0000887318-11-000101.txt : 20110426
0000887318-11-000101.hdr.sgml : 20110426
20110426151424
ACCESSION NUMBER: 0000887318-11-000101
CONFORMED SUBMISSION TYPE: NSAR-A
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20110228
FILED AS OF DATE: 20110426
DATE AS OF CHANGE: 20110426
EFFECTIVENESS DATE: 20110426
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: PRUDENTIAL INVESTMENT PORTFOLIOS 6
CENTRAL INDEX KEY: 0000746518
IRS NUMBER: 000000000
STATE OF INCORPORATION: MA
FISCAL YEAR END: 0831
FILING VALUES:
FORM TYPE: NSAR-A
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-04024
FILM NUMBER: 11779912
BUSINESS ADDRESS:
STREET 1: GATEWAY CENTER THREE, 4TH FLOOR
STREET 2: 100 MULBERRY STREET
CITY: NEWARK
STATE: NJ
ZIP: 07102
BUSINESS PHONE: 9738026469
MAIL ADDRESS:
STREET 1: GATEWAY CENTER THREE, 4TH FLOOR
STREET 2: 100 MULBERRY STREET
CITY: NEWARK
STATE: NJ
ZIP: 07102
FORMER COMPANY:
FORMER CONFORMED NAME: DRYDEN CALIFORNIA MUNICIPAL FUND
DATE OF NAME CHANGE: 20030709
FORMER COMPANY:
FORMER CONFORMED NAME: PRUDENTIAL CALIFORNIA MUNICIPAL FUND
DATE OF NAME CHANGE: 19920703
FORMER COMPANY:
FORMER CONFORMED NAME: PRUDENTIAL BACHE CALIFORNIA MUNICIPAL FUND
DATE OF NAME CHANGE: 19910527
0000746518
S000004572
PRUDENTIAL CALIFORNIA MUNI INCOME SERIES
C000012498
Class A
PBCAX
C000012499
Class B
PCAIX
C000012500
Class C
PCICX
C000012501
Class Z
PCIZX
NSAR-A
1
answer.fil
NSAR-A
PAGE 1
000 A000000 02/28/2011
000 C000000 0000746518
000 D000000 N
000 E000000 NF
000 F000000 Y
000 G000000 N
000 H000000 N
000 I000000 6.1
000 J000000 A
001 A000000 PRUDENTIAL INVESTMENT PORTFOLIOS 6
001 B000000 811-04024
001 C000000 8002251852
002 A000000 100 MULBERRY ST, GATEWAY CENTER 3, 4 FL
002 B000000 NEWARK
002 C000000 NJ
002 D010000 07102
002 D020000 4077
003 000000 N
004 000000 N
005 000000 N
006 000000 N
007 A000000 Y
007 B000000 1
007 C010100 1
007 C010200 2
007 C010300 3
007 C020300 PRUDENTIAL CALIFORNIA MUNI INCOME FUND
007 C030300 N
007 C010400 4
007 C010500 5
007 C010600 6
007 C010700 7
007 C010800 8
007 C010900 9
007 C011000 10
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007 C011200 12
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007 C011900 19
007 C012000 20
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007 C012200 22
007 C012300 23
007 C012400 24
007 C012500 25
007 C012600 26
PAGE 2
007 C012700 27
007 C012800 28
007 C012900 29
007 C013000 30
007 C013100 31
007 C013200 32
007 C013300 33
007 C013400 34
007 C013500 35
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007 C017200 72
007 C017300 73
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007 C017500 75
007 C017600 76
007 C017700 77
PAGE 3
007 C017800 78
007 C017900 79
007 C018000 80
020 C000001 0
020 C000002 0
020 C000003 0
020 C000004 0
020 C000005 0
020 C000006 0
020 C000007 0
020 C000008 0
020 C000009 0
020 C000010 0
021 000000 0
022 A000001 BANC OF AMERICA SECURITIES LLC
022 B000001 56-2058405
022 C000001 11982
022 D000001 6092
022 A000002 CITIGROUP GLOBAL MARKETS, INC.
022 B000002 11-2418191
022 C000002 4174
022 D000002 488
022 A000003 FIDELITY BROKERAGE SERVICES LLC
022 B000003 04-3523439
022 C000003 0
022 D000003 4353
022 A000004 GOLDMAN SACHS & CO.
022 B000004 13-5108880
022 C000004 500
022 D000004 3624
022 A000005 MORGAN STANLEY
022 B000005 13-2655998
022 C000005 3545
022 D000005 0
022 A000006 JPMORGAN CHASE & CO.
022 B000006 13-3224016
022 C000006 0
022 D000006 3350
022 A000007 BARCLAYS CAPITAL, INC.
022 B000007 06-1031656
022 C000007 0
022 D000007 2702
022 A000008 WEDBUSH MORGAN SECURITIES, INC.
022 B000008 95-2495390
022 C000008 369
022 D000008 1526
022 A000009 PUNK,ZIEGEL & CO. LP.
022 B000009 13-3573755
022 C000009 0
022 D000009 1598
022 A000010 RBC DAIN RAUSCHER, INC.
PAGE 4
022 B000010 41-1416330
022 C000010 723
022 D000010 0
023 C000000 21293
023 D000000 23731
026 A000000 N
026 B000000 N
026 C000000 N
026 D000000 Y
026 E000000 N
026 F000000 N
026 G010000 N
026 G020000 N
026 H000000 N
027 000000 Y
077 A000000 Y
077 B000000 N
077 C000000 N
077 D000000 N
077 E000000 N
077 F000000 N
077 G000000 N
077 H000000 N
077 I000000 N
077 J000000 N
077 K000000 N
077 L000000 N
077 M000000 N
077 N000000 N
077 O000000 N
077 P000000 N
077 Q010000 N
077 Q020000 N
077 Q030000 Y
078 000000 N
086 A010000 0
086 A020000 0
086 B010000 0
086 B020000 0
086 C010000 0
086 C020000 0
086 D010000 0
086 D020000 0
086 E010000 0
086 E020000 0
086 F010000 0
086 F020000 0
086 A01AA00 0
086 A02AA00 0
086 B01AA00 0
086 B02AA00 0
PAGE 5
086 C01AA00 0
086 C02AA00 0
086 D01AA00 0
086 D02AA00 0
086 E01AA00 0
086 E02AA00 0
086 F01AA00 0
086 F02AA00 0
008 A000301 PRUDENTIAL INVESTMENTS LLC
008 B000301 A
008 C000301 801-31104
008 D010301 NEWARK
008 D020301 NJ
008 D030301 07102
008 D040301 4077
008 A000302 PRUDENTIAL INVESTMENT MANAGEMENT, INC.
008 B000302 S
008 C000302 801-22808
008 D010302 NEWARK
008 D020302 NJ
008 D030302 07102
008 D040302 4077
010 A000301 PRUDENTIAL INVESTMENTS LLC
010 B000301 801-31104
010 C010301 NEWARK
010 C020301 NJ
010 C030301 07102
010 C040301 4077
011 A000301 PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC
011 B000301 8-36540
011 C010301 NEWARK
011 C020301 NJ
011 C030301 07102
011 C040301 4077
012 A000301 PRUDENTIAL MUTUAL FUND SERVICES LLC
012 B000301 84-5681
012 C010301 PROVIDENCE
012 C020301 RI
012 C030301 02940
013 A000301 KPMG LLP
013 B010301 NEW YORK
013 B020301 NY
013 B030301 10154
014 A000301 PRUCO SECURITIES LLC
014 B000301 8-16402
014 A000302 PRUDENTIAL INVESTMENT MANAGEMENT SERVICES LLC
014 B000302 8-36540
014 A000303 PRUDENTIAL ANNUITIES DISTRIBUTORS, INC.
014 B000303 8-39058
014 A000304 PRUDENTIAL BACHE SECURITIES LLC
014 B000304 8-66040
PAGE 6
014 A000305 PRUDENTIAL BACHE COMMODITIES LLC
014 B000305 8-0330387
015 A000301 THE BANK OF NEW YORK MELLON
015 B000301 C
015 C010301 NEW YORK
015 C020301 NY
015 C030301 10286
015 E010301 X
018 000300 Y
019 A000300 Y
019 B000300 141
019 C000300 PRUDENTIAL
024 000300 N
025 D000301 0
025 D000302 0
025 D000303 0
025 D000304 0
025 D000305 0
025 D000306 0
025 D000307 0
025 D000308 0
028 A010300 1287
028 A020300 639
028 A030300 0
028 A040300 2290
028 B010300 4548
028 B020300 596
028 B030300 0
028 B040300 2619
028 C010300 1523
028 C020300 787
028 C030300 0
028 C040300 4569
028 D010300 1652
028 D020300 634
028 D030300 0
028 D040300 8316
028 E010300 2615
028 E020300 607
028 E030300 0
028 E040300 7245
028 F010300 1147
028 F020300 642
028 F030300 0
028 F040300 5536
028 G010300 12772
028 G020300 3905
028 G030300 0
028 G040300 30575
028 H000300 4658
029 000300 Y
PAGE 7
030 A000300 34
030 B000300 4.00
030 C000300 0.00
031 A000300 3
031 B000300 0
032 000300 20
033 000300 11
034 000300 Y
035 000300 23
036 A000300 N
036 B000300 0
037 000300 N
038 000300 0
039 000300 Y
040 000300 Y
041 000300 Y
042 A000300 0
042 B000300 0
042 C000300 0
042 D000300 100
042 E000300 0
042 F000300 0
042 G000300 0
042 H000300 0
043 000300 298
044 000300 0
045 000300 Y
046 000300 N
047 000300 Y
048 000300 0.000
048 A010300 1000000
048 A020300 0.500
048 B010300 0
048 B020300 0.000
048 C010300 0
048 C020300 0.000
048 D010300 0
048 D020300 0.000
048 E010300 0
048 E020300 0.000
048 F010300 0
048 F020300 0.000
048 G010300 0
048 G020300 0.000
048 H010300 0
048 H020300 0.000
048 I010300 0
048 I020300 0.000
048 J010300 0
048 J020300 0.000
048 K010300 1000000
PAGE 8
048 K020300 0.450
049 000300 N
050 000300 N
051 000300 N
052 000300 N
053 A000300 N
054 A000300 Y
054 B000300 Y
054 C000300 N
054 D000300 N
054 E000300 N
054 F000300 N
054 G000300 N
054 H000300 Y
054 I000300 N
054 J000300 Y
054 K000300 N
054 L000300 N
054 M000300 N
054 N000300 N
054 O000300 N
055 A000300 N
055 B000300 N
056 000300 Y
057 000300 N
058 A000300 N
059 000300 Y
060 A000300 Y
060 B000300 Y
061 000300 1000
062 A000300 Y
062 B000300 0.0
062 C000300 0.0
062 D000300 0.0
062 E000300 0.0
062 F000300 0.0
062 G000300 0.0
062 H000300 0.0
062 I000300 0.0
062 J000300 0.0
062 K000300 0.0
062 L000300 0.0
062 M000300 0.0
062 N000300 0.0
062 O000300 98.8
062 P000300 0.0
062 Q000300 0.0
062 R000300 0.0
063 A000300 0
063 B000300 12.6
064 A000300 Y
PAGE 9
064 B000300 Y
065 000300 N
066 A000300 N
067 000300 N
068 A000300 N
068 B000300 N
069 000300 N
070 A010300 Y
070 A020300 N
070 B010300 N
070 B020300 N
070 C010300 Y
070 C020300 N
070 D010300 N
070 D020300 N
070 E010300 Y
070 E020300 Y
070 F010300 N
070 F020300 N
070 G010300 Y
070 G020300 N
070 H010300 N
070 H020300 N
070 I010300 N
070 I020300 N
070 J010300 Y
070 J020300 N
070 K010300 Y
070 K020300 N
070 L010300 N
070 L020300 N
070 M010300 Y
070 M020300 N
070 N010300 Y
070 N020300 N
070 O010300 Y
070 O020300 N
070 P010300 Y
070 P020300 Y
070 Q010300 N
070 Q020300 N
070 R010300 Y
070 R020300 N
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071 B000300 24539
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PAGE 10
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PAGE 11
074 R020300 0
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074 U010300 16026
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074 W000300 0.0000
074 X000300 1430
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080 C000300 0
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SIGNATURE STEVEN KAPLAN
TITLE VP
EX-99
2
navdistributions.txt
NAVS & DISTRIBUTION RATES
This page being
FINANCIAL INFORMATION (Cont. from Screen 33) filed for series 3.
EXPENSES (Negative answers are allowed For the period covered by this form
on this screen for 72Z only) ($000's omitted)
72.Y) Expense reimbursements ----------------------------- $ 0
Z) Net investment income ------------------------------ $ 0
AA) Realized capital gains ----------------------------- $ 0
BB) Realized capital losses ---------------------------- $ 0
CC) 1. Net unrealized appreciation during the period --- $ 0
2. Net unrealized depreciation during the period --- $ 0
DD) 1. Total income dividends for which record date
passed during the period ------------------------ $ 0
2. Dividends for a second class of open-end
company shares -----------------------------------$ 0
EE) Total capital gains distributions for which
record date passed during the period --------------- $ 0
73. Distributions per share for which record date passed during the period:
NOTE: Show in fractions of a cent if so declared.
" A) 1. Dividends from net investment income $ 0.2394, 0.2270
" 2. Dividends for a second class of open-end
company shares $ 0.2101, 0.2521
B) Distribution of capital gains $ 0.0000
C) Other distributions --------------------------------- $ 0.0000
SCREEN NUMBER: 34
This page being
(Continued from Screen 35) filed for series 3.
Condensed balance sheet data: As of the end of current reporting
period (000's omitted except for per
share amounts and number of accounts)
74.O) Payables for portfolio instruments purchased --------------- $ 0
P) Amounts owed to affiliated persons --------------------------$ 0
Q) Senior long-term debt ---------------------------------------$ 0
R) Other liabilities:1. Reverse repurchase agreements --------- $ 0
2. Short sales --------------------------- $ 0
3. Written options ----------------------- $ 0
4. All other liabilities ----------------- $ 0
S) Senior equity -----------------------------------------------$ 0
T) Net assets of common shareholders ---------------------------$ 0
U) 1. Number of shares outstanding -----------------------------$ 0
2. Number of shares outstanding of a second class of shares
of open-end company --------------------------------------- 0
" V) 1. Net asset value per share(to nearest cent) $9.93, 9.93
2. Net asset value per share of a second class of open-end
" company shares (to nearest cent) $9.93, 9.93
W) Mark-to-market net asset value per share
for money market funds only (to 4 decimals) -----------------$ 0.0000
X) Total number of shareholder accounts ------------------------$ 0
Y) Total value of assets in segregated accounts ----------------$ 0
SCREEN NUMBER: 36
Because the electronic format for filing Form N-SAR does not provide
"adequate space for responding to Items 73A1&2 and 74V1&2 correctly, "
the correct answers are as above.
Prudential California Muni Income Fund