Form D · Other Investment Fund

PGIM Qualifying Investor Funds plc

Dublin, L2 · CIK 0001556187

Offering snapshot reported Aug 7, 2026 · SEC filing

Reported sold
$150M
Indefinite offering
Investors reported
4
Form D · investor count
Minimum accepted
$100K
Reported outside-investor minimum
First sale
Aug 3, 2010
As reported in this filing

Fundraising history

Reported sold
Reported amount sold by Form D filing date$0$74.8M$150MAug 8, 2025: $149,630,202.00Aug 8, 2025Aug 7, 2026: $149,630,202.00Aug 7, 2026

Dates are filing dates, not cash receipt dates. Decreases are reported revisions, not evidence of withdrawals. Separate offering histories are not added together.

What changed?

Latest filing versus its linked predecessor, where available.

No comparable changes in the displayed metrics.

Filing history

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FiledFiling typeReported soldChange vs linked filingInvestorsSource
Aug 7, 2026Amendment$149,630,202$0vs Aug 8, 20254SEC filing
Aug 8, 2025Amendment$149,630,202No comparisonNot reportedSEC filing
Aug 9, 2024Amendment$149,630,202$0vs Aug 11, 20236SEC filing
Aug 11, 2023Amendment$149,630,202-$108,969,798vs Aug 12, 20225SEC filing
Aug 12, 2022Amendment$258,600,000$0vs Aug 12, 20224SEC filing
Aug 12, 2022Amendment$258,600,000$0vs Aug 13, 20214SEC filing
Aug 13, 2021Amendment$258,600,000-$760,462,052vs Aug 14, 20204SEC filing
Aug 14, 2020Amendment$1,019,062,052$53,000,000vs Aug 16, 20197SEC filing
Aug 16, 2019Amendment$966,062,052$30,000,000vs Aug 17, 20186SEC filing
Aug 17, 2018Amendment$936,062,052-$11,883,703vs Aug 17, 20176SEC filing
Aug 17, 2017Amendment$947,945,755$11,228,603vs Aug 17, 20166SEC filing
Aug 17, 2016Amendment$936,717,152$824,717,152vs Aug 15, 20136SEC filing
Aug 17, 2015Amendment$906,717,152$794,717,152vs Aug 15, 20136SEC filing
Aug 15, 2014Amendment$456,717,152$344,717,152vs Aug 15, 20135SEC filing
Aug 15, 2013Amendment$112,000,000$0vs Aug 15, 20121SEC filing
Aug 15, 2012Initial$112,000,000No comparison1SEC filing

Offering details

Securities
Equity, Pooled investment fund, Other
Exemptions
06b, 3C, 3C.7
Duration over one year
Yes
Business combination
No
Sales commissions
$0
Finders' fees
$0
Form D file number
021-182780
PGIM QIF: EM Debt Opp Fund, Euro Loan Fund, Glbl Corp Bond Fund I, II, III, IV, Glbl High Yield Fund, Glbl Loan Fund, Glbl Securitized Credit Fund, US Corp Bond Fund. PGIM Quant Solutions EM Core Equity Fund.
The Issuer does not bear the expense of any commissions or fees with respect to the services of Prudential Investment Management Services LLC.

Sales compensation recipients

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RecipientCRDAssociated broker-dealer
Prudential Investment Management Services LLC000018353

Source: Form D, filed Aug 7, 2026. Minimum accepted may differ from a standard advertised minimum.

Fund connections

Each card uses that adviser's latest imported filing. Filing dates can differ; these disclosures do not confirm a current relationship.

Matched by reported Form D file number

PGIM QIF EUROPEAN LOAN FUND

Investment adviser: PGIM, INC.

Gross asset value
$91.3M
Beneficial owners
2
ADV minimum commitment
$10M

Reported in Form ADV on Apr 28, 2026. Fund assets and beneficial owners measure different things from Form D sales and investors.

Service providers

Fund administrator STATE STREET FUND SERVICES (IRELAND) LIMITED DUBLIN, Ireland Investor statements: Yes (provided to all investors) Related to adviser: No Other funds reporting this name →
Auditor PRICEWATERHOUSECOOPERS LLP DUBLIN, Ireland Other funds reporting this name →
Custodian STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED DUBLIN, Ireland Related to adviser: No Other funds reporting this name →
Marketer PGIM LIMITED LONDON, United Kingdom Related to adviser: Yes Other funds reporting this name →
Provider details
Annual audit
Yes
Prime brokers
No
Custodians
Yes
Administrator other than the adviser
Yes
External marketing
Yes

PRICEWATERHOUSECOOPERS LLP
PCAOB 1366

STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED
LEI 549300WXPZHMNQNPYL49

PGIM LIMITED
CRD 160005 · SEC 801-73882

Fund asset history · 3 annual observations Gross asset value by annual ADV filing$0$45.6M$91.3MFY 2023: $67,941,000.00FY 2023FY 2024: $67,941,000.00FY 2024FY 2025: $91,255,000.00FY 2025

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Fiscal yearGross assetsBeneficial ownersADV filed
2023$67,941,0002Mar 29, 2024
2024$67,941,0002Mar 28, 2025
2025$91,255,0002Mar 27, 2026
Filing source

Form ADV 2099769 · Apr 28, 2026 · Schedule D 7.B.(1), fund 805-6172487241

Reported by PGIM, INC. (CRD 105676).

Other-Than Anual Amendment For Registered Adviser.

Official IAPD profile (latest public filing). Historical values on this page come from the SEC/IAPD filing archive; the public profile may show a newer filing.

Matched by reported Form D file number

PGIM QUALIFYING INVESTOR FUNDS PLC - PGIM QIF EMERGING MARKET DEBT OPPORTUNITIES FUND

Investment adviser: PGIM, INC.

Gross asset value
$505M
Beneficial owners
1
ADV minimum commitment
$10M

Reported in Form ADV on Apr 28, 2026. Fund assets and beneficial owners measure different things from Form D sales and investors.

Service providers

Fund administrator STATE STREET FUND SERVICES (IRELAND) LIMITED DUBLIN, Ireland Investor statements: Yes (provided to all investors) Related to adviser: No Other funds reporting this name →
Auditor PRICEWATERHOUSECOOPERS LLP DUBLIN, Ireland Other funds reporting this name →
Custodian STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED DUBLIN, Ireland Related to adviser: No Other funds reporting this name →
Marketer PGIM LIMITED LONDON, United Kingdom Related to adviser: Yes Other funds reporting this name →
Marketer PGIM SINGAPORE SINGAPORE, Singapore Related to adviser: Yes Other funds reporting this name →
Marketer PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC NEWARK, New Jersey, United States Related to adviser: Yes Other funds reporting this name →
Provider details
Annual audit
Yes
Prime brokers
No
Custodians
Yes
Administrator other than the adviser
Yes
External marketing
Yes

PRICEWATERHOUSECOOPERS LLP
PCAOB 1366

STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED
LEI 549300WXPZHMNQNPYL49

PGIM LIMITED
CRD 160005 · SEC 801-73882

PGIM SINGAPORE
CRD 313005

PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC
CRD 18353 · SEC 8-36540

Fund asset history · 5 annual observations Gross asset value by annual ADV filing$0$323M$647MFY 2021: $400,471,000.00FY 2021FY 2022: $646,907,000.00FY 2022FY 2023: $613,202,000.00FY 2023FY 2024: $613,202,000.00FY 2024FY 2025: $504,721,000.00FY 2025

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Fiscal yearGross assetsBeneficial ownersADV filed
2021$400,471,0003Mar 30, 2022
2022$646,907,0003Mar 30, 2023
2023$613,202,0001Mar 29, 2024
2024$613,202,0001Mar 28, 2025
2025$504,721,0001Mar 27, 2026
Filing source

Form ADV 2099769 · Apr 28, 2026 · Schedule D 7.B.(1), fund 805-6282456147

Reported by PGIM, INC. (CRD 105676).

Other-Than Anual Amendment For Registered Adviser.

Official IAPD profile (latest public filing). Historical values on this page come from the SEC/IAPD filing archive; the public profile may show a newer filing.

Matched by reported Form D file number

PGIM QUALIFYING INVESTOR FUNDS PLC - PGIM QIF GLOBAL LOAN FUND

Investment adviser: PGIM, INC.

Gross asset value
$88.7M
Beneficial owners
1
ADV minimum commitment
$10M

Reported in Form ADV on Apr 28, 2026. Fund assets and beneficial owners measure different things from Form D sales and investors.

Service providers

Fund administrator STATE STREET FUND SERVICES (IRELAND) LIMITED DUBLIN, Ireland Investor statements: Yes (provided to all investors) Related to adviser: No Other funds reporting this name →
Auditor PRICEWATERHOUSECOOPERS LLP DUBLIN, Ireland Other funds reporting this name →
Custodian STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED DUBLIN, Ireland Related to adviser: No Other funds reporting this name →
Marketer PGIM LIMITED LONDON, United Kingdom Related to adviser: Yes Other funds reporting this name →
Marketer PGIM SINGAPORE SINGAPORE, Singapore Related to adviser: Yes Other funds reporting this name →
Marketer PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC NEWARK, New Jersey, United States Related to adviser: Yes Other funds reporting this name →
Provider details
Annual audit
Yes
Prime brokers
No
Custodians
Yes
Administrator other than the adviser
Yes
External marketing
Yes

PRICEWATERHOUSECOOPERS LLP
PCAOB 1366

STATE STREET CUSTODIAL SERVICES (IRELAND) LIMITED
LEI 549300WXPZHMNQNPYL49

PGIM LIMITED
CRD 160005 · SEC 801-73882

PGIM SINGAPORE
CRD 313005

PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC
CRD 18353 · SEC 8-36540

Fund asset history · 5 annual observations Gross asset value by annual ADV filing$0$44.3M$88.7MFY 2021: $37,626,000.00FY 2021FY 2022: $36,899,000.00FY 2022FY 2023: $48,871,000.00FY 2023FY 2024: $48,871,000.00FY 2024FY 2025: $88,678,000.00FY 2025

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Fiscal yearGross assetsBeneficial ownersADV filed
2021$37,626,0001Mar 30, 2022
2022$36,899,0001Mar 30, 2023
2023$48,871,0001Mar 29, 2024
2024$48,871,0001Mar 28, 2025
2025$88,678,0001Mar 27, 2026
Filing source

Form ADV 2099769 · Apr 28, 2026 · Schedule D 7.B.(1), fund 805-4807325309

Reported by PGIM, INC. (CRD 105676).

Other-Than Anual Amendment For Registered Adviser.

Official IAPD profile (latest public filing). Historical values on this page come from the SEC/IAPD filing archive; the public profile may show a newer filing.

People & organizations

Current and past Form D appearances. These existing records do not establish a person's current role or uniquely identify them across issuers.

People and organizations reported in Form D filings
NameReported role
Denis Chatterton Director
Frank Connolly Director
Peter Cordrey Director
Vincent Dodd Director
Alan Dolan Director
Eilish Finan Director
Linda Gibson Director
Richard Greenwood Director
Henry Mc Garvey Director
Stacie Mintz Director
Paul Parseghian Director
Pgim, Inc. Promoter
Pramerica Investment Management Promoter
Elizabeth G. Samson Director
Dina Santoro Director
Albert G. Trank Jr. Director
Shelley Wong Chassine Director

Issuer details

Industry: Pooled Investment Fund (See others in industry)

Address:
Second Floor, 5 Earlsfort Terrace
Dublin, L2, D02 CK83
Phone: 44 20 7766 2563