NYSE : EHI

Western Asset Global High Income Fund Inc.

$5.91 USD

-$0.03 (-0.51%)

Volume
27.88K
Average Volume
93.66K
Market Capitalization
$179.07M
P/E Ratio
10.65
Dividend Yield
14.21%
Price Target
Year High
$6.70
Year Low
$5.80
Day High
Day Low
Payout Ratio
$1.52
Current Ratio
$0.66
Institutional Ownership Summary
Institutional Ownership %

2.07%

Investors Holding

9

change: -37 | last: 46
Increased Positions

5

change: -15 | last: 20
Reduced Positions

1

change: -12 | last: 13
New Positions

2

change: -6 | last: 8
Sold Positions

39

change: 25 | last: 14
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

3.75M

EHI Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-05-31 $6.41 23.05M $147.73M $316.2K $84.72M $232.13M
2024-05-31 $6.96 23.05M $160.4M $2.9M $87.64M $245.14M
2023-05-31 $6.65 22.71M $151M $339.83K $76.63M $227.29M
2022-05-31 $7.57 22.7M $171.82M $458.2K $77M $248.36M
2021-05-31 $10.47 22.7M $237.64M $946.12K $85.5M $322.19M
2020-05-31 $9.10 44.49M $404.84M $514.32K $158M $562.33M
2019-05-31 $9.59 44.11M $422.98M $708.25K $180M $602.28M
2018-05-31 $9.18 41.26M $378.75M $8.8M $168M $537.95M
2017-05-31 $10.23 45.24M $462.83M $439.9K $171M $633.39M
2016-05-31 $9.52 31.05M $295.63M $404.49K $120M $415.22M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-11-30 $6.36 30.3M $192.71M $1.87M $85.2M $276.03M
2025-05-31 $6.41 30.3M $194.22M $316.2K $84.72M $278.63M
2024-11-30 $6.73 30.3M $203.92M $325.7K $70M $273.59M
2024-05-31 $6.96 22.72M $158.16M $2.9M $87.64M $242.9M
2023-11-30 $6.87 23.05M $158.33M $377.48K $75.48M $233.43M
2023-05-31 $6.65 45.41M $302M $339.83K $76.63M $378.29M
2022-11-30 $7.41 45.39M $336.38M $155.09K $77M $413.22M
2022-05-31 $7.57 45.39M $343.64M $458.2K $77M $420.18M
2021-11-30 $9.74 45.39M $442.15M $418.98K $83.5M $525.23M
2021-05-31 $10.47 45.39M $475.28M $946.12K $85.5M $559.84M
2020-11-30 $10.09 45.39M $458.03M $819.77K $85.5M $542.71M
2020-05-31 $9.10 44.49M $404.84M $514.32K $158M $562.33M