Portfolio
|
Management Fee Rate
|
AST Target Maturity Central Portfolio
|
0% of average daily net assets
|
Glossary
|
|
Term
|
Definition
|
1933 Act
|
Securities Act of 1933, as amended
|
1934 Act
|
Securities Exchange Act of 1934, as amended
|
1940 Act
|
Investment Company Act of 1940, as amended
|
ADR
|
American Depositary Receipt
|
ADS
|
American Depositary Share
|
ASTIS
|
AST Investment Services, Inc.
|
Board
|
Trust’s Board of Directors or Trustees
|
Board Member
|
A trustee or director of the Trust’s Board
|
CFTC
|
Commodity Futures Trading Commission
|
Code
|
Internal Revenue Code of 1986, as amended
|
EDR
|
European Depositary Receipt
|
ETF
|
Exchange-Traded Fund
|
Fannie Mae
|
Federal National Mortgage Association
|
Fitch
|
Fitch, Inc.
|
Freddie Mac
|
The Federal Home Loan Mortgage Corporation
|
Global Depositary Receipt
|
GDR
|
Ginnie Mae
|
Government National Mortgage Association
|
IPO
|
Initial Public Offering
|
IRS
|
Internal Revenue Service
|
LIBOR
|
London Interbank Offered Rate
|
Moody’s
|
Moody’s Investor Services, Inc.
|
NASDAQ
|
National Association of Securities Dealers Automated Quotations System
|
NAV
|
Net Asset Value
|
NYSE
|
New York Stock Exchange
|
OTC
|
Over-the-Counter
|
PGIM Investments or the Manager
|
PGIM Investments LLC
|
PMFS
|
Prudential Mutual Fund Services LLC
|
REIT
|
Real Estate Investment Trust
|
RIC
|
Regulated Investment Company, as the term is used in the Internal Revenue Code of 1986, as amended
|
S&P
|
S&P Global Ratings
|
SEC
|
US Securities & Exchange Commission
|
World Bank
|
International Bank for Reconstruction and Development
|
Independent Trustees
|
|
|
|
Name
Year of Birth
No. of Portfolios
Overseen
|
Principal Occupation(s) During Past Five
Years
|
Other Directorships Held
|
Length of Board Service
|
Susan Davenport Austin
1967
No. of Portfolios
Overseen: 90
|
Chief Financial Officer of Grace Church School
(Since September 2019); President, Candide
Business Advisors, Inc. (Since 2011); formerly
Senior Managing Director of Brock Capital
(2014-2019); formerly Vice Chairman (2013
-2017), Senior Vice President and Chief
Financial Officer (2007-2012) and Vice
President of Strategic Planning and Treasurer
(2002-2007) of Sheridan Broadcasting
Corporation; formerly President of Sheridan
Gospel Network (2004-2014).
|
Director of NextEra Energy Partners, LP (NYSE:
NEP) (Since February 2015); Member of the
Board of Directors, Hubbard Radio, LLC (Since
2011); formerly Chairman (2011-2014),
formerly Presiding Director (2014-2017) and
currently a Member (2007-present) of the Board
of Directors, Broadcast Music, Inc.; formerly
Member of the Board of Directors, The
MacDowell Colony (2010 - 2021).
|
Since February 2011
|
Independent Trustees
|
|
|
|
Name
Year of Birth
No. of Portfolios
Overseen
|
Principal Occupation(s) During Past Five
Years
|
Other Directorships Held
|
Length of Board Service
|
Sherry S. Barrat
1949
No. of Portfolios
Overseen: 90
|
Formerly Vice Chairman of Northern Trust
Corporation (financial services and banking
institution) (2011–June 2012); formerly
President, Personal Financial Services, Northern
Trust Corporation (2006-2010); formerly
Chairman & CEO, Western US Region, Northern
Trust Corporation (1999-2005); formerly
President & CEO, Palm Beach/Martin County
Region, Northern Trust.
|
Lead Director of NextEra Energy, Inc. (NYSE:
NEE) (since May 2020); Director of NextEra
Energy, Inc. (since 1998); Director of Arthur J.
Gallagher & Company (Since July 2013).
|
Since January 2013
|
Jessica M. Bibliowicz
1959
No. of Portfolios
Overseen: 90
|
Chairman of the Board of Fellows of Weill
Cornell Medicine (since 2014); Formerly Chief
Executive Officer (1999-2013) of National
Financial Partners (independent distributor of
financial services products).
|
Formerly Director (2006-2019) of The Asia
Pacific Fund, Inc.; Formerly Director of Sotheby’s
(2014-2019) (auction house and art-related
finance).
|
Since September 2014
|
Kay Ryan Booth
1950
No. of Portfolios
Overseen: 90
|
Trinity Investors (Since September 2014);
formerly, Managing Director of Cappello
Waterfield & Co. LLC (2011-2014); formerly Vice
Chair, Global Research, J.P. Morgan (financial
services and investment banking institution)
(June 2008 – January 2009); formerly Global
Director of Equity Research, Bear Stearns & Co.,
Inc. (financial services and investment banking
institution) (1995-2008); formerly Associate
Director of Equity Research, Bear Stearns & Co.,
Inc. (1987-1995).
|
None.
|
Since January 2013
|
Stephen M. Chipman
1961
No. of Portfolios
Overseen: 90
|
Formerly Group Managing Director, International
Expansion and Regional Managing Director,
Americas of Vistra (June 2018 – June 2019);
formerly Chief Executive Officer and Director of
Radius (2016-2018); formerly Senior Vice
Chairman (January 2015-October 2015) and
Chief Executive Officer (January 2010-December
2014) of Grant Thornton LLP.
|
Chairman of the Board of Auxadi Holdco, S.L.
(Since February 2022); Non-Executive Director of
Auxadi Holdco, S.L (Since November 2020);
Non-Executive Director of Stout (Since January
2020); Formerly Non-Executive Director of Clyde
& Co. (January 2020 – June 2021); Formerly
Non-Executive Chairman (September 2019 –
January 2021) of Litera Microsystems.
|
Since January 2018
|
Robert F. Gunia
1946
No. of Portfolios
Overseen: 90
|
Director of ICI Mutual Insurance Company (June
2020 - present; June 2016-June 2019; June
2012-June 2015); formerly Chief Administrative
Officer (September 1999-September 2009) and
Executive Vice President (December
1996-September 2009) of PGIM Investments
LLC; formerly Executive Vice President (March
1999-September 2009) and Treasurer (May
2000-September 2009) of Prudential Mutual
Fund Services LLC; formerly President (April
1999-December 2008) and Executive Vice
President and Chief Operating Officer
(December 2008-December 2009) of Prudential
Investment Management Services LLC; formerly
Chief Administrative Officer, Executive Vice
President and Director (May 2003-September
2009) of AST Investment Services, Inc.
|
Formerly Director (1989-2019) of The Asia
Pacific Fund, Inc.
|
Since July 2003
|
Independent Trustees
|
|
|
|
Name
Year of Birth
No. of Portfolios
Overseen
|
Principal Occupation(s) During Past Five
Years
|
Other Directorships Held
|
Length of Board Service
|
Thomas M. O'Brien
1950
No. of Portfolios
Overseen: 90
|
Chairman, Chief Executive Officer and President
of Sterling Bancorp (Since June 2020);
Chairman, Chief Executive Officer and President
of Sterling Bank and Trust, F.S.B.; Formerly Vice
Chairman of Emigrant Bank and President of its
Naples Commercial Finance Division (October
2018–March 2020); formerly Director, President
and CEO Sun Bancorp, Inc. N.A. (NASDAQ:
SNBC) and Sun National Bank (July
2014-February 2018); formerly Consultant,
Valley National Bancorp, Inc. and Valley
National Bank (January 2012-June 2012);
formerly President and COO (November
2006-April 2017) and CEO (April
2007-December 2011) of State Bancorp, Inc.
and State Bank; formerly Vice Chairman
(January 1997-April 2000) of North Fork Bank;
formerly President and Chief Executive Officer
(December 1984-December 1996) of North Side
Savings Bank; formerly President and Chief
Executive Officer (May 2000-June 2006) Atlantic
Bank of New York.
|
Formerly Director, Sun Bancorp, Inc. N.A.
(NASDAQ: SNBC) and Sun National Bank (July
2014-February 2018); formerly Director,
BankUnited, Inc. and BankUnited N.A. (NYSE:
BKU) (May 2012-April 2014); formerly Director
(April 2008-January 2012) of Federal Home Loan
Bank of New York; formerly Director (December
1996-May 2000) of North Fork Bancorporation,
Inc.; formerly Director (May 2000-April 2006) of
Atlantic Bank of New York; Director (November
2006 – January 2012) of State Bancorp, Inc.
(NASDAQ: STBC) and State Bank of Long Island.
|
Since July 2003
|
Interested Trustee
|
|
|
|
Timothy S. Cronin
1965
Number of Portfolios
Overseen: 90
|
Vice President of Prudential Annuities (Since
May 2003); Senior Vice President of PGIM
Investments LLC (Since May 2009); Chief
Investment Officer and Strategist of Prudential
Annuities (Since January 2004); Director of
Investment & Research Strategy (Since February
1998); President of AST Investment Services,
Inc. (Since March 2006).
|
None.
|
Since October 2009
|
Trust Officers(a)
|
|
|
Name
Year of Birth
Position with the Trust
|
Principal Occupation(s) During the Past Five Years
|
Length of Service as Trust Officer
|
Ken Allen
1969
Vice President
|
Vice President of Investment Management (since December
2009).
|
Since June 2019
|
Claudia DiGiacomo
1974
Chief Legal Officer and Assistant Secretary
|
Chief Legal Officer, Executive Vice President and Secretary of
PGIM Investments LLC (since August 2020); Chief Legal Officer of
Prudential Mutual Fund Services LLC (since August 2020); Chief
Legal Officer of PIFM Holdco, LLC (since August 2020); Vice
President and Corporate Counsel (since January 2005) of
Prudential; and Corporate Counsel of AST Investment Services,
Inc. (since August 2020); formerly Vice President and Assistant
Secretary of PGIM Investments LLC (2005-2020); formerly
Associate at Sidley Austin Brown & Wood LLP (1999-2004).
|
Since December 2005
|
Andrew R. French
1962
Secretary
|
Vice President (since December 2018 - present) of PGIM
Investments LLC; formerly, Vice President and Corporate Counsel
(2010-2018) of Prudential; formerly Director and Corporate
Counsel (2006-2010) of Prudential; Vice President and Assistant
Secretary (since January 2007) of PGIM Investments LLC; Vice
President and Assistant Secretary (since January 2007)
of Prudential Mutual Fund Services LLC.
|
Since October 2006
|
Trust Officers(a)
|
|
|
Name
Year of Birth
Position with the Trust
|
Principal Occupation(s) During the Past Five Years
|
Length of Service as Trust Officer
|
Melissa Gonzalez
1980
Assistant Secretary
|
Vice President and Corporate Counsel (since September 2018) of
Prudential; Vice President and Assistant Secretary (since August
2020) of PGIM Investments LLC; formerly Director and Corporate
Counsel (March 2014-September 2018) of Prudential.
|
Since March 2019
|
Patrick E. McGuinness
1986
Assistant Secretary
|
Vice President and Assistant Secretary (since August 2020) of
PGIM Investments LLC; Director and Corporate Counsel (since
February 2017) of Prudential; and Corporate Counsel (2012 –
2017) of IIL, Inc.
|
Since June 2020
|
Debra Rubano
1975
Assistant Secretary
|
Vice President and Corporate Counsel (since November 2020) of
Prudential; formerly Director and Senior Counsel of Allianz Global
Investors U.S. Holdings LLC (2010-2020) and Assistant Secretary
of numerous funds in the Allianz fund complex (2015-2020).
|
Since March 2021
|
Isabelle Sajous
1976
Chief Compliance Officer
|
Chief Compliance Officer (since April 2022) of Advanced Series
Trust, The Prudential Series Fund and Prudential’s Gibraltar
Fund, Inc.; Chief Compliance Officer (since March 2022) of the
PGIM Private Real Estate Fund; Vice President, Compliance of
PGIM Investments LLC (since December 2020); formerly Director,
Compliance (July 2018-December 2020) of Credit Suisse Asset
Management LLC; and Vice President, Associate General Counsel
& Deputy Chief Compliance Officer of Cramer Rosenthal McGlynn,
LLC (August 2014-July 2018).
|
Since April 2022
|
Jonathan Corbett
1983
Anti-Money Laundering Compliance
Officer
|
Vice President, Corporate Compliance, Global Compliance
Programs and Compliance Risk Management (since August
2019) of Prudential; formerly, Vice President and Head of Key
Risk Areas Compliance (March 2016 to July 2019), Chief Privacy
Officer (March 2016 to July 2019) and head of Global Financial
Crimes Unit (April 2014 to March 2016) at MetLife.
|
Since October 2021
|
Christian J. Kelly
1975
Treasurer and Principal Financial
and Accounting Officer
|
Vice President, Head of Fund Administration of PGIM Investments
LLC (since November 2018); formerly, Director of Fund
Administration of Lord Abbett & Co. LLC (2009-2018), Treasurer
and Principal Accounting Officer of the Lord Abbett Family of
Funds (2017-2018); Director of Accounting, Avenue Capital
Group (2008-2009); Senior Manager, Investment Management
Practice of Deloitte & Touche LLP (1998-2007).
|
Since January 2019
|
Lana Lomuti
1967
Assistant Treasurer
|
Vice President (since 2007) and Director (2005-2007), within
PGIM Investments Fund Administration; formerly Assistant
Treasurer (December 2007-February 2014) of The Greater China
Fund, Inc.
|
Since April 2014
|
Russ Shupak
1973
Assistant Treasurer
|
Vice President (since 2017) and Director (2013-2017), within
PGIM Investments Fund Administration.
|
Since October 2019
|
Deborah Conway
1969
Assistant Treasurer
|
Vice President (since 2017) and Director (2007-2017), within
PGIM Investments Fund Administration.
|
Since October 2019
|
Elyse M. McLaughlin
1974
Assistant Treasurer
|
Vice President (since 2017) and Director (2011-2017), within
PGIM Investments Fund Administration.
|
Since October 2019
|
Alina Srodecka, CPA
1966
Assistant Treasurer
|
Vice President of Tax at Prudential Financial, Inc. (Since August
2007); formerly Director of Tax at MetLife (January 2003 – May
2006); formerly Tax Manager at Deloitte & Touché (October 1997
– January 2003); formerly Staff Accountant at Marsh &
McLennan (May 1994 – May 1997).
|
Since June 2017
|
Name
|
Aggregate Fiscal Year
Compensation from the Trust(1)
|
Pension or Retirement Benefits
Accrued as Part of Fund Expenses
|
Estimated Annual Benefits
Upon Retirement
|
Total Compensation from Trust
and Fund Complex* for Most
Recent Calendar Year
|
Compensation Received by Independent Board Members
|
||||
Susan Davenport Austin
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Sherry S. Barrat
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Jessica M. Bibliowicz
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Kay Ryan Booth
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Stephen M. Chipman
|
$333,200
|
None
|
None
|
$400,000 (3/90)**
|
Robert F. Gunia
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Thomas T. Mooney
|
$459,760
|
None
|
None
|
$550,000 (3/90)**
|
Thomas M. O'Brien
|
$354,240
|
None
|
None
|
$425,000 (3/90)**
|
Board Committee Meetings (for most recently completed fiscal year)
|
|||
Audit Committee
|
Governance Committee
|
Compliance Committee
|
Investment Review and Risk Committee
|
4
|
4
|
4
|
6
|
Name
|
Dollar Range of Equity
Securities in the Trust
|
Aggregate Dollar Range of
Equity Securities Owned
by Trustee in All
Registered Investment
Companies in Fund Complex*
|
Trustee Share Ownership
|
|
|
Susan Davenport Austin
|
None
|
Over $100,000
|
Sherry S. Barrat
|
None
|
Over $100,000
|
Jessica M. Bibliowicz
|
None
|
Over $100,000
|
Kay Ryan Booth
|
None
|
Over $100,000
|
Stephen M. Chipman
|
None
|
Over $100,000
|
Timothy S. Cronin
|
None
|
Over $100,000
|
Robert F. Gunia
|
None
|
Over $100,000
|
Thomas M. O'Brien
|
None
|
Over $100,000
|
Portfolio Management Fee Rate
|
|
Portfolio
|
Fee Rate*
|
AST Target Maturity Central Portfolio
|
0.00
|
Portfolio Subadviser and Fee Rates
|
|
|
Portfolio
|
Subadviser
|
Fee Rate*
|
AST Target Maturity Central Portfolio
|
PGIM Fixed Income; PGIM Limited
|
0.00
|
AST Target Maturity Central Portfolio
|
|||||
Subadviser
|
Portfolio Managers
|
Registered Investment
Companies
|
Other Pooled Investment
Vehicles
|
Other Accounts
|
Ownership of Fund
Securities
|
PGIM Fixed Income;
PGIM Limited
|
Richard Piccirillo
|
36/$93,128,301,998
|
16/$29,861,679,698
1/$910,137,647
|
101/$63,283,594,426
4/$1,337,791,011
|
None
|
AST Target Maturity Central Portfolio
|
|||||
Subadviser
|
Portfolio Managers
|
Registered Investment
Companies
|
Other Pooled Investment
Vehicles
|
Other Accounts
|
Ownership of Fund
Securities
|
|
Gregory Peters
|
39/$95,593,188,525
|
20/$43,160,048,272
1/$910,137,647
|
113/$71,612,296,764
4/$1,337,791,011
|
None
|
|
Michael Collins, CFA
|
25/$90,848,230,487
|
15/$29,689,468,960
1/$910,137,647
|
101/$63,283,594,426
4/$1,337,791,011
|
None
|
|
Lindsay Rosner, CFA
|
37/$93,148,161,897
|
16/$29,861,679,698
1/$910,137,647
|
101/$63,283,594,426
4/$1,337,791,011
|
None
|
Name and Principal Business Address
|
Positions and Offices with Underwriter
|
James F. Mullery
One Corporate Drive
Shelton, Connecticut 06484-6208
|
President & CEO and Director
|
Ann Nanda
One Corporate Drive
Shelton, Connecticut 06484-6208
|
Senior Vice President and Director
|
Susan M. Mann
213 Washington Street
Newark, New Jersey 07102-2917
|
Senior Vice President and Director
|
Dianne D. Bogoian
One Corporate Drive
Shelton, Connecticut 06484-6208
|
Senior Vice President and Director
|
Elizabeth Guerrera
One Corporate Drive
Shelton, Connecticut 06484-6208
|
Vice President and Director
|
Name and Principal Business Address
|
Positions and Offices with Underwriter
|
Kevin M. Brayton
280 Trumbull Street
Hartford, Connecticut 06103-3509
|
Senior Vice President and Director
|
Christopher J. Hagan
2101 Welsh Road
Dresher, Pennsylvania 19025-5000
|
Vice President
|
Patricia L. O’Shea
213 Washington Street
Newark, New Jersey 07102-2917
|
Chief Operating Officer
|
Francine B. Boucher
Three Gateway Center
Newark, New Jersey 07102-4061
|
Chief Legal Officer, Vice President and
Secretary
|
Kevin Chaillet
213 Washington Street
Newark, New Jersey 07102-2917
|
Treasurer
|
Robert P. Smit
3 Gateway Center
Newark, New Jersey 07102-4061
|
Chief Financial Officer and Controller
|
William Wilcox
28 Trumbull Street
Hartford, Connecticut 06103-3509
|
Vice President and Chief Compliance
Officer
|
Charles H. Smith
Three Gateway Center
Newark, New Jersey 07102-4061
|
AML Officer
|
Lynn K. Stone
One Corporate Drive
Shelton, Connecticut 06484-6208
|
Vice President
|
Scott P. Haggerty
One Corporate Drive
Shelton, Connecticut 06484-6208
|
Vice President
|
Jessica Conley
2101 Welsh Road
Dresher, Pennsylvania 19025-5000
|
Vice President
|
|
|
|
/s/ Susan Davenport Austin
Susan Davenport Austin
|
|
|
/s/ Sherry S. Barrat
Sherry S. Barrat
|
|
|
/s/ Jessica M. Bibliowicz
Jessica M. Bibliowicz
|
|
|
/s/ Kay Ryan Booth
Kay Ryan Booth
|
|
|
/s/ Stephen M. Chipman
Stephen M. Chipman
|
|
|
/s/ Timothy S. Cronin
Timothy S. Cronin
|
|
|
/s/ Robert F. Gunia
Robert F. Gunia
|
|
|
/s/ Thomas M. O’Brien
Thomas M. O’Brien
|
|
|
/s/ Christian J. Kelly
Christian J. Kelly
|
|
|
|
|
|
Dated: April 6, 2022
|
|
|
Item 28
Exhibit No.
|
Description
|
(d)(2)(i)
|
Amendment to Investment Management Agreement, among the Registrant and PGIM Investments LLC,
dated April 25, 2022
|
(d)(123)
|
Subadvisory Agreement between PGIM Investments, LLC, PGIM, Inc., and PGIM Limited for the AST
Target Maturity Bond Portfolio
|
(g)(2)(c)
|
Amendment to the Custody Agreement between the Registrant and The Bank of New York Mellon
|
(g)(3)(i)
|
Amendment to the Accounting Services Agreement among the Registrant and The Bank of New York
Mellon (as assigned from BNY Mellon Investment Servicing (US) Inc. f/k/a PFPC Inc.).
|
(i)(24)
|
Consent of Counsel for Registrant.
|