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PMIO

ยทNYSE
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Key Stats
Assets Under Management
33.09MUSD
Fund Flows (1Y)
7.63MUSD
Dividend Yield
4.07%
Discount/Premium to NAV
0.15%
Shares Outstanding
650.00K
Expense Ratio
0.25%
About PGIM Municipal Income Opportunities ETF
Issuer
PGIM Investments LLC
Brand
PGIM
Inception Date
Jun 14, 2024
Structure
Open-Ended Fund
Index Tracked
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Management Style
Active
Dividend Treatment
Distributes
Distribution Tax Treatment
Ordinary income
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
PGIM Investments LLC
Distributor
Prudential Investment Management Services LLC
PMIO is an actively managed fund that combines a top-down analysis and bottom-up research to create a portfolio of tax-exempt, municipal bonds. This portfolio aims to maintain a weighted average portfolio duration of two years or less. PMIO will primarily invest at least 70% of its assets in investment grade municipal bonds but may allot 30% of the fund's assets to high yield debt or junk bonds. In selecting components for the fund, the adviser combines a top-down analysis, which looks at economic, policy, and market trends to evaluate movement of markets and securities prices, with bottom-up research, where each issuer is evaluated based on their composition of revenue, profitability, cash flow margin, and leverage. The fund also utilizes quantitative models and risk management systems. Derivatives may be used to enhance yield or manage risk.
Classification
Asset Class
Fixed Income
Category
Government, Local Authority/Municipal
Focus
Broad Credit
Niche
Intermediate
Strategy
Active
Geography
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Weighting Scheme
Proprietary
Selection Criteria
Proprietary
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
-0.29%+0.04%+0.95%+0.04%+1.42%+1.42%
NAV Total Return
-0.11%+1.12%+4.81%+3.72%+0.03%+0.03%
Ratings

No data is currently available

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Holdings Analysis

Sector

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Asset

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Region

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Investment Style

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Top 10 Holdings

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Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-12-012025-12-012025-12-030.160
2025-11-032025-11-032025-11-050.171
2025-10-012025-10-012025-10-030.171
2025-09-022025-09-022025-09-040.179
2025-08-012025-08-012025-08-050.179
2025-07-012025-07-012025-07-030.169
2025-06-022025-06-022025-06-040.185

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Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
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