AMEX : DHY

Credit Suisse High Yield Bond Fund, Inc. — Institutional Ownership

$1.78 USD

$0.01 (0.56%)

Volume
319.91K
Average Volume
846.13K
Market Capitalization
$184.43M
P/E Ratio
20.02
Dividend Yield
10.45%
Price Target
Year High
$2.14
Year Low
$0.01
Day High
Day Low
Payout Ratio
$2.09
Current Ratio
$1.56
Institutional Ownership Summary
Institutional Ownership %

3.72%

Investors Holding

13

change: -59 | last: 72
Increased Positions

5

change: -23 | last: 28
Reduced Positions

2

change: -18 | last: 20
New Positions

4

change: -6 | last: 10
Sold Positions

63

change: 54 | last: 9
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

7.08M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-06-04 Sit Investment Associates, Inc. 17.81M 12.90%
2026-04-17 First Trust Portfolios L.P. 20.65M 19.93%
2025-10-22 First Trust Portfolios L.P. 22.26M 21.49%
2025-01-24 First Trust Portfolios L.P. 23.55M 22.74%
2024-02-12 41-1404829 6.41M 6.19%
2011-06-06 41-1404829 - 0.00%
2011-01-11 41-1404829 3.86M 5.16%
2010-11-04 41-1404829 6.22M 11.08%
DHY Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-10-31 $2.09 103.61M $216.54M $199K $95M $311.35M
2024-10-31 $2.15 103.51M $222.55M $122.31K $80M $302.43M
2023-10-31 $1.81 102.66M $185.82M $225.06K $80M $265.59M
2022-10-31 $1.78 103.51M $184.25M $104.72K $91.5M $275.65M
2021-10-31 $2.50 103.51M $258.78M $69225 $82M $340.72M
2020-10-31 $2.07 103.51M $214.26M $14.45M $86.75M $286.56M
2019-10-31 $2.53 103.5M $261.85M $11.84M $92M $342.02M
2018-10-31 $2.35 126.64M $297.6M $3.56M $124.14M $418.17M
2017-10-31 $2.84 100.33M $284.94M $50000 $116M $400.89M
2016-10-31 $2.44 98.38M $240.05M $569.92K $102M $341.48M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-04-30 $1.76 103.61M $182.35M $1.96M $81M $261.39M
2025-10-31 $2.09 103.61M $216.54M $199K $95M $311.35M
2025-04-30 $2.03 103.61M $210.33M $102.34K $87.12M $297.34M
2024-10-31 $2.15 103.55M $222.63M $122.31K $80M $302.51M
2024-04-30 $2.00 103.51M $207.03M $375.58K $80M $286.65M
2023-10-31 $1.81 103.51M $187.36M $225.06K $80M $267.13M
2023-04-30 $1.88 103.51M $194.61M $180.87K $83.5M $277.92M
2022-10-31 $1.78 103.51M $184.25M $104.72K $91.5M $275.65M
2022-04-30 $2.08 103.51M $215.31M $164.92K $100.5M $315.64M
2021-10-31 $2.50 103.51M $258.78M $69225 $82M $340.72M
2021-04-30 $2.45 103.51M $253.59M $8.97M $79M $323.63M
2020-10-31 $2.07 103.51M $214.26M $14.37M $86.75M $286.64M