Index -
P/E 9.78
EPS (ttm) 1.66
Insider Own 0.08%
Shs Outstand 24.67M
Perf Week 0.06%
Market Cap 400.69M
Forward P/E -
EPS next Y -
Insider Trans 91.14%
Shs Float 24.56M
Perf Month -2.35%
Income -
PEG -
EPS next Q -
Inst Own 47.94%
Short Float 0.04%
Perf Quarter -3.04%
Sales -
P/S -
EPS this Y -
Inst Trans -
Short Ratio 0.12
Perf Half Y 5.80%
Book/sh -
P/B -
EPS next Y -
ROA -
Short Interest 0.01M
Perf Year 8.05%
Cash/sh -
P/C -
EPS next 5Y -
ROE -
52W Range 14.88 - 16.95
Perf YTD 0.74%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -
52W High -4.19%
Beta 0.49
Dividend TTM 1.30 (7.98% )
Quick Ratio -
Sales past 5Y -
Gross Margin -
52W Low 9.14%
ATR (14) 0.14
Dividend Ex-Date Feb 13, 2025
Current Ratio -
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 43.95
Volatility 0.77% 0.76%
Employees -
Debt/Eq -
Sales Y/Y TTM -
Profit Margin -
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq -
EPS Q/Q -
Payout 68.03%
Rel Volume 0.41
Prev Close 16.22
Sales Surprise -
EPS Surprise -
Sales Q/Q -
Earnings -
Avg Volume 90.01K
Price 16.24
SMA20 -0.55%
SMA50 -1.51%
SMA200 2.51%
Trades
Volume 36,569
Change 0.12%
Nov-29-24 04:18PM
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The Fund seeks to provide total return, through a combination of current income and capital appreciation by investing primarily in below investment-grade fixed income instruments. The Fund seeks to maintain a weighted average portfolio duration of three years or less and a weighted average maturity of five years or less.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Cignarella Robert Portfolio Manager Oct 21 '24 Buy 16.56 501 8,297 18,000 Oct 29 04:20 PM Cignarella Robert Portfolio Manager Oct 21 '24 Buy 16.58 9,499 157,484 17,499 Oct 29 04:11 PM
Index -
P/E 9.42
EPS (ttm) 1.46
Insider Own 0.01%
Shs Outstand 33.26M
Perf Week -0.65%
Market Cap 457.28M
Forward P/E -
EPS next Y -
Insider Trans 0.00%
Shs Float 33.23M
Perf Month -2.90%
Income -
PEG -
EPS next Q -
Inst Own 47.11%
Short Float 0.33%
Perf Quarter -1.57%
Sales -
P/S -
EPS this Y -
Inst Trans -
Short Ratio 0.92
Perf Half Y 5.53%
Book/sh -
P/B -
EPS next Y -
ROA -
Short Interest 0.11M
Perf Year 9.47%
Cash/sh -
P/C -
EPS next 5Y -
ROE -
52W Range 12.20 - 14.43
Perf YTD 0.51%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -
52W High -4.70%
Beta 0.77
Dividend TTM 1.26 (9.16% )
Quick Ratio -
Sales past 5Y -
Gross Margin -
52W Low 12.66%
ATR (14) 0.20
Dividend Ex-Date Feb 13, 2025
Current Ratio -
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 46.12
Volatility 1.54% 1.41%
Employees -
Debt/Eq -
Sales Y/Y TTM -
Profit Margin -
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq -
EPS Q/Q -
Payout -
Rel Volume 0.55
Prev Close 13.75
Sales Surprise -
EPS Surprise -
Sales Q/Q -
Earnings -
Avg Volume 117.26K
Price 13.75
SMA20 -0.92%
SMA50 -1.05%
SMA200 2.88%
Trades
Volume 64,551
Change 0.00%
Nov-29-24 04:18PM
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(TEST Business Wire Releases)
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Prudential Short Duration High Yield Fund, Inc. is a close ended fixed income mutual fund launched and managed by Prudential Investments LLC. The fund is co-managed by Prudential Investment Management, Inc. It invests in the fixed income markets of the United States. The fund primarily invests in a diversified portfolio of high yield fixed income instruments that are rated below investment grade (Ba1 or lower by Moody's Investors Service, Inc. or BB+ or lower by Standard & Poor's Ratings Services). It seeks to invest in securities across all maturities, while attempting to maintain a weighted average portfolio duration of three years or less. The fund employs fundamental analysis to make its investments. It does not invest in municipal debt obligations, asset backed securities, or mortgage backed securities. Prudential Short Duration High Yield Fund, Inc. was formed on April 30, 2012 and is domiciled in the United States.
Index -
P/E 7.61
EPS (ttm) 1.66
Insider Own -
Shs Outstand 40.92M
Perf Week 0.88%
Market Cap 517.28M
Forward P/E -
EPS next Y -
Insider Trans -
Shs Float 40.89M
Perf Month -2.47%
Income -
PEG -
EPS next Q -
Inst Own 44.67%
Short Float 0.19%
Perf Quarter -1.48%
Sales -
P/S -
EPS this Y -
Inst Trans -
Short Ratio 0.48
Perf Half Y 4.98%
Book/sh -
P/B -
EPS next Y -
ROA -
Short Interest 0.08M
Perf Year 9.53%
Cash/sh -
P/C -
EPS next 5Y -
ROE -
52W Range 11.05 - 13.11
Perf YTD 2.60%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -
52W High -3.59%
Beta 0.76
Dividend TTM 1.26 (9.97% )
Quick Ratio -
Sales past 5Y -
Gross Margin -
52W Low 14.39%
ATR (14) 0.16
Dividend Ex-Date Feb 13, 2025
Current Ratio -
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 50.32
Volatility 1.20% 1.13%
Employees -
Debt/Eq -
Sales Y/Y TTM -
Profit Margin -
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq -
EPS Q/Q -
Payout 54.95%
Rel Volume 1.02
Prev Close 12.52
Sales Surprise -
EPS Surprise -
Sales Q/Q -
Earnings -
Avg Volume 160.85K
Price 12.64
SMA20 -0.35%
SMA50 -0.27%
SMA200 3.02%
Trades
Volume 164,502
Change 0.96%
Nov-29-24 04:18PM
Aug-30-24 04:10PM
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Mar-01-24 10:57AM
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(TEST Business Wire Releases)
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(American City Business Journals)
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PGIM Global Short Duration High Yield Fund, Inc. is a closed ended fixed income mutual fund launched and managed by PGIM Investments LLC. The fund is co-managed by PGIM Fixed Income. It invests in fixed income markets across the globe. The fund primarily invests in high yield fixed income instruments of varying maturities that are rated Ba1 or lower by Moody's Investors Service, Inc. or BB+ or lower by Standard & Poor's Ratings Services. It seeks to maintain a weighted average maturity of five years or less. PGIM Global Short Duration High Yield Fund, Inc. was formed on December 26, 2012 and is domiciled in the United States.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Evans Barry H Director Dec 09 '24 Sale 12.99 41,885 544,086 42,053 Dec 10 10:59 AM Evans Barry H Director Aug 15 '24 Sale 12.47 3,747 46,725 83,938 Aug 19 08:57 AM
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