PRUDENTIAL SHORT-TERM CORPORATE BOND FUND INC. CLASS Q(PSTQX) USD 10.32
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.53%USD 0.055USD0.02652023-02-28
USD0.02842023-01-31
20222.72%USD 0.28USD0.027962022-12-30
USD0.026742022-11-30
USD0.026012022-10-31
USD0.024652022-09-30
USD0.024912022-08-31
USD0.02342022-07-29
USD0.021862022-06-30
USD0.022432022-05-31
USD0.020892022-04-29
USD0.021332022-03-31
USD0.019322022-02-28
USD0.020972022-01-31
20212.47%USD 0.255USD0.020662021-12-31
USD0.020292021-11-30
USD0.020042021-10-29
USD0.019862021-09-30
USD0.020782021-08-31
USD0.021892021-07-30
USD0.020882021-06-30
USD0.022092021-05-28
USD0.02292021-04-30
USD0.022092021-03-31
USD0.020322021-02-26
USD0.023012021-01-29
20202.87%USD 0.296USD0.023312020-12-31
USD0.021562020-11-30
USD0.02262020-10-30
USD0.022322020-09-30
USD0.023312020-08-31
USD0.02412020-07-31
USD0.024882020-06-30
USD0.026212020-05-29
USD0.026132020-04-30
USD0.027972020-03-31
USD0.025742020-02-28
USD0.027882020-01-31
20193.19%USD 0.329USD0.026572019-12-31
USD0.027462019-11-29
USD0.027512019-10-31
USD0.024652019-09-30
USD0.029222019-08-30
USD0.02882019-07-31
USD0.0262019-06-28
USD0.032019-05-31
USD0.0282019-04-30
USD0.0282019-03-29
USD0.0252019-02-28
USD0.0282019-01-31
20183.08%USD 0.318USD0.0262018-12-31
USD0.001072018-12-21
USD0.0282018-11-30
USD0.0272018-10-31
USD0.0242018-09-28
USD0.0292018-08-31
USD0.0262018-07-31
USD0.0282018-06-29
USD0.0272018-05-31
USD0.0252018-04-30
USD0.0272018-03-29
USD0.0242018-02-28
USD0.0262018-01-31
20173.03%USD 0.313USD0.0262017-12-29
USD0.0062017-12-22
USD0.0252017-11-30
USD0.0252017-10-31
USD0.0262017-09-29
USD0.0262017-08-31
USD0.0242017-07-31
USD0.0272017-06-30
USD0.0262017-05-31
USD0.0242017-04-28
USD0.0282017-03-31
USD0.0242017-02-28
USD0.0262017-01-31
20162.95%USD 0.304USD0.0252016-12-30
USD0.0242016-11-30
USD0.0242016-10-31
USD0.0262016-09-30
USD0.0252016-08-31
USD0.0262016-07-29
USD0.0252016-06-30
USD0.0252016-05-31
USD0.0262016-04-29
USD0.0272016-03-31
USD0.0252016-02-29
USD0.0262016-01-29
20153.13%USD 0.323USD0.0262015-12-31
USD0.0252015-11-30
USD0.0282015-10-30
USD0.0262015-09-30
USD0.0252015-08-31
USD0.0292015-07-31
USD0.0272015-06-30
USD0.0282015-05-29
USD0.0272015-04-30
USD0.0272015-03-31
USD0.0262015-02-27
USD0.0292015-01-30
20143.38%USD 0.349USD0.0282014-12-31
USD0.0252014-11-28
USD0.032014-10-31
USD0.032014-09-30
USD0.0282014-08-29
USD0.0292014-07-31
USD0.0292014-06-30
USD0.0292014-05-30
USD0.0292014-04-30
USD0.0332014-03-31
USD0.0282014-02-28
USD0.0312014-01-31
20133.29%USD 0.34USD0.0012013-12-31
USD0.032013-11-29
USD0.0322013-10-31
USD0.032013-09-30
USD0.0312013-08-30
USD0.0312013-07-31
USD0.032013-06-28
USD0.0312013-05-31
USD0.0312013-04-30
USD0.0322013-03-28
USD0.0292013-02-28
USD0.0322013-01-31
20123.00%USD 0.31USD0.0322012-12-31
USD0.00162012-12-21
USD0.0322012-11-30
USD0.0342012-10-31
USD0.0332012-09-28
USD0.0352012-08-31
USD0.0352012-07-31
USD0.0352012-06-29
USD0.0372012-05-31
USD0.0352012-04-30