PIONEER HIGH INCOME FUND, INC. - Common Stock (PHT) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock
Symbol
PHT
Shares outstanding
29,165,236
Price per share
$8.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
16,824
Total reported value
$140,058
% of total 13F portfolios
0%
Share change
-10,132,089
Value change
-$81,966,995
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 16,824 shares of PIONEER HIGH INCOME FUND, INC. - Common Stock (PHT). This represents 0.06% of the company’s total 29,165,236 outstanding shares.

Institutional Holders of PIONEER HIGH INCOME FUND, INC. - Common Stock (PHT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 16,824 $140,058 -$81,966,995 $8.39 2
2025 Q2 10,148,913 $82,102,499 +$14,377,523 $8.09 59
2025 Q1 8,377,359 $64,814,762 +$1,554,287 $7.74 50
2024 Q4 8,199,690 $63,553,160 +$4,110,834 $7.75 52
2024 Q3 7,670,758 $61,364,856 +$4,459,256 $8.00 55
2024 Q2 6,157,437 $46,304,149 -$1,731,414 $7.52 55
2024 Q1 7,366,871 $56,429,982 +$1,013,760 $7.66 52
2023 Q4 7,137,127 $51,144,422 +$280,199 $7.15 54
2023 Q3 7,289,958 $48,916,271 +$1,480,904 $6.71 50
2023 Q2 7,068,448 $47,502,696 +$5,043,307 $6.72 48
2023 Q1 6,286,190 $41,701,272 +$1,488,199 $6.63 51
2022 Q4 6,061,588 $39,400,039 +$3,687,894 $6.50 51
2022 Q3 5,445,296 $35,177,000 +$2,575,025 $6.46 49
2022 Q2 5,015,256 $35,399,000 +$5,865,585 $7.06 53
2022 Q1 4,204,193 $34,142,000 +$7,493,171 $8.12 52
2021 Q4 3,275,093 $31,763,000 +$4,955,043 $9.70 48
2021 Q3 2,783,140 $27,140,000 -$4,684,232 $9.76 38
2021 Q2 3,264,360 $31,700,000 -$3,260,595 $9.71 43
2021 Q1 3,612,509 $33,809,850 -$3,685,249 $9.36 47
2020 Q4 3,984,492 $35,548,000 -$513,811 $8.92 43
2020 Q3 4,038,387 $32,170,000 -$1,932,884 $7.96 38
2020 Q2 3,859,736 $28,719,000 -$4,227,096 $7.44 41
2020 Q1 5,410,578 $34,734,000 +$7,542,779 $6.42 47
2019 Q4 4,258,587 $40,624,000 -$639,289 $9.54 43
2019 Q3 4,327,899 $39,903,220 -$1,898,902 $9.22 43
2019 Q2 4,535,054 $40,873,000 -$1,295,254 $9.00 48
2019 Q1 4,638,566 $41,527,950 -$5,439,551 $8.95 46
2018 Q4 5,442,382 $43,382,035 +$1,768,006 $7.97 49
2018 Q3 5,095,230 $47,187,260 -$994,266 $9.26 49
2018 Q2 5,200,699 $48,314,290 -$4,531,624 $9.29 50
2018 Q1 5,685,499 $53,489,390 +$2,479,661 $9.39 49
2017 Q4 5,434,990 $52,799,000 +$5,980,782 $9.71 49
2017 Q3 4,792,725 $47,941,000 +$5,164,640 $10.02 49
2017 Q2 4,363,592 $43,158,000 +$5,316,061 $9.89 51
2017 Q1 3,724,257 $36,764,129 +$2,760,496 $9.87 45
2016 Q4 3,426,293 $34,901,000 +$2,773,185 $10.21 44
2016 Q3 2,916,527 $30,503,486 +$2,592,000 $10.51 36
2016 Q2 2,718,271 $27,482,000 +$2,294,190 $10.08 39
2016 Q1 2,473,932 $24,801,000 -$1,365,998 $10.04 36
2015 Q4 2,620,393 $24,919,000 +$501,221 $9.53 42
2015 Q3 2,262,115 $23,311,000 -$3,295,385 $10.29 42
2015 Q2 2,613,800 $30,462,026 +$7,916,835 $11.63 38
2015 Q1 2,188,186 $28,179,903 +$6,439,218 $12.87 38
2014 Q4 1,397,070 $23,991,575 -$1,108,181 $17.16 35
2014 Q3 1,464,861 $24,885,845 -$1,924,156 $16.95 32
2014 Q2 1,576,867 $29,116,301 +$2,270,636 $18.47 31
2014 Q1 1,453,902 $25,922,745 +$571,568 $17.83 31