JennisonDryden Mutual Funds Share Prices
Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate and shares when sold may be worth more or less than the original cost. The current maximum sales charges that may be applied to the funds listed below are Class A, 5.5%; Class B, 5.0%; Class C, 1.0%; Class F, 5.0%; Class L, 5.75%; Class M, 6.0%; and Class X, 6.0%.

NAV (net asset value) is the value (USD) of a single share of a fund, excluding any sales charges. Change shows the change in value (USD) over the previous day:Gain= Gain, Loss= Loss, No Change = No Change. NAV information is updated as of 11/20/2009, Taxable Bond and Stock Yields are as of 10/31/2009, and Municipal Bond Yields are as of 10/31/2009
EQUITY FUNDS
Large-Cap Stock
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Large-Cap Core Equity FundAPTMAX10.25Loss-0.030.2910.446.46


65.55
BPTMBX9.77Loss-0.030.319.956.19


6.84
CPTMCX9.77Loss-0.030.319.956.19


25.85
LN/A10.24Loss-0.030.2910.436.46


5.05
MDLEMX9.77Loss-0.030.319.956.19


8.09
XN/A9.91Loss-0.030.3010.106.24


2.16
ZPTEZX10.41Loss-0.030.2910.616.55


228.40
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Stock Index FundAPSIAX23.93Loss-0.070.2924.7214.88


93.82
BPBSIX23.94Loss-0.080.3324.5814.86


12.52
CPSICX23.90Loss-0.070.2924.5414.84


23.61
IPDSIX23.93Loss-0.080.3324.8114.89


330.51
ZPSIFX23.94Loss-0.070.2924.8014.89


409.16
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Strategic Value FundASUVAX8.61Loss-0.030.358.835.19


24.47
BSUVBX8.31Loss-0.040.488.495.01


2.18
CSUVCX8.31Loss-0.040.488.495.01


13.21
ZSUVZX8.71Loss-0.040.468.965.25


1.31
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison 20/20 Focus FundAPTWAX14.07Loss-0.050.3514.338.20


1028.87
BPTWBX12.75Loss-0.050.3912.997.47


148.09
CPTWCX12.76Loss-0.040.3112.997.48


309.74
RJTWRX13.94Loss-0.050.3614.198.13


43.80
ZPTWZX14.50Loss-0.050.3414.778.42


598.32
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Conservative Growth FundATBDAX6.85Loss-0.020.296.974.36


112.11
BTBDBX6.28Loss-0.030.486.404.02


8.80
CTBDCX6.28Loss-0.020.326.394.02


62.22
LJCGLX6.80Loss-0.030.446.924.34


30.70
MJCGMX6.28Loss-0.020.326.394.02


20.43
XJCGRX6.28Loss-0.020.326.394.02


10.95
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Growth FundAPJFAX15.55Loss-0.070.4515.879.94


1026.05
BPJFBX13.91Loss-0.060.4314.208.93


58.15
CPJFCX13.91Loss-0.060.4314.208.93


56.62
RPJGRX14.30Loss-0.060.4214.599.14


6.64
ZPJFZX16.09Loss-0.070.4316.4110.28


714.49
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Select Growth FundASPFAX7.15Loss-0.040.567.294.56


101.11
BSPFBX6.67Loss-0.030.456.804.29


7.78
CSPFCX6.66Loss-0.040.606.804.28


34.44
LJSGLX7.11Loss-0.040.567.264.55


21.23
MJSGMX6.67Loss-0.030.456.804.29


8.45
XJSGGX6.66Loss-0.040.606.804.29


6.89
ZSPFZX7.33Loss-0.040.547.484.66


3.48
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Value FundAPBEAX12.61Loss-0.060.4712.887.700.16

605.32
BPBQIX12.43Loss-0.070.5612.707.63-0.53

31.13
CPEICX12.43Loss-0.060.4812.707.62-0.53

29.96
LN/A12.57Loss-0.060.4812.847.680.58

1.88
MN/A12.51Loss-0.060.4812.787.630.72

2.35
RJDVRX12.58Loss-0.060.4712.857.69-0.03

6.69
XN/A12.56Loss-0.060.4812.837.650.72

1.02
ZPEIZX12.64Loss-0.060.4712.917.700.46

243.39
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Small/Mid-Cap Stock
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Mid-Cap Value FundASPRAX11.16Loss-0.060.5311.646.01


65.63
BSVUBX10.12Loss-0.050.4910.565.47


4.39
CNCBVX10.09Loss-0.060.5910.535.46


28.90
LNABVX10.96Loss-0.060.5411.445.91


11.92
MNBBVX10.20Loss-0.050.4910.645.49


9.24
XNBVZX10.26Loss-0.060.5810.705.52


5.38
ZSPVZX11.24Loss-0.060.5311.726.04


17.02
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Small-Cap Core Equity FundAPQVAX13.41Loss-0.020.1514.218.31


50.39
BPQVBX12.35Loss-0.020.1613.107.69


4.29
CPQVCX12.35Loss-0.020.1613.107.69


13.05
RDCERX13.37Loss-0.020.1514.188.30


0.29
ZPSQZX13.76Loss-0.020.1514.588.51


77.49
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Small-Cap Value FundAPZVAX10.26No Change 0.000.0010.846.03


54.14
BPZVBX9.30Gain+0.010.119.835.49


7.56
CPZVCX9.29No Change 0.000.009.825.49


27.83
LN/A10.21Gain+0.010.1010.796.02


6.78
MN/A9.37Gain+0.010.119.895.51


5.32
XN/A9.41No Change 0.000.009.945.53


3.55
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Mid-Cap Growth FundAPEEAX21.87Loss-0.080.3622.5113.74


896.43
BPEEBX19.70Loss-0.060.3020.2812.46


45.91
CPEGCX19.70Loss-0.070.3520.2912.46


91.99
LN/A21.71Loss-0.080.3722.3513.67


10.60
MN/A19.68Loss-0.070.3520.2712.46


7.99
RJDERX21.64Loss-0.080.3722.2813.62


45.44
XN/A19.75Loss-0.070.3520.3412.49


4.43
ZPEGZX22.64Loss-0.080.3523.3014.18


427.49
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Small Company FundAPGOAX15.17Loss-0.060.3915.779.18


701.42
BCHNDX11.46Loss-0.050.4311.906.99


24.78
CPSCCX11.55Loss-0.050.4312.007.02


73.53
LN/A15.03Loss-0.060.4015.609.10


5.19
MJSCMX11.45Loss-0.050.4311.886.98


2.96
RJSCRX15.04Loss-0.060.4015.639.14


21.41
XN/A11.55Loss-0.050.4311.997.03


1.89
ZPSCZX15.83Loss-0.070.4416.499.59


629.39
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Specialty
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Financial Services FundAPFSAX11.90Loss-0.080.6712.495.12


102.59
BPUFBX11.14Loss-0.080.7111.704.81


10.57
CPUFCX11.14Loss-0.080.7111.704.80


27.24
ZPFSZX12.14Loss-0.080.6512.745.22


19.35
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Global Real Estate FundAPURAX16.18Loss-0.120.7416.807.972.26

161.89
BPURBX16.00Loss-0.120.7416.627.921.67

12.06
CPURCX16.00Loss-0.120.7416.627.921.67

36.19
RPURRX16.14Loss-0.120.7416.777.972.19

0.23
ZPURZX16.25Loss-0.130.7916.887.992.70

102.66
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Blend FundAPBQAX14.40Loss-0.070.4814.738.830.04

977.53
BPBQFX13.85Loss-0.070.5014.178.52-0.63

44.98
CPRECX13.85Loss-0.080.5714.178.53-0.63

23.86
ZPEQZX14.39Loss-0.080.5514.728.810.36

48.77
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Equity Income FundASPQAX11.36Loss-0.010.0911.486.83


80.64
BJEIBX10.78Loss-0.010.0910.896.51


4.77
CAGOCX10.76Loss-0.010.0910.876.50


28.70
LAGOAX11.26Loss-0.020.1811.386.79


17.68
MAGOBX10.77Loss-0.010.0910.886.51


11.63
XAXGOX10.75Loss-0.010.0910.866.50


8.48
ZJDEZX11.37Loss-0.010.0911.496.83


0.12
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Equity Opportunity FundAPJIAX11.60Loss-0.070.6011.866.81


211.32
BPJIBX10.52Loss-0.060.5710.756.19


22.30
CPJGCX10.52Loss-0.060.5710.756.19


25.84
RPJORX10.74Loss-0.060.5610.986.30


0.01
ZPJGZX11.85Loss-0.070.5912.116.95


50.71
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Health Sciences FundAPHLAX18.47Loss-0.010.0519.8513.24


280.27
BPHLBX16.82Loss-0.010.0618.0912.10


42.50
CPHLCX16.82No Change 0.000.0018.0912.09


77.23
LN/A18.35No Change 0.000.0019.7213.17


1.07
MN/A16.85Loss-0.010.0618.1112.09


1.45
XN/A17.38Loss-0.010.0618.6712.44


0.53
ZPHSZX19.10Loss-0.010.0520.5113.67


99.17
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Natural Resources FundAPGNAX44.04Loss-0.400.9046.4821.37


1674.23
BPRGNX37.65Loss-0.350.9239.7718.40


258.22
CPNRCX37.66Loss-0.340.8939.7718.40


736.31
RJNRRX43.95Loss-0.400.9046.3921.36


31.37
ZPNRZX44.98Loss-0.410.9047.4621.77


707.42
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Jennison Utility FundAPRUAX8.48Gain+0.010.128.775.962.35

2329.84
BPRUTX8.46Gain+0.010.128.765.941.76

108.24
CPCUFX8.46Gain+0.010.128.755.941.77

100.00
RJDURX8.48Gain+0.010.128.775.952.28

3.20
ZPRUZX8.49Gain+0.020.248.775.962.80

81.44
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
FIXED INCOME FUNDS
Taxable Bond
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Government Income FundAPGVAX9.35No Change 0.000.009.368.492.792.822.95565.50
BPBGPX9.36No Change 0.000.009.378.502.17
2.2028.42
CPRICX9.37No Change 0.000.009.378.512.41
2.4617.69
RJDRVX9.36No Change 0.000.009.378.502.67
2.713.44
ZPGVZX9.33No Change 0.000.009.348.483.18
3.2192.41
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden High Yield FundAPBHAX5.12No Change 0.000.005.123.707.958.538.941052.95
BPBHYX5.11No Change 0.000.005.113.697.84
8.4791.99
CPRHCX5.11No Change 0.000.005.113.697.84
8.4886.48
LN/A5.12No Change 0.000.005.123.708.07
8.704.29
MDHYMX5.12No Change 0.000.005.123.707.57
8.197.41
RJDYRX5.12No Change 0.000.005.123.708.09
8.715.28
XN/A5.11No Change 0.000.005.123.697.59
8.181.70
ZPHYZX5.13No Change 0.000.005.133.718.56
9.2081.85
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Short-Term Corporate Bond FundAPBSMX11.46No Change 0.000.0011.4610.192.463.964.091040.50
BPSMBX11.46No Change 0.000.0011.4610.191.81
3.3120.14
CPIFCX11.46No Change 0.000.0011.4610.192.04
3.62704.34
RJDTRX11.46No Change 0.000.0011.4610.192.31
3.826.12
ZPIFZX11.49No Change 0.000.0011.4910.222.79
4.34604.96
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Total Return Bond FundAPDBAX13.23No Change 0.000.0013.2511.164.064.124.31292.26
BPRDBX13.23No Change 0.000.0013.2511.153.76
3.8140.86
CPDBCX13.22No Change 0.000.0013.2411.153.76
3.8154.29
LDTRLX13.23No Change 0.000.0013.2511.154.00
4.0610.72
MDTRMX13.23No Change 0.000.0013.2511.153.51
3.5613.40
RDTBRX13.23No Change 0.000.0013.2511.163.80
3.91
XN/A13.25Loss-0.010.0813.2711.184.25
4.306.19
ZPDBZX13.20Loss-0.010.0813.2211.144.51
4.5762.82
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
ASSET ALLOCATION FUNDS
Asset Allocation
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
Dryden Asset Allocation FundAPIBAX10.78Loss-0.020.1910.917.651.60

278.87
BPBFBX10.79Loss-0.020.1910.927.690.98

17.17
CPABCX10.79Loss-0.020.1910.927.690.98

12.67
LN/A10.81Loss-0.020.1810.947.671.48

6.85
MDAAMX10.79Loss-0.020.1910.927.690.98

3.52
RPALRX10.79Loss-0.020.1910.927.681.48

0.10
XN/A10.79Loss-0.020.1910.927.690.98

2.30
ZPABFX10.85Loss-0.020.1810.987.681.97

104.14
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
JennisonDryden Conservative Allocation FundAJDUAX10.79Loss-0.020.1910.908.172.25

37.14
BJDABX10.76Loss-0.020.1910.878.151.63

41.52
CJDACX10.76Loss-0.020.1910.878.151.62

15.15
RJDARX10.82Loss-0.020.1810.948.202.08

0.01
ZJDAZX10.83Loss-0.020.1810.948.202.62

0.94
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
JennisonDryden Growth Allocation FundAJDAAX10.93Loss-0.050.4611.206.670.19

28.20
BJDGBX10.71Loss-0.050.4610.986.57-0.55

30.68
CJDGCX10.72Loss-0.050.4610.996.58-0.55

8.07
RJGARX10.89Loss-0.060.5511.176.67-0.41


ZJDGZX10.99Loss-0.060.5411.276.700.45

0.46
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Fund NameShare
Class
Nasdaq
Symbol
NAV
($)
Change
($)
Change
(%)
52 Week
High ($)
52 Week
Low ($)
30 Day SEC
Yield (%)
Offer Distb
Yield (%)
NAV Distb
Yield (%)
Total Net
Assets
(Mil)
JennisonDryden Moderate Allocation FundAJDTAX10.72Loss-0.040.3710.917.241.28

54.88
BJDMBX10.64Loss-0.040.3710.837.230.61

54.04
CJDMCX10.64Loss-0.030.2810.827.220.61

15.74
RJMARX10.68Loss-0.040.3710.877.230.81


ZJDMZX10.74Loss-0.030.2810.927.241.61

1.76
Quarterly SEC Standardized Performance | Prospectus ( PDF pdf)
Source: Prudential Investment Management, Inc. (PIM). All data is unaudited and subject to change.

The 52-week high and 52-week low NAVs are calculated from inception to the current date for share classes less than one year old.

This material must be preceded or accompanied by a current prospectus. Consider a fund's investment objectives, risks, charges, and expenses carefully before investing. The prospectus contains this and other information about the fund. Read it carefully before investing. For more information about a fund, click on the prospectus link above.

Mutual fund shares are distributed by Prudential Investment Management Services LLC, a Prudential Financial company and member SIPC. JennisonDryden, Jennison, Dryden, Target, Pru, Prudential, Prudential Financial, and the Rock Prudential logo are registered service marks of The Prudential Insurance Company of America, Newark, NJ, and its affiliates.

0159137-00002-00 Ed. 9/2009