0001752724-22-215825.txt : 20220926 0001752724-22-215825.hdr.sgml : 20220926 20220926152152 ACCESSION NUMBER: 0001752724-22-215825 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220729 FILED AS OF DATE: 20220926 DATE AS OF CHANGE: 20220926 PERIOD START: 20221031 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: 221265471 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 S000059804 PGIM Global Total Return (USD Hedged) Fund C000195657 Class A PHEAX C000195658 Class C PHECX C000195659 Class R6 PHEQX C000195660 Class Z PHEZX NPORT-P 1 primary_doc.xml NPORT-P false 0000793159 XXXXXXXX S000059804 C000195658 C000195657 C000195660 C000195659 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 (USD Hedged) Fund S000059804 549300QIZG04PLRGJT57 2022-10-31 2022-07-29 N 94264936.37 2967434.12 91297502.25 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 746250.00000000 0.00000000 0.00000000 69607.09000000 CAD CNY EUR GBP JPY USD N DS SMITH PLC 39RSBE4RCI4M15BLWH36 DS Smith PLC 000000000 100000.00000000 PA 94382.17000000 0.103378698950 Long DBT CORP GB N 2 2026-09-12 Fixed 0.87500000 N N N N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS EUR 000000000 1.00000000 NC -41660.39000000 -0.04563146742 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2041-11-25 0.00000000 USD 0.00000000 USD 364000.00000000 EUR -41660.39000000 N N N GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 CDS ELECTRICITE DE FRANCE SA 000000000 1.00000000 NC 348.84000000 0.000382091504 N/A DCR CORP GB N 2 GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 ELECTRICITE DE FRANCE SA ELECTRICITE DE FRANCE SA Y Default Event 2022-12-20 396.10000000 USD 0.00000000 USD 100000.00000000 EUR -47.26000000 N N N BRISTOL-MYERS SQUIBB CO HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122DR6 10000.00000000 PA USD 7827.43000000 0.008573542328 Long DBT CORP US N 2 2040-11-13 Fixed 2.35000000 N N N N N N BOMBARDIER INC W7L3VLU8EHQY34Z36697 Bombardier Inc 097751BR1 19000.00000000 PA USD 18620.00000000 0.020394862445 Long DBT CORP CA N 2 2024-12-01 Fixed 7.50000000 N N N N N N HSBC BANK USA, NATIONAL ASSOCIATION 1IE8VN30JCEQV1H4R804 IRS THB 000000000 1.00000000 NC -910.01000000 -0.00099675235 N/A DIR CORP US N 2 HSBC BANK USA, NATIONAL ASSOCIATION 1IE8VN30JCEQV1H4R804 Y 2025-05-07 0.15000000 USD 0.00000000 USD 1000000.00000000 THB -910.16000000 N N N CITIBANK, NATIONAL ASSOCIATION E57ODZWZ7FF32TWEFA76 IRS MYR 000000000 1.00000000 NC 897.62000000 0.000983181333 N/A DIR CORP US N 2 CITIBANK, NATIONAL ASSOCIATION E57ODZWZ7FF32TWEFA76 Y 2032-04-07 0.00000000 USD -2.47000000 USD 200000.00000000 MYR 900.09000000 N N N MORGAN STANLEY & CO. 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N N N N N N VISTRA OPERATIONS CO LLC 549300ZH5GKBTJZ7NM23 Vistra Operations Co LLC 92840VAB8 75000.00000000 PA USD 75211.30000000 0.082380457456 Long DBT CORP US N 2 2027-02-15 Fixed 5.62500000 N N N N N N CITIBANK, NATIONAL ASSOCIATION E57ODZWZ7FF32TWEFA76 CDS PEOPLES REPUBLIC OF CHINA 000000000 1.00000000 NC USD -8180.62000000 -0.00896039847 N/A DCR CORP US N 2 CITIBANK, NATIONAL ASSOCIATION E57ODZWZ7FF32TWEFA76 PEOPLE'S REPUBLIC OF CHINA PEOPLE'S REPUBLIC OF CHINA Y Default Event 2027-06-20 1379.54000000 USD 0.00000000 USD -600000.00000000 USD -9560.16000000 N N N FHLMC Multifamily Structured P S6XOOCT0IEG5ABCC6L87 Freddie Mac Multifamily Structured Pass Through Certificates 3137FUZE7 318678.55000000 PA USD 31167.21000000 0.034138075228 Long ABS-MBS USGSE US N 2 2030-05-25 Variable 1.57105500 N N N N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS KRW 000000000 1.00000000 NC -46298.15000000 -0.05071129971 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2030-04-27 0.00000000 USD -10400.58000000 USD 470000000.00000000 KRW -35897.57000000 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 EUR/USD FORWARD 000000000 1.00000000 NC USD 5243.25000000 0.005743037729 N/A DFE CORP US N 2 BARCLAYS PLC 213800LBQA1Y9L22JB70 -5052957.16000000 EUR 5182125.90000000 USD 2022-09-02 5243.25000000 N N N REPUBLIC OF CYPRUS 213800IOEYYAHPDLUL60 Cyprus Government International Bond 000000000 200000.00000000 PA 194419.46000000 0.212951565167 Long DBT NUSS CY N 2 2034-02-26 Fixed 2.75000000 N N N N N N SNCF RESEAU 969500VZN4KDEZ14C105 SNCF Reseau 761034AA5 100000.00000000 PA 83102.66000000 0.091024023606 Long DBT NUSS FR N 2 2035-06-01 Fixed 4.70000000 N N N N N N REPUBLIC OF PERU 254900STKLK2DBJJZ530 Peruvian Government International Bond 000000000 105000.00000000 PA 79547.43000000 0.087129908310 Long DBT NUSS PE N 2 2033-03-11 Fixed 1.25000000 N N N N N N ELEVANCE HEALTH INC 8MYN82XMYQH89CTMTH67 Elevance Health Inc 036752AL7 100000.00000000 PA USD 93126.69000000 0.102003546323 Long DBT CORP US N 2 2029-09-15 Fixed 2.87500000 N N N N N N BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 Barclays Bank PLC 000000000 10000000.00000000 PA 142810.62000000 0.156423359325 Long DBT CORP GB N 2 2033-01-28 Fixed 0.50000000 N N N N N N BX Trust N/A BX Commercial Mortgage Trust 2022-AHP 05610FAF4 400000.00000000 PA USD 387603.96000000 0.424550453679 Long ABS-MBS CORP US N 2 2039-01-17 Floating 4.99858000 N N N N N N MORGAN STANLEY & CO. LLC 9R7GPTSO7KV3UQJZQ078 IRS MYR 000000000 1.00000000 NC -2809.01000000 -0.00307676544 N/A DIR CORP US N 2 MORGAN STANLEY & CO. LLC 9R7GPTSO7KV3UQJZQ078 Y 2026-04-09 0.00000000 USD -8.17000000 USD 450000.00000000 MYR -2800.84000000 N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS EUR 000000000 1.00000000 NC 16310.16000000 0.017864847994 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2041-11-24 0.00000000 USD 0.00000000 USD -150000.00000000 EUR 16310.16000000 N N N COMISION FEDERAL DE ELEC 4469000001BFPONMPF32 Comision Federal de Electricidad 000000000 158000.00000000 PA USD 135880.00000000 0.148832111121 Long DBT CORP MX N 2 2036-09-29 Fixed 5.00000000 N N N N N N ROMANIA 315700IASY927EDWBK92 Romanian Government International Bond 000000000 50000.00000000 PA 38128.85000000 0.041763300265 Long DBT NUSS RO N 2 2031-07-16 Fixed 2.12400000 N N N N N N MAGALLANES INC 549300DXR29GD4N0A520 Magallanes Inc 55903VAQ6 115000.00000000 PA USD 100480.93000000 0.110058794078 Long DBT CORP US Y 2 2052-03-15 Fixed 5.14100000 N N N N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS THB 000000000 1.00000000 NC -7901.36000000 -0.00865451935 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2030-07-03 0.00000000 USD 0.00000000 USD 3000000.00000000 THB -7901.36000000 N N N VENTURE GLOBAL CALCASIEU 549300GKHS6RS20NLH85 Venture Global Calcasieu Pass LLC 92328MAA1 5000.00000000 PA USD 4630.24000000 0.005071595482 Long DBT CORP US N 2 2029-08-15 Fixed 3.87500000 N N N N N N RUSSIAN FEDERATION 5493004EHVGF71PDBU58 Russian Foreign Bond - Eurobond 000000000 200000.00000000 PA USD 76000.00000000 0.083244336511 Long DBT NUSS RU N 2 2029-03-21 Fixed 4.37500000 N N N N N N REPUBLIC OF CYPRUS 213800IOEYYAHPDLUL60 Cyprus Government International Bond 000000000 100000.00000000 PA 100403.33000000 0.109973797229 Long DBT NUSS CY N 2 2028-09-25 Fixed 2.37500000 N N N N N N BNP PARIBAS R0MUWSFPU8MPRO8K5P83 BNP Paribas SA 09659W2P8 400000.00000000 PA USD 338095.08000000 0.370322376481 Long DBT CORP FR N 2 2032-04-19 Fixed 2.87100000 N N N N N N VISTRA CORP 549300KP43CPCUJOOG15 Vistra Corp 92840MAB8 125000.00000000 PA USD 121068.67000000 0.132608961928 Long DBT CORP US N 2 N/A Fixed 8.00000000 N N N N N N RUSSIAN FEDERATION 5493004EHVGF71PDBU58 Russian Foreign Bond - Eurobond 000000000 100000.00000000 PA 36793.80000000 0.040300993009 Long DBT NUSS RU N 2 2036-05-27 Fixed 2.65000000 N N N N N N BUONI POLIENNALI DEL TES 815600DE60799F5A9309 Italy Buoni Poliennali Del Tesoro 000000000 105000.00000000 PA 90682.46000000 0.099326331789 Long DBT NUSS IT N 2 2067-03-01 Fixed 2.80000000 N N N N N N Legacy Mortgage Asset Trust N/A Legacy Mortgage Asset Trust 2019-PR1 52475MAB4 65593.22000000 PA USD 65268.13000000 0.071489502331 Long ABS-MBS CORP US N 2 2059-09-25 Variable 3.85800000 N N N N N N US TREASURY N/B 254900HROIFWPRGM1V77 United States Treasury Note/Bond 912810RY6 675000.00000000 PA USD 614882.81000000 0.673493573040 Long DBT UST US N 2 2047-08-15 Fixed 2.75000000 N N N N N N UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 IRS CNY 000000000 1.00000000 NC 3437.74000000 0.003765426123 N/A DIR CORP GB N 2 UK CLEARING HOUSE LIMITED 213800O8SCO4XJGBU385 Y 2024-10-10 0.00000000 USD -0.77000000 USD 1500000.00000000 CNY 3438.51000000 N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC 404280CM9 200000.00000000 PA USD 178237.92000000 0.195227597258 Long DBT CORP GB N 2 2027-05-24 Fixed 1.58900000 N N N N N N TVA DISCOUNT NOTE 549300HE1ISW43LNKM54 Tennessee Valley Authority Discount Notes 880590A53 200000.00000000 PA USD 199975.56000000 0.219037273826 Long DBT USGA US N 2 2022-08-03 None 0.00000000 N N N N N N REPUBLIC OF KAZAKHSTAN 5493007OEK8EF02UO833 Kazakhstan Government International Bond 000000000 115000.00000000 PA 105289.99000000 0.115326254722 Long DBT NUSS KZ N 2 2028-11-09 Fixed 2.37500000 N N N N N N PETROLEOS MEXICANOS 549300CAZKPF4HKMPX17 Petroleos Mexicanos 000000000 300000.00000000 PA 254122.51000000 0.278345522864 Long DBT CORP MX N 2 2028-02-21 Fixed 4.87500000 N N N N N N CHINA GOVERNMENT BOND 300300CHN201808MOF68 CHINA GOVERNMENT BOND 000000000 2000000.00000000 PA 306591.23000000 0.335815572654 Long DBT NUSS CN N 2 2028-06-27 Fixed 3.60000000 N N N N N N NATIONSTAR MTG HLD INC N/A Nationstar Mortgage Holdings Inc 63861CAA7 35000.00000000 PA USD 32441.13000000 0.035533425559 Long DBT CORP US N 2 2027-01-15 Fixed 6.00000000 N N N N N N HELLENIC REPUBLIC 2138003EKTMKZ5598902 Hellenic Republic Government Bond 000000000 37000.00000000 PA 37034.19000000 0.040564297036 Long DBT NUSS GR N 2 2042-02-24 Variable 4.30000000 N N N N N N Freddie Mac - STACR N/A Freddie Mac STACR REMIC Trust 2021-DNA3 35564KFG9 45000.00000000 PA USD 40592.69000000 0.044461994030 Long ABS-MBS CORP US N 2 2033-10-25 Floating 5.01422000 N N N N N N CF INDUSTRIES INC 5FVKT86LAD2F40NPC183 CF Industries Inc 12527GAD5 40000.00000000 PA USD 36546.00000000 0.040029572660 Long DBT CORP US N 2 2043-06-01 Fixed 4.95000000 N N N N N N SOCIETE GENERALE O2RNE8IBXP4R0TD8PU41 Societe Generale SA 83368RAV4 255000.00000000 PA USD 243618.79000000 0.266840585992 Long DBT CORP FR N 2 2025-01-22 Fixed 2.62500000 N N N N N N REPUBLIC OF INDONESIA 529900FWX0GRR7WG5W79 Indonesia Government International Bond 000000000 200000.00000000 PA 200076.51000000 0.219147846402 Long DBT NUSS ID N 2 2025-04-24 Fixed 1.75000000 N N N N N N LAMB WESTON HLD 5493005SMYID1D2OY946 Lamb Weston Holdings Inc 513272AE4 50000.00000000 PA USD 47247.58000000 0.051751229590 Long DBT CORP US N 2 2032-01-31 Fixed 4.37500000 N N N N N N TAYLOR MORRISON COMM 549300O1Z08HI2MRK572 Taylor Morrison Communities Inc 87724RAA0 25000.00000000 PA USD 25530.07000000 0.027963601819 Long DBT CORP US N 2 2027-06-15 Fixed 5.87500000 N N N N N N PERU ENHANCED PASS-THRU 549300O4IWRO77V4HJ21 Peru Enhanced Pass-Through Finance Ltd 000000000 74715.16000000 PA USD 69919.38000000 0.076584110492 Long DBT CORP KY N 2 2025-06-02 None 0.00000000 N N N N N N MONTREAL EXCHANGE N/A Montreal Exchange 10 Year Canadian Bond 000000000 5.00000000 NC 10067.04000000 0.011026632439 N/A DIR CORP CA N 1 MONTREAL EXCHANGE N/A Long CANADIAN GOVERNMENT Canadian Government Bond 2022-09-20 497303.82000000 USD 10067.04000000 N N N 2022-09-26 Prudential Global Total Return Fund, Inc. Christian J. Kelly Christian J. Kelly Treasurer and Principal Financial and Accounting Officer XXXX NPORT-EX 2 PIDPD00PRU073122.htm
PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Long-Term Investments 96.0%          
Asset-Backed Securities 12.8%
Bermuda 0.8%
TSTAT Ltd.,
Series 2022-01A, Class A1, 144A
— %(p) 07/20/31   750  $750,000
Cayman Islands 8.4%
AIG CLO Ltd.,
Series 2019-02A, Class AR, 144A, 3 Month LIBOR + 1.100% (Cap N/A, Floor 1.100%)
3.883(c) 10/25/33   500 487,203
Arbor Realty Commercial Real Estate Notes Ltd.,
Series 2022-FL01, Class A, 144A, 30 Day Average SOFR + 1.450% (Cap N/A, Floor 1.450%)
2.867(c) 01/15/37   200 195,680
Atlas Static Senior Loan Fund Ltd.,
Series 2022-01A, Class A, 144A
(p) 07/15/30   500 497,500
Bain Capital Credit CLO Ltd.,
Series 2018-01A, Class A1, 144A, 3 Month LIBOR + 0.960% (Cap N/A, Floor 0.000%)
3.743(c) 04/23/31   250 245,142
Broad River BSL Funding CLO Ltd.,
Series 2020-01A, Class AR, 144A, 3 Month LIBOR + 1.170% (Cap N/A, Floor 1.170%)
3.880(c) 07/20/34   750 723,730
Carlyle CLO Ltd.,
Series C17A, Class A1AR, 144A, 3 Month LIBOR + 1.030% (Cap N/A, Floor 0.000%)
3.812(c) 04/30/31   250 244,888
Carlyle Global Market Strategies CLO Ltd.,
Series 2014-01A, Class A1R2, 144A, 3 Month LIBOR + 0.970% (Cap N/A, Floor 0.970%)
3.710(c) 04/17/31   249 244,574
Greywolf CLO Ltd.,
Series 2018-01A, Class A1, 144A, 3 Month LIBOR + 1.030% (Cap N/A, Floor 0.000%)
3.796(c) 04/26/31   750 735,017
Jamestown CLO Ltd.,
Series 2019-14A, Class A1AR, 144A, 3 Month LIBOR + 1.200% (Cap N/A, Floor 1.200%)
3.910(c) 10/20/34   250 240,764
Madison Park Funding Ltd.,
Series 2019-33A, Class AR, 144A, 3 Month SOFR+ 1.290% (Cap N/A, Floor 1.290%)
3.618(c) 10/15/32   750 734,512
MidOcean Credit CLO,
Series 2018-08A, Class B, 144A, 3 Month LIBOR + 1.650% (Cap N/A, Floor 0.000%)
3.128(c) 02/20/31   250 238,333
OZLM Ltd.,
Series 2014-06A, Class A2AS, 144A, 3 Month LIBOR + 1.750% (Cap N/A, Floor 0.000%)
4.490(c) 04/17/31   250 237,764
1

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Cayman Islands (cont’d.)
Palmer Square CLO Ltd.,
Series 2015-01A, Class A1A4, 144A, 3 Month LIBOR + 1.130% (Cap N/A, Floor 1.130%)
2.635 %(c) 05/21/34   750  $721,380
TCW CLO Ltd.,          
Series 2017-01A, Class A1RR, 144A, 3 Month LIBOR + 1.180% (Cap N/A, Floor 1.180%) 3.986(c) 10/29/34   250 240,291
Series 2020-01A, Class A1RR, 144A, 3 Month LIBOR + 1.160% (Cap N/A, Floor 1.160%) 3.870(c) 04/20/34   750 724,318
     
 
Telos CLO Ltd.,
Series 2013-04A, Class AR, 144A, 3 Month LIBOR + 1.240% (Cap N/A, Floor 0.000%)
3.980(c) 01/17/30   230 227,504
Trimaran Cavu Ltd.,
Series 2021-01A, Class A, 144A, 3 Month LIBOR + 1.210% (Cap N/A, Floor 1.210%)
3.993(c) 04/23/32   500 490,899
Voya CLO Ltd.,
Series 2013-02A, Class A1R, 144A, 3 Month SOFR + 1.232% (Cap N/A, Floor 0.970%)
3.773(c) 04/25/31   250 244,089
Wind River CLO Ltd.,
Series 2016-01KRA, Class A1R2, 144A, 3 Month LIBOR + 1.210% (Cap N/A, Floor 1.210%)
3.722(c) 10/15/34   250 240,276
          7,713,864
Ireland 1.7%
Ares European CLO DAC,
Series 11A, Class B2R, 144A
1.950 04/15/32 EUR 500 461,350
Armada Euro CLO DAC,
Series 02A, Class A3, 144A
1.500 11/15/31 EUR 250 250,097
Carlyle Euro CLO DAC,
Series 2021-02A, Class A1, 144A, 3 Month EURIBOR + 0.990% (Cap N/A, Floor 0.990%)
0.990(c) 10/15/35 EUR 300 287,883
Carlyle Global Market Strategies Euro CLO Ltd.,
Series 2014-02A, Class AR1, 144A, 3 Month EURIBOR + 0.750% (Cap N/A, Floor 0.750%)
0.750(c) 11/15/31 EUR 500 488,355
          1,487,685
2

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Asset-Backed Securities (Continued)
Spain 0.1%
TFS,          
Series 2018-03, Class A1^ 0.000 %(cc) 04/16/40 EUR —(r)  $72
Series 2018-03, Class A1, 1 Month EURIBOR + 3.000%^ 3.000(c) 04/16/23 EUR 62 62,594
          62,666
United States 1.8%
Battalion CLO Ltd.,
Series 2018-12A, Class A1, 144A, 3 Month LIBOR + 1.070% (Cap N/A, Floor 1.070%)
2.514(c) 05/17/31   250 244,376
Exeter Automobile Receivables Trust,
Series 2021-03A, Class D
1.550 06/15/27   100 91,737
Greenwood Park CLO Ltd.,
Series 2018-01A, Class A2, 144A, 3 Month LIBOR + 1.010% (Cap N/A, Floor 0.000%)
3.522(c) 04/15/31   250 244,381
Lendmark Funding Trust,
Series 2019-02A, Class A, 144A
2.780 04/20/28   200 195,801
Mariner Finance Issuance Trust,
Series 2020-AA, Class A, 144A
2.190 08/21/34   100 96,925
OneMain Direct Auto Receivables Trust,          
Series 2019-01A, Class A, 144A 3.630 09/14/27   100 98,519
Series 2019-01A, Class D, 144A 4.680 04/14/31   100 94,767
Oportun Funding XIV LLC,          
Series 2021-A, Class B, 144A 1.760 03/08/28   100 94,080
Series 2021-A, Class C, 144A 3.440 03/08/28   100 94,151
     
 
Oportun Issuance Trust,
Series 2022-02, Class A, 144A
5.940 10/09/29   200 199,947
Regional Management Issuance Trust,
Series 2022-01, Class A, 144A
3.070 03/15/32   100 94,033
TH MSR Issuer Trust,
Series 2019-FT01, Class A, 144A, 1 Month LIBOR + 2.800% (Cap N/A, Floor 2.800%)
5.059(c) 06/25/24   120 117,017
          1,665,734
     
 
Total Asset-Backed Securities
(cost $12,298,346)
11,679,949
3

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Bank Loans 0.0%
United States 
Diamond Sports Group LLC,          
First Lien Term Loan, 1 Month SOFR + 8.000% 9.786 %(c) 05/25/26   5  $5,055
Second Lien Term Loan, 1 Month SOFR + 3.250% 5.036(c) 08/24/26   50 9,927
     
 
Total Bank Loans
(cost $42,809)
14,982
Commercial Mortgage-Backed Securities 7.1%
Canada 0.0%
Real Estate Asset Liquidity Trust,
Series 2020-01A, Class A1, 144A
2.381(cc) 02/12/55 CAD 22 16,465
Ireland 1.0%
Deco DAC,
Series 2019-RAM, Class B, SONIA + 3.607% (Cap N/A, Floor 3.607%)
4.170(c) 08/07/30 GBP 445 460,925
Last Mile Logistics Pan Euro Finance DAC,
Series 01A, Class D, 144A, 3 Month EURIBOR + 1.900% (Cap N/A, Floor 1.900%)
1.900(c) 08/17/33 EUR 100 94,957
Taurus DAC,          
Series 2021-UK4A, Class B, 144A, SONIA + 1.500% (Cap N/A, Floor 1.500%) 2.108(c) 08/17/31 GBP 96 109,882
Series 2021-UK4A, Class C, 144A, SONIA + 1.750% (Cap N/A, Floor 1.750%) 2.358(c) 08/17/31 GBP 96 113,069
Series 2021-UK4A, Class D, 144A, SONIA + 2.100% (Cap N/A, Floor 2.100%) 2.708(c) 08/17/31 GBP 95 106,162
          884,995
United States 6.1%
BANK,          
Series 2018-BN10, Class A4 3.428 02/15/61   250 246,232
Series 2020-BN26, Class A3 2.155 03/15/63   200 178,462
     
 
Barclays Commercial Mortgage Securities Trust,
Series 2018-CHRS, Class C, 144A
4.267(cc) 08/05/38   380 340,218
Benchmark Mortgage Trust,          
Series 2018-B01, Class A3 3.355 01/15/51   175 173,244
Series 2018-B02, Class A3 3.544 02/15/51   200 197,578
Series 2020-B17, Class A4 2.042 03/15/53   75 66,092
Series 2020-B20, Class A3 1.945 10/15/53   100 90,156
4

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Commercial Mortgage-Backed Securities (Continued)
United States (cont’d.)
BX Commercial Mortgage Trust,          
Series 2019-XL, Class F, 144A, 1 Month LIBOR + 2.000% (Cap N/A, Floor 2.000%) 3.999 %(c) 10/15/36   85  $82,006
Series 2019-XL, Class G, 144A, 1 Month LIBOR + 2.300% (Cap N/A, Floor 2.300%) 4.299(c) 10/15/36   85 81,624
Series 2019-XL, Class J, 144A, 1 Month LIBOR + 2.650% (Cap N/A, Floor 2.650%) 4.649(c) 10/15/36   517 491,169
Series 2022-AHP, Class E, 144A, 1 Month SOFR+ 3.040% (Cap N/A, Floor 3.040%) 4.999(c) 01/17/39   400 387,604
     
 
BX Trust,
Series 2022-LBA06, Class E, 144A, 1 Month SOFR+ 2.700% (Cap N/A, Floor 2.700%)
4.659(c) 01/15/39   350 330,496
Citigroup Commercial Mortgage Trust,
Series 2018-B02, Class A3
3.744 03/10/51   150 148,616
Cold Storage Trust,
Series 2020-ICE05, Class E, 144A, 1 Month LIBOR + 2.766% (Cap N/A, Floor 2.833%)
4.765(c) 11/15/37   98 95,214
Credit Suisse Mortgage Capital Certificates,
Series 2019-ICE04, Class E, 144A, 1 Month LIBOR + 2.150% (Cap N/A, Floor 2.150%)
4.149(c) 05/15/36   200 193,951
FHLMC Multifamily Structured Pass-Through
Certificates,
         
Series K052, Class X1, IO 0.640(cc) 11/25/25   4,343 76,241
Series K111, Class X1, IO 1.571(cc) 05/25/30   319 31,167
Series K113, Class X1, IO 1.387(cc) 06/25/30   920 79,944
Series KG03, Class X1, IO 1.381(cc) 06/25/30   1,054 90,071
     
 
GS Mortgage Securities Trust,
Series 2018-GS09, Class A3
3.727 03/10/51   125 122,984
JPMorgan Chase Commercial Mortgage Securities Trust,          
Series 2021-NYAH, Class G, 144A, 1 Month LIBOR + 2.640% (Cap N/A, Floor 2.640%) 4.639(c) 06/15/38   150 135,094
Series 2021-NYAH, Class H, 144A, 1 Month LIBOR + 3.390% (Cap N/A, Floor 3.390%) 5.389(c) 06/15/38   100 88,034
     
 
MKT Mortgage Trust,
Series 2020-525M, Class F, 144A
2.941(cc) 02/12/40   100 69,763
One New York Plaza Trust,          
Series 2020-01NYP, Class C, 144A, 1 Month LIBOR + 2.200% (Cap N/A, Floor 2.200%) 4.199(c) 01/15/36   100 94,261
Series 2020-01NYP, Class D, 144A, 1 Month LIBOR + 2.750% (Cap N/A, Floor 2.750%) 4.749(c) 01/15/36   100 94,315
     
 
UBS Commercial Mortgage Trust,
Series 2018-C08, Class A3
3.720 02/15/51   250 247,744
5

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Commercial Mortgage-Backed Securities (Continued)
United States (cont’d.)
Wells Fargo Commercial Mortgage Trust,          
Series 2016-LC24, Class A3 2.684 % 10/15/49   225  $214,901
Series 2021-C59, Class A3 1.958 04/15/54   600 539,734
Series 2021-FCMT, Class C, 144A, 1 Month LIBOR + 2.400% (Cap N/A, Floor 2.400%) 4.399(c) 05/15/31   100 94,868
Series 2021-FCMT, Class E, 144A, 1 Month LIBOR + 4.500% (Cap N/A, Floor 4.500%) 6.499(c) 05/15/31   600 562,677
          5,644,460
     
 
Total Commercial Mortgage-Backed Securities
(cost $7,047,482)
6,545,920
Corporate Bonds 34.5%
Belgium 0.1%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.,
Gtd. Notes
4.900 02/01/46   140 140,843
Brazil 0.4%
Petrobras Global Finance BV,
Gtd. Notes
6.625 01/16/34 GBP 300 338,351
Bulgaria 0.2%
Bulgarian Energy Holding EAD,
Sr. Unsec’d. Notes
2.450 07/22/28 EUR 200 163,467
Canada 1.0%
Bombardier, Inc.,          
Sr. Unsec’d. Notes, 144A 7.125 06/15/26   25 23,210
Sr. Unsec’d. Notes, 144A 7.500 12/01/24   19 18,620
Sr. Unsec’d. Notes, 144A 7.500 03/15/25   21 20,764
Sr. Unsec’d. Notes, 144A 7.875 04/15/27   80 73,700
     
 
Brookfield Residential Properties, Inc./Brookfield Residential US LLC,
Gtd. Notes, 144A
4.875 02/15/30   35 26,775
Cenovus Energy, Inc.,          
Sr. Unsec’d. Notes 2.650 01/15/32   15 12,898
Sr. Unsec’d. Notes 3.750 02/15/52   10 8,047
Hydro-Quebec,          
Local Gov’t. Gtd. Notes, Series HK 9.375 04/15/30   150 209,026
6

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Canada (cont’d.)
Hydro-Quebec, (cont’d.)          
Local Gov’t. Gtd. Notes, Series JN 5.000 % 02/15/50 CAD 50   $47,475
     
 
Mattamy Group Corp.,
Sr. Unsec’d. Notes, 144A
4.625 03/01/30   125 100,338
Ontario Teachers’ Cadillac Fairview Properties Trust,
Sr. Unsec’d. Notes, 144A
3.875 03/20/27   300 296,630
Teck Resources Ltd.,
Sr. Unsec’d. Notes
5.400 02/01/43   60 55,533
          893,016
China 2.1%
Agricultural Development Bank of China,
Sr. Unsec’d. Notes
3.800 10/27/30 CNH 6,000 923,755
Aircraft Finance Co. Ltd.,
Sr. Sec’d. Notes, Series B
4.100 03/29/26   84 83,999
China Development Bank,          
Sr. Unsec’d. Notes 4.300 08/02/32 CNH 5,000 803,256
Unsec’d. Notes 4.200 01/19/27 CNH 1,000 156,126
          1,967,136
Denmark 0.5%
Danske Bank A/S,          
Sr. Unsec’d. Notes, 144A 1.171(ff) 12/08/23   300 296,466
Sub. Notes, EMTN 2.500(ff) 06/21/29 EUR 150 151,130
          447,596
France 2.4%
Banque Federative du Credit Mutuel SA,
Sr. Unsec’d. Notes, 144A
1.604 10/04/26   200 181,663
BNP Paribas SA,          
Sr. Unsec’d. Notes, 144A 2.591(ff) 01/20/28   200 181,032
Sr. Unsec’d. Notes, 144A 2.871(ff) 04/19/32   400 338,095
     
 
BPCE SA,
Sr. Unsec’d. Notes, 144A
2.045(ff) 10/19/27   250 223,175
Credit Agricole Assurances SA,
Sub. Notes
4.250(ff) 01/13/25(oo) EUR 100 104,250
Iliad Holding SASU,
Sr. Sec’d. Notes, 144A
5.125 10/15/26 EUR 100 98,628
La Poste SA,
Sr. Unsec’d. Notes, EMTN
1.375 04/21/32 EUR 100 96,790
7

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
France (cont’d.)
     
Regie Autonome des Transports Parisiens,
Sr. Unsec’d. Notes, EMTN
0.400 % 12/19/36 EUR 91  $88,802
SNCF Reseau,
Sr. Unsec’d. Notes, Series MPLE
4.700 06/01/35 CAD 100 83,103
Societe Generale SA,          
Sr. Unsec’d. Notes, 144A 1.488(ff) 12/14/26   200 177,533
Sr. Unsec’d. Notes, 144A 2.797(ff) 01/19/28   200 181,122
Sr. Unsec’d. Notes, 144A, MTN 2.625 01/22/25   255 243,619
     
 
Verallia SA,
Gtd. Notes
1.625 05/14/28 EUR 200 182,700
          2,180,512
Germany 1.3%
Allianz SE,
Jr. Sub. Notes
3.375(ff) 09/18/24(oo) EUR 100 103,126
Deutsche Bahn Finance GMBH,
Gtd. Notes, MTN
3.800 09/27/27 AUD 100 68,278
Deutsche Bank AG,          
Sr. Unsec’d. Notes 0.898 05/28/24   265 250,639
Sr. Unsec’d. Notes 1.447(ff) 04/01/25   210 196,855
Sr. Unsec’d. Notes 2.552(ff) 01/07/28   150 131,420
Sub. Notes, EMTN 3.662(ff) 04/10/25 CNH 1,000 145,377
     
 
TK Elevator Midco GmbH,
Sr. Sec’d. Notes
4.375 07/15/27 EUR 153 143,139
Volkswagen International Finance NV,          
Gtd. Notes 2.700(ff) 12/14/22(oo) EUR 100 101,167
Gtd. Notes 4.625(ff) 03/24/26(oo) EUR 100 101,363
          1,241,364
Hong Kong 0.4%
HKT Capital No. 3 Ltd.,
Gtd. Notes
1.650 04/10/27 EUR 200 186,158
Sun Hung Kai Properties Capital Market Ltd.,
Gtd. Notes, EMTN
3.200 08/14/27 CNH 1,000 142,404
          328,562
Hungary 0.1%
MFB Magyar Fejlesztesi Bank Zrt,
Gov’t. Gtd. Notes
0.375 06/09/26 EUR 100 88,874
8

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
India 0.3%
NTPC Ltd.,
Sr. Unsec’d. Notes, EMTN
2.750 % 02/01/27 EUR 200  $189,181
Power Finance Corp. Ltd.,
Sr. Unsec’d. Notes, GMTN
1.841 09/21/28 EUR 100 84,690
          273,871
Indonesia 0.1%
Perusahaan Listrik Negara PT,
Sr. Unsec’d. Notes, 144A
1.875 11/05/31 EUR 100 78,462
Israel 0.1%
Energean Israel Finance Ltd.,
Sr. Sec’d. Notes, 144A
4.500 03/30/24   100 95,250
Italy 0.8%
Assicurazioni Generali SpA,
Sub. Notes, EMTN
5.500(ff) 10/27/47 EUR 100 107,254
Intesa Sanpaolo SpA,
Sr. Unsec’d. Notes, 144A
3.375 01/12/23   200 199,112
Nexi SpA,
Sr. Unsec’d. Notes
2.125 04/30/29 EUR 414 343,748
Rossini Sarl,
Sr. Sec’d. Notes, 144A
6.750 10/30/25 EUR 100 102,665
          752,779
Jamaica 0.1%
Digicel International Finance Ltd./Digicel International Holdings Ltd.,
Gtd. Notes, 144A
8.000 12/31/26   100 69,000
Japan 0.4%
Mitsubishi UFJ Financial Group, Inc.,
Sr. Unsec’d. Notes
1.538(ff) 07/20/27   210 187,888
Nomura Holdings, Inc.,
Sr. Unsec’d. Notes
2.999 01/22/32   200 168,471
          356,359
9

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (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 150  $145,670
Luxembourg 0.2%
ARD Finance SA,
Sr. Sec’d. Notes, 144A, Cash coupon 5.000% or PIK 5.750%
5.000 06/30/27 EUR 100 76,123
Matterhorn Telecom SA,
Sr. Sec’d. Notes
3.125 09/15/26 EUR 100 93,600
          169,723
Malta 0.1%
Freeport Terminal Malta PLC,
Gov’t. Gtd. Notes, 144A
7.250 05/15/28   100 118,874
Mexico 0.8%
Comision Federal de Electricidad,
Sr. Unsec’d. Notes
5.000 09/29/36   158 135,880
Petroleos Mexicanos,          
Gtd. Notes 3.625 11/24/25 EUR 200 182,858
Gtd. Notes, EMTN 3.750 04/16/26 EUR 200 176,815
Gtd. Notes, EMTN 4.875 02/21/28 EUR 300 254,122
          749,675
Netherlands 0.8%
Cooperatieve Rabobank UA,
Sr. Unsec’d. Notes, GMTN
3.500 12/14/26 AUD 90 59,026
ING Groep NV,
Sr. Unsec’d. Notes
4.017(ff) 03/28/28   200 193,029
JDE Peet’s NV,
Gtd. Notes, 144A
1.375 01/15/27   150 131,313
OCI NV,
Sr. Sec’d. Notes
3.625 10/15/25 EUR 225 227,470
United Group BV,
Sr. Sec’d. Notes, 144A
5.250 02/01/30 EUR 150 119,686
          730,524
Peru 0.1%
Peru Enhanced Pass-Through Finance Ltd.,
Pass-Through Certificates
1.962(s) 06/02/25   75 69,919
10

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Philippines 0.0%
Bangko Sentral ng Pilipinas International Bond,
Sr. Unsec’d. Notes, Series A
8.600 % 06/15/27   40  $47,200
Portugal 0.1%
CP - Comboios de Portugal EPE,
Sr. Unsec’d. Notes
5.700 03/05/30 EUR 100 126,215
Russia 0.6%
Gazprom PJSC Via Gaz Capital SA,          
Sr. Unsec’d. Notes 1.450 03/06/23 CHF 600 390,818
Sr. Unsec’d. Notes 2.500 03/21/26 EUR 100 40,882
Sr. Unsec’d. Notes 4.250 04/06/24 GBP 300 146,136
Russian Railways Via RZD Capital PLC,          
Sr. Unsec’d. Notes 0.898 10/03/25(d) CHF 50 2,626
Sr. Unsec’d. Notes 7.487 03/25/31(d) GBP 100 13,396
          593,858
Singapore 0.1%
Singapore Telecommunications Ltd.,
Sr. Unsec’d. Notes, 144A
7.375 12/01/31   67 85,940
South Africa 0.2%
Eskom Holdings SOC Ltd.,
Gov’t. Gtd. Notes, MTN
6.350 08/10/28   200 190,188
Spain 0.7%
Banco Santander SA,
Sr. Unsec’d. Notes
1.722(ff) 09/14/27   200 176,321
Cellnex Finance Co. SA,
Gtd. Notes, EMTN
2.000 02/15/33 EUR 300 235,849
Cellnex Telecom SA,
Sr. Unsec’d. Notes, EMTN
1.750 10/23/30 EUR 100 82,950
Iberdrola International BV,
Gtd. Notes, Series NC6
1.450(ff) 11/09/26(oo) EUR 200 178,540
          673,660
Supranational Bank 0.2%
European Bank for Reconstruction & Development,
Sr. Unsec’d. Notes, EMTN
4.250 02/07/28 IDR 300,000 18,178
11

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
Supranational Bank (cont’d.)
European Investment Bank,
Sr. Unsec’d. Notes, 144A, EMTN
5.400 % 01/05/45 CAD 50  $48,290
International Bank for Reconstruction & Development,
Sr. Unsec’d. Notes, EMTN, 3 Month LIBOR + 0.000% (Cap 1.820%, Floor 0.000%)
0.127(c) 08/11/26   100 91,925
          158,393
Sweden 0.3%
Svenska Handelsbanken AB,
Sr. Unsec’d. Notes, 144A
1.418(ff) 06/11/27   275 248,436
Switzerland 0.9%
Credit Suisse Group AG,
Sr. Unsec’d. Notes, 144A
2.593(ff) 09/11/25   250 234,477
UBS Group AG,          
Sr. Unsec’d. Notes, 144A 1.364(ff) 01/30/27   200 179,542
Sr. Unsec’d. Notes, 144A 1.494(ff) 08/10/27   200 177,146
Sr. Unsec’d. Notes, 144A 4.751(ff) 05/12/28   200 200,478
          791,643
United Arab Emirates 0.8%
DP World PLC,          
Sr. Unsec’d. Notes 2.375 09/25/26 EUR 200 197,166
Sr. Unsec’d. Notes 4.250 09/25/30 GBP 100 120,562
     
 
Emirates NBD Bank PJSC,
Sr. Unsec’d. Notes, MTN
4.750 02/09/28 AUD 380 270,783
MDGH GMTN RSC Ltd.,
Gtd. Notes, EMTN
6.875 03/14/26 GBP 100 133,958
          722,469
United Kingdom 3.2%
Barclays Bank PLC,
Sr. Unsec’d. Notes, EMTN
0.500 01/28/33 MXN 10,000 142,811
Barclays PLC,
Sr. Unsec’d. Notes
3.932(ff) 05/07/25   200 196,935
BAT Capital Corp.,
Gtd. Notes
2.259 03/25/28   80 68,666
Bellis Acquisition Co. PLC,
Sr. Sec’d. Notes, 144A
3.250 02/16/26 GBP 200 197,609
12

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United Kingdom (cont’d.)
Bellis Finco PLC,
Sr. Unsec’d. Notes, 144A
4.000 % 02/16/27 GBP 100  $83,523
BP Capital Markets PLC,
Gtd. Notes
4.375(ff) 06/22/25(oo)   150 148,007
Co-operative Group Holdings 2011 Ltd.,
Gtd. Notes
7.500 07/08/26 GBP 100 107,984
DS Smith PLC,
Sr. Unsec’d. Notes, EMTN
0.875 09/12/26 EUR 100 94,382
eG Global Finance PLC,          
Sr. Sec’d. Notes 6.250 10/30/25 EUR 200 189,174
Sr. Sec’d. Notes, 144A 6.250 10/30/25 EUR 100 94,668
HSBC Holdings PLC,          
Sr. Unsec’d. Notes 1.589(ff) 05/24/27   200 178,238
Sr. Unsec’d. Notes 2.804(ff) 05/24/32   200 167,282
     
 
Kane Bidco Ltd.,
Sr. Sec’d. Notes, 144A
6.500 02/15/27 GBP 150 161,168
Market Bidco Finco PLC,
Sr. Sec’d. Notes, 144A
5.500 11/04/27 GBP 100 101,686
Santander UK Group Holdings PLC,
Sr. Unsec’d. Notes
1.673(ff) 06/14/27   350 308,965
Sherwood Financing PLC,
Sr. Sec’d. Notes, 144A
6.000 11/15/26 GBP 175 170,617
TalkTalk Telecom Group Ltd.,
Gtd. Notes
3.875 02/20/25 GBP 200 214,483
Virgin Media Secured Finance PLC,
Sr. Sec’d. Notes
4.250 01/15/30 GBP 300 315,256
          2,941,454
United States 14.9%
AbbVie, Inc.,
Sr. Unsec’d. Notes
4.050 11/21/39   50 47,061
Albertson’s Cos., Inc./Safeway, Inc./New Albertson’s LP/Albertson’s LLC,
Gtd. Notes, 144A
3.500 03/15/29   50 43,418
Allied Universal Holdco LLC/Allied Universal Finance Corp.,
Sr. Sec’d. Notes, 144A
6.625 07/15/26   175 169,732
American Axle & Manufacturing, Inc.,
Gtd. Notes
6.500 04/01/27   50 47,994
American International Group, Inc.,
Sr. Unsec’d. Notes
1.875 06/21/27 EUR 100 99,714
13

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
American Medical Systems Europe BV,
Gtd. Notes
1.625 % 03/08/31 EUR 100  $96,644
AmeriGas Partners LP/AmeriGas Finance Corp.,
Sr. Unsec’d. Notes
5.875 08/20/26   75 75,953
Antero Midstream Partners LP/Antero Midstream Finance Corp.,
Gtd. Notes, 144A
7.875 05/15/26   150 156,913
Antero Resources Corp.,
Gtd. Notes, 144A
8.375 07/15/26   15 16,151
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.,
Sr. Sec’d. Notes
2.125 08/15/26 EUR 250 216,249
Ascent Resources Utica Holdings LLC/ARU Finance
Corp.,
         
Gtd. Notes, 144A 7.000 11/01/26   25 24,195
Gtd. Notes, 144A 9.000 11/01/27   25 30,347
Ashton Woods USA LLC/Ashton Woods Finance Co.,          
Sr. Unsec’d. Notes, 144A 4.625 08/01/29   25 19,395
Sr. Unsec’d. Notes, 144A 4.625 04/01/30   25 18,975
AT&T, Inc.,          
Sr. Unsec’d. Notes 3.550 09/15/55   40 31,111
Sr. Unsec’d. Notes 3.650 09/15/59   69 53,846
Sr. Unsec’d. Notes 4.100 01/19/26 AUD 100 69,521
     
 
Avantor Funding, Inc.,
Sr. Sec’d. Notes
2.625 11/01/25 EUR 250 249,858
B&G Foods, Inc.,
Gtd. Notes
5.250 04/01/25   50 48,170
Bank of America Corp.,          
Jr. Sub. Notes, Series MM 4.300(ff) 01/28/25(oo)   190 165,620
Jr. Sub. Notes, Series RR 4.375(ff) 01/27/27(oo)   150 135,453
Sr. Unsec’d. Notes 1.734(ff) 07/22/27   270 244,936
Sr. Unsec’d. Notes 2.572(ff) 10/20/32   130 111,342
Sr. Unsec’d. Notes 2.687(ff) 04/22/32   195 169,564
Sr. Unsec’d. Notes, MTN 2.087(ff) 06/14/29   300 264,976
Sr. Unsec’d. Notes, MTN 3.194(ff) 07/23/30   85 78,345
     
 
Bausch Health Americas, Inc.,
Gtd. Notes, 144A
8.500 01/31/27   135 85,259
Bausch Health Cos., Inc.,          
Gtd. Notes, 144A 5.000 01/30/28   5 2,663
Gtd. Notes, 144A 5.250 01/30/30   25 12,875
Gtd. Notes, 144A 6.250 02/15/29   10 5,337
14

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Beazer Homes USA, Inc.,          
Gtd. Notes 6.750 % 03/15/25   50  $48,116
Gtd. Notes 7.250 10/15/29   20 18,190
     
 
Black Knight InfoServ LLC,
Gtd. Notes, 144A
3.625 09/01/28   100 92,587
Bristol-Myers Squibb Co.,
Sr. Unsec’d. Notes
2.350 11/13/40   10 7,827
Brixmor Operating Partnership LP,          
Sr. Unsec’d. Notes 2.500 08/16/31   10 8,058
Sr. Unsec’d. Notes 4.125 05/15/29   65 61,430
Broadcom, Inc.,          
Gtd. Notes, 144A 3.500 02/15/41   30 23,903
Sr. Unsec’d. Notes, 144A 3.137 11/15/35   102 82,140
Sr. Unsec’d. Notes, 144A 3.419 04/15/33   65 56,184
Sr. Unsec’d. Notes, 144A 4.150 04/15/32   200 188,517
     
 
Caledonia Generating LLC,
Sr. Sec’d. Notes, 144A
1.950 02/28/34   92 83,332
Calpine Corp.,          
Sr. Sec’d. Notes, 144A 3.750 03/01/31   75 66,665
Sr. Unsec’d. Notes, 144A 4.625 02/01/29   60 53,918
Sr. Unsec’d. Notes, 144A 5.000 02/01/31   10 8,861
Sr. Unsec’d. Notes, 144A 5.125 03/15/28   50 47,006
     
 
Cantor Fitzgerald LP,
Sr. Unsec’d. Notes, 144A
4.500 04/14/27   235 228,151
CCO Holdings LLC/CCO Holdings Capital Corp.,          
Sr. Unsec’d. Notes, 144A 4.250 02/01/31   50 43,362
Sr. Unsec’d. Notes, 144A 5.000 02/01/28   75 72,375
     
 
CDW LLC/CDW Finance Corp.,
Gtd. Notes
2.670 12/01/26   100 91,424
CF Industries, Inc.,          
Gtd. Notes 4.950 06/01/43   40 36,546
Gtd. Notes 5.375 03/15/44   40 38,566
Charter Communications Operating LLC/Charter
Communications Operating Capital,
         
Sr. Sec’d. Notes 2.300 02/01/32   40 31,918
Sr. Sec’d. Notes 3.900 06/01/52   135 97,791
Sr. Sec’d. Notes 4.800 03/01/50   35 28,865
Sr. Sec’d. Notes 6.384 10/23/35   100 105,021
     
 
Cigna Corp.,
Sr. Unsec’d. Notes
2.400 03/15/30   25 22,387
Citigroup, Inc.,          
Jr. Sub. Notes 3.875(ff) 02/18/26(oo)   150 137,434
15

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (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 1.462 %(ff) 06/09/27   300  $270,149
Sr. Unsec’d. Notes 2.520(ff) 11/03/32   35 29,749
Sr. Unsec’d. Notes 2.561(ff) 05/01/32   100 85,900
Sr. Unsec’d. Notes 3.106(ff) 04/08/26   300 291,868
     
 
CNA Financial Corp.,
Sr. Unsec’d. Notes
3.900 05/01/29   100 96,312
Corebridge Financial, Inc.,
Sr. Unsec’d. Notes, 144A
3.900 04/05/32   230 214,029
CSC Holdings LLC,
Sr. Unsec’d. Notes, 144A
4.625 12/01/30   200 152,059
Dana, Inc.,          
Sr. Unsec’d. Notes 4.500 02/15/32   50 41,744
Sr. Unsec’d. Notes 5.375 11/15/27   25 23,502
DaVita, Inc.,          
Gtd. Notes, 144A 3.750 02/15/31   50 38,251
Gtd. Notes, 144A 4.625 06/01/30   100 82,253
     
 
Diamond Sports Group LLC/Diamond Sports Finance Co.,
Gtd. Notes, 144A
6.625 08/15/27   45 4,209
Discovery Communications LLC,
Gtd. Notes
5.300 05/15/49   60 53,583
DISH DBS Corp.,
Gtd. Notes
7.750 07/01/26   100 82,583
Diversified Healthcare Trust,
Gtd. Notes
9.750 06/15/25   37 36,899
Elevance Health, Inc.,
Sr. Unsec’d. Notes
2.875 09/15/29   100 93,127
Endeavor Energy Resources LP/EER Finance, Inc.,
Sr. Unsec’d. Notes, 144A
5.750 01/30/28   75 75,736
Energy Transfer LP,          
Jr. Sub. Notes, Series G 7.125(ff) 05/15/30(oo)   100 90,638
Jr. Sub. Notes, Series H 6.500(ff) 11/15/26(oo)   50 45,376
Sr. Unsec’d. Notes 5.000 05/15/50   45 39,761
Enterprise Products Operating LLC,          
Gtd. Notes 3.700 01/31/51   15 12,513
Gtd. Notes 4.450 02/15/43   20 18,525
     
 
Fidelity National Information Services, Inc.,
Sr. Unsec’d. Notes
1.500 05/21/27 EUR 100 98,944
Ford Motor Co.,
Sr. Unsec’d. Notes
5.291 12/08/46   125 107,514
16

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
General Motors Co.,
Sr. Unsec’d. Notes
5.150 % 04/01/38   50  $45,207
General Motors Financial Co., Inc.,
Sr. Unsec’d. Notes
2.700 06/10/31   75 61,408
Goldman Sachs Group, Inc. (The),          
Jr. Sub. Notes, Series U 3.650(ff) 08/10/26(oo)   130 109,935
Sr. Unsec’d. Notes 1.542(ff) 09/10/27   300 268,964
Sr. Unsec’d. Notes 1.992(ff) 01/27/32   20 16,478
Sr. Unsec’d. Notes 2.615(ff) 04/22/32   195 168,257
     
 
HCA, Inc.,
Gtd. Notes
5.250 04/15/25   100 101,963
Hilcorp Energy I LP/Hilcorp Finance Co.,          
Sr. Unsec’d. Notes, 144A 6.000 04/15/30   25 22,916
Sr. Unsec’d. Notes, 144A 6.250 04/15/32   25 22,682
     
 
Hunt Cos., Inc.,
Sr. Sec’d. Notes, 144A
5.250 04/15/29   50 43,151
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.,
Gtd. Notes, 144A
6.500 04/15/29   4 4,056
Jefferies Group LLC/Jefferies Group Capital Finance, Inc.,
Sr. Unsec’d. Notes
2.625 10/15/31   150 120,992
JPMorgan Chase & Co.,          
Jr. Sub. Notes, Series HH 4.600(ff) 02/01/25(oo)   200 178,768
Sr. Unsec’d. Notes 2.069(ff) 06/01/29   250 220,706
Sr. Unsec’d. Notes 2.083(ff) 04/22/26   90 85,313
Sr. Unsec’d. Notes 2.545(ff) 11/08/32   110 94,505
Sr. Unsec’d. Notes 2.580(ff) 04/22/32   125 108,496
Sr. Unsec’d. Notes 3.702(ff) 05/06/30   65 62,151
     
 
Kontoor Brands, Inc.,
Gtd. Notes, 144A
4.125 11/15/29   53 44,941
Kraft Heinz Foods Co.,
Gtd. Notes
3.000 06/01/26   93 90,030
Lamb Weston Holdings, Inc.,
Gtd. Notes, 144A
4.375 01/31/32   50 47,248
Magallanes, Inc.,          
Gtd. Notes, 144A 3.755 03/15/27   100 96,127
Gtd. Notes, 144A 5.050 03/15/42   65 57,716
Gtd. Notes, 144A 5.141 03/15/52   115 100,481
Gtd. Notes, 144A 5.391 03/15/62   15 13,155
     
 
Marathon Petroleum Corp.,
Sr. Unsec’d. Notes
6.500 03/01/41   50 55,726
17

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
Marriott International, Inc.,
Sr. Unsec’d. Notes, Series HH
2.850 % 04/15/31   75  $64,293
Masonite International Corp.,
Gtd. Notes, 144A
3.500 02/15/30   50 42,938
Medline Borrower LP,          
Sr. Sec’d. Notes, 144A 3.875 04/01/29   50 45,142
Sr. Unsec’d. Notes, 144A 5.250 10/01/29   25 22,587
Morgan Stanley,          
Sr. Unsec’d. Notes 0.406(ff) 10/29/27 EUR 200 188,896
Sr. Unsec’d. Notes 1.593(ff) 05/04/27   110 100,334
Sr. Unsec’d. Notes, EMTN 7.500 12/15/27 MXN 1,000 43,325
Sr. Unsec’d. Notes, GMTN 2.239(ff) 07/21/32   50 42,161
Sr. Unsec’d. Notes, MTN 1.928(ff) 04/28/32   180 148,409
Sr. Unsec’d. Notes, MTN 2.511(ff) 10/20/32   55 47,220
     
 
MPLX LP,
Sr. Unsec’d. Notes
4.000 03/15/28   25 24,472
MPT Operating Partnership LP/MPT Finance Corp.,
Gtd. Notes
3.375 04/24/30 GBP 250 247,950
Nationstar Mortgage Holdings, Inc.,          
Gtd. Notes, 144A 5.500 08/15/28   15 13,165
Gtd. Notes, 144A 6.000 01/15/27   35 32,441
     
 
Newell Brands, Inc.,
Sr. Unsec’d. Notes
4.450 04/01/26   100 98,782
NortonLifeLock, Inc.,
Sr. Unsec’d. Notes, 144A
5.000 04/15/25   75 74,717
NRG Energy, Inc.,
Gtd. Notes
5.750 01/15/28   53 51,047
OneMain Finance Corp.,
Gtd. Notes
4.000 09/15/30   25 19,797
ONEOK, Inc.,
Gtd. Notes
4.450 09/01/49   120 98,366
Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC,
Sr. Sec’d. Notes, 144A
4.000 10/15/27   50 44,141
Penn National Gaming, Inc.,
Sr. Unsec’d. Notes, 144A
5.625 01/15/27   75 69,608
Phillips 66,
Gtd. Notes
3.700 04/06/23   15 15,034
Post Holdings, Inc.,
Sr. Unsec’d. Notes, 144A
4.500 09/15/31   50 44,712
Realty Income Corp.,          
Sr. Unsec’d. Notes 2.200 06/15/28   5 4,529
18

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
Realty Income Corp., (cont’d.)          
Sr. Unsec’d. Notes 2.850 % 12/15/32   5   $4,506
     
 
Silgan Holdings, Inc.,
Gtd. Notes
2.250 06/01/28 EUR 200 174,427
Skyworks Solutions, Inc.,
Sr. Unsec’d. Notes
3.000 06/01/31   75 63,249
Southwest Airlines Co.,
Sr. Unsec’d. Notes
5.125 06/15/27   180 186,420
SRM Escrow Issuer LLC,
Sr. Sec’d. Notes, 144A
6.000 11/01/28   60 55,776
Standard Industries, Inc.,
Sr. Unsec’d. Notes, 144A
4.375 07/15/30   25 21,781
Stryker Corp.,
Sr. Unsec’d. Notes
2.625 11/30/30 EUR 100 103,302
Suburban Propane Partners LP/Suburban Energy Finance Corp.,
Sr. Unsec’d. Notes
5.875 03/01/27   50 49,138
Swiss Re Finance UK PLC,
Gtd. Notes, EMTN
2.714(ff) 06/04/52 EUR 100 89,745
Tallgrass Energy Partners LP/Tallgrass Energy Finance
Corp.,
         
Gtd. Notes, 144A 5.500 01/15/28   50 45,382
Gtd. Notes, 144A 7.500 10/01/25   50 50,222
     
 
Targa Resources Corp.,
Gtd. Notes
4.200 02/01/33   40 37,579
Taylor Morrison Communities, Inc.,          
Gtd. Notes, 144A 5.875 06/15/27   25 25,530
Sr. Unsec’d. Notes, 144A 5.125 08/01/30   10 9,148
     
 
Tenet Healthcare Corp.,
Gtd. Notes, 144A
6.125 10/01/28   50 48,722
T-Mobile USA, Inc.,          
Sr. Sec’d. Notes 4.375 04/15/40   30 27,938
Sr. Sec’d. Notes 4.500 04/15/50   40 36,794
     
 
Tri Pointe Homes, Inc.,
Gtd. Notes
5.700 06/15/28   75 71,986
U.S. Bancorp,
Jr. Sub. Notes
3.700(ff) 01/15/27(oo)   200 167,357
UGI International LLC,
Gtd. Notes, 144A
2.500 12/01/29 EUR 150 112,870
United Airlines 2019-2 Class AA Pass-Through Trust,
Pass-Through Certificates
2.700 11/01/33   23 19,333
19

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
United Airlines, Inc.,          
Sr. Sec’d. Notes, 144A 4.375 % 04/15/26   60  $57,765
Sr. Sec’d. Notes, 144A 4.625 04/15/29   10 9,217
     
 
United Rentals North America, Inc.,
Gtd. Notes
5.250 01/15/30   60 60,685
Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC,
Sr. Sec’d. Notes, 144A
7.875 02/15/25   100 100,601
Vector Group Ltd.,
Sr. Sec’d. Notes, 144A
5.750 02/01/29   125 113,495
Ventas Realty LP,
Gtd. Notes
2.500 09/01/31   130 110,441
Venture Global Calcasieu Pass LLC,          
Sr. Sec’d. Notes, 144A 3.875 08/15/29   5 4,630
Sr. Sec’d. Notes, 144A 4.125 08/15/31   5 4,621
Verizon Communications, Inc.,          
Sr. Unsec’d. Notes 2.550 03/21/31   45 40,010
Sr. Unsec’d. Notes 2.650 11/20/40   45 34,634
Sr. Unsec’d. Notes 3.400 03/22/41   20 17,086
Viatris, Inc.,          
Gtd. Notes 3.850 06/22/40   110 80,345
Gtd. Notes 4.000 06/22/50   15 10,395
     
 
VICI Properties LP,
Sr. Unsec’d. Notes
4.950 02/15/30   160 157,537
Vistra Corp.,          
Jr. Sub. Notes, 144A 7.000(ff) 12/15/26(oo)   25 22,862
Jr. Sub. Notes, 144A 8.000(ff) 10/15/26(oo)   125 121,069
Vistra Operations Co. LLC,          
Gtd. Notes, 144A 5.000 07/31/27   45 44,345
Gtd. Notes, 144A 5.625 02/15/27   75 75,211
     
 
Warner Media LLC,
Gtd. Notes
4.050 12/15/23   150 149,707
Wells Fargo & Co.,          
Sr. Unsec’d. Notes, MTN 2.164(ff) 02/11/26   85 81,062
Sr. Unsec’d. Notes, MTN 2.879(ff) 10/30/30   130 118,038
Welltower, Inc.,          
Sr. Unsec’d. Notes 2.050 01/15/29   50 43,485
Sr. Unsec’d. Notes 3.100 01/15/30   70 63,642
     
 
Williams Cos., Inc. (The),
Sr. Unsec’d. Notes
3.500 10/15/51   30 23,535
Workday, Inc.,
Sr. Unsec’d. Notes
3.500 04/01/27   55 53,937
20

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Corporate Bonds (Continued)
United States (cont’d.)
     
WPC Eurobond BV,
Gtd. Notes
0.950 % 06/01/30 EUR 100  $83,580
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.,
Sr. Unsec’d. Notes, 144A
7.750 04/15/25   50 49,961
          13,615,954
     
 
Total Corporate Bonds
(cost $36,777,111)
31,595,237
Municipal Bond 0.2%
Puerto Rico 
Commonwealth of Puerto Rico,
General Obligation, Sub-Series C
(cost $162,841)
0.000(cc) 11/01/43   299 159,229
Residential Mortgage-Backed Securities 2.5%
Bermuda 0.6%
Bellemeade Re Ltd.,
Series 2021-01A, Class M1A, 144A, 30 Day Average SOFR + 1.750% (Cap N/A, Floor 1.750%)
3.264(c) 03/25/31   102 101,718
Home Re Ltd.,
Series 2021-01, Class M1B, 144A, 1 Month LIBOR + 1.550% (Cap N/A, Floor 0.000%)
3.809(c) 07/25/33   150 148,272
Oaktown Re VII Ltd.,
Series 2021-02, Class M1A, 144A, 30 Day Average SOFR + 1.600% (Cap N/A, Floor 1.600%)
3.114(c) 04/25/34   300 292,230
          542,220
Ireland 0.1%
Retiro Mortgage Securities DAC,
Series 01A, Class A1, 144A, 3 Month EURIBOR + 2.000% (Cap 5.000%, Floor 0.000%)
2.238(c) 07/30/75 EUR 52 52,843
United Kingdom 0.1%
Jupiter Mortgage PLC,
Series 01A, Class B, 144A, SONIA + 1.400% (Cap N/A, Floor 0.000%)
2.355(c) 07/20/60 GBP 100 119,733
21

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities (Continued)
United States 1.7%
BVRT Financing Trust,
Series 2021-04, Class F, 144A, 1 Month SOFR + 2.000%^
3.364 %(c) 09/12/26   46  $46,124
Connecticut Avenue Securities Trust,          
Series 2022-R01, Class 1B1, 144A, 30 Day Average SOFR + 3.150% (Cap N/A, Floor 0.000%) 4.664(c) 12/25/41   110 99,846
Series 2022-R03, Class 1B1, 144A, 30 Day Average SOFR + 6.250% (Cap N/A, Floor 0.000%) 7.764(c) 03/25/42   25 25,261
Series 2022-R04, Class 1B1, 144A, 30 Day Average SOFR + 5.250% (Cap N/A, Floor 0.000%) 6.764(c) 03/25/42   20 19,641
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%) 5.514(c) 11/25/50   35 33,801
Series 2020-HQA05, Class M2, 144A, 30 Day Average SOFR + 2.600% (Cap N/A, Floor 0.000%) 4.114(c) 11/25/50   111 111,106
FHLMC Structured Agency Credit Risk REMIC Trust,          
Series 2020-HQA03, Class M2, 144A, 1 Month LIBOR + 3.600% (Cap N/A, Floor 0.000%) 5.859(c) 07/25/50   1 1,412
Series 2021-DNA01, Class B1, 144A, 30 Day Average SOFR + 2.650% (Cap N/A, Floor 0.000%) 4.164(c) 01/25/51   10 8,635
Series 2021-DNA01, Class M2, 144A, 30 Day Average SOFR + 1.800% (Cap N/A, Floor 0.000%) 3.314(c) 01/25/51   74 72,622
Series 2021-DNA03, Class B1, 144A, 30 Day Average SOFR + 3.500% (Cap N/A, Floor 0.000%) 5.014(c) 10/25/33   45 40,593
Series 2021-DNA05, Class B1, 144A, 30 Day Average SOFR + 3.050% (Cap N/A, Floor 0.000%) 4.564(c) 01/25/34   30 26,815
Series 2021-DNA05, Class M2, 144A, 30 Day Average SOFR + 1.650% (Cap N/A, Floor 0.000%) 3.164(c) 01/25/34   18 17,973
Series 2021-DNA06, Class B1, 144A, 30 Day Average SOFR + 3.400% (Cap N/A, Floor 0.000%) 4.914(c) 10/25/41   100 91,648
Series 2021-HQA03, Class B1, 144A, 30 Day Average SOFR + 3.350% (Cap N/A, Floor 0.000%) 4.864(c) 09/25/41   30 26,664
Series 2021-HQA03, Class M2, 144A, 30 Day Average SOFR + 2.100% (Cap N/A, Floor 0.000%) 3.614(c) 09/25/41   70 62,614
Series 2022-DNA03, Class M1B, 144A, 30 Day Average SOFR + 2.900% (Cap N/A, Floor 0.000%) 4.414(c) 04/25/42   140 135,857
     
 
GCAT Asset-Backed Notes,
Series 2021-01, Class A1, 144A
2.487 11/25/49   166 158,245
GS Mortgage-Backed Securities Trust,
Series 2019-SL01, Class A1, 144A
2.625(cc) 01/25/59   8 7,924
Legacy Mortgage Asset Trust,          
Series 2019-PR01, Class A1, 144A 3.858 09/25/59   66 65,268
22

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Residential Mortgage-Backed Securities (Continued)
United States (cont’d.)
Legacy Mortgage Asset Trust, (cont’d.)          
Series 2020-GS01, Class A1, 144A 2.882 % 10/25/59   71   $70,864
     
 
MFA Trust,
Series 2021-RPL01, Class A1, 144A
1.131(cc) 07/25/60   180 164,721
PMT Credit Risk Transfer Trust,
Series 2020-02R, Class A, 144A, 1 Month LIBOR + 3.815% (Cap N/A, Floor 3.815%)
6.115(c) 12/25/22   101 100,038
PNMAC GMSR Issuer Trust,          
Series 2018-GT01, Class A, 144A, 1 Month LIBOR + 2.850% (Cap N/A, Floor 2.850%) 5.109(c) 02/25/23   100 98,733
Series 2018-GT02, Class A, 144A, 1 Month LIBOR + 2.650% (Cap N/A, Floor 0.000%) 4.909(c) 08/25/25   100 98,771
          1,585,176
     
 
Total Residential Mortgage-Backed Securities
(cost $2,411,652)
2,299,972
Sovereign Bonds 21.9%
Andorra 0.2%
Andorra International Bond,
Sr. Unsec’d. Notes, EMTN
1.250 05/06/31 EUR 200 183,218
Austria 0.2%
Republic of Austria Government International Bond,
Sr. Unsec’d. Notes, 144A, MTN
5.375 12/01/34 CAD 180 166,097
Brazil 0.6%
Brazil Loan Trust 1,
Gov’t. Gtd. Notes
5.477 07/24/23   33 32,279
Brazil Minas SPE via State of Minas Gerais,
Gov’t. Gtd. Notes
5.333 02/15/28   510 502,127
          534,406
Bulgaria 0.2%
Bulgaria Government International Bond,          
Sr. Unsec’d. Notes 1.375 09/23/50 EUR 100 65,303
Sr. Unsec’d. Notes, GMTN 3.125 03/26/35 EUR 100 96,539
          161,842
23

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Canada 0.5%
City of Montreal Canada,
Unsec’d. Notes
3.000 % 09/01/27 CAD 200  $154,629
Municipal Finance Authority of British Columbia,
Unsec’d. Notes
2.500 04/19/26 CAD 200 152,855
Province of Nova Scotia,
Unsec’d. Notes
3.450 06/01/45 CAD 50 36,617
Province of Saskatchewan,
Unsec’d. Notes
3.300 06/02/48 CAD 100 71,658
          415,759
Chile 0.1%
Chile Government International Bond,
Sr. Unsec’d. Notes
1.440 02/01/29 EUR 115 106,025
China 1.0%
China Government Bond,          
Sr. Unsec’d. Notes 3.600 06/27/28 CNH 2,000 306,591
Sr. Unsec’d. Notes 3.950 06/29/43 CNH 1,500 235,211
Sr. Unsec’d. Notes 4.000 11/30/35 CNH 500 81,461
Sr. Unsec’d. Notes 4.400 12/12/46 CNH 500 83,876
     
 
China Government International Bond,
Sr. Unsec’d. Notes
0.250 11/25/30 EUR 100 83,389
Export-Import Bank of China (The),
Sr. Unsec’d. Notes
4.400 05/14/24 CNH 1,000 152,462
          942,990
Colombia 0.8%
Colombia Government International Bond,          
Sr. Unsec’d. Notes 3.000 01/30/30   200 161,225
Sr. Unsec’d. Notes 9.850 06/28/27 COP 200,000 43,233
Sr. Unsec’d. Notes, EMTN 3.875 03/22/26 EUR 500 490,839
          695,297
Croatia 0.3%
Croatia Government International Bond,          
Sr. Unsec’d. Notes 1.125 06/19/29 EUR 200 185,732
Sr. Unsec’d. Notes 1.125 03/04/33 EUR 100 85,648
          271,380
24

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Cyprus 0.6%
Cyprus Government International Bond,          
Sr. Unsec’d. Notes, EMTN 0.625 % 01/21/30 EUR 100  $86,350
Sr. Unsec’d. Notes, EMTN 1.250 01/21/40 EUR 20 14,785
Sr. Unsec’d. Notes, EMTN 2.375 09/25/28 EUR 100 100,403
Sr. Unsec’d. Notes, EMTN 2.750 06/27/24 EUR 100 105,918
Sr. Unsec’d. Notes, EMTN 2.750 02/26/34 EUR 200 194,420
Sr. Unsec’d. Notes, EMTN 2.750 05/03/49 EUR 30 27,173
Sr. Unsec’d. Notes, EMTN 4.250 11/04/25 EUR 50 55,309
          584,358
Denmark 0.0%
Denmark Government Bond,
Bonds, Series 30 YR
0.250 11/15/52 DKK 300 29,362
Dominican Republic 0.1%
Dominican Republic International Bond,
Sr. Unsec’d. Notes
5.950 01/25/27   100 98,113
France 0.1%
Caisse Francaise de Financement Local,
Covered Bonds, EMTN
4.680 03/09/29 CAD 100 82,488
Germany 0.1%
Bundesrepublik Deutschland Bundesanleihe,
Bonds
0.000 08/15/31 EUR 100 95,862
Greece 2.0%
Hellenic Republic Government Bond,          
Bonds 4.300 02/24/24 EUR 21 22,013
Bonds 4.300 02/24/25 EUR 13 13,985
Bonds 4.300 02/24/26 EUR 34 36,977
Bonds 4.300 02/24/27 EUR 65 71,609
Bonds 4.300 02/24/28 EUR 42 46,910
Bonds 4.300 02/24/29 EUR 25 27,870
Bonds 4.300 02/24/30 EUR 10 10,995
Bonds 4.300 02/24/31 EUR 23 25,711
Bonds 4.300 02/24/32 EUR 24 27,099
Bonds 4.300 02/24/33 EUR 46 50,811
Bonds 4.300 02/24/34 EUR 22 23,970
Bonds 4.300 02/24/35 EUR 33 35,046
Bonds 4.300 02/24/36 EUR 24 25,093
25

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Greece (cont’d.)
Hellenic Republic Government Bond, (cont’d.)          
Bonds 4.300 % 02/24/37 EUR 16  $17,541
Bonds 4.300 02/24/38 EUR 15 15,246
Bonds 4.300 02/24/39 EUR 23 23,341
Bonds 4.300 02/24/40 EUR 23 23,193
Bonds 4.300 02/24/41 EUR 23 23,037
Bonds 4.300 02/24/42 EUR 37 37,034
Bonds, 144A 0.750 06/18/31 EUR 300 254,829
Sr. Unsec’d. Notes, 144A 1.875 02/04/35 EUR 1,019 878,099
Sr. Unsec’d. Notes, 144A 1.875 01/24/52 EUR 135 89,110
     
 
Hellenic Republic Government International Bond,
Sr. Unsec’d. Notes
5.200 07/17/34 EUR 50 59,373
          1,838,892
Hong Kong 0.3%
Airport Authority,
Sr. Unsec’d. Notes, 144A
2.500 01/12/32   245 220,142
Hong Kong Government International Bond,
Sr. Unsec’d. Notes, GMTN
1.000 11/24/41 EUR 100 82,002
          302,144
Hungary 0.4%
Hungary Government International Bond,          
Sr. Unsec’d. Notes 1.750 10/10/27 EUR 100 94,846
Sr. Unsec’d. Notes 1.750 06/05/35 EUR 100 75,396
Sr. Unsec’d. Notes, 144A 2.125 09/22/31   200 164,850
          335,092
India 0.2%
Export-Import Bank of India,
Sr. Unsec’d. Notes, EMTN
3.450 06/25/26 CNH 1,000 143,277
Indonesia 1.1%
Indonesia Government International Bond,          
Sr. Unsec’d. Notes 0.900 02/14/27 EUR 100 92,483
Sr. Unsec’d. Notes 1.100 03/12/33 EUR 100 75,513
Sr. Unsec’d. Notes 1.450 09/18/26 EUR 100 95,421
Sr. Unsec’d. Notes 1.750 04/24/25 EUR 200 200,076
Sr. Unsec’d. Notes 3.375 07/30/25 EUR 100 103,693
26

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (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, EMTN 3.750 % 06/14/28 EUR 200  $205,343
Sr. Unsec’d. Notes, EMTN 4.125 01/15/25   200 201,475
          974,004
Israel 0.7%
Israel Government Bond - Fixed,
Bonds, Series 0537
1.500 05/31/37 ILS 1,100 268,071
Israel Government International Bond,          
Sr. Unsec’d. Notes, EMTN 1.500 01/18/27 EUR 100 100,161
Sr. Unsec’d. Notes, EMTN 1.500 01/16/29 EUR 270 261,811
          630,043
Italy 2.5%
Italy Buoni Poliennali Del Tesoro,          
Bonds, 144A 2.800 03/01/67 EUR 105 90,682
Sr. Unsec’d. Notes, 144A 0.950 12/01/31 EUR 100 85,175
Sr. Unsec’d. Notes, 144A 1.450 03/01/36 EUR 120 99,100
Sr. Unsec’d. Notes, 144A 1.700 09/01/51 EUR 150 107,378
Sr. Unsec’d. Notes, 144A 1.800 03/01/41 EUR 415 334,511
Sr. Unsec’d. Notes, 144A 3.350 03/01/35 EUR 335 347,608
     
 
Region of Lazio,
Sr. Unsec’d. Notes
3.088 03/31/43 EUR 88 86,604
Repubic of Italy Government International Bond Coupon Strips,
Sr. Unsec’d. Notes
1.737(s) 02/20/31 EUR 85 65,371
Republic of Italy Government International Bond,          
Sr. Unsec’d. Notes 2.875 10/17/29   200 175,032
Sr. Unsec’d. Notes, EMTN 5.345 01/27/48 EUR 50 63,719
Sr. Unsec’d. Notes, EMTN 6.000 08/04/28 GBP 100 137,679
Sr. Unsec’d. Notes, MTN 5.125 07/31/24 EUR 350 381,700
Sr. Unsec’d. Notes, MTN 5.200 07/31/34 EUR 300 353,027
          2,327,586
Japan 1.0%
Japan Government Ten Year Bond,
Bonds, Series 366
0.200 03/20/32 JPY 30,000 226,522
Japan Government Thirty Year Bond,          
Bonds, Series 70 0.700 03/20/51 JPY 15,000 99,564
Bonds, Series 72 0.700 09/20/51 JPY 15,000 99,184
27

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Japan (cont’d.)
Japan Government Thirty Year Bond, (cont’d.)          
Bonds, Series 73 0.700 % 12/20/51 JPY 20,000  $132,134
Japan Government Twenty Year Bond,          
Bonds, Series 176 0.500 03/20/41 JPY 15,000 106,698
Bonds, Series 180 0.800 03/20/42 JPY 30,000 223,338
          887,440
Kazakhstan 0.3%
Kazakhstan Government International Bond,          
Sr. Unsec’d. Notes, EMTN 0.600 09/30/26 EUR 200 178,859
Sr. Unsec’d. Notes, EMTN 2.375 11/09/28 EUR 115 105,290
          284,149
Lithuania 0.2%
Lithuania Government International Bond,
Sr. Unsec’d. Notes, EMTN
2.125 10/22/35 EUR 200 189,329
Mexico 1.2%
Mexico Government International Bond,          
Sr. Unsec’d. Notes 2.375 02/11/30 EUR 100 90,840
Sr. Unsec’d. Notes 2.875 04/08/39 EUR 200 155,134
Sr. Unsec’d. Notes, EMTN 1.750 04/17/28 EUR 100 91,684
Sr. Unsec’d. Notes, Series 19 1.440 07/24/24 JPY 100,000 759,059
          1,096,717
New Zealand 0.1%
New Zealand Local Government Funding Agency Bond,
Local Gov’t. Gtd. Notes
3.500 04/14/33 NZD 100 59,411
Panama 0.4%
Panama Government International Bond,          
Sr. Unsec’d. Notes 3.160 01/23/30   200 180,975
Sr. Unsec’d. Notes 3.875 03/17/28   200 193,912
          374,887
Peru 0.5%
Peru Government Bond,
Sr. Unsec’d. Notes
6.150 08/12/32 PEN 30 6,580
28

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Peru (cont’d.)
Peruvian Government International Bond,          
Sr. Unsec’d. Notes 1.250 % 03/11/33 EUR 105  $79,548
Sr. Unsec’d. Notes 2.392 01/23/26   85 80,500
Sr. Unsec’d. Notes 2.750 01/30/26 EUR 300 304,277
Sr. Unsec’d. Notes 6.900 08/12/37 PEN 100 22,336
          493,241
Philippines 0.5%
Philippine Government International Bond,
Sr. Unsec’d. Notes
0.700 02/03/29 EUR 500 433,189
Portugal 1.0%
Portugal Obrigacoes do Tesouro OT,          
Sr. Unsec’d. Notes, 144A 0.300 10/17/31 EUR 200 179,271
Sr. Unsec’d. Notes, 144A 1.150 04/11/42 EUR 85 70,549
Sr. Unsec’d. Notes, 144A 4.100 04/15/37 EUR 195 250,524
Sr. Unsec’d. Notes, 144A 4.100 02/15/45 EUR 135 180,614
Sr. Unsec’d. Notes, 144A, Series 15 YR 2.250 04/18/34 EUR 50 53,053
Unsec’d. Notes, 144A 1.000 04/12/52 EUR 260 181,565
          915,576
Qatar 0.2%
Qatar Government International Bond,
Sr. Unsec’d. Notes, 144A
3.400 04/16/25   200 200,500
Romania 0.3%
Romanian Government International Bond,          
Sr. Unsec’d. Notes, 144A, MTN 2.125 03/07/28 EUR 180 156,374
Sr. Unsec’d. Notes, EMTN 3.500 04/03/34 EUR 50 39,742
Sr. Unsec’d. Notes, EMTN 3.875 10/29/35 EUR 100 81,751
Unsec’d. Notes, 144A, MTN 2.124 07/16/31 EUR 50 38,129
          315,996
Russia 0.2%
Russian Foreign Bond - Eurobond,          
Sr. Unsec’d. Notes 1.125 11/20/27 EUR 100 38,838
Sr. Unsec’d. Notes 2.650 05/27/36(d) EUR 100 36,794
29

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
Sovereign Bonds (Continued)
Russia (cont’d.)
Russian Foreign Bond - Eurobond, (cont’d.)          
Sr. Unsec’d. Notes 2.875 % 12/04/25 EUR 200  $77,676
Sr. Unsec’d. Notes 4.375 03/21/29(d)   200 76,000
          229,308
Saudi Arabia 0.3%
Saudi Government International Bond,          
Sr. Unsec’d. Notes 2.000 07/09/39 EUR 200 166,594
Sr. Unsec’d. Notes, 144A 2.000 07/09/39 EUR 125 104,121
          270,715
Serbia 0.5%
Serbia International Bond,          
Sr. Unsec’d. Notes 1.650 03/03/33 EUR 100 66,668
Sr. Unsec’d. Notes 3.125 05/15/27 EUR 250 231,648
Sr. Unsec’d. Notes, 144A 2.125 12/01/30   200 147,500
          445,816
Singapore 0.0%
Singapore Government Bond,
Bonds
2.750 03/01/46 SGD 40 28,211
Slovenia 0.3%
Slovenia Government Bond,
Unsec’d. Notes, Series RS86
0.000 02/12/31 EUR 300 262,439
South Africa 0.3%
Republic of South Africa Government Bond,
Sr. Unsec’d. Notes, Series R209
6.250 03/31/36 ZAR 7,100 283,606
Spain 1.3%
Autonomous Community of Catalonia,
Sr. Unsec’d. Notes
4.220 04/26/35 EUR 100 115,496
Instituto de Credito Oficial,
Gov’t. Gtd. Notes, GMTN
0.963 09/22/22 SEK 1,000 98,369
Spain Government Bond,          
Sr. Unsec’d. Notes, 144A 0.500 04/30/30 EUR 35 33,083
Sr. Unsec’d. Notes, 144A 0.500 10/31/31 EUR 250 228,413
Sr. Unsec’d. Notes, 144A 0.850 07/30/37 EUR 110 91,898
30

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (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 1.000 % 10/31/50 EUR 190  $135,276
Sr. Unsec’d. Notes, 144A 1.850 07/30/35 EUR 285 283,839
Sr. Unsec’d. Notes, 144A 3.450 07/30/66 EUR 60 72,708
     
 
Spain Government International Bond,
Sr. Unsec’d. Notes, EMTN
5.250 04/06/29 GBP 100 140,196
          1,199,278
Ukraine 0.1%
Ukraine Government International Bond,          
Sr. Unsec’d. Notes 4.375 01/27/30 EUR 230 41,960
Sr. Unsec’d. Notes 6.750 06/20/26(d) EUR 200 39,349
Sr. Unsec’d. Notes, 144A 4.375 01/27/30 EUR 100 18,244
          99,553
United Arab Emirates 0.2%
UAE International Government Bond,
Sr. Unsec’d. Notes, 144A, MTN
2.000 10/19/31   205 180,246
United Kingdom 0.9%
Isle of Man Government International Bond,          
Unsec’d. Notes 5.375 08/14/34 GBP 100 152,893
Unsec’d. Notes 5.625 03/29/30 GBP 100 147,529
     
 
United Kingdom Gilt,
Bonds
4.250 12/07/46(k) GBP 330 530,606
          831,028
Uruguay 0.1%
Uruguay Government International Bond,          
Sr. Unsec’d. Notes 4.375 10/27/27   39 40,954
Sr. Unsec’d. Notes 4.375 01/23/31   62 65,531
          106,485
     
 
Total Sovereign Bonds
(cost $25,544,351)
20,105,355
31

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description Interest
Rate
Maturity
Date
Principal
Amount
(000)#
Value
U.S. Government Agency Obligation 0.2%
Tennessee Valley Authority
Sr. Unsec’d. Notes
(cost $190,140)
5.625 % 06/07/32 GBP 100  $153,219
U.S. Treasury Obligations 16.6%
U.S. Treasury Bonds 2.375 02/15/42   865 752,685
U.S. Treasury Bonds 2.750 08/15/47(k)   675 614,883
U.S. Treasury Bonds 3.250 05/15/42   1,160 1,161,450
U.S. Treasury Notes 0.625 08/15/30   300 256,078
U.S. Treasury Notes 1.000 07/31/28   2,400 2,169,375
U.S. Treasury Notes 1.125 02/15/31(k)   1,600 1,416,500
U.S. Treasury Notes 2.500 04/30/24   3,876 3,846,476
U.S. Treasury Notes 2.875 04/30/29   800 807,750
U.S. Treasury Notes 3.250 06/30/29   4,000 4,136,250
     
 
Total U.S. Treasury Obligations
(cost $15,614,793)
15,161,447
    
      Shares  
Exchange-Traded Funds 0.2%
iShares 0-5 Year High Yield Corporate Bond ETF       1,000 42,270
iShares iBoxx $ Investment Grade Corporate Bond ETF       800 91,688
iShares iBoxx High Yield Corporate Bond ETF       1,000 78,190
iShares National Muni Bond ETF       100 10,857
     
 
Total Exchange-Traded Funds
(cost $212,763)
223,005
 
Total Long-Term Investments
(cost $100,302,288)
87,938,315
    
      Principal
Amount
(000)#
 
Short-Term Investments 3.9%
U.S. Government Agency Obligations(n) 0.6%
Federal Home Loan Bank 2.001 % 08/05/22   100 99,976
Federal Home Loan Bank 2.203 08/19/22   100 99,833
Federal Home Loan Bank 1.953 08/23/22   100 99,792
Tennessee Valley Authority 2.001 08/03/22   200 199,975
     
 
Total U.S. Government Agency Obligations
(cost $499,727)
499,576
32

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Description     Principal
Amount
(000)#
Value
U.S. Treasury Obligation(n) 0.5%
U.S. Treasury Bills
(cost $499,163)
2.079 % 08/30/22   500  $499,143
    
      Shares  
Unaffiliated Fund 2.8%
Dreyfus Government Cash Management (Institutional Shares)
(cost $2,602,800)
    2,602,800 2,602,800
Options Purchased*~ 0.0%
(cost $10,079) 20,914
     
 
 
Total Short-Term Investments
(cost $3,611,769)
3,622,433
     
 
TOTAL INVESTMENTS, BEFORE OPTIONS WRITTEN99.9%
(cost $103,914,057)
91,560,748
Options Written*~ (0.0)%
(premiums received $12,000) (26,618)
 
TOTAL INVESTMENTS, NET OF OPTIONS WRITTEN99.9%
(cost $103,902,057)
91,534,130
Other assets in excess of liabilities(z) 0.1% 81,662
 
Net Assets 100.0% $91,615,792

Below is a list of the abbreviation(s) used in the quarterly schedule of portfolio holdings:
    
AUD—Australian Dollar
CAD—Canadian Dollar
CHF—Swiss Franc
CLP—Chilean Peso
CNH—Chinese Renminbi
COP—Colombian Peso
CZK—Czech Koruna
DKK—Danish Krone
EUR—Euro
GBP—British Pound
HUF—Hungarian Forint
IDR—Indonesian Rupiah
ILS—Israeli Shekel
JPY—Japanese Yen
KRW—South Korean Won
MXN—Mexican Peso
MYR—Malaysian Ringgit
NOK—Norwegian Krone
33

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
NZD—New Zealand Dollar
PEN—Peruvian Nuevo Sol
PLN—Polish Zloty
SAR—Saudi Arabian Riyal
SEK—Swedish Krona
SGD—Singapore Dollar
THB—Thai Baht
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
BBR—New Zealand Bank Bill Rate
BBSW—Australian Bank Bill Swap Reference Rate
BUBOR—Budapest Interbank Offered Rate
CDOR—Canadian Dollar Offered Rate
CDS—Credit Default Swap
CDX—Credit Derivative Index
CIBOR—Copenhagen Interbank Offered Rate
CLO—Collateralized Loan Obligation
CLOIS—Sinacofi Chile Interbank Rate Average
CPI—Consumer Price Index
EMTN—Euro Medium Term Note
ETF—Exchange-Traded Fund
EURIBOR—Euro Interbank Offered Rate
EuroSTR—Euro Short-Term Rate
FHLMC—Federal Home Loan Mortgage Corporation
GMTN—Global Medium Term Note
HICP—Harmonised Index of Consumer Prices
iBoxx—Bond Market Indices
IO—Interest Only (Principal amount represents notional)
KLIBOR—Kuala Lumpur Interbank Offered Rate
KWCDC—Korean Won Certificate of Deposit
LIBOR—London Interbank Offered Rate
LP—Limited Partnership
MPLE—Maple Bonds
MTN—Medium Term Note
NIBOR—Norwegian Interbank Offered Rate
OAT—Obligations Assimilables du Tresor
OTC—Over-the-counter
PIK—Payment-in-Kind
PJSC—Public Joint-Stock Company
PRIBOR—Prague Interbank Offered Rate
Q—Quarterly payment frequency for swaps
REMIC—Real Estate Mortgage Investment Conduit
S—Semiannual payment frequency for swaps
SAIBOR—Saudi Arabian Interbank Offered Rate
SARON—Swiss Average Rate Overnight
SOFR—Secured Overnight Financing Rate
SONIA—Sterling Overnight Index Average
SORA—Singapore Overnight Rate Average
STIBOR—Stockholm Interbank Offered Rate
34

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
STRIPs—Separate Trading of Registered Interest and Principal of Securities
T—Swap payment upon termination
THBFIX—Thai Baht Interest Rate Fixing
THOR—Thai Overnight Repurchase Rate
TONAR—Tokyo Overnight Average 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 $108,790 and 0.1% of net assets.
(c) Variable rate instrument. The interest rate shown reflects the rate in effect at July 31, 2022.
(cc) Variable rate instrument. The rate shown is based on the latest available information as of July 31, 2022. 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.
(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.
(k) Represents security, or a portion thereof, segregated as collateral for centrally cleared/exchange-traded derivatives.
(n) Rate shown reflects yield to maturity at purchased date.
(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.
(r) Principal or notional amount is less than $500 par.
(s) Represents zero coupon bond or principal only security. Rate represents yield to maturity at purchase date.
(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 Swaptions    
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value
2- Year Interest Rate Swaptions, 05/21/25   Call   Deutsche Bank AG   05/17/23   2.05%   2.05%(A)   3 Month SAIBOR(Q)   SAR 3,000    $799
2- Year Interest Rate Swaptions, 05/21/25   Put   Deutsche Bank AG   05/17/23   2.05%   3 Month SAIBOR(Q)   2.05%(A)   SAR 3,000   20,115
Total Options Purchased (cost $10,079)       $20,914
35

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Options Written:
OTC Swaptions
Description   Call/
Put
  Counterparty   Expiration
Date
  Strike   Receive   Pay   Notional
Amount
(000)#
  Value
2- Year Interest Rate Swaptions, 05/19/25   Call   Deutsche Bank AG   05/17/23   1.13%   3 Month LIBOR(Q)   1.13%(S)     800    $(794)
2- Year Interest Rate Swaptions, 05/19/25   Put   Deutsche Bank AG   05/17/23   1.13%   1.13%(S)   3 Month LIBOR(Q)     800   (25,824)
Total Options Written (premiums received $12,000)       $(26,618)
Futures contracts outstanding at July 31, 2022:
Number
of
Contracts
  Type   Expiration
Date
  Current
Notional
Amount
  Value /
Unrealized
Appreciation
(Depreciation)
Long Positions:
2   2 Year U.S. Treasury Notes   Sep. 2022    $420,922    $1,294
5   10 Year Canadian Government Bonds   Sep. 2022   509,351   10,067
17   20 Year U.S. Treasury Bonds   Sep. 2022   2,448,000   87,176
19   30 Year U.S. Ultra Treasury Bonds   Sep. 2022   3,007,938   60,814
6   Euro-OAT   Sep. 2022   898,198   16,471
                175,822
Short Positions:
15   5 Year Euro-Bobl   Sep. 2022   1,960,343   (41,456)
9   5 Year U.S. Treasury Notes   Sep. 2022   1,023,539   (18,402)
20   10 Year Euro-Bund   Sep. 2022   3,222,319   (116,661)
1   10 Year U.K. Gilt   Sep. 2022   143,920   36
31   10 Year U.S. Treasury Notes   Sep. 2022   3,755,360   (44,056)
12   10 Year U.S. Ultra Treasury Notes   Sep. 2022   1,575,000   (39,368)
113   Euro Currency   Sep. 2022   14,484,481   706,826
11   Euro Schatz Index   Sep. 2022   1,238,198   (3,963)
                442,956
                $618,778
36

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at July 31, 2022:
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 08/02/22   Morgan Stanley & Co. International PLC   AUD 393    $273,528    $274,776    $1,248    $
British Pound,
Expiring 08/02/22   Morgan Stanley & Co. International PLC   GBP 317   375,996   386,142   10,146  
Expiring 08/02/22   The Toronto-Dominion Bank   GBP 3,444   4,157,020   4,194,363   37,343  
Canadian Dollar,
Expiring 08/02/22   Morgan Stanley & Co. International PLC   CAD 95   73,703   74,065   362  
Chilean Peso,
Expiring 09/21/22   BNP Paribas S.A.   CLP 18,376   22,007   20,201     (1,806)
Chinese Renminbi,
Expiring 08/23/22   Morgan Stanley & Co. International PLC   CNH 500   74,488   74,034     (454)
Expiring 08/23/22   The Toronto-Dominion Bank   CNH 634   94,644   94,019     (625)
Colombian Peso,
Expiring 09/21/22   Citibank, N.A.   COP 487,063   125,913   112,549     (13,364)
Danish Krone,
Expiring 08/02/22   Morgan Stanley & Co. International PLC   DKK 240   33,077   33,020     (57)
Euro,
Expiring 08/02/22   Bank of America, N.A.   EUR 210   223,564   215,185     (8,379)
Expiring 08/02/22   Barclays Bank PLC   EUR 5,053   5,170,691   5,165,781     (4,910)
Expiring 08/02/22   HSBC Bank PLC   EUR 248   250,684   253,258   2,574  
Expiring 08/02/22   JPMorgan Chase Bank, N.A.   EUR 1,152   1,162,176   1,177,359   15,183  
Hungarian Forint,
Expiring 10/19/22   Citibank, N.A.   HUF 48,942   120,111   121,272   1,161  
Japanese Yen,
Expiring 08/02/22   Citibank, N.A.   JPY 202,385   1,482,826   1,518,127   35,301  
Expiring 08/02/22   Morgan Stanley & Co. International PLC   JPY 16,076   116,148   120,588   4,440  
Mexican Peso,
Expiring 09/21/22   Morgan Stanley & Co. International PLC   MXN 1,006   49,126   48,836     (290)
Norwegian Krone,
Expiring 10/19/22   Morgan Stanley & Co. International PLC   NOK 553   54,297   57,303   3,006  
Polish Zloty,
Expiring 10/19/22   HSBC Bank PLC   PLN 345   72,224   73,358   1,134  
South African Rand,
Expiring 09/21/22   BNP Paribas S.A.   ZAR 1,357   83,616   81,145     (2,471)
37

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at July 31, 2022 (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 09/21/22   Goldman Sachs International   ZAR 1,565    $94,308    $93,579    $   $(729)
South Korean Won,
Expiring 09/21/22   BNP Paribas S.A.   KRW 127,227   102,389   97,672     (4,717)
Swiss Franc,
Expiring 08/02/22   Bank of America, N.A.   CHF 285   296,234   299,916   3,682  
Expiring 10/19/22   JPMorgan Chase Bank, N.A.   CHF 82   87,072   87,152   80  
              $14,595,842   $14,673,700   115,660   (37,802)
    
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 08/02/22   Morgan Stanley & Co. International PLC   AUD 393    $272,821    $274,777    $   $(1,956)
Expiring 09/02/22   Morgan Stanley & Co. International PLC   AUD 393   273,638   274,928     (1,290)
British Pound,
Expiring 08/02/22   Barclays Bank PLC   GBP 47   56,192   56,931     (739)
Expiring 08/02/22   BNP Paribas S.A.   GBP 3,714   4,556,915   4,523,574   33,341  
Expiring 09/02/22   Morgan Stanley & Co. International PLC   GBP 112   135,205   136,836     (1,631)
Expiring 09/02/22   The Toronto-Dominion Bank   GBP 3,444   4,160,064   4,197,282     (37,218)
Expiring 10/19/22   JPMorgan Chase Bank, N.A.   GBP 90   110,046   110,141     (95)
Canadian Dollar,
Expiring 08/02/22   JPMorgan Chase Bank, N.A.   CAD 95   73,360   74,065     (705)
Expiring 09/02/22   Morgan Stanley & Co. International PLC   CAD 95   73,704   74,061     (357)
Expiring 10/19/22   JPMorgan Chase Bank, N.A.   CAD 129   100,705   100,756     (51)
Expiring 10/19/22   The Toronto-Dominion Bank   CAD 733   564,457   572,298     (7,841)
Chinese Renminbi,
Expiring 08/23/22   Citibank, N.A.   CNH 844   124,742   125,052     (310)
Expiring 08/23/22   JPMorgan Chase Bank, N.A.   CNH 21,324   3,114,245   3,159,980     (45,735)
38

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at July 31, 2022 (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.):
Chinese Renminbi (cont’d.),
Expiring 08/23/22   JPMorgan Chase Bank, N.A.   CNH 820    $122,417    $121,451    $966    $
Colombian Peso,
Expiring 09/21/22   Citibank, N.A.   COP 760,786   182,312   175,800   6,512  
Danish Krone,
Expiring 08/02/22   HSBC Bank PLC   DKK 240   34,147   33,021   1,126  
Expiring 09/02/22   Morgan Stanley & Co. International PLC   DKK 240   33,154   33,095   59  
Euro,
Expiring 08/02/22   Bank of America, N.A.   EUR 6,240   6,582,635   6,379,313   203,322  
Expiring 08/02/22   JPMorgan Chase Bank, N.A.   EUR 174   176,837   177,775     (938)
Expiring 08/02/22   JPMorgan Chase Bank, N.A.   EUR 23   24,557   23,922   635  
Expiring 08/02/22   Morgan Stanley & Co. International PLC   EUR 226   229,984   230,572     (588)
Expiring 09/02/22   Barclays Bank PLC   EUR 5,053   5,182,126   5,176,883   5,243  
Expiring 10/19/22   JPMorgan Chase Bank, N.A.   EUR 579   593,590   595,181     (1,591)
Indonesian Rupiah,
Expiring 09/21/22   Morgan Stanley & Co. International PLC   IDR 1,526,380   105,581   102,772   2,809  
Israeli Shekel,
Expiring 09/21/22   Barclays Bank PLC   ILS 429   129,553   126,734   2,819  
Expiring 09/21/22   Citibank, N.A.   ILS 429   129,671   126,735   2,936  
Expiring 09/21/22   Citibank, N.A.   ILS 24   6,911   7,021     (110)
Expiring 09/21/22   Goldman Sachs International   ILS 89   26,927   26,401   526  
Japanese Yen,
Expiring 08/02/22   Bank of America, N.A.   JPY 189,079   1,400,402   1,418,320     (17,918)
Expiring 08/02/22   JPMorgan Chase Bank, N.A.   JPY 29,381   215,221   220,395     (5,174)
Expiring 09/02/22   Citibank, N.A.   JPY 202,385   1,486,204   1,521,609     (35,405)
Expiring 10/19/22   JPMorgan Chase Bank, N.A.   JPY 13,940   104,952   105,231     (279)
Mexican Peso,
Expiring 09/21/22   JPMorgan Chase Bank, N.A.   MXN 3,844   191,652   186,695   4,957  
Peruvian Nuevo Sol,
Expiring 09/21/22   BNP Paribas S.A.   PEN 131   34,332   33,055   1,277  
Singapore Dollar,
Expiring 09/21/22   BNP Paribas S.A.   SGD 41   29,513   29,331   182  
39

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Forward foreign currency exchange contracts outstanding at July 31, 2022 (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 African Rand,
Expiring 09/21/22   JPMorgan Chase Bank, N.A.   ZAR 1,777    $106,356    $106,250    $106    $
Expiring 09/21/22   Standard Chartered Bank   ZAR 6,019   384,133   360,008   24,125  
Swedish Krona,
Expiring 10/19/22   BNP Paribas S.A.   SEK 771   73,841   76,147     (2,306)
Swiss Franc,
Expiring 08/02/22   Morgan Stanley & Co. International PLC   CHF 285   298,361   299,916     (1,555)
Expiring 09/02/22   Bank of America, N.A.   CHF 285   296,934   300,668     (3,734)
Expiring 10/19/22   HSBC Bank PLC   CHF 137   140,836   145,321     (4,485)
              $31,939,233   $31,820,303   290,941   (172,011)
                      $406,601   $(209,813)
Credit default swap agreements outstanding at July 31, 2022:
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 corporate and/or sovereign issues - Buy Protection(1)**:
Arab Republic of Egypt   06/20/27   1.000%(Q)     100    $38,793    $230    $38,563   Citibank, N.A.
Emirate of Abu Dhabi   06/20/27   1.000%(Q)     100   (1,701)   230   (1,931)   Citibank, N.A.
Federation of Malaysia   06/20/27   1.000%(Q)     150   (1,663)   345   (2,008)   Citibank, N.A.
Federative Republic of Brazil   06/20/27   1.000%(Q)     600   43,550   1,380   42,170   Citibank, N.A.
Kingdom of Saudi Arabia   06/20/27   1.000%(Q)     100   (1,560)   230   (1,790)   Citibank, N.A.
People’s Republic of China   06/20/27   1.000%(Q)     600   (8,180)   1,380   (9,560)   Citibank, N.A.
Republic of Argentina   06/20/27   1.000%(Q)     100   77,995   230   77,765   Citibank, N.A.
Republic of Chile   06/20/27   1.000%(Q)     150   1,918   345   1,573   Citibank, N.A.
Republic of Colombia   06/20/27   1.000%(Q)     300   20,209   690   19,519   Citibank, N.A.
Republic of Indonesia   06/20/27   1.000%(Q)     450   2,704   1,035   1,669   Citibank, N.A.
Republic of Panama   06/20/27   1.000%(Q)     100   1,345   230   1,115   Citibank, N.A.
Republic of Peru   06/20/27   1.000%(Q)     150   1,681   345   1,336   Citibank, N.A.
Republic of Philippines   06/20/27   1.000%(Q)     100   95   230   (135)   Citibank, N.A.
Republic of South Africa   06/20/27   1.000%(Q)     600   49,557   1,380   48,177   Citibank, N.A.
Republic of Turkey   06/20/27   1.000%(Q)     600   154,957   1,380   153,577   Citibank, N.A.
Republic of Ukraine   06/20/27   1.000%(Q)     100   81,859   230   81,629   Citibank, N.A.
40

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Credit default swap agreements outstanding at July 31, 2022 (continued):
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 corporate and/or sovereign issues - Buy Protection(1)**(cont’d.):
State of Qatar   06/20/27   1.000%(Q)     100    $(1,685)    $230    $(1,915)   Citibank, N.A.
United Mexican States   06/20/27   1.000%(Q)     600   14,414   1,380   13,034   Citibank, N.A.
                    $474,288   $11,500   $462,788    
    
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
July 31,
2022(4)
  Fair
Value
  Upfront
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Packaged Credit Default Swap Agreement on credit indices— Sell Protection(2)**:
CDX.EM.37.V1   06/20/27   1.000%(Q)     5,000   3.250%    $(465,364)    $(16,365)    $(448,999)   Citibank, N.A.
** 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).
    
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):
Gazprom PAO   09/20/22   1.000%(Q)     300    $38,632    $27,727    $10,905   Barclays Bank PLC
Gazprom PAO   03/20/23   1.000%(Q)     652   271,847   229,672   42,175   Barclays Bank PLC
Gazprom PAO   06/20/24   1.000%(Q)     134   76,283   50,667   25,616   HSBC Bank PLC
Gazprom PAO   06/20/24   1.000%(Q)     121   68,882   73,303   (4,421)   Barclays Bank PLC
Russian Federation   12/20/25   1.000%(Q)     200   130,515   116,276   14,239   HSBC Bank PLC
Russian Federation   06/20/27   1.000%(Q)     100   65,258   70,035   (4,777)   Citibank, N.A.
Russian Federation   12/20/31   1.000%(Q)     400   261,030   264,725   (3,695)   HSBC Bank PLC
Russian Federation   12/20/31   1.000%(Q)     200   130,515   88,143   42,372   HSBC Bank PLC
                    $1,042,962   $920,548   $122,414    
    
41

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Credit default swap agreements outstanding at July 31, 2022 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
July 31,
2022(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):
DP World PLC   12/20/24   1.000%(Q)     100   0.998%    $117    $224    $(107)   Barclays Bank PLC
Electricite de France S.A.   12/20/22   1.000%(Q)   EUR 100   0.437%   349   396   (47)   Goldman Sachs International
Generalitat de Catalunya   12/20/25   1.000%(Q)     100   *   1,156   (647)   1,803   Deutsche Bank AG
Halliburton Co.   12/20/26   1.000%(Q)     50   1.056%   (55)   421   (476)   Goldman Sachs International
Hellenic Republic   12/20/31   1.000%(Q)     140   2.278%   (13,103)   (4,012)   (9,091)   Barclays Bank PLC
Kingdom of Spain   06/20/25   1.000%(Q)     1,000   0.374%   18,615   (5,328)   23,943   Bank of America, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     170   0.374%   3,164   (945)   4,109   Bank of America, N.A.
Kingdom of Spain   06/20/25   1.000%(Q)     15   0.374%   280   114   166   Barclays Bank PLC
Republic of Estonia   12/20/26   1.000%(Q)     50   0.667%   746   416   330   JPMorgan Chase Bank, N.A.
Republic of Indonesia   06/20/23   1.000%(Q)     475   0.300%   3,496   (541)   4,037   Citibank, N.A.
Republic of Kazakhstan   06/20/23   1.000%(Q)     85   1.663%   (400)     (400)   Citibank, N.A.
Republic of Panama   12/20/26   1.000%(Q)     45   1.233%   (374)   114   (488)   Citibank, N.A.
Republic of Poland   06/20/24   1.000%(Q)     145   1.053%   25   213   (188)   BNP Paribas S.A.
Republic of South Africa   12/20/23   1.000%(Q)     300   1.878%   (3,235)   (4,479)   1,244   Bank of America, N.A.
Republic of Ukraine   12/20/23   5.000%(Q)     100   560.676%   (80,037)   1,985   (82,022)   Deutsche Bank AG
Republic of Ukraine   12/20/24   5.000%(Q)     100   421.755%   (80,301)   3,789   (84,090)   HSBC Bank PLC
Republic of Ukraine   06/20/25   5.000%(Q)     90   377.938%   (72,245)   (581)   (71,664)   Barclays Bank PLC
Russian Federation   03/20/25   1.000%(Q)     200   *   (130,515)   (113,304)   (17,211)   HSBC Bank PLC
Russian Federation   06/20/27   1.000%(Q)     100   *   (65,257)   (70,508)   5,251   Morgan Stanley & Co. International PLC
Russian Federation   12/20/30   1.000%(Q)     400   *   (261,030)   (264,397)   3,367   HSBC Bank PLC
42

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Credit default swap agreements outstanding at July 31, 2022 (continued):
Reference
Entity/
Obligation
  Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied
Credit
Spread at
July 31,
2022(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.):
Russian Federation   12/20/30   1.000%(Q)     200   *    $(130,516)    $(88,182)    $(42,334)   HSBC Bank PLC
State of Israel   09/20/22   1.000%(Q)     100   0.112%   244   126   118   HSBC Bank PLC
Teck Resources Ltd.   06/20/26   5.000%(Q)     150   1.993%   16,913   21,901   (4,988)   Barclays Bank PLC
Verizon Communications, Inc.   06/20/26   1.000%(Q)     170   1.000%   196   2,773   (2,577)   Goldman Sachs International
                      $(791,767)   $(520,452)   $(271,315)    
    
Reference
Entity/
Obligation
Termination
Date
  Fixed
Rate
  Notional
Amount
(000)#(3)
  Implied Credit
Spread at
July 31,
2022(4)
  Value at
Trade Date
  Value at
July 31,
2022
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Credit Default Swap Agreements on credit indices - Sell Protection(2):
CDX.NA.HY.38.V2 06/20/27   5.000%(Q)     7,173   4.710%    $(355)    $123,332    $123,687
CDX.NA.IG.38.V1 06/20/27   1.000%(Q)     4,515   0.804%   8,255   44,931   36,676
                      $7,900   $168,263   $160,363
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.
43

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
(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 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 July 31, 2022:
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 1,400,000   8.22%(S)     97   6 Month LIBOR(S)   Citibank, N.A.   11/29/23    $2,102    $—   $2,102
    
Inflation swap agreements outstanding at July 31, 2022:
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
July 31,
2022
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Inflation Swap Agreements:
EUR 200   05/15/23   1.485%(T)   France CPI ex Tobacco Household(1)(T)    $—    $10,786    $10,786
EUR 200   05/15/23   1.510%(T)   Eurostat Eurozone HICP ex Tobacco(2)(T)     (21,937)   (21,937)
                    $—   $(11,151)   $(11,151)
(1) The Fund pays the fixed rate and receives the floating rate.
(2) The Fund pays the floating rate and receives the fixed rate.
44

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Interest rate swap agreements outstanding at July 31, 2022:
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
July 31,
2022
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements:
AUD 1,100   02/19/31   1.398%(S)   6 Month BBSW(2)(S)    $(3,170)    $(112,538)    $(109,368)
CAD 1,230   04/03/25   0.970%(S)   3 Month CDOR(2)(S)   (3,098)   (56,657)   (53,559)
CAD 80   12/03/28   2.600%(S)   3 Month CDOR(2)(S)   518   (1,318)   (1,836)
CAD 50   01/09/38   2.720%(S)   3 Month CDOR(2)(S)   (1)   (2,778)   (2,777)
CAD 120   12/03/40   2.800%(S)   3 Month CDOR(2)(S)   16,718   (6,966)   (23,684)
CAD 50   05/30/47   2.240%(S)   3 Month CDOR(2)(S)   (1,445)   (7,205)   (5,760)
CAD 185   12/03/51   2.800%(S)   3 Month CDOR(2)(S)   (20,272)   (11,620)   8,652
CHF 70   04/03/28   0.410%(A)   1 Day SARON(2)(S)   (265)   (1,954)   (1,689)
CHF 130   01/31/29   0.260%(A)   1 Day SARON(2)(S)   (567)   (6,203)   (5,636)
CHF 40   04/03/33   0.687%(A)   1 Day SARON(2)(S)   (236)   (2,607)   (2,371)
CHF 100   12/15/41   0.025%(A)   1 Day SARON(2)(A)   (21,040)   (25,622)   (4,582)
CLP 30,200   07/12/29   3.135%(S)   1 Day CLOIS(2)(S)     (6,679)   (6,679)
CNH 700   08/15/23   3.115%(Q)   7 Day China Fixing Repo Rates(2)(Q)     1,474   1,474
CNH 700   03/13/24   2.945%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (1)   1,557   1,558
CNH 1,400   04/01/24   2.923%(Q)   7 Day China Fixing Repo Rates(2)(Q)     3,001   3,001
CNH 1,440   06/03/24   2.975%(Q)   7 Day China Fixing Repo Rates(2)(Q)     3,687   3,687
CNH 2,220   06/20/24   2.900%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (3)   5,078   5,081
CNH 1,500   09/03/24   2.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (1)   3,565   3,566
CNH 1,500   10/10/24   2.860%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (1)   3,438   3,439
CNH 1,680   11/01/24   3.120%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (5)   5,995   6,000
CNH 1,200   02/04/25   2.600%(Q)   7 Day China Fixing Repo Rates(2)(Q)     2,049   2,049
CNH 2,800   03/06/25   2.425%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (3)   2,597   2,600
CNH 5,000   03/12/25   2.400%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (2)   4,020   4,022
CNH 3,200   07/13/25   2.653%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (4)   5,586   5,590
CNH 5,910   11/02/25   2.588%(Q)   7 Day China Fixing Repo Rates(2)(Q)   11   9,913   9,902
CNH 5,280   04/12/26   2.810%(Q)   7 Day China Fixing Repo Rates(2)(Q)   (14)   13,525   13,539
CZK 5,145   03/31/30   0.710%(A)   6 Month PRIBOR(2)(S)     (57,519)   (57,519)
DKK 500   04/08/32   1.581%(A)   6 Month CIBOR(2)(S)   (3,622)   (1,687)   1,935
45

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Interest rate swap agreements outstanding at July 31, 2022 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
July 31,
2022
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
EUR 5,485   11/23/24   (0.046)%(A)   6 Month EURIBOR(2)(S)    $   $(74,416)    $(74,416)
EUR 3,245   12/02/24   (0.285)%(A)   6 Month EURIBOR(2)(S)     (107,783)   (107,783)
EUR 200   05/11/25   0.100%(A)   1 Day EuroSTR(1)(A)   692   4,198   3,506
EUR 350   04/27/30   (0.016)%(A)   6 Month EURIBOR(2)(S)     (39,535)   (39,535)
EUR 342   08/15/30   (0.191)%(A)   1 Day EuroSTR(2)(A)   (149)   (37,751)   (37,602)
EUR 100   05/11/31   0.750%(A)   1 Day EuroSTR(1)(A)   683   4,318   3,635
EUR 235   10/30/32   1.302%(A)   6 Month EURIBOR(2)(S)   4,633   (5,158)   (9,791)
EUR 430   05/11/33   1.000%(A)   6 Month EURIBOR(2)(S)   (8,211)   (28,082)   (19,871)
EUR 140   11/12/36   0.610%(A)   6 Month EURIBOR(2)(S)     (7,522)   (7,522)
EUR 285   11/12/41   0.454%(A)   6 Month EURIBOR(1)(S)     12,389   12,389
EUR 150   11/24/41   0.565%(A)   6 Month EURIBOR(1)(S)     16,310   16,310
EUR 150   11/24/41   0.600%(A)   3 Month EURIBOR(2)(Q)     (17,935)   (17,935)
EUR 364   11/25/41   0.629%(A)   6 Month EURIBOR(1)(S)     37,674   37,674
EUR 364   11/25/41   0.663%(A)   3 Month EURIBOR(2)(Q)     (41,660)   (41,660)
EUR 570   03/22/42   1.257%(A)   6 Month EURIBOR(1)(S)     28,438   28,438
EUR 570   03/22/42   1.310%(A)   3 Month EURIBOR(2)(Q)     (33,834)   (33,834)
EUR 120   05/11/49   1.450%(A)   6 Month EURIBOR(2)(S)   5,648   (2,778)   (8,426)
EUR 144   11/12/51   (0.012)%(A)   6 Month EURIBOR(2)(S)     (4,337)   (4,337)
GBP 305   04/07/41   0.952%(A)   1 Day SONIA(2)(A)   (10)   (62,800)   (62,790)
GBP 225   05/08/46   1.250%(A)   1 Day SONIA(2)(A)   48,880   (40,290)   (89,170)
GBP 85   05/08/47   1.250%(A)   1 Day SONIA(2)(A)   (19,906)   (15,672)   4,234
GBP 35   09/03/50   0.328%(A)   1 Day SONIA(2)(A)     (15,376)   (15,376)
GBP 60   05/08/52   1.250%(A)   1 Day SONIA(2)(A)   (3,750)   (12,334)   (8,584)
HUF 90,865   06/12/28   3.750%(A)   6 Month BUBOR(2)(S)     (38,822)   (38,822)
JPY 126,000   04/08/23   (0.029)%(S)   1 Day TONAR(2)(S)   52   (691)   (743)
JPY 179,000   04/08/26   0.018%(S)   1 Day TONAR(2)(S)   12   (6,053)   (6,065)
JPY 59,000   12/18/27   0.290%(S)   1 Day TONAR(2)(S)   (579)   2,679   3,258
46

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Interest rate swap agreements outstanding at July 31, 2022 (continued):
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Value at
Trade Date
  Value at
July 31,
2022
  Unrealized
Appreciation
(Depreciation)
Centrally Cleared Interest Rate Swap Agreements (cont’d.):
JPY 110,000   07/08/28   (0.050)%(A)   1 Day TONAR(2)(A)    $(15,558)    $(9,615)    $5,943
JPY 163,000   11/12/28   0.011%(S)   1 Day TONAR(2)(S)   6   (15,987)   (15,993)
JPY 130,000   07/08/32   0.050%(A)   1 Day TONAR(2)(A)   (10,648)   (25,777)   (15,129)
JPY 53,000   12/18/32   0.516%(S)   1 Day TONAR(2)(S)   (1,018)   4,995   6,013
JPY 111,500   12/18/37   0.715%(S)   1 Day TONAR(2)(S)   (3,065)   8,942   12,007
JPY 57,555   01/04/38   0.757%(S)   1 Day TONAR(2)(S)   (1,529)   7,043   8,572
JPY 11,780   12/03/38   0.600%(S)   1 Day TONAR(2)(S)   (6)   (1,265)   (1,259)
JPY 10,000   10/04/39   0.203%(S)   1 Day TONAR(2)(S)   (26)   (6,557)   (6,531)
JPY 21,500   12/03/39   0.650%(S)   1 Day TONAR(2)(S)   (13)   (2,263)   (2,250)
JPY 20,000   02/06/40   0.223%(S)   1 Day TONAR(2)(S)   (111)   (13,150)   (13,039)
JPY 25,000   07/08/42   0.300%(A)   1 Day TONAR(2)(A)   (19,278)   (16,785)   2,493
JPY 5,000   07/04/43   0.763%(S)   1 Day TONAR(2)(S)   (135)   (702)   (567)
JPY 91,700   12/18/47   0.918%(S)   1 Day TONAR(2)(S)   (3,312)   (6,033)   (2,721)
JPY 10,000   07/08/52   0.450%(A)   1 Day TONAR(2)(A)   (5,846)   (10,436)   (4,590)
KRW 979,000   09/10/28   2.043%(Q)   3 Month KWCDC(2)(Q)   (24,939)   (36,395)   (11,456)
KRW 118,000   02/13/29   1.780%(Q)   3 Month KWCDC(2)(Q)     (6,105)   (6,105)
KRW 33,500   04/17/29   1.740%(Q)   3 Month KWCDC(2)(Q)     (1,848)   (1,848)
KRW 470,000   04/27/30   1.065%(Q)   3 Month KWCDC(2)(Q)   (10,401)   (46,299)   (35,898)
NOK 1,680   03/15/27   2.103%(A)   6 Month NIBOR(2)(S)   3,672   (6,159)   (9,831)
NZD 100   11/05/29   1.393%(S)   3 Month BBR(2)(Q)     (8,810)   (8,810)
PLN 890   07/11/28   2.935%(A)   6 Month WIBOR(2)(S)   18,336   (24,345)   (42,681)
PLN 760   08/30/31   1.765%(A)   6 Month WIBOR(2)(S)     (39,521)   (39,521)
SEK 2,200   11/05/29   0.457%(A)   3 Month STIBOR(2)(Q)   (3,639)   (26,162)   (22,523)
SGD 165   07/29/31   1.120%(S)   1 Day SORA(2)(S)   1,039   (15,747)   (16,786)
THB 6,000   07/04/24   1.590%(Q)   1 Day THOR(2)(Q)     (923)   (923)
THB 3,000   07/03/30   1.028%(Q)   1 Day THOR(2)(Q)     (7,901)   (7,901)
  2,000   08/31/22   2.550%(A)   1 Day USOIS(1)(A)     (40,135)   (40,135)
  2,180   11/09/22   0.061%(A)   1 Day SOFR(1)(A)     21,977   21,977
  493   08/15/28   1.220%(A)   1 Day SOFR(1)(A)     30,961   30,961
                    $(84,979)   $(1,017,693)   $(932,714)
    
Notional
Amount
(000)#
  Termination
Date
  Fixed
Rate
  Floating
Rate
  Fair
Value
  Upfront
Premiums
Paid(Received)
  Unrealized
Appreciation
(Depreciation)
  Counterparty
OTC Interest Rate Swap Agreements:
CNH 3,000   10/14/31   2.675%(Q)   7 Day China Fixing Repo Rates(2)(Q)    $3,422    $   $3,422   Standard Chartered Bank
47

PGIM Global Total Return (USD Hedged) Fund
Schedule of Investments as of July 31, 2022 (unaudited) (continued)
Interest rate swap agreements outstanding at July 31, 2022 (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 450   04/09/26   2.625%(Q)   3 Month KLIBOR(2)(Q)    $(2,809)    $(8)    $(2,801)   Morgan Stanley & Co. International PLC
MYR 900   08/12/26   2.605%(Q)   3 Month KLIBOR(2)(Q)   (6,141)   (12)   (6,129)   HSBC Bank PLC
MYR 200   07/11/29   3.528%(Q)   3 Month KLIBOR(2)(Q)   (109)     (109)   Morgan Stanley & Co. International PLC
MYR 200   04/07/32   3.870%(Q)   3 Month KLIBOR(2)(Q)   898   (2)   900   Citibank, N.A.
MYR 230   07/12/32   3.650%(Q)   3 Month KLIBOR(2)(Q)   7   (1)   8   Goldman Sachs International
THB 1,000   05/07/25   0.795%(S)   6 Month THBFIX(2)(S)   (910)     (910)   HSBC Bank PLC
                  $(5,642)   $(23)   $(5,619)    
    
(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 Funds’ most recent Report to Shareholders. This information is available on the Securities and Exchange Commission’s website (www.sec.gov).
48