PGIM High Yield Bond Fund, Inc. ISD
Sector:
Financial ServicesIndustry:
Asset Management - BondsDescription:
Prudential Short Duration High Yield Fund, Inc. is a close ended fixed income mutual fund launched and managed by Prudential Investments LLC. The fund is co-managed by Prudential Investment Management, Inc. It invests in the fixed income markets of the United States. The fund primarily invests in a diversified portfolio of high yield fixed income instruments that are rated below investment grade (Ba1 or lower by Moody's Investors Service, Inc. or BB+ or lower by Standard & Poor's Ratings Services). It seeks to invest in securities across all maturities, while attempting to maintain a weighted average portfolio duration of three years or less. The fund employs fundamental analysis to make its investments. It does not invest in municipal debt obligations, asset backed securities, or mortgage backed securities. Prudential Short Duration High Yield Fund, Inc. was formed on April 30, 2012 and is domiciled in the United States.Recent Quarter:
2024-07-30Upcoming Quarter:
2025-04-25Annual Reports
Date2024-07-31
Revenue 49,163,978
Net Income 48,785,063
EPS 1.47
Basic Shares 33,256,724
Diluted Shares 33,414,427
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Date2023-07-31
Revenue 20,376,591
Net Income 20,005,451
EPS 0.6
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2022-07-31
Revenue -49,928,629
Net Income -50,411,250
EPS -1.52
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2021-05-31
Revenue 111,944,010
Net Income 111,504,164
EPS 3.35
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2020-05-31
Revenue 3,587,432
Net Income 3,192,903
EPS 0.096
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2019-05-31
Revenue 42,140,872
Net Income 32,627,129
EPS 0.98
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2018-05-31
Revenue 18,211,444
Net Income 17,757,729
EPS 0.54
Basic Shares 32,884,683
Diluted Shares 32,884,683
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Date2017-05-31
Revenue 41,789,524
Net Income 46,293,990
EPS 1.07
Basic Shares 43,320,112
Diluted Shares 1.3,026
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Date2016-05-31
Revenue 22,773,703
Net Income 12,627,150
EPS 1.22
Basic Shares 10,384,004
Diluted Shares 0.3,122
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Annual Ratios
Date2024-07-31
PE 9.22
Dividend Yield 9.31
Payout Ratio: 85.894%
Date2023-07-31
PE 20.65
Dividend Yield 10.14
Payout Ratio: 209.460%
Date2022-07-31
PE -8.69
Dividend Yield 9.57
Payout Ratio: -83.123%
Date2021-05-31
PE 4.83
Dividend Yield 7.78
Payout Ratio: 37.580%
Date2020-05-31
PE 141.34
Dividend Yield 9.02
Payout Ratio: 1274.578%
Date2019-05-31
PE 14.20
Dividend Yield 7.65
Payout Ratio: 108.555%
Date2018-05-31
PE 26.06
Dividend Yield 7.82
Payout Ratio: 203.855%
Date2017-05-31
PE 14.59
Dividend Yield 6.17
Payout Ratio: 90.018%
Date2016-05-31
PE 12.81
Dividend Yield 27.92
Payout Ratio: 357.754%
Quarterly Reports
Date2024-07-31
Revenue 19,416,749
Net Income 24,162,639
EPS 0.73
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2024-01-31
Revenue 4,604,506
Net Income 24,622,424
EPS 0.74
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2023-07-31
Revenue 18,500,165
Net Income 12,837,760
EPS 0.39
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2023-01-31
Revenue 20,611,532
Net Income 7,167,691
EPS 0.22
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2022-07-31
Revenue 20,332,199
Net Income -45,165,604
EPS -1.36
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2022-01-31
Revenue 28,249,201
Net Income -5,245,646
EPS -0.16
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2021-05-31
Revenue 23,313,767
Net Income 43,979,711
EPS 1.32
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2020-11-30
Revenue 17,277,372
Net Income 67,524,453
EPS 2.03
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2020-05-31
Revenue 27,190,614
Net Income -30,303,398
EPS -0.91
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2019-11-30
Revenue 30,635,514
Net Income 33,496,301
EPS 1.01
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Date2019-05-31
Revenue 21,248,167
Net Income 26,595,087
EPS 0.8
Basic Shares 33,256,724
Diluted Shares 33,256,724
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Quarterly Ratios
Date2024-07-31
PE 4.66
Dividend Yield 4.66
Payout Ratio: 86.711%
Date2024-01-31
PE 4.27
Dividend Yield 4.98
Payout Ratio: 85.092%
Date2023-07-31
PE 8.04
Dividend Yield 5.07
Payout Ratio: 163.204%
Date2023-01-31
PE 15.15
Dividend Yield 4.82
Payout Ratio: 292.308%
Date2022-07-31
PE -2.42
Dividend Yield 4.78
Payout Ratio: -46.389%
Date2022-01-31
PE -24.54
Dividend Yield 4.07
Payout Ratio: -399.412%
Date2021-05-31
PE 3.06
Dividend Yield 3.89
Payout Ratio: 47.640%
Date2020-11-30
PE 1.82
Dividend Yield 4.27
Payout Ratio: 31.028%
Date2020-05-31
PE -3.72
Dividend Yield 4.49
Payout Ratio: -66.802%
Date2019-11-30
PE 3.71
Dividend Yield 4.11
Payout Ratio: 61.060%
Date2019-05-31
PE 4.35
Dividend Yield 3.98
Payout Ratio: 69.402%
Date2018-11-30
PE 0.00
Dividend Yield 0.00
Payout Ratio: 0.000%
Date2018-05-31
PE 0.00
Dividend Yield 0.00
Payout Ratio: 0.000%
Date2017-11-30
PE 0.00
Dividend Yield 0.00
Payout Ratio: 0.000%
RSI:
56.38Price:
$13.81Market Cap:
459,275,027EPS TTM:
2.08PE Ratio:
9.41PEPSG:
NaNFwd PE:
NaNVolume:
132,8262 Year Price Change
1.124Index 2 Year Price Change
1.4975 Year Price Change
0.929Index 5 Year Price Change
1.905PESPG: Growth Rate of EPS projected to next quarter and 6 months trailing. Lower is better to help calculate nexts quarters PE Ratio today. Diluted shares effects the EPS reported and makes calculation show as extremely poor expected growth.
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