PGIM High Yield Bond Fund, Inc. - Common (ISD)

Historical Holders from Q2 2018 to Q3 2025

Symbol
ISD on NYSE
CUSIP
69346H100
Type / Class
Equity / Common
Shares outstanding
33.3M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
7.81M
Holdings value
$112M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
61
Number of buys
28
Number of sells
-28
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of PGIM High Yield Bond Fund, Inc. - Common (ISD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FIRST TRUST PORTFOLIOS LP 19.77% +8.44% $94.7M $7.36M 6.58M +8.42% First Trust Portfolios L.P. Sep 30, 2025

Institutional Holders of PGIM High Yield Bond Fund, Inc. - Common (ISD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 7.81M $112M +$516K $14.38 61
2025 Q2 7.78M $110M -$4.52M $14.17 63
2025 Q1 8.09M $115M -$8.21M $14.25 69
2024 Q4 8.48M $116M -$9.72M $13.68 67
2024 Q3 9.2M $128M -$14.6M $13.94 71
2024 Q2 10.3M $133M -$8.58M $12.88 72
2024 Q1 11M $143M -$485K $12.99 80
2023 Q4 139K $1.71M $12.32 2
2023 Q3 9.05M $107M -$1.98M $11.78 74
2023 Q2 12.1M $150M -$11.3M $12.42 80
2023 Q1 13M $159M -$6.27M $12.20 83
2022 Q4 13.6M $161M +$2.28M $11.87 94
2022 Q3 13.3M $154M +$2.01M $11.54 87
2022 Q2 14M $272K -$2.13M $0.01 82
2022 Q1 14M $201M +$4.93M $14.35 81
2021 Q4 13.7M $219M -$3.56M $16.05 78
2021 Q3 13.5M $220M +$1.24M $16.24 77
2021 Q2 13.5M $220M +$7.2M $16.27 79
2021 Q1 13M $204M +$16.1M $15.66 77
2020 Q4 11.2M $168M -$2.51M $15.00 77
2020 Q3 11.8M $163M -$4.87M $13.81 69
2020 Q2 12M $160M +$5.35M $13.23 66
2020 Q1 12M $140M +$3.17M $11.58 66
2019 Q4 11.6M $178M -$14.1M $15.40 64
2019 Q3 12.5M $186M -$22.8M $14.95 63
2019 Q2 14M $206M +$3.74M $14.63 70
2019 Q1 13.8M $196M +$11.9M $14.18 72
2018 Q4 13M $169M +$14.3M $13.03 72
2018 Q3 11.8M $167M +$22.5M $14.14 63
2018 Q2 10M $140M +$140M $14.00 62