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BlackRock Corporate High Yield Fund, Inc. HYT · Stock Open BlackRock Corporate High Yield Fund, Inc. in new tab

7.98 USD
P/E
13.34
EPS
0.60
Yield
11.69%
Safety Score
16
P/B
0.83
ROE
9.54
Beta
0.58
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Key Metrics
P/E13.34
EPS0.60
Book Value9.65
Price to Book0.83
Debt/Equity28.22
% Insiders0.098%
Growth
Revenue Growth0.04%
Earnings Growth-0.18%
Dividend
Dividend Yield11.69%
Annual dividends0.93 USD
Ex-Div. DateDec. 11, 2026
Payout88.32%
5y avg Yield9.28%

DCF Valuation

Tweak assumptions to recompute fair value for BlackRock Corporate High Yield Fund, Inc. (HYT)
Currency: USD
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Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

BlackRock Corporate High Yield Fund, Inc. Logo BlackRock Corporate High Yield Fund, Inc. Analysis (HYT)

United States Financials Official Website Stock

Is BlackRock Corporate High Yield Fund, Inc. a good investment? BlackRock Corporate High Yield Fund, Inc. (HYT) is currently trading at 7.98 USD.

In terms of valuation, the stock trades at a P/E ratio of 13.34. This relatively low multiple may signal that BlackRock Corporate High Yield Fund, Inc. is undervalued compared to historical market norms.

For income investors, BlackRock Corporate High Yield Fund, Inc. pays a dividend yield of 11.69%. With a payout ratio of 88%, the dividend appears to be under pressure.

Investor FAQ

Does BlackRock Corporate High Yield Fund, Inc. pay a dividend?

Yes, it pays an annual dividend of 0.93 USD (11.69% yield).

What asset class is BlackRock Corporate High Yield Fund, Inc.?

BlackRock Corporate High Yield Fund, Inc. is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

BlackRock Corporate High Yield Fund, Inc. is a close ended fixed income mutual fund launched by BlackRock, Inc. The fund is managed by BlackRock Advisors, LLC. It invests in fixed income markets across the globe. The fund invests in bonds of companies operating across diversified sectors. It primarily invests in bonds rated Ba or lower by Moody's Investors Service, Inc., or BB or lower by Standard & Poor's Corporation. The fund seeks to invest in domestic and foreign high yield securities, including high yield bonds, corporate loans, convertible debt securities, and preferred securities which are below investment grade quality. It was formerly known as BlackRock Corporate High Yield Fund VI, Inc. BlackRock Corporate High Yield Fund, Inc. was formed on May 30, 2003 and is domiciled in the United States.

Exchange Ticker
NYQ (United States) HYT
Trades
Dividend Yield
11.69%
5y avg 9.28%
Annual Dividends
0.93USD
Next Ex. Div Date
Dec. 11, 2026
Payout Ratio
88.32%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.62 USD
Aug. 31, 2027 (estimated) 0.0779
July 30, 2027 (estimated) 0.0779
June 30, 2027 (estimated) 0.0779
May 31, 2027 (estimated) 0.0779
April 30, 2027 (estimated) 0.0779
March 31, 2027 (estimated) 0.0779
Feb. 26, 2027 (estimated) 0.0779
Jan. 11, 2027 (estimated) 0.0779
2026
0.93 USD
Dec. 22, 2026 0.0779
Nov. 30, 2026 0.0779
Oct. 30, 2026 0.0779
Sept. 30, 2026 0.0779
Aug. 31, 2026 0.0779
July 31, 2026 0.0779
June 30, 2026 0.0779
May 29, 2026 0.0779
April 30, 2026 0.0779
March 31, 2026 0.0779
Feb. 27, 2026 0.0779
Jan. 30, 2026 0.0779
2025
0.93 USD
Dec. 31, 2025 0.0779
Nov. 28, 2025 0.0779
Oct. 31, 2025 0.0779
Sept. 30, 2025 0.0779
Aug. 29, 2025 0.0779
July 31, 2025 0.0779
June 30, 2025 0.0779
May 30, 2025 0.0779
April 30, 2025 0.0779
March 31, 2025 0.0779
Feb. 28, 2025 0.0779
Jan. 31, 2025 0.0779
2024
0.93 USD
Dec. 23, 2024 0.0779
Nov. 29, 2024 0.0779
Oct. 31, 2024 0.0779
Sept. 30, 2024 0.0779
Aug. 30, 2024 0.0779
July 31, 2024 0.0779
June 28, 2024 0.0779
May 31, 2024 0.0779
April 30, 2024 0.0779
March 28, 2024 0.0779
Feb. 29, 2024 0.0779
Jan. 31, 2024 0.0779
2023
0.93 USD
Dec. 20, 2023 0.0779
Nov. 30, 2023 0.0779
Oct. 31, 2023 0.0779
Sept. 29, 2023 0.0779
Aug. 31, 2023 0.0779
July 31, 2023 0.0779
June 30, 2023 0.0779
May 31, 2023 0.0779
April 28, 2023 0.0779
March 31, 2023 0.0779
Feb. 28, 2023 0.0780
Jan. 31, 2023 0.0780
2022
0.94 USD
Dec. 22, 2022 0.0780
Nov. 30, 2022 0.0780
Oct. 31, 2022 0.0780
Sept. 30, 2022 0.0780
Aug. 31, 2022 0.0780
July 29, 2022 0.0780
June 30, 2022 0.0780
May 31, 2022 0.0780
April 29, 2022 0.0780
March 31, 2022 0.0780
Feb. 28, 2022 0.0780
Jan. 11, 2022 0.0780
2021
0.94 USD
Dec. 22, 2021 0.0780
Nov. 30, 2021 0.0780
Oct. 29, 2021 0.0780
Sept. 30, 2021 0.0780
Aug. 31, 2021 0.0780
July 30, 2021 0.0780
June 30, 2021 0.0780
May 28, 2021 0.0780
April 30, 2021 0.0779
March 31, 2021 0.0779
Feb. 26, 2021 0.0780
Jan. 11, 2021 0.0780
2020
0.94 USD
Dec. 21, 2020 0.0779
Nov. 30, 2020 0.0780
Oct. 30, 2020 0.0780
Sept. 30, 2020 0.0780
Aug. 31, 2020 0.0779
July 31, 2020 0.0779
June 30, 2020 0.0779
May 29, 2020 0.0779
April 30, 2020 0.0779
March 31, 2020 0.0779
Feb. 28, 2020 0.0779
Jan. 9, 2020 0.0779
2019
0.88 USD
Dec. 19, 2019 0.0779
Nov. 29, 2019 0.0779
Oct. 31, 2019 0.0779
Sept. 30, 2019 0.0720
Aug. 30, 2019 0.0720
July 31, 2019 0.0720
June 28, 2019 0.0720
May 31, 2019 0.0720
April 30, 2019 0.0720
March 29, 2019 0.0720
Feb. 28, 2019 0.0720
Jan. 9, 2019 0.0720
2018
0.85 USD
Dec. 19, 2018 0.0720
Nov. 30, 2018 0.0720
Oct. 31, 2018 0.0720
Sept. 28, 2018 0.0720
Aug. 31, 2018 0.0720
July 31, 2018 0.0720
June 29, 2018 0.0700
May 31, 2018 0.0700
April 30, 2018 0.0700
March 29, 2018 0.0700
Feb. 28, 2018 0.0700
Jan. 9, 2018 0.0700
2017
0.89 USD
Dec. 19, 2017 0.0700
Nov. 30, 2017 0.0700
Oct. 31, 2017 0.0700
Sept. 29, 2017 0.0700
Aug. 31, 2017 0.0700
July 31, 2017 0.0700
June 30, 2017 0.0700
May 31, 2017 0.0700
April 28, 2017 0.0700
March 31, 2017 0.0700
Feb. 28, 2017 0.0700
Jan. 9, 2017 0.1210
2016
0.99 USD
Dec. 19, 2016 0.0700
Nov. 30, 2016 0.0700
Oct. 31, 2016 0.0700
Sept. 30, 2016 0.0700
Aug. 31, 2016 0.0700
July 29, 2016 0.0700
June 30, 2016 0.0700
May 31, 2016 0.0700
April 29, 2016 0.0700
March 31, 2016 0.0700
Feb. 29, 2016 0.0700
Jan. 8, 2016 0.2201
2015
0.95 USD
Dec. 18, 2015 0.0700
Nov. 30, 2015 0.0700
Oct. 30, 2015 0.0700
Sept. 30, 2015 0.0700
Aug. 31, 2015 0.0700
July 31, 2015 0.0700
June 30, 2015 0.0700
May 29, 2015 0.0700
April 30, 2015 0.0700
March 31, 2015 0.0700
Feb. 27, 2015 0.0755
Jan. 9, 2015 0.1740
2014
0.94 USD
Dec. 19, 2014 0.0760
Nov. 28, 2014 0.0755
Oct. 31, 2014 0.0755
Sept. 30, 2014 0.0755
Aug. 29, 2014 0.0755
July 31, 2014 0.0755
June 30, 2014 0.0805
May 30, 2014 0.0805
April 30, 2014 0.0805
March 31, 2014 0.0805
Feb. 28, 2014 0.0805
Jan. 8, 2014 0.0810
2013
1.16 USD
Dec. 19, 2013 0.0810
Nov. 1, 2013 0.1600
Oct. 31, 2013 0.0810
Sept. 30, 2013 0.0805
Aug. 30, 2013 0.0805
July 31, 2013 0.0805
June 28, 2013 0.0875
May 31, 2013 0.0875
April 30, 2013 0.0875
March 28, 2013 0.0875
Feb. 28, 2013 0.0875
Jan. 9, 2013 0.1585
2012
1.03 USD
Dec. 18, 2012 0.0875
Nov. 30, 2012 0.0875
Oct. 31, 2012 0.0875
Sept. 28, 2012 0.0875
Aug. 31, 2012 0.0875
July 31, 2012 0.0875
June 29, 2012 0.0875
May 31, 2012 0.0835
April 30, 2012 0.0835
March 30, 2012 0.0835
Feb. 29, 2012 0.0835
Jan. 9, 2012 0.0835
2011
0.99 USD
Dec. 19, 2011 0.0835
Nov. 30, 2011 0.0835
Oct. 31, 2011 0.0835
Sept. 30, 2011 0.0825
Aug. 31, 2011 0.0825
July 29, 2011 0.0825
June 30, 2011 0.0825
May 31, 2011 0.0825
April 29, 2011 0.0825
March 31, 2011 0.0825
Feb. 28, 2011 0.0825
Jan. 10, 2011 0.0825
2010
1.00 USD
Dec. 20, 2010 0.0825
Nov. 30, 2010 0.0825
Oct. 29, 2010 0.0825
Sept. 30, 2010 0.0825
Aug. 31, 2010 0.0825
July 30, 2010 0.0825
June 30, 2010 0.0825
May 28, 2010 0.0825
April 30, 2010 0.0825
March 31, 2010 0.0825
Feb. 26, 2010 0.0875
Jan. 11, 2010 0.0875
2009
1.11 USD
Dec. 18, 2009 0.0875
Nov. 30, 2009 0.0875
Oct. 30, 2009 0.0875
Sept. 30, 2009 0.0875
Aug. 31, 2009 0.0875
July 31, 2009 0.0875
June 30, 2009 0.0875
May 29, 2009 0.1000
April 30, 2009 0.1000
March 31, 2009 0.1000
Feb. 27, 2009 0.1000
Jan. 9, 2009 0.1000
2008
1.22 USD
Dec. 18, 2008 0.1000
Nov. 28, 2008 0.1000
Oct. 31, 2008 0.1000
Sept. 30, 2008 0.1000
Aug. 29, 2008 0.1000
July 31, 2008 0.1000
June 30, 2008 0.1000
May 30, 2008 0.1000
April 30, 2008 0.1000
March 31, 2008 0.1000
Feb. 29, 2008 0.1000
Jan. 9, 2008 0.1170
2007
1.13 USD
Dec. 18, 2007 0.1000
Nov. 30, 2007 0.1000
Oct. 31, 2007 0.1000
Sept. 28, 2007 0.0950
Aug. 31, 2007 0.0950
July 31, 2007 0.0950
June 29, 2007 0.0950
May 31, 2007 0.0900
April 30, 2007 0.0900
March 30, 2007 0.0900
Feb. 28, 2007 0.0900
Jan. 9, 2007 0.0900
2006
1.10 USD
Dec. 19, 2006 0.0900
Nov. 30, 2006 0.0900
Oct. 31, 2006 0.0900
Sept. 29, 2006 0.0900
Aug. 31, 2006 0.0900
July 31, 2006 0.0900
June 30, 2006 0.0900
May 31, 2006 0.0900
April 28, 2006 0.0900
March 31, 2006 0.0900
Feb. 28, 2006 0.1000
Jan. 10, 2006 0.0984
2005
1.44 USD
Dec. 21, 2005 0.1000
Nov. 30, 2005 0.1100
Oct. 31, 2005 0.1100
Sept. 30, 2005 0.1100
Aug. 31, 2005 0.1100
July 29, 2005 0.1100
June 30, 2005 0.1100
May 31, 2005 0.1210
April 29, 2005 0.1210
March 31, 2005 0.1210
Feb. 28, 2005 0.1210
Jan. 10, 2005 0.2004
2004
1.45 USD
Dec. 21, 2004 0.1210
Nov. 30, 2004 0.1188
Oct. 29, 2004 0.1188
Sept. 30, 2004 0.1188
Aug. 31, 2004 0.1188
July 30, 2004 0.1188
June 30, 2004 0.1188
May 28, 2004 0.1188
April 30, 2004 0.1188
March 31, 2004 0.1188
Feb. 27, 2004 0.1188
Jan. 13, 2004 0.1430
2003
0.68 USD
Dec. 22, 2003 0.1188
Nov. 28, 2003 0.1188
Oct. 31, 2003 0.1188
Sept. 30, 2003 0.1188
Aug. 29, 2003 0.1188
July 31, 2003 0.0832
Upcoming Dividends
Name Payment Date Status Amount
BlackRock Corporate High Yield Fund, Inc. Dec 22, 2026 Upcoming 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Nov 30, 2026 Upcoming 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Oct 30, 2026 Upcoming 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Sep 30, 2026 Upcoming 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Aug 31, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Jul 31, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Jun 30, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. May 29, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Apr 30, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Mar 31, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Feb 27, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Jan 30, 2026 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Dec 31, 2025 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Nov 28, 2025 0.0779 USD
BlackRock Corporate High Yield Fund, Inc. Oct 31, 2025 0.0779 USD
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