THE PRUDENTIAL SERIES FUND, INC.
SUPPLEMENT, DATED MAY 24, 2000
TO
PROSPECTUS, DATED APRIL 30, 2000
The following replaces the first paragraph of the section of the prospectus
entitled "Net Asset Value."
Any purchase or sale of Portfolio shares is made at the net asset value, or
NAV, of such shares. The price at which a purchase or redemption is made is
based on the next calculation of the NAV after the order is received in good
order. The NAV of each share class of each Portfolio is determined on each day
the New York Stock Exchange is open for trading as of the close of the
exchange's regular trading session (which is generally 4:00 p.m. New York time).
PSFSUP2 Ed. 5/00