CREDIT SUISSE HIGH YIELD CREDIT FUND - Common (DHY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common
Symbol
DHY on NYSE
Shares outstanding
103,586,114
Price per share
$2.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
8,293,046
Total reported value
$17,086,199
% of total 13F portfolios
0%
Share change
+234,553
Value change
+$467,560
Number of holders
74
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CREDIT SUISSE HIGH YIELD CREDIT FUND - Common (DHY) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FIRST TRUST PORTFOLIOS LP 21% -5.4% $45,856,951 -$2,666,081 22,260,656 -5.5% First Trust Portfolios L.P. 30 Sep 2025

As of 30 Sep 2025, 74 institutional investors reported holding 8,293,046 shares of CREDIT SUISSE HIGH YIELD CREDIT FUND - Common (DHY). This represents 8% of the company’s total 103,586,114 outstanding shares.

Institutional Holders of CREDIT SUISSE HIGH YIELD CREDIT FUND - Common (DHY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 648,231 $1,296,820 +$30,300 $2.00 4
2025 Q3 8,293,046 $17,086,199 +$467,560 $2.06 74
2025 Q2 8,075,797 $17,202,035 +$1,069,032 $2.13 68
2025 Q1 7,595,872 $16,094,646 -$1,611,689 $2.12 66
2024 Q4 8,326,106 $17,813,514 -$2,817,923 $2.14 66
2024 Q3 9,614,427 $21,817,511 -$4,214,700 $2.27 63
2024 Q2 11,699,107 $23,636,664 -$5,074,806 $2.02 67
2024 Q1 14,242,361 $28,767,246 -$7,305,853 $2.02 68
2023 Q4 17,700 $35,046 $1.98 1
2023 Q3 16,712,412 $31,403,394 +$303,218 $1.88 68
2023 Q2 16,208,019 $30,652,329 -$458,430 $1.89 63
2023 Q1 16,973,327 $32,052,520 +$5,967,408 $1.89 66
2022 Q4 13,943,852 $24,547,406 -$857,369 $1.76 62
2022 Q3 14,399,878 $25,366,000 -$1,327,429 $1.76 54
2022 Q2 15,111,169 $28,546,000 +$2,887,932 $1.89 62
2022 Q1 13,332,290 $29,062,000 +$2,650,978 $2.18 59
2021 Q4 12,238,431 $30,226,000 -$445,030 $2.47 58
2021 Q3 12,253,935 $30,260,000 -$3,279,518 $2.47 53
2021 Q2 13,523,004 $33,966,000 -$1,629,324 $2.51 54
2021 Q1 14,524,135 $34,940,089 +$3,083,969 $2.41 60
2020 Q4 12,806,101 $29,192,769 +$4,815,204 $2.28 56
2020 Q3 10,406,007 $21,989,000 +$281,514 $2.11 55
2020 Q2 10,269,187 $20,522,000 +$554,580 $2.00 52
2020 Q1 10,113,834 $18,508,000 +$8,882,612 $1.83 48
2019 Q4 5,142,540 $12,856,000 +$1,252,730 $2.50 50
2019 Q3 4,625,979 $11,799,000 +$116,739 $2.55 48
2019 Q2 4,593,533 $11,345,000 -$2,107,938 $2.47 45
2019 Q1 5,348,943 $13,262,000 -$689,062 $2.48 45
2018 Q4 5,730,170 $12,447,000 +$2,942,535 $2.17 46
2018 Q3 4,330,701 $11,387,000 -$381,236 $2.63 40
2018 Q2 4,472,553 $11,852,000 +$796,764 $2.65 44
2018 Q1 4,171,578 $11,117,400 +$1,101,823 $2.66 41
2017 Q4 3,907,213 $11,094,600 -$1,619,103 $2.84 44
2017 Q3 4,447,114 $12,808,200 +$449,793 $2.88 42
2017 Q2 4,325,615 $12,233,920 -$59,789 $2.83 38
2017 Q1 4,337,633 $11,583,300 -$992,870 $2.67 41
2016 Q4 4,710,437 $12,576,300 +$2,382,939 $2.67 40
2016 Q3 3,707,491 $9,565,200 +$1,308,819 $2.58 43
2016 Q2 3,266,230 $7,876,355 -$194,583 $2.41 39
2016 Q1 3,525,240 $7,929,280 -$1,993,683 $2.25 36
2015 Q4 4,579,326 $10,435,869 -$855,778 $2.28 48
2015 Q3 4,916,400 $11,160,002 +$2,742,646 $2.27 44
2015 Q2 3,641,743 $9,390,262 -$2,785,495 $2.58 46
2015 Q1 4,654,943 $12,936,462 -$714,434 $2.78 44
2014 Q4 4,808,015 $13,458,939 +$4,967,266 $2.80 40
2014 Q3 2,743,748 $8,487,076 +$199,050 $3.09 29
2014 Q2 2,678,055 $8,702,340 +$1,456,412 $3.25 32
2014 Q1 2,227,962 $7,113,729 +$797,027 $3.19 29