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   <title>Asia-exposed bank stocks slide after report on Hong Kong account suspensions</title>
   <link>http://www.streetinsider.com/Investing/Asia-exposed+bank+stocks+slide+after+report+on+Hong+Kong+account+suspensions/26603153.html</link>
   <description>&lt;p&gt;Investing.com -- HSBC Holdings, Standard Chartered, AIA Group and Prudential shares have fallen sharply on Thursday after a report said some banks have suspended opening Hong Kong accounts for mainland Chinese clients intended for overseas investments.&lt;/p&gt;
&lt;p&gt;&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;&lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;HSBC&lt;/span&gt;&lt;/span&gt; dropped more than 5% in London trading, while &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Standard Chartered&lt;/span&gt;&lt;/span&gt; fell as much as 7% and AIA slid 6.8% in its worst session since March. &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Prudential&lt;/span&gt;&lt;/span&gt; declined more than 8%.&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;The selling followed a South China Morning Post report that Bank of East Asia&amp;amp;#39;s Shanghai branch had suspended opening such accounts. &lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;HSBC was also cited</description>
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   <pubDate>Thu, 04 Jun 2026 08:53:28 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">HSBA</category>
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   <title>Asia-exposed bank stocks slide after report on Hong Kong account suspensions</title>
   <link>http://www.streetinsider.com/Investing/Asia-exposed+bank+stocks+slide+after+report+on+Hong+Kong+account+suspensions/26603153.html</link>
   <description>&lt;p&gt;Investing.com -- HSBC Holdings, Standard Chartered, AIA Group and Prudential shares have fallen sharply on Thursday after a report said some banks have suspended opening Hong Kong accounts for mainland Chinese clients intended for overseas investments.&lt;/p&gt;
&lt;p&gt;&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;&lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;HSBC&lt;/span&gt;&lt;/span&gt; dropped more than 5% in London trading, while &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Standard Chartered&lt;/span&gt;&lt;/span&gt; fell as much as 7% and AIA slid 6.8% in its worst session since March. &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Prudential&lt;/span&gt;&lt;/span&gt; declined more than 8%.&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;The selling followed a South China Morning Post report that Bank of East Asia&amp;amp;#39;s Shanghai branch had suspended opening such accounts. &lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;HSBC was also cited</description>
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   <pubDate>Thu, 04 Jun 2026 08:53:28 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">HSBA</category>
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  <item>
   <title>Asia-exposed bank stocks slide after report on Hong Kong account suspensions</title>
   <link>http://www.streetinsider.com/Investing/Asia-exposed+bank+stocks+slide+after+report+on+Hong+Kong+account+suspensions/26603153.html</link>
   <description>&lt;p&gt;Investing.com -- HSBC Holdings, Standard Chartered, AIA Group and Prudential shares have fallen sharply on Thursday after a report said some banks have suspended opening Hong Kong accounts for mainland Chinese clients intended for overseas investments.&lt;/p&gt;
&lt;p&gt;&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;&lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;HSBC&lt;/span&gt;&lt;/span&gt; dropped more than 5% in London trading, while &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Standard Chartered&lt;/span&gt;&lt;/span&gt; fell as much as 7% and AIA slid 6.8% in its worst session since March. &lt;span itemscope=&quot;&quot; itemtype=&quot;http://schema.org/Corporation&quot;&gt;&lt;span itemprop=&quot;name&quot;&gt;Prudential&lt;/span&gt;&lt;/span&gt; declined more than 8%.&lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;The selling followed a South China Morning Post report that Bank of East Asia&amp;amp;#39;s Shanghai branch had suspended opening such accounts. &lt;/p&gt;
&lt;p dir=&quot;ltr&quot;&gt;HSBC was also cited</description>
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   <pubDate>Thu, 04 Jun 2026 08:53:28 -0400</pubDate>
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   <title>Form  6-K        PRUDENTIAL PLC            For: Jun 04</title>
   <link>http://www.streetinsider.com/SEC+Filings/Form++6-K++++++++PRUDENTIAL+PLC++++++++++++For%3A+Jun+04/26602222.html</link>
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   <pubDate>Thu, 04 Jun 2026 06:56:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">O.00924663</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PUK</category>
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   <title>Form  6-K        PRUDENTIAL PLC            For: Jun 04</title>
   <link>http://www.streetinsider.com/SEC+Filings/Form++6-K++++++++PRUDENTIAL+PLC++++++++++++For%3A+Jun+04/26602222.html</link>
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   <pubDate>Thu, 04 Jun 2026 06:56:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">O.00924663</category>
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  <item>
   <title>Form  6-K        PRUDENTIAL PLC            For: Jun 04</title>
   <link>http://www.streetinsider.com/SEC+Filings/Form++6-K++++++++PRUDENTIAL+PLC++++++++++++For%3A+Jun+04/26602222.html</link>
   <description>si-local-file:///var/storage/secattach/20260604/26602222.html</description>
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   <pubDate>Thu, 04 Jun 2026 06:56:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">O.00924663</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PUK</category>
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  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
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  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">A.50213894</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.00873285</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.58317773</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
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  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">A.50213894</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.00873285</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.58317773</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">A.50213894</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.00873285</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">O.58317773</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Press+Releases/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
   <guid isPermaLink="true">http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</guid>
   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
      	<category domain="http://rss.financialcontent.com/stocksymbol">A.50202710</category>
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   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PAB</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PRU</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PSDM</category>
   	   	<category domain="http://rss.financialcontent.com/stocksymbol">PTRB</category>
   	  </item>
  <item>
   <title>PGIM Announces Net Asset Value Restatement for Three Exchange-Traded Funds (PAB, PSDM, PTRB)</title>
   <link>http://www.streetinsider.com/Business+Wire/PGIM+Announces+Net+Asset+Value+Restatement+for+Three+Exchange-Traded+Funds+%28PAB%2C+PSDM%2C+PTRB%29/26594089.html</link>
   <description>
&lt;p&gt;    NEWARK, N.J.--(BUSINESS WIRE)--
&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Finstitutional&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM&amp;amp;index=1&amp;amp;md5=e3cdcb5d41f3b1c11e8e856b81774cf1&quot; shape=&quot;rect&quot;&gt;PGIM&lt;/a&gt;,1 the $1.4 trillion global asset management business of Prudential Financial, Inc. (&lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Finvestor.prudential.com%2Foverview%2Fdefault.aspx&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=NYSE%3A+PRU&amp;amp;index=2&amp;amp;md5=99683bf27127bc03024b9460cdf5b834&quot; shape=&quot;rect&quot;&gt;NYSE: PRU&lt;/a&gt;) announces that the previously disclosed net asset value (NAV) per share of the &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-active-aggregate-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Active+Aggregate+Bond+ETF&amp;amp;index=3&amp;amp;md5=64126d5496171274fec01f6a05822f7c&quot; shape=&quot;rect&quot;&gt;PGIM Active Aggregate Bond ETF&lt;/a&gt; (PAB), &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Findividual%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-short-duration-multi-sector-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Short+Duration+Multi-Sector+Bond+ETF&amp;amp;index=4&amp;amp;md5=0340c773cd7be0a7baa4d4457b19bb7f&quot; shape=&quot;rect&quot;&gt;PGIM Short Duration Multi-Sector Bond ETF&lt;/a&gt; (PSDM) and &lt;a target=&quot;_blank&quot; rel=&quot;nofollow&quot; href=&quot;https://cts.businesswire.com/ct/CT?id=smartlink&amp;amp;url=https%3A%2F%2Fwww.pgim.com%2Fus%2Fen%2Fintermediary%2Finvestment-capabilities%2Fproducts%2Fetf%2Fpgim-total-return-bond-etf&amp;amp;esheet=54546781&amp;amp;newsitemid=20260602253408&amp;amp;lan=en-US&amp;amp;anchor=PGIM+Total+Return+Bond+ETF&amp;amp;index=5&amp;amp;md5=5ed9e970bb63e4da58716f84c3ef59f2&quot; shape=&quot;rect&quot;&gt;PGIM Total Return Bond ETF &lt;/a&gt;(PTRB) for May 29, 2026, was restated by the amount indicated below on June 1, 2026. This restatement is the result of an accounting error in calculating each</description>
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   <pubDate>Tue, 02 Jun 2026 21:32:00 -0400</pubDate>
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