A detailed history of Mc Gowan Group Asset Management, Inc. transactions in Blackrock Corporate High Yield Fund, Inc. stock. As of the latest transaction made, Mc Gowan Group Asset Management, Inc. holds 3,989,409 shares of HYT stock, worth $38.7 Million. This represents 6.62% of its overall portfolio holdings.

Number of Shares
3,989,409
Previous 3,951,846 0.95%
Holding current value
$38.7 Million
Previous $37.3 Million 4.81%
% of portfolio
6.62%
Previous 7.08%

Shares

28 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q1 2024

May 15, 2024

BUY
$9.38 - $9.88 $352,340 - $371,122
37,563 Added 0.95%
3,989,409 $39.1 Million
Q4 2023

Feb 13, 2024

BUY
$8.24 - $9.56 $4.7 Million - $5.45 Million
570,287 Added 16.86%
3,951,846 $37.3 Million
Q3 2023

Nov 13, 2023

BUY
$8.6 - $9.28 $857,101 - $924,872
99,663 Added 3.04%
3,381,559 $29.2 Million
Q2 2023

Aug 09, 2023

BUY
$8.41 - $8.92 $663,506 - $703,743
78,895 Added 2.46%
3,281,896 $29.3 Million
Q1 2023

May 15, 2023

BUY
$8.28 - $9.43 $309,663 - $352,672
37,399 Added 1.18%
3,203,001 $27.9 Million
Q4 2022

Feb 13, 2023

BUY
$8.15 - $9.14 $4.03 Million - $4.52 Million
494,874 Added 18.53%
3,165,602 $27.7 Million
Q3 2022

Nov 09, 2022

BUY
$8.46 - $10.26 $3.94 Million - $4.77 Million
465,238 Added 21.09%
2,670,728 $22.8 Million
Q2 2022

Aug 11, 2022

BUY
$9.3 - $11.08 $10.4 Million - $12.4 Million
1,115,965 Added 102.43%
2,205,490 $21 Million
Q1 2022

May 13, 2022

SELL
$9.98 - $12.22 $135,967 - $166,485
-13,624 Reduced 1.24%
1,089,525 $11.7 Million
Q4 2021

Feb 14, 2022

BUY
$11.52 - $12.43 $87,183 - $94,070
7,568 Added 0.69%
1,103,149 $13.6 Million
Q3 2021

Nov 15, 2021

SELL
$12.01 - $12.65 $2.33 Million - $2.45 Million
-193,859 Reduced 15.03%
1,095,581 $13.4 Million
Q2 2021

Aug 11, 2021

SELL
$11.56 - $12.38 $4.08 Million - $4.37 Million
-353,350 Reduced 21.51%
1,289,440 $15.9 Million
Q1 2021

May 17, 2021

SELL
$11.07 - $11.77 $101,035 - $107,424
-9,127 Reduced 0.55%
1,642,790 $19.3 Million
Q4 2020

Feb 10, 2021

SELL
$10.59 - $11.78 $748,384 - $832,480
-70,669 Reduced 4.1%
1,651,917 $18.9 Million
Q3 2020

Nov 12, 2020

SELL
$10.24 - $11.31 $216,872 - $239,534
-21,179 Reduced 1.21%
1,722,586 $18.4 Million
Q2 2020

Aug 11, 2020

BUY
$8.31 - $10.54 $2.61 Million - $3.31 Million
313,864 Added 21.95%
1,743,765 $17.7 Million
Q1 2020

May 18, 2020

BUY
$6.64 - $11.71 $182,334 - $321,556
27,460 Added 1.96%
1,429,901 $12.6 Million
Q4 2019

Feb 13, 2020

BUY
$10.56 - $11.35 $1.65 Million - $1.78 Million
156,421 Added 12.55%
1,402,441 $15.7 Million
Q3 2019

Nov 14, 2019

BUY
$10.33 - $10.84 $266,369 - $279,520
25,786 Added 2.11%
1,246,020 $13.4 Million
Q2 2019

Aug 14, 2019

BUY
$10.16 - $10.72 $589,330 - $621,813
58,005 Added 4.99%
1,220,234 $13.1 Million
Q1 2019

May 15, 2019

BUY
$9.36 - $10.26 $723,705 - $793,292
77,319 Added 7.13%
1,162,229 $11.9 Million
Q4 2018

Feb 14, 2019

BUY
$9.01 - $10.61 $8.32 Million - $9.8 Million
923,350 Added 571.52%
1,084,910 $10.1 Million
Q3 2018

Nov 13, 2018

BUY
$10.49 - $10.7 $715,827 - $730,157
68,239 Added 73.12%
161,560 $1.7 Million
Q2 2018

Aug 13, 2018

BUY
$10.44 - $10.69 $303,449 - $310,715
29,066 Added 45.24%
93,321 $976,000
Q1 2018

May 14, 2018

BUY
$10.42 - $11.1 $153,184 - $163,181
14,701 Added 29.67%
64,255 $680,000
Q4 2017

Feb 14, 2018

SELL
$10.75 - $11.47 $27,874 - $29,741
-2,593 Reduced 4.97%
49,554 $542,000
Q3 2017

Nov 13, 2017

SELL
$10.99 - $11.34 $20,551 - $21,205
-1,870 Reduced 3.46%
52,147 $589,000
Q2 2017

Aug 14, 2017

BUY
N/A
54,017
54,017 $592,000

Others Institutions Holding HYT

About BLACKROCK CORPORATE HIGH YIELD FUND, INC.


  • Ticker HYT
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • 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'...
More about HYT
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