BLACKROCK CORPORATE HIGH YIELD FUND, INC. - COM (HYT)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
16.9 M
Holdings value Q1 2024
$166 M
Value change Q1 2024
-$22.6 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
142
Number of buys Q1 2024
70
Number of sells Q1 2024
-57
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
09255P107
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 16.9 M $166 M -$22.6 M $9.79 142
2023 Q4 19.2 M $181 M -$13.9 M $9.43 154
2023 Q3 20.8 M $179 M -$36.7 M $8.63 153
2023 Q2 29.9 M $267 M -$25.3 M $8.92 150
2023 Q1 33 M $287 M -$36.4 M $8.72 158
2022 Q4 37 M $323 M +$116 M $8.74 162
2022 Q3 26.3 M $225 M -$39.4 M $8.55 159
2022 Q2 30.6 M $291 M +$25 M $9.53 150
2022 Q1 27.8 M $299 M -$35.4 M $10.77 150
2021 Q4 31.1 M $384 M -$415 K $12.34 149
2021 Q3 30.9 M $377 M -$10.5 M $12.20 138
2021 Q2 31.8 M $391 M -$19.2 M $12.32 138
2021 Q1 33.3 M $391 M -$26.8 M $11.74 137
2020 Q4 35.6 M $407 M +$510 K $11.43 140
2020 Q3 34.3 M $366 M +$2.03 M $10.68 137
2020 Q2 34.1 M $347 M -$5.07 M $10.17 130
2020 Q1 34.2 M $306 M +$13.8 M $8.80 135
2019 Q4 32.9 M $369 M -$32 M $11.20 135
2019 Q3 36 M $386 M -$27.1 M $10.75 142
2019 Q2 38.4 M $412 M -$929 K $10.72 141
2019 Q1 38.5 M $395 M -$23.4 M $10.26 144
2018 Q4 40.8 M $379 M +$14.1 M $9.28 148
2018 Q3 38.7 M $407 M -$12.5 M $10.51 132
2018 Q2 39.5 M $413 M +$273 K $10.46 134
2018 Q1 39.6 M $420 M +$2.06 M $10.59 139
2017 Q4 39.4 M $431 M -$4.19 M $10.94 149
2017 Q3 39.1 M $441 M +$265 K $11.30 128
2017 Q2 39.1 M $428 M +$1.24 M $10.96 126
2017 Q1 37.7 M $412 M +$4.94 M $10.92 126
2016 Q4 37.3 M $403 M +$21.4 M $10.83 118
2016 Q3 34.9 M $377 M -$3.91 M $10.82 113
2016 Q2 32.3 M $338 M -$19.8 M $10.44 109
2016 Q1 37.2 M $370 M -$16.7 M $9.97 116
2015 Q4 39.2 M $383 M +$31.7 M $9.78 116
2015 Q3 33.9 M $335 M -$12.9 M $9.87 110
2015 Q2 37.2 M $401 M -$32.9 K $10.79 99
2015 Q1 37.1 M $414 M -$131 M $11.16 114
2014 Q4 35.7 M $407 M -$78.2 M $11.40 111
2014 Q3 30.9 M $365 M +$34.6 M $11.83 102
2014 Q2 28.7 M $353 M +$29.8 M $12.29 109
2014 Q1 26.3 M $322 M +$15.6 M $12.26 103