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BlackRock Corporate High Yield Fund, Inc. (HYT) is an CEF managed by BlackRock / iShares. Its largest position is ISHARES BROAD USD HIGH YIELD CORPORATE BOND ETF (USHY), representing 1.18% of fund assets.

BlackRock Corporate High Yield Fund, Inc. Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
HYT
Type:
CEF
Manager:
BlackRock / iShares
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 178 holdings
Holding Weight Market Value Shares
-
ISHARES BROAD USD HIGH YIELD CORPORATE BOND ETF
1.18% $21,096,904.92 572,663
-
ZAYO GROUP HOL 03/11/2030
0.55% $9,845,456.43 10,042,900
-
COTIVITI CORPORATION
0.45% $8,101,828.92 8,711,644
-
CLOVER HOLDINGS 2 LLC
0.41% $7,431,331.64 7,895,173
-
ALLIANT CALI INC
0.34% $6,020,852.08 6,038
-
Energy Transfer LP
0.29% $5,286,154.20 273,894
-
BLACKROCK LIQUIDITY FUNDS T-FU
0.29% $5,199,102.31 5,199,102
-
LEVEL 3 FINANCING INC
0.29% $5,165,622.16 5,171,000
-
VICI PROPERTIES INC.
0.28% $4,983,851.00 182,425
-
BOOTS GROUP BIDCO LTD
0.24% $4,389,972.56 4,379,025
-
Clear Channel Outdoor Holdings, Inc.
0.24% $4,268,511.80 4,263,183
-
BRAND INDUSTRIAL SERVICES INC
0.23% $4,130,645.98 4,826,480
-
MAUSER PACKAGING SOLUTIONS HOLDING COMPANY
0.21% $3,763,060.64 3,901,000
-
WHITE CAP SUPPLY HOLDINGS LLC(F/K/A WHITE CAP BUYER LLC)
0.19% $3,477,898.40 3,624,208
-
Bausch & Lomb Corp
0.19% $3,404,883.85 3,400,633
-
HOLOGIC INC.
0.18% $3,304,175.00 3,346,000
-
DIRECTV FINANCING LLC
0.18% $3,176,219.72 3,177,300
-
BCPE EMPIRE HOLDINGS INC
0.17% $2,975,934.51 3,027,000
-
CONSTELLIUM SE
0.16% $2,929,468.98 119,181
-
UNIVERSAL SERVICES 8/25 (USD) COV-LITE
0.16% $2,807,649.89 2,809,195
-
STAR PARENT INC
0.14% $2,579,575.41 2,611,752
-
CORELOGIC INC
0.13% $2,317,907.97 2,428,706
-
COMPOSECURE HOLDINGS LLC
0.13% $2,278,001.44 2,288,000
-
CLARIOS GLOBAL LP
0.12% $2,197,467.51 2,205,186
-
LIFEPOINT HEALTH INC
0.12% $2,164,582.92 2,165,124
-
DISCOVERY PURCHASER CORPORATION
0.12% $2,147,834.54 2,186,648
-
CORAL-US CO-BORROWER, LLC
0.12% $2,105,109.58 2,145,597
-
OLYMPUS WATER US HOLDING CORP
0.11% $2,024,462.67 2,105,723
-
CSC HOLDINGS, LLC
0.11% $1,959,191.06 2,228,734
-
MCAFEE 12/24 TLB
0.11% $1,885,586.36 2,118,636
-
ENTERPRISE PRODUCTS PARTNERS L.P.
0.10% $1,846,478.48 48,797
-
MICROCHIP TECHNOLOGY INC
0.10% $1,828,737.00 32,100
-
RADIATE HOLDCO, LLC
0.10% $1,817,680.54 2,049,060
-
Amneal Pharmaceuticals, Inc.
0.10% $1,735,762.75 1,731,434
-
HILLENBRAND IN 01/22/2033
0.10% $1,704,675.42 1,729,757
-
ASURION 6/25 B13 TLB
0.09% $1,626,470.07 1,647,409
-
ATHENAHEALTH GROUP INC.
0.09% $1,569,289.31 1,601,316
-
DIGICEL INTERNATIONAL FINANCE LIMITED
0.09% $1,547,560.45 1,551,113
-
CRASH CHAMPIONS LLC
0.08% $1,510,640.33 1,746,405
-
LONZA GROUP AG
0.08% $1,508,046.75 1,731,735
-
ALTICE FRANCE SA
0.08% $1,479,978.86 1,479,047
-
TRUIST INSURAN 03/07/2032
0.08% $1,444,718.47 1,461,615
-
RESILIENCE PARENT LLC
0.08% $1,409,577.08 1,418,000
-
LBM ACQUISITION LLC
0.08% $1,399,401.90 1,755,000
-
WR GRACE & CO-CONN
0.08% $1,389,149.54 1,395,541
-
CMG MEDIA CORPORATION
0.08% $1,346,924.44 1,442,103
-
IQVIA HOLDINGS INC.
0.07% $1,339,080.08 7,852
-
LSF12 CROWN US 12/02/2031
0.07% $1,306,024.46 1,306,024
-
LABL, INC.
0.07% $1,256,396.84 2,771,484
-
WILSONART LLC
0.07% $1,239,400.39 1,428,704
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