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PSDMPGIM Short Duration Multi-Secto

Get income2y track recordRanked #743 of 1,622 in this goal

Provides total return.

By PGIM · Launched 2023

Annual Cost

0.40%

#2,058 of 5,562 · average

Fund Size

$193M

#2,337 of 5,562 · mid-size

Dividend YieldGoal

4.80%

Track Record

2 years

#3,086 of 5,562 · seasoned

Performance

Total-return NAV · USD
Growth of $10,000
$10,455+4.6%

Total-return NAV, USD. Net of fund fees, before tax.

Classification

How Beacon categorizes this fund

Asset class

Fixed income

Strategy

Active selection

What it actually holds

By weight

Concentration

Top 10 holdings = 38.8% of fundwell diversified

US TREASURY N/B
6.3%
US TREASURY N/B
5.3%
US TREASURY N/B
4.9%
PGIM AAA CLO ETF - Old IO fund
4.8%
US TREASURY N/B
3.6%
US TREASURY N/B
3.5%
US TREASURY N/B
3.0%
US TREASURY N/B
2.7%
Fannie Mae or Freddie Mac
2.5%
US TREASURY N/B
2.1%

Asset allocation

Bonds
98.7%
Preferred
0.9%
Cash
0.5%

Risk profile

Last 12 months · Sharpe & Sortino need 3+ years
Volatility (1Y)
1.7%Low

Year-on-year price swings

Max drawdown
-1.2%Mild

Worst peak-to-trough loss

Sharpe (3Y)
Unavailable

Needs 3+ years of history

Sortino (3Y)
Not yet

Needs 3+ years of history

Bond profile

Duration

4.4 years

Avg maturity

10.0 years

Credit ratings

US Government
40.2%

Where to buy

Listing

Exchange
Cboe BZX

Full fund details

Objective
Provides total return.
Strategy
Invests primarily in fixed income instruments across various sectors, including U.S. Government and corporate debt. Actively managed with a focus on maintaining a portfolio duration of three years or less.
Inception date
July 19, 2023
Fund family
PGIM

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Data updated on 2026-06-19