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HYT

BlackRock Corporate High Yield Fund, Inc.
1W: -0.9% 1M: -4.4% 3M: -5.9% YTD: -2.5% 1Y: -5.9% 3Y: +30.3% 5Y: +15.9%
$8.45
+0.01 (+0.12%)
After Hours: $8.54 (+0.09, +1.07%)
ETF NYSE · AUM $1.4B
ETF-Level Metrics
AUM$1.4B
Holdings12
Top 10 Wt2.2%
Beta0.63
% Profitable1%
Coverage1%
Portfolio Valuation
P/E13.1
P/B2.0
P/S1.3
EV/EBITDA9.9
P/FCF19.0
PEG2.08
Profitability & Returns
Gross Margin23.9%
Net Margin10.3%
ROE15.8%
ROA5.5%
ROIC10.4%
Div Yield5.15%
Leverage & Liquidity
Debt/Equity1.22
Debt/Assets0.41
Net Debt/EBITDA3.6x
Interest Cov3.8x
Current Ratio1.16
Quick Ratio0.85
Growth (YoY)
Revenue+2.5%
Net Income+31.9%
EPS+30.7%
FCF+21.6%
EBITDA+8.5%
Rev CAGR 3Y+3.4%
Quality Scores
Piotroski F6.2
Altman Z1.54
IS Quality66.8
IS Overall47.5
IS Value76.3
Median P/E12.2

Sector Breakdown

6 sectors
Sector # Holdings Total Weight % Avg P/E
Other 1238 129.4%
Financial Services 1 1.2%
Energy 8 0.5% 7.9
Real Estate 1 0.2% 10.4
Basic Materials 1 0.1% 15.3
Consumer Cyclical 1 0.1% 16.3

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 1250 holdings · Page 1 of 25
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 CCO HLDGS LLC/CAP CORP Private 1.40% $22.2M 21,539,000
2 HUB INTERNATIONAL LTD Private 1.35% $21.4M 20,576,000
3 1261229 BC LTD Private 1.18% $18.7M 18,200,000
4 iShares Broad USD High Yield Corporate Bond ETF USHY 1.16% $18.4M 488,154 $26.8B Financial Services
5 HUB INTERNATIONAL LTD Private 1.16% $18.4M 17,624,000
6 MAUSER PACKAGING SOLUT Private 1.13% $17.8M 17,673,000
7 UKG INC Private 1.02% $16.2M 15,694,000
8 CLOUD SOFTWARE GRP INC Private 1.00% $15.8M 15,261,000
9 VENTURE GLOBAL LNG INC Private 0.99% $15.7M 15,887,000
10 ATHENAHEALTH GROUP INC Private 0.99% $15.6M 15,753,000
11 EMRLD BOR / EMRLD CO-ISS Private 0.94% $14.8M 14,438,000
12 FRONTIER COMMUNICATIONS Private 0.90% $14.3M 13,691,000
13 PANTHER ESCROW ISSUER Private 0.86% $13.6M 13,111,000
14 Cotiviti Corporation Private 0.80% $12.7M 12,700,598
15 ECHOSTAR CORP Private 0.74% $11.8M 11,397,302
16 ALLIED UNIVERSAL HOLDCO Private 0.69% $11.0M 10,484,000
17 LEVEL 3 FINANCING INC Private 0.69% $11.0M 10,765,500
18 CLOUD SOFTWARE GRP INC Private 0.68% $10.8M 10,725,000
19 VENTURE GLOBAL LNG INC Private 0.67% $10.6M 9,631,000
20 CHURCHILL DOWNS INC Private 0.66% $10.5M 10,273,000
21 LEVEL 3 FINANCING INC Private 0.65% $10.4M 10,182,000
22 TRANSDIGM INC Private 0.65% $10.3M 9,978,000
23 CLOUD SOFTWARE GRP INC Private 0.61% $9.6M 9,043,000
24 CLOVER HOLDINGS 2 LLC Private 0.57% $9.0M 8,969,520
25 WHITE CAP BUYER LLC Private 0.55% $8.8M 8,805,000
26 NRG ENERGY INC Private 0.55% $8.8M 8,769,000
27 CARVANA CO Private 0.54% $8.6M 7,574,727
28 HOWDEN UK REFINANCE / US Private 0.54% $8.5M 8,235,000
29 SUNOCO LP Private 0.53% $8.5M 8,323,000
30 TK ELEVATOR US NEWCO INC Private 0.53% $8.4M 8,479,000
31 WARNERMEDIA HOLDINGS INC Private 0.52% $8.3M 10,375,000
32 UNITI GROUP/CSL CAPITAL Private 0.52% $8.2M 7,828,000
33 DISH NETWORK CORP Private 0.52% $8.2M 7,733,000
34 TRANSDIGM INC Private 0.50% $8.0M 7,863,000
35 CLEAR CHANNEL OUTDOOR HO Private 0.49% $7.8M 8,007,000
36 TRANSDIGM INC Private 0.49% $7.8M 7,521,000
37 WR GRACE HOLDING LLC Private 0.48% $7.6M 8,156,000
38 CLARIOS GLOBAL LP/US FIN Private 0.48% $7.5M 7,384,000
39 ALLIANT HOLD / CO-ISSUER Private 0.48% $7.5M 7,319,000
40 CHOBANI HOLDCO II LLC Private 0.47% $7.5M 7,053,015
41 ARDONAGH FINCO LTD Private 0.46% $7.3M 7,009,000
42 CLEAR CHANNEL OUTDOOR HO Private 0.46% $7.2M 6,875,000
43 ARDONAGH GROUP FINANCE Private 0.45% $7.2M 6,836,000
44 CAESARS ENTERTAIN INC Private 0.45% $7.1M 6,858,000
45 MEDLINE BORROWER LP Private 0.44% $7.0M 7,075,000
46 WINDSTREAM SERVICES/ESCR Private 0.44% $7.0M 6,717,000
47 ALLIANT HOLD / CO-ISSUER Private 0.43% $6.9M 6,867,000
48 CQP HOLDCO LP/BIP-V CHIN Private 0.43% $6.8M 6,898,000
49 QUIKRETE HOLDINGS INC Private 0.43% $6.8M 6,577,000
50 EFESTO BIDCO SPA/US LLC Private 0.43% $6.8M 6,646,000
1 2 3 ... 25 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms