Upgrade to FINVIZ*Elite to get real-time quotes, intraday charts, and advanced charting tools.

Last Close
Oct 27  •  04:00PM ET
49.79
Dollar change
0.00
Percentage change
0.00
%
CategoryBonds - Broad Market Asset TypeBonds TagsU.S. Return% 1Y4.76% Total Holdings644 Perf Week0.08%
SponsorPGIM Investments ETF Type Tagsfixed-income Return% 3Y5.76% AUM13.13B Perf Month-0.02%
Fund Family Bond Type Tagsbonds Return% 5Y3.64% NAV/sh Perf Quarter0.06%
Index- Average Maturity Tagsinvestment-grade Return% 10Y 52W High49.84 -0.10% Perf Half Y0.30%
Index Weighting Commodity Type Tags- Return% SI 52W Low49.34 0.91% Perf YTD0.48%
Active/Passive Quant Type Tags- Flows% 1M3.96% Volatility0.02% 0.03% Perf Year0.16%
Dividend TTM2.43 (4.88%) ESG Type Tags- Flows% 3M9.43% ATR (14)0.02 Perf 3Y1.61%
Dividend Ex-DateOct 01, 2025 Dividend Type Sector/Theme Flows% YTD42.75% RSI (14)61.75 Perf 5Y-0.22%
Dividend Gr. 3/5Y67.90% 13.81% Structure Type Region Flows% 1Y Beta0.01 Perf 10Y-
Expense0.15% Growth/Value SMA200.12% Flows% 3Y Rel Volume0.78 Prev Close49.79
Inverse/Leveraged Market Cap SMA500.10% Flows% 5Y Avg Volume2.08M Price49.79
IPOApr 10, 2018 Option/ShortYes / Yes SMA2000.26% Trades Volume1,626,946 Change0.00%
Apr-24-25 03:05AM
Apr-04-25 11:45PM
Mar-20-25 01:15AM
Nov-13-23 04:05PM
Feb-23-23 09:37AM
08:00AM Loading…
Apr-07-22 08:00AM
May-12-20 03:22PM
Feb-17-20 08:00AM
Feb-12-20 10:53AM
Jun-03-19 02:56PM
02:50PM
May-06-19 04:07PM
Dec-26-18 08:00AM
Sep-27-18 02:24PM
Apr-18-18 08:00AM
09:50AM Loading…
Apr-10-18 09:50AM
PGIM Ultra Short Bond ETF seeks total return through a combination of current income and capital appreciation, consistent with preservation of capital. The fund invests primarily in a portfolio of investment grade, U.S. dollar denominated short-term fixed, variable and floating rate debt instruments. Under normal market conditions, it invests at least 80% of its investable assets in bonds with varying maturities. Although the fund may invest in instruments of any duration or maturity, it normally will seek to maintain a weighted average portfolio duration of one year or less and a weighted average maturity of three years or less.