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PGIM Strategic Bond Fund [PUCZX]

Exchange: NASDAQ
Sector: Financial Services
Industry: Asset Management Bonds
Last Updated 25 Jun 2026 @ 08:07 (Exchange is closed)
Last: $8.51 0.35%
0.41 (↑)
GaG Algo Score™
v1.0
Short
0.41 (↑)
Medium
-0.88 (↑)
Long
-1.53 (↑)

Stats

Today's Volume 0
Average Volume 0
Market Cap 1.38B
Last Dividend $0.0359 (2026-04-30)
P/E 30.03 (Sector) 25.37 (Industry) N/A
ATR14 $0.0180 (0.21%)
Possible DaySwing $8.50 - $8.52 (0.21%)

Support and Resistance Levels

Line

Pivot Data

Pivot Statistics
Insufficient pivot data for statistics.
Next Pivot Prediction Last: $8.51
Unable to generate prediction based on available data.

PGIM Strategic Bond Fund edges higher, up 0.35%.

PGIM Strategic Bond Fund (PUCZX) stock price slightly increased on Wednesday after the stock rose $0.0300 (0.35%) from the previous session on normal volume. The stock held up slightly better than the falling NASDAQ (-0.47% down). A total of 0 stocks were traded yesterday, valued at $0.00, 0 shares the same as the previous day (0 shares traded). Comparison to the average volume could not be made. the average volume for the stock at 0 shares traded per day.

PGIM Strategic Bond Fund signals

There is no conclusive signals given from RSI. The price is above the short-term average yet below the long-term average, with the short-term average still below the long-term average; signals are mixed. Market in Equilibrium: A state of indecision prevails across all timeframes, with signals mixed in the short- (-3.3%), medium- (-3.3%), and long-term (-3.3%) horizons. This balance between forces suggests a period of consolidation and the absence of a clear directional catalyst.

PGIM Strategic Bond Fund Support & Resistance Levels

The stock is trading above the closest support level at $8.50. approximately $0.01000 (0.12%) away. This suggests it is currently acting as a floor, reacting up from support.The sup dis das support s18.5 -

PGIM Strategic Bond Fund Evaluation

  • Short score: 0.41
  • Medium score: -0.88
  • Long score: -1.53

Positioning pressure

Short interest pressure

Normal
Short interest 0.00% Of outstanding shares
Short float 0.00% Of tradable float
Days to cover - Short interest divided by average volume
Squeeze probability 0.00% 0.00% change

Short positioning does not currently stand out as a dominant risk factor.

Income profile

Dividend profile

Score 7.05
Last Dividend $0.0359 2026-04-30
Next Dividend $0 N/A
Avg. yearly yield 4.51% Monthly
Total paid $5.21 134 payments
Sustainability 10.00 N/A
Growth potential 5.00 N/A
Direction 7.50 Score based on dividend trend and payout behavior.

Yearly history

Year Dividend Yield
- $0.144 1.67%
- $0.439 5.25%
- $0.503 6.03%
- $0.637 7.61%
- $0.502 4.96%
- $0.405 3.84%

Recent payments

Date Dividend Payment
2026-04-30 $0.0359 2026-04-30
2026-03-31 $0.0374 2026-03-31
2026-02-27 $0.0339 2026-02-27
2026-01-30 $0.0369 2026-01-30
2025-12-31 $0.0368 2025-12-31

Company context

Company profile

Website
Exchange: NASDAQ
Sector: Financial Services
Industry: Asset Management Bonds
Currency USD

Under typical market conditions the fund allocates a minimum of 80 of its investable assets to debt instruments featuring a variety of repayment dates These fixed income holdings may include a broad spectrum of assets such as corporate bonds debentures promissory notes commercial paper and other comparable debt obligations The portfolio can also incorporate mortgagebacked securities assetbacked securities governmentissued municipal bonds syndicated loan assignments and participations shortterm money market instruments and various derivatives linked to or referencing these security types