BlackRock Corporate High Yield Fund, Inc.

BlackRock Corporate High Yield Fund, Inc.

HYT

$7.97

Updated: 22/09/2026, 18:55:18

Market Cap
$1.30B
Sector
Financial Services
Industry
Asset Management
Country
US
Stock valuation chart
One-year closing share-price history for HYT
Company Profile

The BlackRock Corporate High Yield Fund, Inc. operates as a closed-end mutual fund with a focus on fixed income instruments. Managed by BlackRock Advisors, LLC, its investment strategy spans global fixed income markets. The fund primarily builds its portfolio with bonds issued by companies from a diverse range of sectors. A significant portion of its holdings consists of debt instruments rated Ba or lower by Moody's Investors Service, Inc., or BB or lower by Standard & Poor's Corporation, signifying a high-yield, below-investment-grade focus. Its mandate includes seeking out both domestic and international high-yield securities, such as corporate bonds, corporate loans, convertible debt, and preferred stocks, all characterized as below investment grade quality. Founded on May 30, 2003, this U.S.-domiciled fund was previously known as BlackRock Corporate High Yield Fund VI, Inc.

USD
NYSE
CEO: Charles Choon Sik Park
https://www.blackrock.com/us/individual/products/240182/blackrock-corporate-high-yield-fund-vi-inc-usd-fund
Asset Summaries
Latest generated summaries for HYT

No summaries found.

Detailed business
Structured knowledge from the latest official annual filing.
No official annual filing has completed ingestion for this company yet. The filing worker processes major-index companies incrementally and never repeats a completed fiscal year.
Full company information
Latest profile, trading, valuation, and identifier data stored for HYT.
Share price
$7.97
Market cap
$1.30B
Exchange
NYSE
Currency
USD
CEO
Charles Choon Sik Park
Employees
N/A
IPO date
29/05/2003
Beta
0.584
Last dividend
$0.00
Day range
$7.95 – $7.99
52-week range
$7.95 – $9.57
1-day performance
-0.19%
1-year performance
0.19%
Current drawdown (1Y)
-16.77%
CIK
0001222401
CUSIP
09255P107
ISIN
US09255P1075
Created
07/12/2025, 04:38:20
Last update
22/09/2026, 18:55:18

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