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PGIM Short Duration High Yield Opportunities Fund Common Shares (SDHY)

16.68
+0.03 (0.18%)

PGIM Short Duration High Yield Opp Fund is an investment fund that primarily focuses on generating high yields through investments in short-duration, high-yield fixed income securities

The fund aims to provide investors with attractive income opportunities while managing interest rate risk by emphasizing shorter maturities. It strategically selects bonds from a diverse array of issuers, including those with lower credit ratings, to capitalize on potential returns in the high yield market. The fund is managed by a team of experienced investment professionals who utilize in-depth research and analysis to identify opportunities that align with its investment objectives.

SummaryNewsPress ReleasesChartHistoricalFAQ
DateOpenHighLowCloseVolumeAdjusted Close
2/04/202516.6216.6516.5816.6577,71516.65
2/03/202516.5916.6516.5316.5943,66216.59
1/31/202516.6016.6416.5316.6044,68816.60
1/30/202516.6016.6016.5216.5958,12516.59
1/29/202516.5716.6016.4216.5562,42716.55
1/28/202516.5416.5616.4516.5065,75016.50
1/27/202516.5916.6316.4716.4968,14516.49
1/24/202516.6416.6416.5016.5635,21016.56
1/23/202516.5616.5916.4516.5968,71316.59
1/22/202516.4116.5516.4016.4983,96516.49
1/21/202516.3816.4716.3616.4639,50016.46
1/17/202516.3716.4516.3516.4051,89916.40
1/16/202516.3516.4216.3116.3882,08616.38
1/15/202516.2916.3216.2316.2950,71016.29
1/14/202516.0816.2116.0816.2169,94516.21
1/13/202516.1916.2016.0616.1242,35416.12
1/10/202516.1416.2816.1416.1778,08016.17
1/08/202516.1916.2816.1916.2752,32416.27
1/07/202516.2516.3216.2516.2733,22716.27
1/06/202516.3116.3216.2516.2836,07016.28
1/03/202516.1916.2816.1616.2436,56916.24
1/02/202516.1316.2716.1316.2260,34116.22
12/31/202416.060.0016.1216.12016.12
12/30/202416.0616.0916.0416.06112,02216.06
12/27/202416.2216.2816.1016.1171,12716.11
12/26/202416.2216.2616.1416.23408,73416.23
12/24/202416.2216.3316.2216.3225,87816.21
12/23/202416.2016.2616.1516.2267,77316.11
12/20/202416.1316.3116.1316.2258,15016.11
12/19/202416.2216.2216.1116.1578,58416.04
12/18/202416.2616.3016.1416.14170,10416.03
12/17/202416.3916.5116.2516.26209,12116.15
12/16/202416.4716.5716.4316.4473,70316.33
12/13/202416.4816.6016.4516.4573,56416.34
12/12/202416.4716.5416.4316.48108,10616.37
12/11/202416.6416.6516.5516.58128,74116.36
12/10/202416.6216.6216.5716.5771,71616.35
12/09/202416.6516.6516.5316.5673,61016.34
12/06/202416.6316.6516.5716.65109,23116.43
12/05/202416.6216.6216.5416.57116,65516.35
12/04/202416.5916.6716.5716.59158,85416.37
12/03/202416.6216.6916.5716.63142,97116.41
12/02/202416.6516.6916.5616.6286,89116.40
11/29/202416.6016.7116.6016.7051,01216.48
11/27/202416.5516.6016.4916.5391,91816.31
11/26/202416.7216.7616.5116.5985,85516.37
11/25/202416.6216.6716.6216.6562,04716.43
11/22/202416.5316.6416.5316.6064,29716.38
11/21/202416.5316.5916.5316.5764,59816.35
11/20/202416.6216.6216.5316.5537,22116.33
11/19/202416.4616.5616.4316.52116,63716.30
11/18/202416.5116.5616.4316.50104,64016.28
11/15/202416.5416.5416.3916.4883,55816.26
11/14/202416.5616.5716.4816.5452,04616.32
11/13/202416.5716.6916.5716.6065,94316.28
11/12/202416.8516.9116.6016.6166,17916.29
11/11/202416.8816.9216.8016.8161,07816.48
11/08/202416.7116.9516.6816.92165,63816.59
11/07/202416.5016.7016.5016.6795,35816.34
11/06/202416.4116.5616.4116.5185,99516.19
11/05/202416.5716.6616.4916.5147,98316.19