Form NSAR-A PRUDENTIAL INVESTMENT For: Apr 30
PAGE 1 000 A000000 04/30/2016 000 C000000 0001051562 000 D000000 N 000 E000000 NF 000 F000000 Y 000 G000000 N 000 H000000 N 000 I000000 6.1 000 J000000 A 001 A000000 PRUDENTIAL INVESTMENT PORTFOLIOS 12 001 B000000 811-08565 001 C000000 8002251852 002 A000000 655 Broad Street 002 B000000 NEWARK 002 C000000 NJ 002 D010000 07102 003 000000 N 004 000000 N 005 000000 N 006 000000 N 007 A000000 Y 007 B000000 4 007 C010100 1 007 C020100 Prudential Global Real Estate Fund 007 C030100 N 008 A000101 PRUDENTIAL INVESTMENTS LLC 008 B000101 A 008 C000101 801-31104 008 D010101 NEWARK 008 D020101 NJ 008 D030101 07102 008 D040101 4077 008 A000102 PGIM, INC. 008 B000102 S 008 C000102 801-22808 008 D010102 NEWARK 008 D020102 NJ 008 D030102 07102 010 A00AA01 PRUDENTIAL INVESTMENTS LLC 010 B00AA01 801-31104 010 C01AA01 NEWARK 010 C02AA01 NJ 010 C03AA01 07102 010 C04AA01 4077 011 A00AA01 PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC 011 B00AA01 8-36540 011 C01AA01 NEWARK 011 C02AA01 NJ 011 C03AA01 07102 011 C04AA01 4077 012 A00AA01 PRUDENTIAL MUTUAL FUND SERVICES, LLC PAGE 2 012 B00AA01 84-5681 012 C01AA01 PROVIDENCE 012 C02AA01 RI 012 C03AA01 02940 013 A00AA01 KPMG LLP 013 B01AA01 NEW YORK 013 B02AA01 NY 013 B03AA01 10154 014 A00AA01 PRUCO SECURITIES LLC 014 B00AA01 8-16402 014 A00AA02 PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC 014 B00AA02 8-36540 014 A00AA03 PRUDENTIAL ANNUITIES DISTRIBUTORS, INC. 014 B00AA03 8-39058 015 A000101 THE BANK OF NEW YORK MELLON 015 B000101 C 015 C010101 NEW YORK 015 C020101 NY 015 C030101 10286 015 E010101 X 015 A000102 NATIONAL AUSTRALIA BANK LTD 015 B000102 S 015 C010102 MELBOURNE 015 D010102 AUSTRALIA 015 E040102 X 015 A000103 UNICREDIT BANK AUSTRIA AG 015 B000103 S 015 C010103 VIENNA 015 D010103 AUSTRIA 015 E040103 X 015 A000104 CITIBANK INTERNATIONAL LTD. 015 B000104 S 015 C010104 LONDON 015 D010104 UNITED KINGDOM 015 E040104 X 015 A000105 CITIBANK N.A. 015 B000105 S 015 C010105 SAO PAULO 015 D010105 BRAZIL 015 E040105 X 015 A000106 CIBC MELLON TRUST COMPANY 015 B000106 S 015 C010106 TORONTO 015 D010106 CANADA 015 E040106 X 015 A000107 SKANDINAVISKA ENSKILDA BANKEN AB 015 B000107 S 015 C010107 COPENHAGEN 015 D010107 DENMARK 015 E040107 X 015 A000108 EUROCLEAR BANK PAGE 3 015 B000108 S 015 C010108 BRUSSELS 015 D010108 BELGIUM 015 E040108 X 015 A000109 SKANDINAVISKA ENSKILDA BANKEN AB 015 B000109 S 015 C010109 HELSINKI 015 D010109 FINLAND 015 E040109 X 015 A000110 BNP PARIBAS SECURITIES SERVICES S.C.A. 015 B000110 S 015 C010110 PARIS 015 D010110 FRANCE 015 E040110 X 015 A000111 THE BANK OF NEW YORK MELLON SA/NA 015 B000111 S 015 C010111 FRANKFURT 015 D010111 GERMANY 015 E040111 X 015 A000112 BNP PARIBAS SECURITIES SERVICES S.C.A. 015 B000112 S 015 C010112 ATHENS 015 D010112 GREECE 015 E040112 X 015 A000113 THE HONGKONG AND SHANGHAI BANKING CORP. LTD 015 B000113 S 015 C010113 HONG KONG 015 D010113 HONG KONG 015 E040113 X 015 A000114 THE BANK OF NEW YORK MELLON 015 B000114 S 015 C010114 LONDON 015 D010114 UNITED KINDGOM 015 E040114 X 015 A000115 INTESA SANPAOLO S.p.A. 015 B000115 S 015 C010115 TORINO 015 D010115 ITALY 015 E040115 X 015 A000116 THE BANK OF TOKYO-MITSUBISHI UFJ, LTD 015 B000116 S 015 C010116 TOKYO 015 D010116 JAPAN 015 E040116 X 015 A000117 BANCO NACIONAL DE MEXICO S.A. 015 B000117 S 015 C010117 MEXICO CITY 015 D010117 MEXICO 015 E040117 X 015 A000118 THE BANK OF NEW YORK MELLON SA/NV 015 B000118 S PAGE 4 015 C010118 BRUSSELS 015 D010118 BELGIUM 015 E040118 X 015 A000119 SKANDINAVISKA ENSKILDA BANKEN AB 015 B000119 S 015 C010119 OSLO 015 D010119 NORWAY 015 E040119 X 015 A000120 DEUTSCHE BANK AG 015 B000120 S 015 C010120 MAKATI CITY 015 D010120 PHILIPPINES 015 E040120 X 015 A000121 CITIBANK INTERNATIONAL PLC 015 B000121 S 015 C010121 LISBON 015 D010121 PORTUGAL 015 E040121 X 015 A000122 DBS BANK LTD 015 B000122 S 015 C010122 SINGAPORE 015 D010122 SINGAPORE 015 E040122 X 015 A000123 BANCO BILBAO VIZCAYA ARGENTARIA, S.A. 015 B000123 S 015 C010123 BILBAO 015 D010123 SPAIN 015 E040123 X 015 A000124 SKANDINAVISKA ENSKILDA BANKEN AB 015 B000124 S 015 C010124 STOCKHOLM 015 D010124 SWEDEN 015 E040124 X 015 A000125 CREDIT SUISSE AG 015 B000125 S 015 C010125 ZURICH 015 D010125 SWITZERLAND 015 E040125 X 015 A000126 NATIONAL AUSTRALIA BANK LTD 015 B000126 S 015 C010126 AUCKLAND 015 D010126 NEW ZEALAND 015 E040126 X 015 A000127 DEUTSCHE BANK AG 015 B000127 S 015 C010127 KUALA LUMPUR 015 D010127 MALAYSIA 015 E040127 X 018 00AA00 Y 019 A00AA00 Y 019 B00AA00 180 PAGE 5 019 C00AA00 PRUDENTIAL 020 A000001 NOMURA SECURITIES INTERNATIONAL, INC. 020 B000001 13-2642206 020 C000001 188 020 A000002 DEUTSCHE BANK SECURITIES, INC. 020 B000002 13-2730828 020 C000002 185 020 A000003 CITIGROUP GLOBAL MARKETS, INC. 020 B000003 11-2418191 020 C000003 166 020 A000004 MORGAN STANLEY & CO. LLC 020 B000004 13-2655998 020 C000004 165 020 A000005 BANC OF AMERICA SECURITIES LLC 020 B000005 56-2058405 020 C000005 125 020 A000006 UBS SECURITIES LLC 020 B000006 13-3873456 020 C000006 98 020 A000007 SIEBERT, BRANDFORD, SHANK & CO. LLC 020 B000007 13-3932653 020 C000007 83 020 A000008 NATIONAL FINANCIAL SERVICES LLC 020 B000008 04-3523567 020 C000008 82 020 A000009 BARCLAYS CAPITAL, INC. 020 B000009 06-1031656 020 C000009 68 020 A000010 MACQUARIE CAPITAL (USA), INC. 020 B000010 98-0141094 020 C000010 65 021 000000 1920 022 A000001 BANC OF AMERICA SECURITIES LLC 022 B000001 56-2058405 022 C000001 53598 022 D000001 0 022 A000002 NOMURA SECURITIES INTERNATIONAL, INC. 022 B000002 13-2642206 022 C000002 28210 022 D000002 523 022 A000003 CREDIT SUISSE SECURITIES (USA) LLC 022 B000003 13-5659485 022 C000003 22337 022 D000003 0 022 A000004 MORGAN STANLEY & CO. LLC 022 B000004 13-2655998 022 C000004 17002 022 D000004 4023 022 A000005 CITIGROUP GLOBAL MARKETS, INC. 022 B000005 11-2418191 022 C000005 11038 PAGE 6 022 D000005 3065 022 A000006 WELLS FARGO SECURITIES LLC 022 B000006 56-2326000 022 C000006 9286 022 D000006 2600 022 A000007 GOLDMAN SACHS & CO. 022 B000007 13-5108880 022 C000007 10217 022 D000007 0 022 A000008 RBC CAPITAL MARKETS LLC 022 B000008 41-1228350 022 C000008 6661 022 D000008 0 022 A000009 JPMORGAN CHASE & CO. 022 B000009 13-2624428 022 C000009 5717 022 D000009 892 022 A000010 DEUTSCHE BANK SECURITIES, INC. 022 B000010 13-2730828 022 C000010 6576 022 D000010 0 023 C000000 190723 023 D000000 11104 024 000100 N 026 A000000 N 026 B000000 Y 026 C000000 N 026 D000000 Y 026 E000000 N 026 F000000 N 026 G010000 N 026 G020000 N 026 H000000 N 027 000000 Y 028 A010100 53893 028 A020100 0 028 A030100 0 028 A040100 53347 028 B010100 107232 028 B020100 42107 028 B030100 0 028 B040100 128162 028 C010100 71763 028 C020100 0 028 C030100 0 028 C040100 88394 028 D010100 76877 028 D020100 0 028 D030100 0 028 D040100 93902 028 E010100 73138 PAGE 7 028 E020100 0 028 E030100 0 028 E040100 108739 028 F010100 93744 028 F020100 14209 028 F030100 0 028 F040100 98608 028 G010100 476647 028 G020100 56316 028 G030100 0 028 G040100 571152 028 H000100 69354 029 000100 Y 030 A000100 127 030 B000100 5.50 030 C000100 0.00 031 A000100 13 031 B000100 0 032 000100 91 033 000100 23 034 000100 Y 035 000100 18 036 A000100 N 036 B000100 0 037 000100 N 038 000100 0 039 000100 N 040 000100 Y 041 000100 Y 042 A000100 0 042 B000100 0 042 C000100 0 042 D000100 100 042 E000100 0 042 F000100 0 042 G000100 0 042 H000100 0 043 000100 1765 044 000100 0 045 000100 Y 046 000100 N 047 000100 Y 048 000100 0.750 048 A010100 0 048 A020100 0.000 048 B010100 0 048 B020100 0.000 048 C010100 0 048 C020100 0.000 048 D010100 0 048 D020100 0.000 PAGE 8 048 E010100 0 048 E020100 0.000 048 F010100 0 048 F020100 0.000 048 G010100 0 048 G020100 0.000 048 H010100 0 048 H020100 0.000 048 I010100 0 048 I020100 0.000 048 J010100 0 048 J020100 0.000 048 K010100 0 048 K020100 0.000 049 000100 N 050 000100 N 051 000100 N 052 000100 N 053 A000100 N 054 A00AA00 Y 054 B00AA00 Y 054 C00AA00 N 054 D00AA00 N 054 E00AA00 N 054 F00AA00 N 054 G00AA00 N 054 H00AA00 Y 054 I00AA00 N 054 J00AA00 Y 054 K00AA00 Y 054 L00AA00 N 054 M00AA00 N 054 N00AA00 Y 054 O00AA00 N 055 A000100 N 055 B000100 N 056 000100 Y 057 000100 N 058 A000100 N 059 000100 Y 060 A000100 N 060 B000100 N 061 000100 2500 062 A000100 N 062 B000100 0.0 062 C000100 0.0 062 D000100 0.0 062 E000100 0.0 062 F000100 0.0 062 G000100 0.0 062 H000100 0.0 PAGE 9 062 I000100 0.0 062 J000100 0.0 062 K000100 0.0 062 L000100 0.0 062 M000100 0.0 062 N000100 0.0 062 O000100 0.0 062 P000100 0.0 062 Q000100 0.0 062 R000100 0.0 063 A000100 0 063 B000100 0.0 066 A000100 Y 066 B000100 N 066 C000100 N 066 D000100 N 066 E000100 Y 066 F000100 N 066 G000100 N 067 000100 N 068 A000100 N 068 B000100 Y 069 000100 N 070 A010100 Y 070 A020100 N 070 B010100 Y 070 B020100 N 070 C010100 Y 070 C020100 N 070 D010100 Y 070 D020100 N 070 E010100 Y 070 E020100 N 070 F010100 Y 070 F020100 N 070 G010100 Y 070 G020100 N 070 H010100 Y 070 H020100 N 070 I010100 N 070 I020100 N 070 J010100 Y 070 J020100 Y 070 K010100 Y 070 K020100 Y 070 L010100 Y 070 L020100 Y 070 M010100 Y 070 M020100 Y 070 N010100 Y 070 N020100 Y PAGE 10 070 O010100 Y 070 O020100 N 070 P010100 Y 070 P020100 N 070 Q010100 N 070 Q020100 N 070 R010100 Y 070 R020100 N 071 A000100 1278514 071 B000100 1350059 071 C000100 3336657 071 D000100 38 072 A000100 6 072 B000100 0 072 C000100 56207 072 D000100 0 072 E000100 75 072 F000100 12359 072 G000100 0 072 H000100 0 072 I000100 2652 072 J000100 341 072 K000100 0 072 L000100 165 072 M000100 32 072 N000100 78 072 O000100 0 072 P000100 17 072 Q000100 0 072 R000100 13 072 S000100 20 072 T000100 1765 072 U000100 0 072 V000100 0 072 W000100 93 072 X000100 17535 072 Y000100 0 072 Z000100 38747 072AA000100 127343 072BB000100 132190 072CC010100 4541 072CC020100 0 072DD010100 5499 072DD020100 30424 072EE000100 49798 073 A010100 0.0000 073 A020100 0.0000 073 B000100 0.3812 073 C000100 0.0000 074 A000100 0 074 B000100 0 PAGE 11 074 C000100 0 074 D000100 0 074 E000100 0 074 F000100 3381780 074 G000100 0 074 H000100 0 074 I000100 55615 074 J000100 11208 074 K000100 0 074 L000100 14770 074 M000100 11 074 N000100 3463384 074 O000100 19781 074 P000100 2437 074 Q000100 0 074 R010100 0 074 R020100 0 074 R030100 0 074 R040100 60037 074 S000100 0 074 T000100 3381129 074 U010100 23809 074 U020100 116590 074 V010100 0.00 074 V020100 0.00 074 W000100 0.0000 074 X000100 36010 074 Y000100 0 075 A000100 0 075 B000100 3355212 076 000100 0.00 077 A000000 Y 077 B000000 N 077 C000000 N 077 D000000 N 077 E000000 N 077 F000000 N 077 G000000 N 077 H000000 N 077 I000000 N 077 J000000 N 077 K000000 N 077 L000000 N 077 M000000 N 077 N000000 N 077 O000000 N 077 P000000 N 077 Q010000 N 077 Q020000 N 077 Q030000 Y 078 000000 N PAGE 12 080 C00AA00 0 081 B00AA00 0 082 B00AA00 0 083 B00AA00 0 084 B00AA00 0 086 A010000 0 086 A020000 0 086 B010000 0 086 B020000 0 086 C010000 0 086 C020000 0 086 D010000 0 086 D020000 0 086 E010000 0 086 E020000 0 086 F010000 0 086 F020000 0 SIGNATURE MELISSA HANOBECK TITLE DIRECTOR
This page beingPrudential Global Real Estate FINANCIAL INFORMATION (Cont. from Screen 33) filed for series 0. EXPENSES (Negative answers are allowed For the period covered by this form on this screen for 72Z only) ($000's omitted) 72.Y) Expense reimbursements ----------------------------- $ 0 Z) Net investment income ------------------------------ $ 0 AA) Realized capital gains ------------------------$ 0 BB) Realized capital losses -----------------------$ 0 CC) 1. Net unrealized appreciation during the period --- $ 0 2. Net unrealized depreciation during the period --- $ 0 DD) 1. Total income dividends for which record date passed during the period ------------------------ $ 0 2. Dividends for a second class of open-end company shares -----------------------------------$ 0 EE) Total capital gains distributions for which record date passed during the period --------------- $ 0 73. Distributions per share for which record date passed during the period: NOTE: Show in fractions of a cent if so declared. " A) 1. Dividends from net investment income $0.20377, 0.12449 " 2. Dividends for a second class of open-end company shares $0.12449, 0.25982, 0.18057, 0.23875 B) Distribution of capital gains ---------------$0.000 C) Other distributions --------------------------------- $ 0.0000 SCREEN NUMBER: 34 This page being (Continued from Screen 35) filed for series 0. Condensed balance sheet data: As of the end of current reporting period (000's omitted except for per share amounts and number of accounts) 74.O) Payables for portfolio instruments purchased --------------- $ 0 P) Amounts owed to affiliated persons ------------------------- $ 0 Q) Senior long-term debt -------------------------------------- $ 0 R) Other liabilities:1. Reverse repurchase agreements---------- $ 0 2. Short sales --------------------------- $ 0 3. Written options ----------------------- $ 0 4. All other liabilities ----------------- $ 0 S) Senior equity -----------------------------------------------$ 0 T) Net assets of common shareholders ---------------------------$ 0 U) 1. Number of shares outstanding -----------------------------$ 0 2. Number of shares outstanding of a second class of shares of open-end company --------------------------------------- 0 " V) 1. Net asset value per share(to nearest cent)$24.03, 23.60 2. Net asset value per share of a second class of open-end " company shares (to nearest cent) $23.60, 24.12, 23.98, 24.13 W) Mark-to-market net asset value per share for money market funds only (to 4 decimals) -----------------$ 0.0000 X) Total number of shareholder accounts ------------------------$ 0 Y) Total value of assets in segregated accounts ----------------$ 0 SCREEN NUMBER: 36 Because the electronic format for filing Form N-SAR does not provide "adequate space for responding to Items 73A1&2 and 74V1&2 correctly, " the correct answers are as above.
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