 02/26/21   Goldman Sachs International   INR 96,088   1,250,000   1,313,573     (63,573)
Expiring 02/26/21   Morgan Stanley & Co. International PLC   INR 595,955   7,666,000   8,147,054     (481,054)
Expiring 03/17/21   Barclays Bank PLC   INR 354,423   4,802,476   4,825,305     (22,829)
Expiring 03/17/21   Citibank, N.A.   INR 828,348   11,205,777   11,277,581     (71,804)
Expiring 03/17/21   Citibank, N.A.   INR 146,384   1,966,000   1,992,958     (26,958)
Expiring 03/17/21   HSBC Bank USA, N.A.   INR 1,183,137   15,918,000   16,107,877     (189,877)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   INR 790,234   10,615,000   10,758,674     (143,674)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   INR 239,147   3,218,000   3,255,882     (37,882)
Expiring 04/29/21   Morgan Stanley & Co. International PLC   INR 301,577   3,855,000   4,081,814     (226,814)
Expiring 04/29/21   Morgan Stanley & Co. International PLC   INR 153,366   2,028,000   2,075,802     (47,802)
Expiring 09/30/21   Bank of America, N.A.   INR 896,369   11,578,000   11,910,327     (332,327)
Indonesian Rupiah,
Expiring 03/17/21   Citibank, N.A.   IDR 80,465,942   5,661,831   5,702,968     (41,137)
Expiring 03/17/21   HSBC Bank USA, N.A.   IDR 91,741,144   6,424,000   6,502,090     (78,090)
Expiring 03/17/21   HSBC Bank USA, N.A.   IDR 61,604,752   4,328,000   4,366,194     (38,194)
Israeli Shekel,
Expiring 03/17/21   Barclays Bank PLC   ILS 41,987   13,084,977   12,798,319   286,658  
83

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Israeli Shekel (cont’d.),
Expiring 03/17/21   Barclays Bank PLC   ILS 40,312    $12,383,000    $12,287,536    $95,464    $
Expiring 03/17/21   Barclays Bank PLC   ILS 26,956   8,302,000   8,216,564   85,436  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   ILS 4,091   1,256,609   1,247,013   9,596  
Expiring 06/30/21   Barclays Bank PLC   ILS 13,689   4,067,352   4,182,761     (115,409)
Expiring 06/30/21   Citibank, N.A.   ILS 33,655   9,997,000   10,283,684     (286,684)
Japanese Yen,
Expiring 03/31/21   BNP Paribas S.A.   JPY 370,940   3,596,000   3,543,645   52,355  
Expiring 03/31/21   BNP Paribas S.A.   JPY 295,451   2,872,000   2,822,490   49,510  
Expiring 03/31/21   Goldman Sachs International   JPY 284,175   2,745,500   2,714,764   30,736  
Expiring 03/31/21   Goldman Sachs International   JPY 264,176   2,553,000   2,523,714   29,286  
Expiring 05/28/21   Deutsche Bank AG   JPY 2,147,199   20,504,000   20,526,234     (22,234)
Expiring 05/28/21   Morgan Stanley & Co. International PLC   JPY 1,620,971   15,011,043   15,495,736     (484,693)
Expiring 07/30/21   Morgan Stanley & Co. International PLC   JPY 295,377   2,742,808   2,825,715     (82,907)
Expiring 01/28/22   Citibank, N.A.   JPY 2,791,463   26,724,068   26,778,748     (54,680)
Expiring 01/28/22   Citibank, N.A.   JPY 2,138,817   20,118,684   20,517,864     (399,180)
Expiring 01/28/22   Citibank, N.A.   JPY 2,099,346   20,296,676   20,139,213   157,463  
Expiring 05/31/22   Citibank, N.A.   JPY 1,428,721   13,839,506   13,733,602   105,904  
Expiring 10/31/23   Bank of America, N.A.   JPY 3,313,990   32,471,000   32,192,263   278,737  
Expiring 10/31/23   Bank of America, N.A.   JPY 1,679,332   16,646,000   16,313,110   332,890  
Expiring 10/31/23   Citibank, N.A.   JPY 628,883   6,526,054   6,109,002   417,052  
Expiring 10/31/23   Citibank, N.A.   JPY 115,153   1,102,894   1,118,603     (15,709)
Mexican Peso,
Expiring 02/26/21   Bank of America, N.A.   MXN 160,414   7,094,413   7,803,225     (708,812)
Expiring 02/26/21   Deutsche Bank AG   MXN 495,889   19,504,000   24,122,193     (4,618,193)
Expiring 02/26/21   HSBC Bank USA, N.A.   MXN 519,408   20,582,043   25,266,270     (4,684,227)
Expiring 03/17/21   Citibank, N.A.   MXN 96,608   4,790,856   4,688,587   102,269  
Expiring 03/17/21   Citibank, N.A.   MXN 12,518   614,600   607,533   7,067  
Expiring 03/17/21   Goldman Sachs International   MXN 44,210   2,192,178   2,145,625   46,553  
Expiring 03/17/21   HSBC Bank USA, N.A.   MXN 149,660   7,375,696   7,263,327   112,369  
84

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Mexican Peso (cont’d.),
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   MXN 96,002    $4,701,000    $4,659,163    $41,837    $
Expiring 03/17/21   Morgan Stanley & Co. International PLC   MXN 61,907   3,074,000   3,004,491   69,509  
Expiring 04/29/21   Citibank, N.A.   MXN 173,868   8,546,000   8,400,859   145,141  
Expiring 04/29/21   Citibank, N.A.   MXN 91,630   4,427,931   4,427,321   610  
Expiring 04/29/21   Deutsche Bank AG   MXN 244,397   9,530,000   11,808,608     (2,278,608)
Expiring 04/29/21   Morgan Stanley & Co. International PLC   MXN 238,725   11,024,000   11,534,545     (510,545)
Expiring 04/29/21   Morgan Stanley & Co. International PLC   MXN 138,424   6,479,000   6,688,273     (209,273)
Expiring 02/25/22   Barclays Bank PLC   MXN 210,698   8,909,000   9,848,923     (939,923)
Expiring 02/25/22   Deutsche Bank AG   MXN 68,653   3,198,000   3,209,139     (11,139)
Expiring 02/25/22   Goldman Sachs International   MXN 54,150   2,184,000   2,531,203     (347,203)
Expiring 04/28/23   Morgan Stanley & Co. International PLC   MXN 463,178   20,111,923   20,591,614     (479,691)
New Taiwanese Dollar,
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   TWD 1,047,716   38,196,000   38,115,711   80,289  
New Zealand Dollar,
Expiring 04/20/21   JPMorgan Chase Bank, N.A.   NZD 20,441   14,670,827   14,688,858     (18,031)
Peruvian Nuevo Sol,
Expiring 03/17/21   BNP Paribas S.A.   PEN 34,749   9,690,221   9,552,628   137,593  
Philippine Peso,
Expiring 03/17/21   HSBC Bank USA, N.A.   PHP 140,809   2,913,000   2,923,987     (10,987)
Russian Ruble,
Expiring 02/26/21   JPMorgan Chase Bank, N.A.   RUB 1,187,356   14,016,713   15,658,800     (1,642,087)
Expiring 03/17/21   Barclays Bank PLC   RUB 451,531   6,121,000   5,941,721   179,279  
Expiring 03/17/21   Citibank, N.A.   RUB 709,073   9,374,000   9,330,731   43,269  
Expiring 03/17/21   Morgan Stanley & Co. International PLC   RUB 670,602   9,029,000   8,824,490   204,510  
85

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Russian Ruble (cont’d.),
Expiring 03/17/21   Morgan Stanley & Co. International PLC   RUB 65,465    $879,200    $861,461    $17,739    $
Expiring 04/28/21   Goldman Sachs International   RUB 1,600,665   20,861,000   20,957,699     (96,699)
Expiring 04/29/21   Deutsche Bank AG   RUB 310,353   4,577,000   4,063,005   513,995  
Expiring 06/30/21   Barclays Bank PLC   RUB 1,060,056   14,238,979   13,778,263   460,716  
Expiring 06/30/21   Barclays Bank PLC   RUB 379,039   4,994,260   4,926,628   67,632  
Expiring 06/30/21   Goldman Sachs International   RUB 1,584,843   21,734,000   20,599,269   1,134,731  
Singapore Dollar,
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   SGD 2,627   1,968,000   1,977,665     (9,665)
South African Rand,
Expiring 02/26/21   Bank of America, N.A.   ZAR 280,688   14,352,298   18,487,845     (4,135,547)
Expiring 02/26/21   Barclays Bank PLC   ZAR 60,982   3,433,390   4,016,640     (583,250)
Expiring 02/26/21   Goldman Sachs International   ZAR 276,801   15,878,000   18,231,841     (2,353,841)
Expiring 02/26/21   Goldman Sachs International   ZAR 168,141   8,884,000   11,074,796     (2,190,796)
Expiring 03/17/21   Barclays Bank PLC   ZAR 26,875   1,770,000   1,764,633   5,367  
Expiring 03/17/21   Citibank, N.A.   ZAR 188,171   12,147,922   12,355,651     (207,729)
Expiring 03/17/21   Morgan Stanley & Co. International PLC   ZAR 313,619   20,446,588   20,592,751     (146,163)
Expiring 03/17/21   Morgan Stanley & Co. International PLC   ZAR 17,910   1,164,000   1,176,001     (12,001)
Expiring 04/29/21   Goldman Sachs International   ZAR 49,994   2,791,000   3,264,404     (473,404)
Expiring 05/28/21   Morgan Stanley & Co. International PLC   ZAR 31,317   1,822,000   2,037,471     (215,471)
Expiring 12/23/21   Barclays Bank PLC   ZAR 121,563   6,557,501   7,716,180     (1,158,679)
Expiring 12/23/21   Goldman Sachs International   ZAR 21,115   1,332,000   1,340,278     (8,278)
Expiring 12/23/21   Morgan Stanley & Co. International PLC   ZAR 56,844   3,716,269   3,608,163   108,106  
86

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
South Korean Won,
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   KRW 5,132,325    $4,717,861    $4,589,280    $128,581    $
Expiring 04/29/21   Citibank, N.A.   KRW 11,269,475   9,309,000   10,080,032     (771,032)
Expiring 04/29/21   JPMorgan Chase Bank, N.A.   KRW 18,263,582   15,268,000   16,335,941     (1,067,941)
Expiring 06/30/21   JPMorgan Chase Bank, N.A.   KRW 36,758,376   30,755,000   32,882,698     (2,127,698)
Expiring 07/30/21   Deutsche Bank AG   KRW 14,800,914   12,618,000   13,241,121     (623,121)
Swedish Krona,
Expiring 04/19/21   JPMorgan Chase Bank, N.A.   SEK 91,567   11,040,160   10,967,619   72,541  
Swiss Franc,
Expiring 04/19/21   JPMorgan Chase Bank, N.A.   CHF 4,880   5,513,348   5,491,838   21,510  
Thai Baht,
Expiring 03/17/21   Goldman Sachs International   THB 51,056   1,691,000   1,705,593     (14,593)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   THB 145,846   4,847,000   4,872,232     (25,232)
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   THB 133,551   4,466,600   4,461,501   5,099  
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   THB 98,451   3,277,000   3,288,914     (11,914)
Turkish Lira,
Expiring 02/26/21   Citibank, N.A.   TRY 40,469   4,975,000   5,472,243     (497,243)
Expiring 02/26/21   Citibank, N.A.   TRY 21,754   2,583,626   2,941,597     (357,971)
Expiring 02/26/21   Goldman Sachs International   TRY 28,731   4,314,000   3,885,043   428,957  
Expiring 02/26/21   JPMorgan Chase Bank, N.A.   TRY 28,291   3,398,374   3,825,576     (427,202)
Expiring 02/26/21   Morgan Stanley & Co. International PLC   TRY 97,117   13,447,000   13,132,166   314,834  
Expiring 03/17/21   Citibank, N.A.   TRY 50,676   6,186,000   6,795,317     (609,317)
Expiring 03/17/21   HSBC Bank USA, N.A.   TRY 4,444   545,700   595,865     (50,165)
87

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at January 31, 2021 (continued):
Sale
Contracts
  Counterparty   Notional
Amount
(000)
  Value at
Settlement
Date
  Current
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
OTC Forward Foreign Currency Exchange Contracts (cont’d.):
Turkish Lira (cont’d.),
Expiring 03/17/21   JPMorgan Chase Bank, N.A.   TRY 33,690    $4,115,000    $4,517,698    $   $(402,698)
Expiring 05/28/21   Goldman Sachs International   TRY 13,530   1,814,000   1,758,021   55,979  
              $1,782,245,287   $1,801,628,455   32,517,676   (51,900,844)
                      $87,405,353   $(80,865,632)
Cross currency exchange contracts outstanding at January 31, 2021:
Settlement   Type   Notional
Amount
(000)
  In Exchange
For (000)
  Unrealized
Appreciation
  Unrealized
Depreciation
  Counterparty
OTC Cross Currency Exchange Contracts:
05/28/21   Buy   AUD 3,132   JPY 201,466    $469,230    $  Bank of America, N.A.
05/28/21   Buy   AUD 6,194   JPY 451,976   416,086     Deutsche Bank AG
05/28/21   Buy   AUD 17,193   JPY 1,246,407   1,233,021     Morgan Stanley & Co. International PLC
05/28/21   Buy   AUD 117,492   JPY 7,506,564   18,090,979     Citibank, N.A.
05/28/21   Buy   JPY 641,372   AUD 9,247     (940,287)   Morgan Stanley & Co. International PLC
05/28/21   Buy   JPY 6,763,339   AUD 99,024     (11,072,735)   Deutsche Bank AG
07/30/21   Buy   AUD 12,549   JPY 866,195   1,313,101     Morgan Stanley & Co. International PLC
07/30/21   Buy   JPY 1,161,572   AUD 16,066     (1,177,762)   Morgan Stanley & Co. International PLC
08/31/21   Buy   EUR 9,591   GBP 8,630     (142,488)   Bank of America, N.A.
08/31/21   Buy   GBP 13,505   EUR 14,648   664,264     Bank of America, N.A.
01/28/22   Buy   JPY 426,399   AUD 6,290     (725,324)   Deutsche Bank AG
01/28/22   Buy   JPY 720,153   AUD 9,631     (465,283)   Deutsche Bank AG
01/28/22   Buy   JPY 1,310,456   AUD 16,731     (238,428)   BNP Paribas S.A.
05/31/22   Buy   AUD 23,459   JPY 1,788,749   768,427     Deutsche Bank AG
05/31/22   Buy   JPY 1,257,136   AUD 17,436     (1,266,692)   Goldman Sachs International
88

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Cross currency exchange contracts outstanding at January 31, 2021 (continued):
Settlement   Type   Notional
Amount
(000)
  In Exchange
For (000)
  Unrealized
Appreciation
  Unrealized
Depreciation
  Counterparty
OTC Cross Currency Exchange Contracts (cont’d.):
10/31/23   Buy   AUD 8,947   JPY 599,449    $1,025,805    $  Deutsche Bank AG
10/31/23   Buy   JPY 277,535   AUD 3,979     (349,913)   Goldman Sachs International
10/31/23   Buy   JPY 671,731   AUD 9,835     (1,003,418)   Morgan Stanley & Co. International PLC
                    $23,980,913   $(17,382,330)    
Credit default swap agreements outstanding at January 31, 2021:
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**:
Federation of Malaysia (D01)   12/20/22   1.000%(Q)     1,500   0.160%    $25,801    $(761)    $26,562   Citibank, N.A.
People’s Republic of China (D01)   12/20/22   1.000%(Q)     5,000   0.100%   91,730   (2,538)   94,268   Citibank, N.A.
Republic of Brazil (D01)   12/20/22   1.000%(Q)     7,500   0.851%   29,895   (3,807)   33,702   Citibank, N.A.
Republic of Chile (D01)   12/20/22   1.000%(Q)     1,500   0.169%   25,532   (761)   26,293   Citibank, N.A.
Republic of Colombia (D01)   12/20/22   1.000%(Q)     2,000   0.472%   22,412   (1,015)   23,427   Citibank, N.A.
Republic of Indonesia (D01)   12/20/22   1.000%(Q)     2,000   0.270%   30,148   (1,015)   31,163   Citibank, N.A.
Republic of Panama (D01)   12/20/22   1.000%(Q)     1,500   0.176%   25,348   (761)   26,109   Citibank, N.A.
Republic of Peru (D01)   12/20/22   1.000%(Q)     1,500   0.219%   24,086   (761)   24,847   Citibank, N.A.
Republic of Philippines (D01)   12/20/22   1.000%(Q)     1,500   0.151%   26,060   (761)   26,821   Citibank, N.A.
89

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Republic of South Africa (D01)   12/20/22   1.000%(Q)     4,500   1.082%    $(1,707)    $(2,284)    $577   Citibank, N.A.
Republic of Turkey (D01)   12/20/22   1.000%(Q)     7,500   2.328%   (176,756)   (3,807)   (172,949)   Citibank, N.A.
Russian Federation (D01)   12/20/22   1.000%(Q)     4,500   0.444%   52,814   (2,284)   55,098   Citibank, N.A.
United Mexican States (D01)   12/20/22   1.000%(Q)     6,500   0.354%   87,540   (3,299)   90,839   Citibank, N.A.
Emirate of Abu Dhabi (D02)   12/20/25   1.000%(Q)     2,000   0.448%   56,181   (3,478)   59,659   Bank of America, N.A.
Federation of Malaysia (D02)   12/20/25   1.000%(Q)     3,000   0.433%   86,249   (5,218)   91,467   Bank of America, N.A.
Federative Republic of Brazil (D02)   12/20/25   1.000%(Q)     12,000   1.721%   (393,681)   (20,871)   (372,810)   Bank of America, N.A.
Kingdom of Saudi Arabia (D02)   12/20/25   1.000%(Q)     2,000   0.682%   33,211   (3,478)   36,689   Bank of America, N.A.
People’s Republic of China (D02)   12/20/25   1.000%(Q)     12,000   0.324%   410,100   (20,871)   430,971   Bank of America, N.A.
Republic of Argentina (D02)   12/20/25   1.000%(Q)     5,000   12.123%   (1,982,787)   (8,696)   (1,974,091)   Bank of America, N.A.
Republic of Chile (D02)   12/20/25   1.000%(Q)     2,000   0.541%   47,017   (3,478)   50,495   Bank of America, N.A.
Republic of Colombia (D02)   12/20/25   1.000%(Q)     5,000   1.125%   (24,049)   (8,696)   (15,353)   Bank of America, N.A.
Republic of Indonesia (D02)   12/20/25   1.000%(Q)     8,000   0.765%   100,127   (13,914)   114,041   Bank of America, N.A.
Republic of Panama (D02)   12/20/25   1.000%(Q)     2,000   0.563%   44,881   (3,478)   48,359   Bank of America, N.A.
Republic of Peru (D02)   12/20/25   1.000%(Q)     2,000   0.630%   38,326   (3,478)   41,804   Bank of America, N.A.
90

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Republic of Philippines (D02)   12/20/25   1.000%(Q)     2,000   0.424%    $58,362    $(3,478)    $61,840   Bank of America, N.A.
Republic of South Africa (D02)   12/20/25   1.000%(Q)     9,000   2.248%   (512,162)   (15,653)   (496,509)   Bank of America, N.A.
Republic of Turkey (D02)   12/20/25   1.000%(Q)     12,000   3.075%   (1,109,603)   (20,871)   (1,088,732)   Bank of America, N.A.
Republic of Ukraine (D02)   12/20/25   1.000%(Q)     2,000   3.731%   (238,519)   (3,478)   (235,041)   Bank of America, N.A.
Russian Federation (D02)   12/20/25   1.000%(Q)     6,000   0.965%   17,168   (10,435)   27,603   Bank of America, N.A.
State of Qatar (D02)   12/20/25   1.000%(Q)     2,000   0.451%   55,818   (3,478)   59,296   Bank of America, N.A.
United Mexican States (D02)   12/20/25   1.000%(Q)     12,000   0.954%   40,977   (20,871)   61,848   Bank of America, N.A.
Emirate of Abu Dhabi (D03)   12/20/25   1.000%(Q)     2,000   0.448%   56,180   (2,437)   58,617   Barclays Bank PLC
Federation of Malaysia (D03)   12/20/25   1.000%(Q)     3,000   0.433%   86,249   (3,655)   89,904   Barclays Bank PLC
Federative Republic of Brazil (D03)   12/20/25   1.000%(Q)     12,000   1.721%   (393,681)   (14,620)   (379,061)   Barclays Bank PLC
Kingdom of Saudi Arabia (D03)   12/20/25   1.000%(Q)     2,000   0.682%   33,211   (2,437)   35,648   Barclays Bank PLC
People’s Republic of China (D03)   12/20/25   1.000%(Q)     12,000   0.324%   410,101   (14,620)   424,721   Barclays Bank PLC
Republic of Argentina (D03)   12/20/25   1.000%(Q)     5,000   12.123%   (1,982,788)   (6,092)   (1,976,696)   Barclays Bank PLC
Republic of Chile (D03)   12/20/25   1.000%(Q)     2,000   0.541%   47,016   (2,437)   49,453   Barclays Bank PLC
Republic of Colombia (D03)   12/20/25   1.000%(Q)     5,000   1.125%   (24,049)   (6,092)   (17,957)   Barclays Bank PLC
91

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Republic of Indonesia (D03)   12/20/25   1.000%(Q)     8,000   0.765%    $100,127    $(9,747)    $109,874   Barclays Bank PLC
Republic of Panama (D03)   12/20/25   1.000%(Q)     2,000   0.563%   44,880   (2,437)   47,317   Barclays Bank PLC
Republic of Peru (D03)   12/20/25   1.000%(Q)     2,000   0.630%   38,325   (2,437)   40,762   Barclays Bank PLC
Republic of Philippines (D03)   12/20/25   1.000%(Q)     2,000   0.424%   58,361   (2,437)   60,798   Barclays Bank PLC
Republic of South Africa (D03)   12/20/25   1.000%(Q)     9,000   2.248%   (512,162)   (10,965)   (501,197)   Barclays Bank PLC
Republic of Turkey (D03)   12/20/25   1.000%(Q)     12,000   3.075%   (1,109,603)   (14,620)   (1,094,983)   Barclays Bank PLC
Republic of Ukraine (D03)   12/20/25   1.000%(Q)     2,000   3.731%   (238,520)   (2,437)   (236,083)   Barclays Bank PLC
Russian Federation (D03)   12/20/25   1.000%(Q)     6,000   0.965%   17,168   (7,310)   24,478   Barclays Bank PLC
State of Qatar (D03)   12/20/25   1.000%(Q)     2,000   0.451%   55,818   (2,437)   58,255   Barclays Bank PLC
United Mexican States (D03)   12/20/25   1.000%(Q)     12,000   0.954%   40,978   (14,620)   55,598   Barclays Bank PLC
Emirate of Abu Dhabi (D04)   12/20/25   1.000%(Q)     1,000   0.448%   28,091   (1,218)   29,309   Morgan Stanley & Co. International PLC
Federation of Malaysia (D04)   12/20/25   1.000%(Q)     1,500   0.433%   43,125   (1,827)   44,952   Morgan Stanley & Co. International PLC
Federative Republic of Brazil (D04)   12/20/25   1.000%(Q)     6,000   1.721%   (196,840)   (7,310)   (189,530)   Morgan Stanley & Co. International PLC
92

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Kingdom of Saudi Arabia (D04)   12/20/25   1.000%(Q)     1,000   0.682%    $16,606    $(1,218)    $17,824   Morgan Stanley & Co. International PLC
People’s Republic of China (D04)   12/20/25   1.000%(Q)     6,000   0.324%   205,050   (7,310)   212,360   Morgan Stanley & Co. International PLC
Republic of Argentina (D04)   12/20/25   1.000%(Q)     2,500   12.123%   (991,394)   (3,046)   (988,348)   Morgan Stanley & Co. International PLC
Republic of Chile (D04)   12/20/25   1.000%(Q)     1,000   0.541%   23,509   (1,218)   24,727   Morgan Stanley & Co. International PLC
Republic of Colombia (D04)   12/20/25   1.000%(Q)     2,500   1.125%   (12,025)   (3,046)   (8,979)   Morgan Stanley & Co. International PLC
Republic of Indonesia (D04)   12/20/25   1.000%(Q)     4,000   0.765%   50,064   (4,873)   54,937   Morgan Stanley & Co. International PLC
Republic of Panama (D04)   12/20/25   1.000%(Q)     1,000   0.563%   22,440   (1,218)   23,658   Morgan Stanley & Co. International PLC
Republic of Peru (D04)   12/20/25   1.000%(Q)     1,000   0.630%   19,163   (1,218)   20,381   Morgan Stanley & Co. International PLC
Republic of Philippines (D04)   12/20/25   1.000%(Q)     1,000   0.424%   29,181   (1,218)   30,399   Morgan Stanley & Co. International PLC
Republic of South Africa (D04)   12/20/25   1.000%(Q)     4,500   2.248%   (256,080)   (5,482)   (250,598)   Morgan Stanley & Co. International PLC
93

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Republic of Turkey (D04)   12/20/25   1.000%(Q)     6,000   3.075%    $(554,801)    $(7,310)    $(547,491)   Morgan Stanley & Co. International PLC
Republic of Ukraine (D04)   12/20/25   1.000%(Q)     1,000   3.731%   (119,259)   (1,218)   (118,041)   Morgan Stanley & Co. International PLC
Russian Federation (D04)   12/20/25   1.000%(Q)     3,000   0.965%   8,584   (3,655)   12,239   Morgan Stanley & Co. International PLC
State of Qatar (D04)   12/20/25   1.000%(Q)     1,000   0.451%   27,909   (1,218)   29,127   Morgan Stanley & Co. International PLC
United Mexican States (D04)   12/20/25   1.000%(Q)     6,000   0.954%   20,489   (7,310)   27,799   Morgan Stanley & Co. International PLC
Emirate of Abu Dhabi (D05)   12/20/25   1.000%(Q)     2,000   0.448%   56,181   (3,037)   59,218   Morgan Stanley & Co. International PLC
Federation of Malaysia (D05)   12/20/25   1.000%(Q)     3,000   0.433%   86,249   (4,556)   90,805   Morgan Stanley & Co. International PLC
Federative Republic of Brazil (D05)   12/20/25   1.000%(Q)     12,000   1.721%   (393,680)   (18,223)   (375,457)   Morgan Stanley & Co. International PLC
Kingdom of Saudi Arabia (D05)   12/20/25   1.000%(Q)     2,000   0.682%   33,211   (3,037)   36,248   Morgan Stanley & Co. International PLC
People’s Republic of China (D05)   12/20/25   1.000%(Q)     12,000   0.324%   410,101   (18,223)   428,324   Morgan Stanley & Co. International PLC
94

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Republic of Argentina (D05)   12/20/25   1.000%(Q)     5,000   12.123%    $(1,982,788)    $(7,593)    $(1,975,195)   Morgan Stanley & Co. International PLC
Republic of Chile (D05)   12/20/25   1.000%(Q)     2,000   0.541%   47,017   (3,037)   50,054   Morgan Stanley & Co. International PLC
Republic of Colombia (D05)   12/20/25   1.000%(Q)     5,000   1.125%   (24,049)   (7,593)   (16,456)   Morgan Stanley & Co. International PLC
Republic of Indonesia (D05)   12/20/25   1.000%(Q)     8,000   0.765%   100,127   (12,149)   112,276   Morgan Stanley & Co. International PLC
Republic of Panama (D05)   12/20/25   1.000%(Q)     2,000   0.563%   44,880   (3,037)   47,917   Morgan Stanley & Co. International PLC
Republic of Peru (D05)   12/20/25   1.000%(Q)     2,000   0.630%   38,325   (3,037)   41,362   Morgan Stanley & Co. International PLC
Republic of Philippines (D05)   12/20/25   1.000%(Q)     2,000   0.424%   58,361   (3,037)   61,398   Morgan Stanley & Co. International PLC
Republic of South Africa (D05)   12/20/25   1.000%(Q)     9,000   2.248%   (512,161)   (13,667)   (498,494)   Morgan Stanley & Co. International PLC
Republic of Turkey (D05)   12/20/25   1.000%(Q)     12,000   3.075%   (1,109,602)   (18,223)   (1,091,379)   Morgan Stanley & Co. International PLC
Republic of Ukraine (D05)   12/20/25   1.000%(Q)     2,000   3.731%   (238,519)   (3,037)   (235,482)   Morgan Stanley & Co. International PLC
95

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)**(cont’d.):
Russian Federation (D05)   12/20/25   1.000%(Q)     6,000   0.965%    $17,168    $(9,112)    $26,280   Morgan Stanley & Co. International PLC
State of Qatar (D05)   12/20/25   1.000%(Q)     2,000   0.451%   55,818   (3,037)   58,855   Morgan Stanley & Co. International PLC
United Mexican States (D05)   12/20/25   1.000%(Q)     12,000   0.954%   40,978   (18,223)   59,201   Morgan Stanley & Co. International PLC
                      $(11,190,441)   $(532,382)   $(10,658,059)    
    
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreements on credit indices— Buy Protection(1)**:
CDX.EM.28.V3 (D01)   12/20/22   1.000%(Q)     47,000    $(256,879)    $(15,243)    $(241,636)   Citibank, N.A.
CDX.EM.34.V1 (D02)   12/20/25   1.000%(Q)     100,000   3,282,601   29,433   3,253,168   Bank of America, N.A.
CDX.EM.34.V1 (D03)   12/20/25   1.000%(Q)     100,000   3,282,602   16,951   3,265,651   Barclays Bank PLC
CDX.EM.34.V1 (D04)   12/20/25   1.000%(Q)     50,000   1,641,300   1,324   1,639,976   Morgan Stanley & Co. International PLC
CDX.EM.34.V1 (D05)   12/20/25   1.000%(Q)     100,000   3,282,601   36,766   3,245,835   Morgan Stanley & Co. International PLC
                    $11,232,225   $69,231   $11,162,994    
** The Fund entered into multiple credit default swap agreements in a packaged trade consisting of two parts. The Fund bought/sold protection on an Emerging Market CDX Index and bought/sold protection on the countries which comprise the index. The upfront premium is attached to the index of the trade for the Emerging Markets CDX package(s). Each swap is priced individually. If any of the component swaps are closed out early, the Index exposure will be reduced by an amount proportionate to the terminated swap(s). Individual packages in the tables above are denoted by the corresponding footnotes (D01 - D05).
    
96

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on asset-backed securities - Sell Protection(2)^:
Citigroup Mortgage Loan Trust Inc.   02/26/21   1.250%(M)     4,682   *    $488    $—    $488   Goldman Sachs International
First Franklin Home Equity   02/26/21   1.250%(M)     2,494   *   260     260   Goldman Sachs International
GS Mortgage Backed Securities   02/26/21   1.250%(M)     1,280   *   133     133   Goldman Sachs International
GSAMP Home Equity   02/26/21   1.250%(M)     1,580   *   165     165   Goldman Sachs International
GSRPM Mortgage Loan Trust   02/26/21   1.250%(M)     660   *   69     69   Goldman Sachs International
                      $1,115   $—   $1,115    
    
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Credit Default Swap Agreement on corporate and/or sovereign issues - Buy Protection(1):
Ryder System, Inc.   06/20/25   1.000%(Q)   9,540   $164,960   $(174,580)   $(339,540)
    
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):
Central Bank of Tunisia   12/20/22   1.000%(Q)     700  $59,547    $27,118    $32,429   Barclays Bank PLC
Eskom Holdings SOC Ltd.   12/20/23   1.000%(Q)   EUR 2,640 241,188   342,321   (101,133)   Deutsche Bank AG
Gazprom Pao   06/20/25   1.000%(Q)   EUR 2,000 23,710   20,579   3,131   Barclays Bank PLC
Host Hotels & Resorts LP   06/20/24   1.000%(Q)     5,000 (7,342)   60,546   (67,888)   Goldman Sachs International
Marriott International, Inc.   06/20/25   1.000%(Q)     875 (5,908)   35,645   (41,553)   Morgan Stanley & Co. International PLC
Republic of Austria   06/20/25   1.000%(Q)     1,000 (41,202)   (34,937)   (6,265)   Bank of America, N.A.
97

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (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)(cont’d.):
Safeway Inc.   03/20/23   5.000%(Q)     5,000  $(497,906)    $(460,413)    $(37,493)   BNP Paribas S.A.
Sasol Ltd.   12/20/22   1.000%(Q)     800 17,122   62,531   (45,409)   Barclays Bank PLC
                  $(210,791)   $53,390   $(264,181)    
    
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2):
Barclays Bank PLC   06/20/21   1.000%(Q)   EUR 4,500   0.169%    $24,455    $12,279    $12,176   Goldman Sachs International
Barclays PLC   12/20/26   1.000%(Q)   EUR 3,000   0.701%   68,691   37,441   31,250   Citibank, N.A.
Boeing Co.   12/20/21   1.000%(Q)     12,100   0.791%   37,178   58,057   (20,879)   Bank of America, N.A.
Commonwealth of Australia   12/20/24   1.000%(Q)     3,000   0.118%   107,192   62,773   44,419   Barclays Bank PLC
DP World PLC   12/20/24   1.000%(Q)     2,000   0.999%   2,391   7,301   (4,910)   Barclays Bank PLC
Emirate of Dubai   12/20/24   1.000%(Q)     1,000   0.931%   3,837   2,934   903   Citibank, N.A.
Eskom Holdings SOC Ltd.   12/20/23   1.000%(Q)     3,000   3.769%   (223,170)   (334,298)   111,128   Deutsche Bank AG
Federal Republic of Germany   06/20/25   0.250%(Q)     1,000   0.099%   6,946   2,166   4,780   Bank of America, N.A.
Federation of Malaysia   12/20/24   1.000%(Q)     1,000   0.331%   27,253   13,382   13,871   Citibank, N.A.
Generalitat de Cataluna   12/20/22   1.000%(Q)     2,960   1.446%   (21,240)   (217,994)   196,754   Citibank, N.A.
Hellenic Republic   06/20/22   1.000%(Q)     410   0.370%   4,093   (29,527)   33,620   Citibank, N.A.
Hellenic Republic   06/20/22   1.000%(Q)     200   0.370%   1,997   (14,811)   16,808   Goldman Sachs International
Hellenic Republic   12/20/22   1.000%(Q)     500   0.419%   6,106   (24,486)   30,592   Citibank, N.A.
Hellenic Republic   06/20/23   1.000%(Q)     300   0.520%   3,800   (16,212)   20,012   Citibank, N.A.
Hellenic Republic   06/20/24   1.000%(Q)     1,000   0.692%   11,556   (137,735)   149,291   Barclays Bank PLC
98

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)(cont’d.):
Israel Electric Corp Ltd.   12/20/24   1.000%(Q)     1,000   0.775%    $9,913    $9,986    $(73)   Barclays Bank PLC
Kingdom of Saudi Arabia   12/20/21   1.000%(Q)     1,900   0.173%   16,364   (12,153)   28,517   Barclays Bank PLC
Kingdom of Saudi Arabia   06/20/22   1.000%(Q)     3,000   0.219%   36,361   20,765   15,596   HSBC Bank USA, N.A.
Kingdom of Spain   06/20/21   1.000%(Q)     700   0.064%   3,399   (1,261)   4,660   Morgan Stanley & Co. International PLC
Kingdom of Spain   09/20/21   1.000%(Q)     1,500   0.070%   10,804   4,516   6,288   HSBC Bank USA, N.A.
Kingdom of Spain   06/20/23   1.000%(Q)     42,665   0.218%   852,980   250,801   602,179   Bank of America, N.A.
Kingdom of Spain   06/20/24   1.000%(Q)     700   0.211%   19,630   (16,176)   35,806   Morgan Stanley & Co. International PLC
Kingdom of Spain   06/20/25   1.000%(Q)     9,940   0.387%   278,575   (83,861)   362,436   Bank of America, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     7,500   0.387%   210,193   (81,405)   291,598   JPMorgan Chase Bank, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     7,500   0.387%   210,192   (78,335)   288,527   JPMorgan Chase Bank, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     3,000   0.387%   84,077   30,576   53,501   Citibank, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     1,645   0.387%   46,102   18,906   27,196   Barclays Bank PLC
Kingdom of Spain   12/20/25   1.000%(Q)     5,000   0.427%   145,108   95,747   49,361   JPMorgan Chase Bank, N.A.
Kingdom of Spain   06/20/30   1.000%(Q)     1,100   0.705%   29,953   (3,870)   33,823   Credit Suisse International
Kingdom of Spain   12/20/30   1.000%(Q)     2,000   0.721%   53,932   45,600   8,332   Barclays Bank PLC
Kingdom of Thailand   12/20/21   1.000%(Q)     2,100   0.095%   19,569   945   18,624   Barclays Bank PLC
99

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)(cont’d.):
Oriental Republic of Uruguay   06/20/21   1.000%(Q)     800   0.689%    $1,911    $(1,323)    $3,234   Citibank, N.A.
People’s Republic of China   06/20/21   1.000%(Q)     4,000   0.069%   19,336   (7,528)   26,864   Deutsche Bank AG
People’s Republic of China   12/20/21   1.000%(Q)     1,600   0.070%   15,272   (1,642)   16,914   Citibank, N.A.
People’s Republic of China   12/20/21   1.000%(Q)     1,500   0.070%   14,318   (1,327)   15,645   Barclays Bank PLC
People’s Republic of China   03/20/22   1.000%(Q)     2,000   0.082%   23,435   (8,119)   31,554   Goldman Sachs International
People’s Republic of China   03/20/22   1.000%(Q)     1,000   0.082%   11,717   (6,354)   18,071   Deutsche Bank AG
People’s Republic of China   12/20/24   1.000%(Q)     1,000   0.229%   31,313   16,429   14,884   Citibank, N.A.
Petroleos Mexicanos   09/20/21   1.000%(Q)     2,500   2.026%   (13,609)   (17,309)   3,700   Goldman Sachs International
Republic of Chile   12/20/21   1.000%(Q)     2,500   0.121%   22,707   (2,036)   24,743   Goldman Sachs International
Republic of Colombia   03/20/21   1.000%(Q)     3,000   0.236%   6,683   3,259   3,424   HSBC Bank USA, N.A.
Republic of Colombia   12/20/21   1.000%(Q)     2,000   0.322%   14,541   (12,879)   27,420   HSBC Bank USA, N.A.
Republic of Colombia   06/20/23   1.000%(Q)     5,000   0.573%   57,030   (6,050)   63,080   Goldman Sachs International
Republic of Colombia   12/20/26   1.000%(Q)     1,000   1.333%   (17,801)   (68,679)   50,878   Citibank, N.A.
Republic of Hungary   06/20/22   1.000%(Q)     3,550   0.274%   40,280   (9,299)   49,579   Citibank, N.A.
Republic of Indonesia   06/20/23   1.000%(Q)     13,885   0.351%   232,722   (47,642)   280,364   Citibank, N.A.
Republic of Indonesia   06/20/25   1.000%(Q)     6,800   0.684%   101,719   (275,168)   376,887   Morgan Stanley & Co. International PLC
100

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)(cont’d.):
Republic of Indonesia   06/20/25   1.000%(Q)     6,100   0.684%    $91,249    $(156,585)    $247,834   Morgan Stanley & Co. International PLC
Republic of Indonesia   06/20/25   1.000%(Q)     2,365   0.684%   35,377   (95,571)   130,948   JPMorgan Chase Bank, N.A.
Republic of Indonesia   06/20/25   1.000%(Q)     2,155   0.684%   32,236   (84,585)   116,821   BNP Paribas S.A.
Republic of Ireland   12/20/26   1.000%(Q)     2,000   0.202%   95,838   3,838   92,000   Goldman Sachs International
Republic of Ireland   06/20/27   1.000%(Q)     2,800   0.217%   142,082   54,395   87,687   Morgan Stanley & Co. International PLC
Republic of Italy   03/20/22   1.000%(Q)     3,000   0.345%   26,070   (40,062)   66,132   Goldman Sachs International
Republic of Italy   03/20/22   1.000%(Q)     3,000   0.345%   26,070   (40,031)   66,101   JPMorgan Chase Bank, N.A.
Republic of Italy   06/20/23   1.000%(Q)     18,300   0.574%   208,160   (571,380)   779,540   Bank of America, N.A.
Republic of Italy   06/20/23   1.000%(Q)     4,000   0.574%   45,500     45,500   Morgan Stanley & Co. International PLC
Republic of Italy   06/20/24   1.000%(Q)     6,000   0.750%   57,541   (210,939)   268,480   Bank of America, N.A.
Republic of Italy   06/20/24   1.000%(Q)     900   0.465%   17,364   (32,394)   49,758   Deutsche Bank AG
Republic of Italy   06/20/25   1.000%(Q)     7,000   0.916%   33,810   (229,833)   263,643   Credit Suisse International
Republic of Italy   06/20/26   1.000%(Q)     5,000   1.079%   (14,715)   (273,211)   258,496   BNP Paribas S.A.
Republic of Italy   06/20/26   1.000%(Q)     4,200   1.079%   (12,360)   (176,777)   164,417   Bank of America, N.A.
Republic of Italy   12/20/26   1.000%(Q)     400   1.153%   (3,006)   (27,786)   24,780   HSBC Bank USA, N.A.
Republic of Kazakhstan   06/20/23   1.000%(Q)     7,695   0.295%   139,421     139,421   Citibank, N.A.
101

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)(cont’d.):
Republic of Panama   06/20/21   1.000%(Q)     6,510   0.088%    $30,994    $21,493    $9,501   Citibank, N.A.
Republic of Panama   06/20/22   1.000%(Q)     5,000   0.158%   64,955   18,073   46,882   Citibank, N.A.
Republic of Peru   03/20/22   1.000%(Q)     3,000   0.185%   31,588   (39,106)   70,694   Barclays Bank PLC
Republic of Portugal   06/20/21   1.000%(Q)     700   0.057%   3,418   (7,348)   10,766   Morgan Stanley & Co. International PLC
Republic of Portugal   12/20/23   1.000%(Q)     4,130   0.222%   98,250   (1,145)   99,395   Morgan Stanley & Co. International PLC
Republic of Portugal   06/20/24   1.000%(Q)     400   0.208%   11,266   (25,343)   36,609   Morgan Stanley & Co. International PLC
Republic of Portugal   06/20/25   1.000%(Q)     21,000   0.340%   632,638   (132,948)   765,586   Morgan Stanley & Co. International PLC
Republic of Portugal   06/20/25   1.000%(Q)     10,000   0.340%   301,256   (75,423)   376,679   Citibank, N.A.
Republic of Serbia   06/20/21   1.000%(Q)     2,000   0.268%   8,103   4,901   3,202   BNP Paribas S.A.
Republic of Serbia   12/20/25   1.000%(Q)     1,000   1.167%   (6,836)   (1,423)   (5,413)   BNP Paribas S.A.
Republic of Slovenia   06/20/24   1.000%(Q)     900   0.492%   16,567   (44,417)   60,984   HSBC Bank USA, N.A.
Republic of South Africa   06/20/23   1.000%(Q)     5,000   1.355%   (36,310)   (67,978)   31,668   Deutsche Bank AG
Republic of South Africa   12/20/23   1.000%(Q)     3,000   1.533%   (42,172)   (98,903)   56,731   Bank of America, N.A.
Republic of Ukraine   12/20/23   5.000%(Q)     1,400   3.309%   73,403   57,780   15,623   Deutsche Bank AG
Republic of Ukraine   12/20/23   5.000%(Q)     1,000   3.309%   52,431   22,467   29,964   Deutsche Bank AG
Republic of Ukraine   12/20/24   5.000%(Q)     2,100   3.521%   124,736   129,376   (4,640)   HSBC Bank USA, N.A.
102

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreements on corporate and/or sovereign issues - Sell Protection(2)(cont’d.):
Republic of Ukraine   06/20/25   5.000%(Q)     7,205   3.638%    $437,326    $(70,604)    $507,930   Barclays Bank PLC
Republic of Ukraine   06/20/25   5.000%(Q)     1,000   3.638%   60,697   (36,441)   97,138   Barclays Bank PLC
Republic of Ukraine   12/20/25   5.000%(Q)     7,390   3.731%   457,846   (150,641)   608,487   Barclays Bank PLC
Republic of Uruguay   06/20/21   1.000%(Q)     400   0.689%   956   (927)   1,883   Citibank, N.A.
Republic of Uruguay   12/20/21   1.000%(Q)     1,500   0.717%   5,560   (6,748)   12,308   Citibank, N.A.
Russian Federation   12/20/21   1.000%(Q)     8,525   0.323%   61,851   (154,255)   216,106   Barclays Bank PLC
Russian Federation   12/20/21   1.000%(Q)     3,000   0.323%   21,766   (56,074)   77,840   Barclays Bank PLC
Russian Federation   12/20/22   1.000%(Q)     7,350   0.444%   86,263   (8,705)   94,968   Citibank, N.A.
Russian Federation   06/20/23   1.000%(Q)     7,000   0.530%   87,126   (63,946)   151,072   Morgan Stanley & Co. International PLC
Russian Federation   06/20/23   1.000%(Q)     4,000   0.530%   49,786   (43,762)   93,548   Morgan Stanley & Co. International PLC
Russian Federation   06/20/23   1.000%(Q)     1,640   0.530%   20,413   (17,702)   38,115   BNP Paribas S.A.
Russian Federation   12/20/26   1.000%(Q)     1,200   1.168%   (10,098)   (99,127)   89,029   Barclays Bank PLC
Russian Federation   06/20/30   1.000%(Q)     2,500   1.525%   (109,556)   (238,627)   129,071   HSBC Bank USA, N.A.
State of Illinois   06/20/21   1.000%(Q)     10,000   1.977%   (26,154)   5,324   (31,478)   Citibank, N.A.
State of Illinois   12/20/22   1.000%(Q)     2,725   2.216%   (56,672)   (54,638)   (2,034)   Citibank, N.A.
State of Illinois   12/20/24   1.000%(Q)     2,800   2.587%   (149,869)   (130,746)   (19,123)   Goldman Sachs International
State of Illinois   06/20/28   1.000%(Q)     1,000   2.987%   (109,590)   (91,773)   (17,817)   Citibank, N.A.
UBS Group AG   12/20/24   1.000%(Q)   EUR 8,600   0.585%   183,386   136,129   47,257   Bank of America, N.A.
                      $5,945,772   $(4,027,744)   $9,973,516    
    
103

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Credit default swap agreements outstanding at January 31, 2021 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
January 31,
2021(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Credit Default Swap Agreement on credit indices - Sell Protection(2):
CDX.NA.HY.BB.33.V1   12/20/24   5.000%(Q)   5,000   1.966%   $593,614   $725,164   $(131,550)   Citibank, N.A.
The Fund 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 Fund 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 Fund 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 Fund 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 Fund 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 Fund 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 Fund 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 Fund 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
104

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
  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.
    
Currency swap agreements outstanding at January 31, 2021:
Notional
Amount
(000)#
  Fund
Receives
  Notional
Amount
(000)#
  Fund
Pays
  Counterparty   Termination
Date
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
OTC Currency Swap Agreement:
IDR 50,000,000   8.220%(S)     3,454   6 Month LIBOR(S)   Citibank, N.A.   11/29/23    $451,894    $—   $451,894
    
Inflation swap agreements outstanding at January 31, 2021:
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Inflation Swap Agreements:
EUR 14,000   05/15/23   1.485%(T)   France CPI ex Tobacco Household(1)(T)    $—    $(623,245)    $(623,245)
EUR 14,000   05/15/23   1.510%(T)   Eurostat Eurozone HICP ex Tobacco(2)(T)     506,099   506,099
  7,780   01/12/26   2.185%(T)   U.S. CPI Urban Consumers NSA Index(2)(T)     (44,008)   (44,008)
  3,000   01/13/31   2.229%(T)   U.S. CPI Urban Consumers NSA Index(2)(T)     (35,485)   (35,485)
  11,100   01/13/31   2.230%(T)   U.S. CPI Urban Consumers NSA Index(2)(T)     (130,058)   (130,058)
                    $—   $(326,697)   $(326,697)
(1) The Fund pays the fixed rate and receives the floating rate.
(2) The Fund pays the floating rate and receives the fixed rate.
Interest rate swap agreements outstanding at January 31, 2021:
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements:
AUD 2,240   10/27/21   2.173%(S)   6 Month BBSW(2)(S)    $(72)    $36,582    $36,654
AUD 4,000   09/21/22   3.830%(S)   6 Month BBSW(2)(S)   (35,843)   229,895   265,738
AUD 7,580   09/25/22   2.958%(S)   6 Month BBSW(2)(S)     334,420   334,420
105

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
AUD 15,000   07/20/25   0.390%(S)   6 Month BBSW(2)(S)    $   $9,544    $9,544
AUD 1,000   05/02/26   2.650%(S)   6 Month BBSW(2)(S)   90   90,875   90,785
AUD 2,700   06/06/27   2.661%(S)   6 Month BBSW(2)(S)     267,275   267,275
AUD 6,450   12/03/29   2.700%(S)   6 Month BBSW(2)(S)   446,761   739,129   292,368
AUD 6,000   02/19/30   1.147%(S)   6 Month BBSW(2)(S)   (20)   62,826   62,846
AUD 5,000   03/20/30   1.200%(S)   6 Month BBSW(2)(S)     65,027   65,027
AUD 10,550   08/05/30   0.751%(S)   6 Month BBSW(2)(S)   (113)   (234,176)   (234,063)
AUD 5,835   07/19/32   3.130%(S)   6 Month BBSW(2)(S)     905,125   905,125
AUD 1,600   07/28/32   3.137%(S)   6 Month BBSW(2)(S)     248,449   248,449
AUD 2,000   12/19/32   4.423%(S)   6 Month BBSW(2)(S)   (4,504)   545,501   550,005
AUD 10,000   07/10/33   2.987%(S)   6 Month BBSW(2)(S)   136,113   1,475,080   1,338,967
BRL 20,469   01/02/24   4.920%(T)   1 Day BROIS(2)(T)     (33,215)   (33,215)
BRL 81,380   01/02/24   4.920%(T)   1 Day BROIS(2)(T)     (133,799)   (133,799)
BRL 63,124   01/02/25   5.641%(T)   1 Day BROIS(2)(T)     (61,126)   (61,126)
BRL 27,355   01/02/25   6.540%(T)   1 Day BROIS(2)(T)     309,426   309,426
BRL 26,379   01/02/25   9.475%(T)   1 Day BROIS(2)(T)     1,525,520   1,525,520
BRL 25,280   01/02/25   9.560%(T)   1 Day BROIS(2)(T)     1,509,164   1,509,164
BRL 31,910   01/02/25   9.943%(T)   1 Day BROIS(2)(T)     2,217,425   2,217,425
BRL 7,002   01/02/25   9.985%(T)   1 Day BROIS(2)(T)     527,663   527,663
BRL 30,470   01/02/25   11.080%(T)   1 Day BROIS(2)(T)     2,486,981   2,486,981
BRL 6,247   01/02/25   12.090%(T)   1 Day BROIS(2)(T)     597,026   597,026
106

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
BRL 12,879   01/04/27   6.455%(T)   1 Day BROIS(2)(T)    $   $55,858    $55,858
BRL 36,574   01/04/27   6.490%(T)   1 Day BROIS(2)(T)     158,197   158,197
BRL 73,942   01/04/27   6.493%(T)   1 Day BROIS(2)(T)     360,489   360,489
BRL 56,887   01/04/27   6.540%(T)   1 Day BROIS(2)(T)     312,788   312,788
BRL 94,482   01/04/27   6.820%(T)   1 Day BROIS(2)(T)     370,163   370,163
BRL 31,992   01/04/27   6.910%(T)   1 Day BROIS(2)(T)     359,771   359,771
BRL 31,229   01/04/27   6.912%(T)   1 Day BROIS(2)(T)     350,165   350,165
BRL 78,637   01/04/27   7.760%(T)   1 Day BROIS(2)(T)     1,532,901   1,532,901
BRL 28,290   01/02/29   7.150%(T)   1 Day BROIS(2)(T)   1,146   178,768   177,622
BRL 21,378   01/02/29   7.250%(T)   1 Day BROIS(2)(T)     167,100   167,100
BRL 33,888   01/02/29   7.570%(T)   1 Day BROIS(2)(T)     228,682   228,682
CAD 3,550   03/07/21   0.983%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   6   6,832   6,826
CAD 23,700   08/17/22   2.370%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   (112,971)   706,512   819,483
CAD 51,805   04/03/25   0.970%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   148,368   374,948   226,580
CAD 25,000   05/01/25   0.758%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   (110)   (15,767)   (15,657)
CAD 1,500   04/22/26   1.670%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   94   49,609   49,515
107

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
CAD 3,070   06/25/30   2.651%(S)   3 Month Canadian Banker’s Acceptance(2)(S)    $69,088    $293,667    $224,579
CAD 4,325   03/26/33   2.718%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   (79)   478,145   478,224
CAD 1,500   05/30/37   2.240%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   (36)   88,336   88,372
CAD 4,345   01/09/38   2.720%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   (33,396)   497,529   530,925
CAD 2,500   12/03/38   2.800%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   99,343   320,001   220,658
CAD 1,550   12/03/48   2.800%(S)   3 Month Canadian Banker’s Acceptance(2)(S)   268,902   258,916   (9,986)
CHF 2,400   10/21/21   (0.522)%(A)   6 Month CHF LIBOR(2)(S)   36   5,744   5,708
CHF 14,500   01/31/29   0.260%(A)   6 Month CHF LIBOR(2)(S)   57,732   916,018   858,286
CHF 800   10/17/31   0.033%(A)   6 Month CHF LIBOR(2)(S)   137   24,479   24,342
CHF 700   04/03/33   0.687%(A)   6 Month CHF LIBOR(2)(S)     87,631   87,631
CLP 3,010,200   07/12/29   3.135%(S)   1 Day CLOIS(2)(S)     258,080   258,080
CLP 6,480,000   10/24/29   2.790%(S)   1 Day CLOIS(2)(S)     327,944   327,944
CLP 3,094,000   11/22/29   3.203%(S)   1 Day CLOIS(2)(S)     271,758   271,758
CLP 2,400,000   12/13/29   3.160%(S)   1 Day CLOIS(2)(S)     209,672   209,672
CLP 562,610   12/16/29   3.200%(S)   1 Day CLOIS(2)(S)     51,605   51,605
108

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
CLP 3,900,000   02/10/30   3.010%(S)   1 Day CLOIS(2)(S)    $   $314,547    $314,547
CLP 634,000   02/11/30   3.085%(S)   1 Day CLOIS(2)(S)     56,958   56,958
CLP 4,500,000   02/28/30   3.110%(S)   1 Day CLOIS(2)(S)     408,425   408,425
CLP 800,000   07/13/30   2.030%(S)   1 Day CLOIS(2)(S)     (48,064)   (48,064)
CLP 5,740,000   11/17/30   2.420%(S)   1 Day CLOIS(2)(S)     (77,510)   (77,510)
CNH 52,500   08/15/23   3.115%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (482)   109,716   110,198
CNH 50,870   03/13/24   2.945%(Q)   7 Day China Fixing Repo Rates(2)(Q)   33   71,013   70,980
CNH 33,000   03/18/24   2.945%(Q)   7 Day China Fixing Repo Rates(2)(Q)   22   46,055   46,033
CNH 43,200   04/01/24   2.923%(Q)   7 Day China Fixing Repo Rates(2)(Q)   31   53,676   53,645
CNH 23,500   06/19/24   2.900%(Q)   7 Day China Fixing Repo Rates(2)(Q)   18   26,801   26,783
CNH 125,090   06/20/24   2.900%(Q)   7 Day China Fixing Repo Rates(2)(Q)   101   140,005   139,904
CNH 28,500   07/01/24   2.900%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (36)   31,754   31,790
CNH 78,000   09/03/24   2.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (89)   74,958   75,047
CNH 24,300   09/19/24   2.940%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (17)   32,227   32,244
CNH 76,000   10/09/24   2.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (33)   64,172   64,205
CNH 9,600   10/10/24   2.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (5)   7,938   7,943
109

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
CNH 98,660   11/01/24   3.120%(Q)   7 Day China Fixing Repo Rates(2)(Q)    $(274)    $247,055    $247,329
CNH 100,500   11/28/24   2.933%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (3,496)   133,330   136,826
CNH 80,000   12/05/24   2.940%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (116)   111,643   111,759
CNH 92,700   02/04/25   2.600%(Q)   7 Day China Fixing Repo Rates(2)(Q)     (62,115)   (62,115)
CNH 330,000   02/05/25   2.600%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (103)   (222,926)   (222,823)
CNH 18,100   03/10/25   2.300%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (17)   (47,484)   (47,467)
CNH 25,000   03/12/25   2.400%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (8)   (50,961)   (50,953)
CNH 149,980   05/08/25   1.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (528)   (857,266)   (856,738)
CNH 80,785   06/01/25   1.973%(Q)   7 Day China Fixing Repo Rates(2)(Q)   52   (404,490)   (404,542)
CNH 118,700   07/02/25   2.330%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (81)   (327,210)   (327,129)
CNH 161,860   07/13/25   2.653%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (198)   (101,704)   (101,506)
CNH 48,542   08/06/25   2.555%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (78)   (61,871)   (61,793)
CNH 129,600   09/01/25   2.735%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (159)   (3,831)   (3,672)
CNH 225,740   11/02/25   2.588%(Q)   7 Day China Fixing Repo Rates(2)(Q)   625   (263,470)   (264,095)
110

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
CNH 200,000   12/09/25   2.855%(Q)   7 Day China Fixing Repo Rates(2)(Q)    $   $149,733    $149,733
CNH 192,490   01/05/26   2.660%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (516)   (142,494)   (141,978)
COP 57,000,000   11/05/25   3.170%(Q)   1 Day COOIS(2)(Q)     186,172   186,172
COP 23,700,000   12/14/25   3.265%(Q)   1 Day COOIS(2)(Q)     87,576   87,576
COP 25,830,000   07/19/28   6.150%(Q)   1 Day COOIS(2)(Q)     1,210,848   1,210,848
COP 27,041,260   07/27/28   6.200%(Q)   1 Day COOIS(2)(Q)   511,782   1,286,063   774,281
COP 13,388,000   11/28/28   6.380%(Q)   1 Day COOIS(2)(Q)     716,298   716,298
COP 20,710,000   12/16/29   5.480%(Q)   1 Day COOIS(2)(Q)     715,546   715,546
COP 21,300,000   02/13/30   5.100%(Q)   1 Day COOIS(2)(Q)     572,268   572,268
COP 7,740,000   07/13/30   4.205%(Q)   1 Day COOIS(2)(Q)     32,328   32,328
COP 19,006,000   09/17/30   4.321%(Q)   1 Day COOIS(2)(Q)     128,512   128,512
CZK 500,000   03/14/21   2.143%(A)   6 Month PRIBOR(2)(S)     469,025   469,025
CZK 213,000   04/27/22   0.925%(A)   6 Month PRIBOR(2)(S)     115,794   115,794
CZK 193,410   06/29/22   0.895%(A)   6 Month PRIBOR(2)(S)     91,225   91,225
CZK 250,000   11/17/22   1.505%(A)   6 Month PRIBOR(2)(S)     214,226   214,226
CZK 875,720   01/28/24   1.938%(A)   6 Month PRIBOR(2)(S)     1,355,619   1,355,619
CZK 427,500   01/31/24   1.930%(A)   6 Month PRIBOR(1)(S)     (1,009,765)   (1,009,765)
CZK 155,500   06/29/27   1.175%(A)   6 Month PRIBOR(1)(S)   139,131   (54,522)   (193,653)
CZK 364,670   01/28/30   1.588%(A)   6 Month PRIBOR(1)(S)     (514,647)   (514,647)
CZK 106,030   03/31/30   0.710%(A)   6 Month PRIBOR(2)(S)     (222,970)   (222,970)
111

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
DKK 20,900   10/17/21   0.185%(A)   6 Month CIBOR(2)(S)    $(11,757)    $10,576    $22,333
DKK 13,600   05/04/25   0.825%(A)   6 Month CIBOR(2)(S)   26   108,916   108,890
DKK 5,000   08/29/26   0.580%(A)   6 Month CIBOR(2)(S)   21   34,943   34,922
DKK 1,300   10/21/26   0.673%(A)   6 Month CIBOR(2)(S)   17   10,247   10,230
DKK 13,000   03/15/27   1.123%(A)   6 Month CIBOR(2)(S)     184,244   184,244
DKK 1,865   06/22/27   0.987%(A)   6 Month CIBOR(2)(S)     23,304   23,304
EUR 1,000   06/04/29   2.002%(A)   6 Month EURIBOR(2)(S)   142   253,405   253,263
EUR 3,260   11/11/29   1.453%(A)   6 Month EURIBOR(2)(S)   263,956   624,974   361,018
EUR 1,800   01/14/30   1.022%(A)   6 Month EURIBOR(2)(S)   146   255,496   255,350
EUR 2,000   03/02/31   0.825%(A)   6 Month EURIBOR(2)(S)   (63,149)   276,275   339,424
EUR 700   04/07/31   0.819%(A)   6 Month EURIBOR(2)(S)   149   95,566   95,417
EUR 450   05/03/31   1.048%(A)   6 Month EURIBOR(2)(S)   150   75,309   75,159
EUR 1,500   07/04/31   0.672%(A)   6 Month EURIBOR(2)(S)   151   171,149   170,998
EUR 570   08/02/31   0.584%(A)   6 Month EURIBOR(2)(S)   145   59,124   58,979
EUR 1,500   08/26/31   0.562%(A)   6 Month EURIBOR(2)(S)   154   150,279   150,125
EUR 700   09/09/31   0.558%(A)   6 Month EURIBOR(2)(S)   147   69,539   69,392
EUR 1,700   12/14/31   1.217%(A)   6 Month EURIBOR(2)(S)   146   318,168   318,022
EUR 1,850   12/19/31   1.160%(A)   6 Month EURIBOR(2)(S)   473   331,281   330,808
EUR 2,300   12/19/31   1.161%(A)   6 Month EURIBOR(2)(S)   (12,075)   412,177   424,252
EUR 2,600   12/27/31   1.082%(A)   6 Month EURIBOR(2)(S)   11,046   437,350   426,304
EUR 6,400   02/23/32   1.180%(A)   6 Month EURIBOR(2)(S)   183   1,260,584   1,260,401
112

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
EUR 4,680   03/29/32   1.170%(A)   6 Month EURIBOR(2)(S)    $1,624    $910,788    $909,164
EUR 1,400   04/04/32   1.145%(A)   6 Month EURIBOR(2)(S)     266,998   266,998
EUR 2,000   04/10/32   1.105%(A)   6 Month EURIBOR(2)(S)     369,378   369,378
EUR 4,150   05/11/32   1.100%(A)   6 Month EURIBOR(2)(S)   (89,999)   759,817   849,816
EUR 7,000   06/28/32   0.785%(A)   6 Month EURIBOR(2)(S)   (58,835)   942,385   1,001,220
EUR 3,050   10/30/32   1.302%(A)   6 Month EURIBOR(2)(S)     643,998   643,998
EUR 14,225   05/11/33   1.000%(A)   6 Month EURIBOR(2)(S)   (362,197)   2,493,213   2,855,410
EUR 3,135   12/28/35   1.559%(A)   6 Month EURIBOR(2)(S)   42,874   902,766   859,892
EUR 2,155   06/02/36   1.072%(A)   6 Month EURIBOR(2)(S)   179,680   448,414   268,734
EUR 600   09/26/36   0.749%(A)   6 Month EURIBOR(2)(S)   157   85,854   85,697
EUR 600   09/28/36   0.729%(A)   6 Month EURIBOR(2)(S)   158   83,438   83,280
EUR 1,000   11/02/36   0.958%(A)   6 Month EURIBOR(2)(S)   159   183,801   183,642
EUR 1,500   02/02/37   1.355%(A)   6 Month EURIBOR(2)(S)   166   417,986   417,820
EUR 3,505   05/05/39   0.045%(A)   6 Month EURIBOR(2)(S)     (34,141)   (34,141)
EUR 365   05/11/39   1.100%(A)   1 Day EONIA(2)(A)   65,034   91,156   26,122
EUR 3,190   05/11/42   1.350%(A)   6 Month EURIBOR(2)(S)   (172,636)   1,066,913   1,239,549
EUR 1,235   07/04/42   1.001%(A)   6 Month EURIBOR(2)(S)   (131,907)   294,294   426,201
EUR 3,000   05/11/45   1.150%(A)   1 Day EONIA(2)(A)   623,719   983,377   359,658
EUR 1,000   03/30/46   1.058%(A)   6 Month EURIBOR(2)(S)   (5,141)   298,323   303,464
EUR 9,135   05/11/49   1.450%(A)   6 Month EURIBOR(2)(S)   642,331   4,326,459   3,684,128
GBP 510   06/30/21   2.469%(S)   6 Month GBP LIBOR(2)(S)   41   8,582   8,541
113

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
GBP 29,797   10/22/28   0.680%(A)   1 Day SONIA(1)(A)    $   $(1,598,267)    $(1,598,267)
GBP 2,320   05/08/29   1.100%(A)   1 Day SONIA(1)(A)   (85,429)   (255,193)   (169,764)
GBP 5,890   04/30/40   0.219%(A)   1 Day SONIA(2)(A)   (30)   (370,475)   (370,445)
GBP 9,280   05/08/46   1.250%(A)   1 Day SONIA(2)(A)   1,969,127   2,440,501   471,374
GBP 3,440   05/08/49   1.250%(A)   1 Day SONIA(2)(A)   733,157   1,003,675   270,518
GBP 3,540   09/03/50   0.328%(A)   1 Day SONIA(2)(A)   (35)   (198,695)   (198,660)
HKD 151,850   03/13/21   2.138%(Q)   3 Month HIBOR(2)(Q)     90,744   90,744
HKD 171,690   03/13/21   2.145%(Q)   3 Month HIBOR(2)(Q)     103,032   103,032
HKD 100,000   04/01/21   1.850%(Q)   3 Month HIBOR(2)(Q)   (3)   49,248   49,251
HKD 95,120   09/03/26   1.538%(Q)   3 Month HIBOR(1)(Q)   (535)   (666,761)   (666,226)
HUF 4,636,000   01/23/25   1.095%(A)   6 Month BUBOR(2)(S)   (23,739)   (38,925)   (15,186)
HUF 370,000   03/18/26   2.140%(A)   6 Month BUBOR(2)(S)   12,274   72,740   60,466
HUF 1,667,000   12/23/26   3.755%(A)   6 Month BUBOR(2)(S)   32   614,150   614,118
HUF 6,237,270   06/12/28   3.750%(A)   6 Month BUBOR(2)(S)     1,923,087   1,923,087
HUF 1,677,900   07/15/29   1.650%(A)   6 Month BUBOR(2)(S)     51,961   51,961
HUF 2,516,000   12/09/29   1.245%(A)   6 Month BUBOR(2)(S)     (308,032)   (308,032)
HUF 499,000   02/13/30   1.595%(A)   6 Month BUBOR(2)(S)     6,753   6,753
HUF 2,674,000   09/03/30   1.705%(A)   6 Month BUBOR(2)(S)     8,464   8,464
JPY 32,800   07/04/21   (0.156)%(S)   6 Month JPY LIBOR(2)(S)   (1,937)   (155)   1,782
JPY 1,000,000   01/08/22   (0.120)%(S)   6 Month JPY LIBOR(2)(S)     (5,658)   (5,658)
JPY 2,000,000   01/08/22   (0.100)%(S)   6 Month JPY LIBOR(2)(S)     (7,444)   (7,444)
114

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 3,276,010   12/20/24   0.126%(S)   6 Month JPY LIBOR(2)(S)    $(35,086)    $223,983    $259,069
JPY 950,000   01/15/25   0.000%(S)   6 Month JPY LIBOR(2)(S)     18,871   18,871
JPY 2,000,000   01/04/27   (0.033)%(S)   6 Month JPY LIBOR(2)(S)     (7,408)   (7,408)
JPY 1,800,000   11/12/28   0.011%(S)   6 Month JPY LIBOR(2)(S)     4,362   4,362
JPY 135,000   02/20/29   1.260%(S)   6 Month JPY LIBOR(2)(S)   39,553   137,177   97,624
JPY 50,000   04/02/29   1.288%(S)   6 Month JPY LIBOR(2)(S)   4   51,772   51,768
JPY 100,000   08/18/29   1.070%(S)   6 Month JPY LIBOR(2)(S)   9   90,147   90,138
JPY 100,000   08/28/29   1.043%(S)   6 Month JPY LIBOR(2)(S)   8   87,672   87,664
JPY 200,000   09/09/29   1.061%(S)   6 Month JPY LIBOR(2)(S)   (1,052)   178,646   179,698
JPY 655,000   09/29/29   1.064%(S)   6 Month JPY LIBOR(2)(S)   331,420   585,290   253,870
JPY 300,000   07/02/30   0.047%(S)   6 Month JPY LIBOR(2)(S)     (562)   (562)
JPY 200,000   04/01/31   0.319%(S)   6 Month JPY LIBOR(2)(S)   21   50,698   50,677
JPY 215,000   05/06/31   0.354%(S)   6 Month JPY LIBOR(2)(S)   23   61,314   61,291
JPY 150,000   07/07/31   0.071%(S)   6 Month JPY LIBOR(2)(S)   13   (965)   (978)
JPY 700,000   08/05/31   0.026%(S)   6 Month JPY LIBOR(2)(S)     (36,186)   (36,186)
JPY 256,500   08/15/31   0.223%(S)   6 Month JPY LIBOR(2)(S)   21   39,483   39,462
JPY 130,000   08/30/31   0.217%(S)   6 Month JPY LIBOR(2)(S)   11   19,144   19,133
JPY 120,000   09/08/31   0.316%(S)   6 Month JPY LIBOR(2)(S)   10   30,075   30,065
JPY 190,000   09/21/31   0.328%(S)   6 Month JPY LIBOR(2)(S)   23   49,478   49,455
JPY 350,000   10/14/31   0.270%(S)   6 Month JPY LIBOR(2)(S)   40   69,365   69,325
JPY 200,000   04/06/32   0.484%(S)   6 Month JPY LIBOR(2)(S)     85,618   85,618
115

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 159,520   04/07/32   0.491%(S)   6 Month JPY LIBOR(2)(S)    $   $69,529    $69,529
JPY 1,200,000   05/19/32   0.023%(S)   6 Month JPY LIBOR(2)(S)     (102,150)   (102,150)
JPY 800,000   05/29/32   0.016%(S)   6 Month JPY LIBOR(2)(S)     (74,834)   (74,834)
JPY 140,000   06/07/32   0.451%(S)   6 Month JPY LIBOR(2)(S)     53,804   53,804
JPY 71,000   09/21/32   0.463%(S)   6 Month JPY LIBOR(2)(S)     28,860   28,860
JPY 160,000   11/14/32   2.390%(S)   6 Month JPY LIBOR(2)(S)   (22,622)   342,854   365,476
JPY 180,000   11/05/34   1.293%(S)   6 Month JPY LIBOR(2)(S)   74,095   268,186   194,091
JPY 70,000   12/03/34   1.265%(S)   6 Month JPY LIBOR(2)(S)   8   101,350   101,342
JPY 260,000   01/07/35   1.108%(S)   6 Month JPY LIBOR(2)(S)   27   319,842   319,815
JPY 50,000   01/22/35   0.950%(S)   6 Month JPY LIBOR(2)(S)   6   50,853   50,847
JPY 120,000   02/12/35   1.161%(S)   6 Month JPY LIBOR(2)(S)   13   162,336   162,323
JPY 320,000   02/24/35   1.200%(S)   6 Month JPY LIBOR(2)(S)   35   449,604   449,569
JPY 160,000   03/03/35   1.153%(S)   6 Month JPY LIBOR(2)(S)   18   213,946   213,928
JPY 350,000   05/07/35   0.073%(S)   6 Month JPY LIBOR(2)(S)     (58,668)   (58,668)
JPY 90,000   02/04/36   0.816%(S)   6 Month JPY LIBOR(2)(S)   10   80,577   80,567
JPY 65,000   05/16/36   0.446%(S)   6 Month JPY LIBOR(2)(S)   8   21,174   21,166
JPY 110,000   05/27/36   0.460%(S)   6 Month JPY LIBOR(2)(S)   16   37,836   37,820
JPY 60,000   07/22/36   0.240%(S)   6 Month JPY LIBOR(2)(S)   9   490   481
JPY 300,000   10/04/36   0.363%(S)   6 Month JPY LIBOR(2)(S)   37   58,345   58,308
JPY 150,000   11/02/36   0.423%(S)   6 Month JPY LIBOR(2)(S)   19   42,173   42,154
JPY 400,000   12/14/36   0.723%(S)   6 Month JPY LIBOR(2)(S)   43   291,250   291,207
116

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 150,000   12/22/36   0.641%(S)   6 Month JPY LIBOR(2)(S)    $16    $90,393    $90,377
JPY 250,000   01/06/37   0.675%(S)   6 Month JPY LIBOR(2)(S)   27   162,804   162,777
JPY 275,500   02/15/37   0.729%(S)   6 Month JPY LIBOR(2)(S)   30   209,640   209,610
JPY 130,000   02/23/37   0.748%(S)   6 Month JPY LIBOR(2)(S)   15   102,764   102,749
JPY 100,000   03/02/37   0.686%(S)   6 Month JPY LIBOR(2)(S)     69,164   69,164
JPY 273,000   03/09/37   0.701%(S)   6 Month JPY LIBOR(2)(S)   13,361   194,883   181,522
JPY 200,000   03/29/37   0.684%(S)   6 Month JPY LIBOR(2)(S)     136,561   136,561
JPY 94,310   05/08/37   0.623%(S)   6 Month JPY LIBOR(2)(S)     54,574   54,574
JPY 200,000   05/15/37   0.688%(S)   6 Month JPY LIBOR(2)(S)     135,928   135,928
JPY 150,000   06/02/37   0.640%(S)   6 Month JPY LIBOR(2)(S)     90,146   90,146
JPY 80,000   06/19/37   0.625%(S)   6 Month JPY LIBOR(2)(S)     45,888   45,888
JPY 82,000   06/21/37   0.628%(S)   6 Month JPY LIBOR(2)(S)     47,320   47,320
JPY 125,000   06/30/37   0.629%(S)   6 Month JPY LIBOR(2)(S)     72,105   72,105
JPY 105,000   07/04/37   0.659%(S)   6 Month JPY LIBOR(2)(S)     65,456   65,456
JPY 285,000   07/26/37   0.676%(S)   6 Month JPY LIBOR(2)(S)     185,772   185,772
JPY 117,300   08/02/37   0.683%(S)   6 Month JPY LIBOR(2)(S)     80,899   80,899
JPY 160,000   08/09/37   0.679%(S)   6 Month JPY LIBOR(2)(S)     109,009   109,009
JPY 500,000   09/04/37   0.663%(S)   6 Month JPY LIBOR(2)(S)     328,223   328,223
JPY 175,000   09/27/37   0.670%(S)   6 Month JPY LIBOR(2)(S)     116,153   116,153
JPY 300,000   11/02/37   0.734%(S)   6 Month JPY LIBOR(2)(S)     227,897   227,897
JPY 350,000   12/04/37   0.730%(S)   6 Month JPY LIBOR(2)(S)     261,373   261,373
117

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 900,000   01/04/38   0.757%(S)   6 Month JPY LIBOR(2)(S)    $138,798    $704,274    $565,476
JPY 224,000   01/11/38   0.831%(S)   6 Month JPY LIBOR(2)(S)     201,849   201,849
JPY 800,000   03/28/38   0.656%(S)   6 Month JPY LIBOR(2)(S)     509,429   509,429
JPY 1,000,000   04/04/38   0.681%(S)   6 Month JPY LIBOR(2)(S)     669,621   669,621
JPY 675,000   04/06/38   0.655%(S)   6 Month JPY LIBOR(2)(S)     422,920   422,920
JPY 1,815,000   04/18/38   0.675%(S)   6 Month JPY LIBOR(2)(S)   (44,197)   1,193,337   1,237,534
JPY 600,000   08/10/38   0.822%(S)   6 Month JPY LIBOR(2)(S)     550,368   550,368
JPY 2,430,385   12/03/38   0.600%(S)   6 Month JPY LIBOR(2)(S)   556,344   1,250,975   694,631
JPY 480,000   11/27/39   0.258%(S)   6 Month JPY LIBOR(2)(S)     (55,878)   (55,878)
JPY 969,000   12/03/39   0.650%(S)   6 Month JPY LIBOR(2)(S)   616,726   569,137   (47,589)
JPY 1,200,000   01/08/40   0.230%(S)   6 Month JPY LIBOR(2)(S)     (210,283)   (210,283)
JPY 1,500,000   01/08/40   0.250%(S)   6 Month JPY LIBOR(2)(S)     (208,986)   (208,986)
JPY 745,000   02/06/40   0.223%(S)   6 Month JPY LIBOR(2)(S)     (135,719)   (135,719)
JPY 800,000   03/25/40   0.171%(S)   6 Month JPY LIBOR(2)(S)     (229,796)   (229,796)
JPY 166,000   05/09/43   0.820%(S)   6 Month JPY LIBOR(2)(S)     150,053   150,053
JPY 610,000   07/04/43   0.763%(S)   6 Month JPY LIBOR(2)(S)     469,326   469,326
JPY 2,000,000   10/23/45   0.333%(S)   6 Month JPY LIBOR(2)(S)     (454,708)   (454,708)
JPY 110,291   04/15/46   0.560%(S)   6 Month JPY LIBOR(2)(S)     32,260   32,260
JPY 26,000   10/04/47   0.942%(S)   6 Month JPY LIBOR(2)(S)     32,017   32,017
JPY 560,000   11/24/47   0.888%(S)   6 Month JPY LIBOR(2)(S)     606,767   606,767
JPY 500,000   05/29/50   0.186%(S)   6 Month JPY LIBOR(2)(S)     (410,803)   (410,803)
118

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 500,000   08/26/50   0.334%(S)   6 Month JPY LIBOR(2)(S)    $   $(211,417)    $(211,417)
JPY 1,000,000   12/16/50   0.338%(S)   6 Month JPY LIBOR(2)(S)     (434,253)   (434,253)
KRW 18,824,000   08/06/25   0.830%(Q)   3 Month KWCDC(2)(Q)   (27)   (199,222)   (199,195)
KRW 20,447,900   09/10/28   2.043%(Q)   3 Month KWCDC(2)(Q)   633,035   1,135,464   502,429
KRW 3,120,000   10/18/29   1.313%(Q)   3 Month KWCDC(2)(Q)   9   8,349   8,340
KRW 11,000,000   02/05/30   1.319%(Q)   3 Month KWCDC(2)(Q)   23   41,474   41,451
KRW 2,455,000   04/27/30   1.065%(Q)   3 Month KWCDC(2)(Q)   2   (46,453)   (46,455)
KRW 10,000,000   07/16/30   1.000%(Q)   3 Month KWCDC(2)(Q)   (46)   (252,812)   (252,766)
KRW 5,000,000   01/05/31   1.258%(Q)   3 Month KWCDC(2)(Q)     (24,917)   (24,917)
MXN 33,500   10/12/27   7.350%(M)   28 Day Mexican Interbank Rate(2)(M)     220,676   220,676
MXN 305,790   02/27/29   8.260%(M)   28 Day Mexican Interbank Rate(2)(M)   78,107   3,052,147   2,974,040
MXN 271,000   07/10/30   5.680%(M)   28 Day Mexican Interbank Rate(2)(M)   (146)   239,463   239,609
MXN 110,000   11/29/30   5.480%(M)   28 Day Mexican Interbank Rate(2)(M)     (5,176)   (5,176)
MXN 15,290   01/03/33   5.715%(M)   28 Day Mexican Interbank Rate(2)(M)   (27)   (208)   (181)
NOK 29,500   02/23/23   1.350%(A)   6 Month NIBOR(2)(S)   (2,015)   87,147   89,162
NOK 170,000   11/25/25   0.770%(A)   6 Month NIBOR(2)(S)     (204,639)   (204,639)
NOK 26,300   03/15/27   2.103%(A)   6 Month NIBOR(2)(S)   14,401   233,474   219,073
NOK 6,725   06/23/27   1.825%(A)   6 Month NIBOR(2)(S)     41,402   41,402
NOK 20,000   04/18/28   2.215%(A)   6 Month NIBOR(2)(S)     202,996   202,996
119

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
NOK 36,000   02/07/29   2.083%(A)   6 Month NIBOR(2)(S)    $   $344,150    $344,150
NOK 48,000   10/07/29   1.660%(A)   6 Month NIBOR(2)(S)     188,681   188,681
NOK 137,700   01/08/31   1.250%(A)   6 Month NIBOR(2)(S)     (187,245)   (187,245)
NOK 130,000   01/19/31   1.346%(A)   6 Month NIBOR(2)(S)     (45,507)   (45,507)
NZD 1,235   10/03/22   2.740%(S)   3 Month BBR(2)(Q)     44,240   44,240
NZD 2,830   04/26/23   2.733%(S)   3 Month BBR(2)(Q)   (38,290)   123,632   161,922
NZD 1,750   03/13/24   5.080%(S)   3 Month BBR(2)(Q)   18,126   206,005   187,879
NZD 2,500   03/15/24   3.355%(S)   3 Month BBR(2)(Q)   1,588   186,083   184,495
NZD 1,550   07/04/24   3.100%(S)   3 Month BBR(2)(Q)     102,657   102,657
NZD 3,500   01/10/27   3.420%(S)   3 Month BBR(2)(Q)   56,942   394,948   338,006
NZD 5,000   04/18/28   3.193%(S)   3 Month BBR(2)(Q)     609,932   609,932
NZD 6,450   11/28/28   2.950%(S)   3 Month BBR(2)(Q)     717,515   717,515
NZD 9,250   07/22/29   1.768%(S)   3 Month BBR(2)(Q)     395,985   395,985
NZD 9,000   10/07/29   1.130%(S)   3 Month BBR(2)(Q)     55,529   55,529
PLN 73,670   08/24/23   2.390%(A)   6 Month WIBOR(2)(S)     1,223,833   1,223,833
PLN 11,000   09/09/23   1.900%(A)   6 Month WIBOR(2)(S)   (238,755)   138,734   377,489
PLN 60,110   11/13/23   2.570%(A)   6 Month WIBOR(2)(S)     1,070,394   1,070,394
PLN 18,100   04/11/24   2.020%(A)   6 Month WIBOR(2)(S)   17,962   322,248   304,286
PLN 83,750   06/21/24   1.750%(A)   6 Month WIBOR(2)(S)     1,220,803   1,220,803
PLN 30,000   03/28/28   2.895%(A)   6 Month WIBOR(2)(S)     1,289,873   1,289,873
PLN 3,540   07/11/28   2.935%(A)   6 Month WIBOR(2)(S)     151,144   151,144
120

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
PLN 7,700   09/07/30   1.068%(A)   6 Month WIBOR(2)(S)    $   $(15,975)    $(15,975)
SEK 13,000   09/15/21   (0.003)%(A)   3 Month STIBOR(2)(Q)   6   769   763
SEK 27,200   12/15/21   0.203%(A)   3 Month STIBOR(2)(Q)   (184)   8,833   9,017
SEK 12,700   04/25/23   0.750%(A)   3 Month STIBOR(2)(Q)   17   35,919   35,902
SEK 38,380   07/11/23   0.458%(A)   3 Month STIBOR(2)(Q)     66,900   66,900
SEK 15,550   03/15/24   0.840%(A)   3 Month STIBOR(2)(Q)     63,123   63,123
SEK 12,700   08/29/24   1.657%(A)   3 Month STIBOR(2)(Q)   15,291   100,248   84,957
SEK 3,000   11/16/25   1.485%(A)   3 Month STIBOR(2)(Q)   14   25,069   25,055
SEK 6,000   12/09/25   1.505%(A)   3 Month STIBOR(2)(Q)   16   50,701   50,685
SEK 15,000   06/27/26   1.001%(A)   3 Month STIBOR(2)(Q)   25   94,471   94,446
SEK 15,390   06/22/27   1.031%(A)   3 Month STIBOR(2)(Q)     108,708   108,708
SEK 58,000   03/27/28   1.267%(A)   3 Month STIBOR(2)(Q)     576,004   576,004
SEK 8,535   07/11/28   1.141%(A)   3 Month STIBOR(2)(Q)     71,948   71,948
SEK 33,000   11/28/28   1.188%(A)   3 Month STIBOR(2)(Q)   44,162   281,545   237,383
SEK 40,000   06/20/29   0.550%(A)   3 Month STIBOR(2)(Q)     99,923   99,923
SEK 16,000   10/07/29   0.180%(A)   3 Month STIBOR(2)(Q)     (29,467)   (29,467)
SEK 30,000   11/05/29   0.457%(A)   3 Month STIBOR(2)(Q)     32,907   32,907
SEK 78,000   01/24/30   0.605%(A)   3 Month STIBOR(2)(Q)     190,204   190,204
SEK 70,000   07/13/30   0.308%(A)   3 Month STIBOR(2)(Q)     (65,093)   (65,093)
SGD 10,240   03/19/24   2.025%(S)   6 Month SIBOR(2)(S)     398,412   398,412
SGD 8,330   05/21/28   2.436%(S)   6 Month SIBOR(2)(S)     751,520   751,520
121

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
SGD 6,000   04/02/29   2.170%(S)   6 Month SIBOR(2)(S)    $   $458,308    $458,308
SGD 3,610   10/21/29   1.685%(S)   6 Month SIBOR(2)(S)     175,080   175,080
THB 173,600   04/28/30   1.020%(S)   6 Month BKIBOR(2)(S)     (47,649)   (47,649)
THB 72,900   06/25/30   0.990%(S)   6 Month BKIBOR(2)(S)     (28,923)   (28,923)
THB 200,200   07/03/30   1.028%(S)   6 Month BKIBOR(2)(S)     (59,869)   (59,869)
  91,190   03/16/21   0.109%(T)   1 Day USOIS(1)(T)     (25,461)   (25,461)
  94,722   06/09/21   0.395%(A)   1 Day USOIS(1)(A)     (303,967)   (303,967)
  139,100   09/12/21   0.260%(A)   1 Day USOIS(1)(A)     (261,735)   (261,735)
  93,105   03/10/22   0.330%(A)   1 Day USOIS(1)(A)     (462,024)   (462,024)
  187,500   05/29/22   0.014%(A)   1 Day USOIS(1)(A)   154,832   246,803   91,971
  219,110   11/09/22   0.061%(A)   1 Day Secured Overnight Financing Rate(1)(A)     (7,508)   (7,508)
  161,520   10/30/23   0.072%(A)   1 Day USOIS(1)(A)     169,948   169,948
  135,215   11/02/23   0.070%(A)   1 Day USOIS(1)(A)     154,872   154,872
  199,767   11/06/23   0.063%(A)   1 Day USOIS(1)(A)     272,968   272,968
  204,255   11/09/23   0.064%(A)   1 Day USOIS(1)(A)     276,469   276,469
  88,904   05/31/24   1.350%(A)   1 Day USOIS(1)(A)     (4,348,093)   (4,348,093)
  4,980   08/15/44   2.392%(A)   1 Day USOIS(1)(A)     (1,101,068)   (1,101,068)
ZAR 755,000   02/28/21   7.150%(Q)   3 Month JIBAR(2)(Q)     466,478   466,478
ZAR 228,000   06/21/21   7.465%(Q)   3 Month JIBAR(2)(Q)   (300)   289,140   289,440
ZAR 665,000   02/28/24   7.475%(Q)   3 Month JIBAR(1)(Q)     (4,447,330)   (4,447,330)
122

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
January 31,
2021
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
ZAR 16,800   05/12/26   8.680%(Q)   3 Month JIBAR(2)(Q)    $13    $200,085    $200,072
ZAR 27,500   06/30/27   8.015%(Q)   3 Month JIBAR(2)(Q)   (126)   255,631   255,757
ZAR 68,200   11/07/27   8.360%(Q)   3 Month JIBAR(2)(Q)   43   750,811   750,768
ZAR 43,090   01/17/28   7.833%(Q)   3 Month JIBAR(2)(Q)     355,705   355,705
ZAR 35,000   04/16/28   7.655%(Q)   3 Month JIBAR(2)(Q)   (1,029)   259,349   260,378
ZAR 176,800   07/16/28   8.170%(Q)   3 Month JIBAR(2)(Q)   579   1,649,906   1,649,327
ZAR 200,000   02/28/29   8.035%(Q)   3 Month JIBAR(2)(Q)     1,755,240   1,755,240
ZAR 46,800   06/21/29   7.685%(Q)   3 Month JIBAR(2)(Q)   (201)   315,850   316,051
ZAR 140,000   10/03/29   7.580%(Q)   3 Month JIBAR(2)(Q)     825,472   825,472
ZAR 30,000   11/01/29   7.820%(Q)   3 Month JIBAR(2)(Q)   (199)   223,773   223,972
ZAR 344,070   03/26/30   9.200%(Q)   3 Month JIBAR(2)(Q)   (7,035)   4,551,253   4,558,288
ZAR 56,000   05/06/30   7.650%(Q)   3 Month JIBAR(2)(Q)   (465)   343,019   343,484
ZAR 112,000   09/15/30   6.940%(Q)   3 Month JIBAR(2)(Q)   (1,285)   215,449   216,734
ZAR 125,920   12/01/30   6.888%(Q)   3 Month JIBAR(2)(Q)   (1,504)   189,644   191,148
                    $7,625,831   $82,546,686   $74,920,855
    
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements:
CLP 2,890,000   02/09/27   4.120%(S)   1 Day CLOIS(2)(S)    $601,584    $   $601,584   Morgan Stanley & Co. International PLC
CLP 94,000   12/19/27   4.370%(S)   1 Day CLOIS(2)(S)   19,996     19,996   Morgan Stanley & Co. International PLC
123

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements (cont’d.):
CLP 2,420,000   12/20/27   4.260%(S)   1 Day CLOIS(2)(S)    $490,011    $   $490,011   Morgan Stanley & Co. International PLC
CLP 842,800   01/23/28   4.245%(S)   1 Day CLOIS(2)(S)   168,010     168,010   Morgan Stanley & Co. International PLC
CLP 2,168,000   01/26/28   4.210%(S)   1 Day CLOIS(2)(S)   431,040     431,040   Morgan Stanley & Co. International PLC
CLP 1,080,000   02/01/28   4.200%(S)   1 Day CLOIS(2)(S)   241,634     241,634   Morgan Stanley & Co. International PLC
CLP 1,750,000   03/27/28   4.220%(S)   1 Day CLOIS(2)(S)   382,570     382,570   Citibank, N.A.
CLP 2,092,000   05/17/28   4.270%(S)   1 Day CLOIS(2)(S)   453,615     453,615   Citibank, N.A.
CNH 10,000   04/02/26   3.120%(Q)   7 Day China Fixing Repo Rates(2)(Q)   26,736   3   26,733   Citibank, N.A.
COP 4,351,000   11/01/26   6.590%(Q)   1 Day COOIS(2)(Q)   231,167     231,167   Morgan Stanley & Co. International PLC
COP 10,220,000   11/04/26   6.770%(Q)   1 Day COOIS(2)(Q)   571,213     571,213   Morgan Stanley & Co. International PLC
COP 13,700,000   06/02/27   5.910%(Q)   1 Day COOIS(2)(Q)   584,557     584,557   Morgan Stanley & Co. International PLC
COP 5,437,000   01/23/28   6.035%(Q)   1 Day COOIS(2)(Q)   239,517     239,517   Morgan Stanley & Co. International PLC
COP 6,670,000   01/26/28   6.000%(Q)   1 Day COOIS(2)(Q)   285,484     285,484   Morgan Stanley & Co. International PLC
124

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements (cont’d.):
COP 5,607,000   02/01/28   6.020%(Q)   1 Day COOIS(2)(Q)    $261,480    $   $261,480   Morgan Stanley & Co. International PLC
COP 9,400,000   07/18/28   6.150%(Q)   1 Day COOIS(2)(Q)   440,950     440,950   Morgan Stanley & Co. International PLC
ILS 7,500   12/09/22   1.530%(A)   3 Month TELBOR(2)(Q)   65,311     65,311   Citibank, N.A.
ILS 3,200   03/06/23   3.525%(A)   3 Month TELBOR(2)(Q)   100,655     100,655   Citibank, N.A.
ILS 4,200   06/27/23   3.730%(A)   3 Month TELBOR(2)(Q)   138,929     138,929   Credit Suisse International
ILS 3,000   04/26/26   1.685%(A)   3 Month TELBOR(2)(Q)   74,729     74,729   JPMorgan Chase Bank, N.A.
ILS 5,000   06/24/26   1.660%(A)   3 Month TELBOR(2)(Q)   119,932     119,932   Citibank, N.A.
ILS 4,000   09/19/26   1.600%(A)   3 Month TELBOR(2)(Q)   88,806     88,806   Barclays Bank PLC
ILS 7,000   01/12/27   1.975%(A)   3 Month TELBOR(2)(Q)   196,030     196,030   Citibank, N.A.
ILS 3,000   03/15/27   2.130%(A)   3 Month TELBOR(2)(Q)   110,139     110,139   Citibank, N.A.
ILS 2,745   06/22/27   1.845%(A)   3 Month TELBOR(2)(Q)   81,658     81,658   Citibank, N.A.
ILS 37,240   07/13/27   0.395%(A)   3 Month TELBOR(2)(Q)   (39,157)     (39,157)   Goldman Sachs International
ILS 22,800   09/07/27   0.488%(A)   3 Month TELBOR(2)(Q)   7,862     7,862   Morgan Stanley & Co. International PLC
ILS 5,600   04/26/28   1.915%(A)   3 Month TELBOR(2)(Q)   188,862     188,862   BNP Paribas S.A.
ILS 38,930   07/16/28   2.045%(A)   3 Month TELBOR(2)(Q)   1,392,532     1,392,532   JPMorgan Chase Bank, N.A.
ILS 8,050   03/13/29   1.840%(A)   3 Month TELBOR(2)(Q)   267,725     267,725   HSBC Bank USA, N.A.
ILS 12,160   07/12/29   1.411%(A)   3 Month TELBOR(2)(Q)   244,882   (2,914)   247,796   Citibank, N.A.
ILS 5,000   10/07/29   0.885%(A)   3 Month TELBOR(2)(Q)   24,428     24,428   Goldman Sachs International
125

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements (cont’d.):
ILS 19,790   12/09/29   0.813%(A)   3 Month TELBOR(2)(Q)    $42,146    $   $42,146   Goldman Sachs International
ILS 31,310   04/24/30   0.710%(A)   3 Month TELBOR(2)(Q)   (4,066)   (274)   (3,792)   Goldman Sachs International
ILS 25,300   05/07/30   0.810%(A)   3 Month TELBOR(2)(Q)   66,513     66,513   Goldman Sachs International
JPY 35,000   12/14/32   1.575%(S)   6 Month JPY LIBOR(2)(S)   58,605     58,605   HSBC Bank USA, N.A.
KRW 1,500,000   08/14/21   2.773%(Q)   3 Month KRW LIBOR(2)(Q)   21,054     21,054   HSBC Bank USA, N.A.
KRW 655,000   10/07/22   1.765%(Q)   3 Month KRW LIBOR(2)(Q)   9,590     9,590   JPMorgan Chase Bank, N.A.
KRW 3,300,000   04/17/23   2.170%(Q)   3 Month KWCDC(2)(Q)   85,688   (104)   85,792   Morgan Stanley & Co. International PLC
KRW 900,000   11/05/24   2.425%(Q)   3 Month KRW LIBOR(2)(Q)   45,463     45,463   Citibank, N.A.
KRW 1,485,000   10/28/26   1.520%(Q)   3 Month KRW LIBOR(2)(Q)   26,359   (10)   26,369   JPMorgan Chase Bank, N.A.
KRW 2,040,000   04/26/27   1.880%(Q)   3 Month KRW LIBOR(2)(Q)   77,892     77,892   Morgan Stanley & Co. International PLC
KRW 1,280,000   10/17/28   1.450%(Q)   3 Month KRW LIBOR(2)(Q)   17,787     17,787   Citibank, N.A.
KRW 520,000   01/27/31   1.870%(Q)   3 Month KRW LIBOR(2)(Q)   25,259     25,259   JPMorgan Chase Bank, N.A.
MYR 16,000   08/19/23   3.445%(Q)   3 Month KLIBOR(2)(Q)   163,081     163,081   Morgan Stanley & Co. International PLC
MYR 1,700   04/28/25   4.040%(Q)   3 Month KLIBOR(2)(Q)   33,885     33,885   Citibank, N.A.
MYR 3,160   07/11/29   3.528%(Q)   3 Month KLIBOR(2)(Q)   70,362   (6)   70,368   Morgan Stanley & Co. International PLC
MYR 11,700   11/19/29   3.245%(Q)   3 Month KLIBOR(2)(Q)   203,735   18   203,717   Morgan Stanley & Co. International PLC
126

PGIM Global Total Return Fund
Schedule of Investments as of January 31, 2021 (unaudited) (continued)
Interest rate swap agreements outstanding at January 31, 2021 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements (cont’d.):
MYR 17,800   02/04/30   3.060%(Q)   3 Month KLIBOR(2)(Q)    $244,567    $9    $244,558   Morgan Stanley & Co. International PLC
RUB 1,846,000   01/12/26   6.360%(A)   3 Month MosPRIME(2)(Q)   (23,877)     (23,877)   Morgan Stanley & Co. International PLC
THB 120,000   08/23/23   1.920%(S)   6 Month BIBOR(2)(S)   169,501     169,501   Morgan Stanley & Co. International PLC
THB 60,000   07/04/24   1.590%(S)   6 Month BIBOR(2)(S)   72,474     72,474   Morgan Stanley & Co. International PLC
THB 28,900   04/30/25   2.560%(S)   6 Month BIBOR(2)(S)   81,973     81,973   Citibank, N.A.
THB 173,000   05/07/25   0.795%(S)   6 Month BKIBOR(2)(S)   36,355   22   36,333   HSBC Bank USA, N.A.
THB 23,000   05/29/30   1.000%(S)   6 Month BKIBOR(2)(S)   (8,402)     (8,402)   Goldman Sachs International
TWD 115,500   03/17/21   0.780%(Q)   3 Month TAIBOR(2)(Q)   3,165     3,165   Barclays Bank PLC
ZAR 40,930   03/22/42   7.800%(Q)   3 Month JIBAR(2)(Q)   (8,475)     (8,475)   Citibank, N.A.
ZAR 89,400   09/22/42   8.020%(Q)   3 Month JIBAR(2)(Q)   117,133     117,133   Citibank, N.A.
ZAR 38,700   03/22/47   7.650%(Q)   3 Month JIBAR(1)(Q)   81,810     81,810   Citibank, N.A.
ZAR 83,965   09/22/47   7.890%(Q)   3 Month JIBAR(1)(Q)   21,890     21,890   Citibank, N.A.
                  $10,224,354   $(3,256)   $10,227,610    
    
(1) The Fund pays the fixed rate and receives the floating rate.
(2) The Fund pays the floating rate and receives the fixed rate.
Other information regarding the Fund is available in the Fund’s most recent Report to Shareholders. This information is available on the Securities and Exchange Commission’s website (www.sec.gov).
127