Blackrock Corporate High Yield Fund Inc. (HYT)

News/Announcements: None

Updated: 2024-12-20

Last Close Price: $9.72

Yield: 9.7%

Payout Ratio: --

PE Ratio: 14.71

Market Cap: 1.39B

Frequency: Monthly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2025-02-142025-02-28$0.0779unconfirmed/estimated
2025-01-102025-01-31$0.0779unconfirmed/estimated
2024-12-162024-12-23$0.0779
2024-11-152024-11-29$0.0779
2024-10-152024-10-31$0.0779
2024-09-162024-09-30$0.0779
2024-08-152024-08-30$0.0779
2024-07-152024-07-31$0.0779
2024-06-142024-06-28$0.0779
2024-05-142024-05-31$0.0779
2024-04-122024-04-30$0.0779
2024-03-142024-03-28$0.0779
2024-02-142024-02-29$0.0779
2024-01-112024-01-31$0.0779
2023-12-142023-12-20$0.0779
2023-11-142023-11-30$0.0779
2023-10-132023-10-31$0.0779
2023-09-142023-09-29$0.0779
2023-08-142023-08-31$0.0779
2023-07-132023-07-31$0.0779
2023-06-142023-06-30$0.0779
2023-05-122023-05-31$0.0779
2023-04-132023-04-28$0.0779
2023-03-142023-03-31$0.0779
2023-02-142023-02-28$0.0779
2023-01-122023-01-31$0.0779
2022-12-142022-12-22$0.0779
2022-11-142022-11-30$0.0779
2022-10-042022-10-31$0.0779
2022-09-142022-09-30$0.0779
2022-08-122022-08-31$0.0779
2022-07-142022-07-29$0.0779
2022-06-142022-06-30$0.0779
2022-05-132022-05-31$0.0779
2022-04-132022-04-29$0.0779
2022-03-142022-03-31$0.0779
2022-02-142022-02-28$0.0779
2021-12-302022-01-11$0.0779
2021-12-142021-12-22$0.0779
2021-11-122021-11-30$0.0779
2021-10-142021-10-29$0.0779
2021-09-142021-09-30$0.0779
2021-08-132021-08-31$0.0779
2021-07-142021-07-30$0.0779
2021-06-142021-06-30$0.0779
2021-05-132021-05-28$0.0779
2021-04-142021-04-30$0.0779
2021-03-122021-03-31$0.0779
2021-02-122021-02-26$0.0779
2020-12-302021-01-11$0.0779
2020-12-142020-12-21$0.0779
2020-11-132020-11-30$0.0779
2020-10-142020-10-30$0.0779
2020-09-142020-09-30$0.0779
2020-08-132020-08-31$0.0779
2020-07-142020-07-31$0.0779
2020-06-122020-06-30$0.0779
2020-05-142020-05-29$0.0779
2020-04-142020-04-30$0.0779
2020-03-132020-03-31$0.0779
2020-02-132020-02-28$0.0779
2019-12-302020-01-09$0.0779
2019-12-132019-12-19$0.0779
2019-11-142019-11-29$0.0779
2019-10-112019-10-31$0.07798.19%
2019-09-132019-09-30$0.072
2019-08-142019-08-30$0.072
2019-07-122019-07-31$0.072
2019-06-132019-06-28$0.072
2019-05-142019-05-31$0.072
2019-04-122019-04-30$0.072
2019-03-142019-03-29$0.072
2019-02-142019-02-28$0.072
2018-12-282019-01-09$0.072
2018-12-122018-12-19$0.072
2018-11-142018-11-30$0.072
2018-10-122018-10-31$0.072
2018-09-132018-09-28$0.072
2018-08-142018-08-31$0.072
2018-07-132018-07-31$0.0722.86%
2018-06-142018-06-29$0.07
2018-05-142018-05-31$0.07
2018-04-132018-04-30$0.07
2018-03-142018-03-29$0.07
2018-02-142018-02-28$0.07
2017-12-282018-01-09$0.07
2017-12-112017-12-19$0.07
2017-11-142017-11-30$0.07
2017-10-132017-10-31$0.07
2017-09-142017-09-29$0.07
2017-08-112017-08-31$0.07
2017-07-122017-07-31$0.07
2017-06-132017-06-30$0.07
2017-05-112017-05-31$0.07
2017-04-112017-04-28$0.07
2017-03-132017-03-31$0.07
2017-02-132017-02-28$0.07
2016-12-282017-01-09$0.07
2016-12-282017-01-09$0.051Special dividend
2016-12-082016-12-19$0.07
2016-11-102016-11-30$0.07
2016-10-122016-10-31$0.07
2016-09-132016-09-30$0.07
2016-08-112016-08-31$0.07
2016-07-132016-07-29$0.07
2016-06-132016-06-30$0.07
2016-05-122016-05-31$0.07
2016-04-132016-04-29$0.07
2016-03-112016-03-31$0.07
2016-02-112016-02-29$0.07
2015-12-292016-01-08$0.150079Special dividend
2015-12-292016-01-08$0.07
2015-12-102015-12-18$0.07
2015-11-122015-11-30$0.07
2015-10-132015-10-30$0.07
2015-09-112015-09-30$0.07
2015-08-122015-08-31$0.07
2015-07-132015-07-31$0.07
2015-06-112015-06-30$0.07
2015-05-132015-05-29$0.07
2015-04-132015-04-30$0.07
2015-03-112015-03-31$0.07-7.28%
2015-02-112015-02-27$0.0755
2014-12-292015-01-09$0.099Special dividend
2014-12-292015-01-09$0.0755
2014-12-102014-12-19$0.0755
2014-11-122014-11-28$0.0755
2014-10-102014-10-31$0.0755
2014-09-112014-09-30$0.0755
2014-08-132014-08-29$0.0755
2014-07-112014-07-31$0.0755-6.21%
2014-06-122014-06-30$0.0805
2014-05-132014-05-30$0.0805
2014-04-112014-04-30$0.0805
2014-03-122014-03-31$0.0805
2014-02-122014-02-28$0.0805
2013-12-272014-01-08$0.0805
2013-12-112013-12-19$0.0805
2013-10-252013-11-01$0.16Special dividend
2013-10-112013-10-31$0.0805
2013-09-122013-09-30$0.0805
2013-08-132013-08-30$0.0805
2013-07-112013-07-31$0.0805-8%
2013-06-122013-06-28$0.0875
2013-05-132013-05-31$0.0875
2013-03-132013-03-28$0.0875
2013-02-132013-02-28$0.0875
2012-11-132012-11-30$0.0875
2012-10-112012-10-31$0.0875
2012-09-122012-09-28$0.0875
2012-08-132012-08-31$0.0875
2012-07-122012-07-31$0.0875
2012-06-132012-06-29$0.08754.79%
2012-05-112012-05-31$0.0835
2012-04-122012-04-30$0.0835
2012-03-132012-03-30$0.0835
2012-02-132012-02-29$0.0835
2011-12-282012-01-09$0.0835
2011-12-282012-01-09$0.023Special dividend
2011-12-122011-12-19$0.0835
2011-11-102011-11-30$0.0835
2011-10-122011-10-31$0.08351.21%
2011-09-132011-09-30$0.0825
2011-08-112011-08-31$0.0825
2011-07-132011-07-29$0.0825
2011-06-132011-06-30$0.0825
2011-05-122011-05-31$0.0825
2011-04-132011-04-29$0.0825
2011-03-112011-03-31$0.0825
2011-02-112011-02-28$0.0825
2010-12-292011-01-10$0.0825
2010-12-292011-01-10$0.0085Special dividend
2010-12-132010-12-20$0.0825
2010-11-102010-11-30$0.0825
2010-10-132010-10-29$0.0825
2010-09-132010-09-30$0.0825
2010-08-122010-08-31$0.0825
2010-07-132010-07-30$0.0825
2010-06-112010-06-30$0.0825
2010-05-122010-05-28$0.0825
2010-04-132010-04-30$0.0825
2010-03-112010-03-31$0.0825-5.71%
2010-02-102010-02-26$0.0875
2009-12-292010-01-11$0.0875
2009-12-112009-12-18$0.0875
2009-11-102009-11-30$0.0875
2009-10-132009-10-30$0.0875
2009-09-112009-09-30$0.0875
2009-08-122009-08-31$0.0875
2009-07-132009-07-31$0.0875
2009-06-112009-06-30$0.0875-12.5%
2009-05-132009-05-29$0.10
2009-04-132009-04-30$0.10
2009-03-122009-03-31$0.10
2009-02-112009-02-27$0.10
2008-12-292009-01-09$0.02834Special dividend
2008-12-292009-01-09$0.10
2008-12-112008-12-18$0.10
2008-11-122008-11-28$0.10
2008-10-102008-10-31$0.10
2008-09-112008-09-30$0.10
2008-08-132008-08-29$0.10
2008-07-112008-07-31$0.10
2008-06-122008-06-30$0.10
2008-05-132008-05-30$0.10
2008-04-112008-04-30$0.10
2008-03-122008-03-31$0.10
2008-02-132008-02-29$0.10
2007-12-272008-01-09$0.017004Special dividend
2007-12-272008-01-09$0.10
2007-12-112007-12-18$0.10
2007-11-132007-11-30$0.10
2007-10-112007-10-31$0.105.26%
2007-09-122007-09-28$0.095
2007-08-132007-08-31$0.095
2007-07-122007-07-31$0.095
2007-06-132007-06-29$0.0955.56%
2007-05-112007-05-31$0.09
2007-04-122007-04-30$0.09
2007-03-132007-03-30$0.09
2007-02-132007-02-28$0.09
2006-12-272007-01-09$0.09
2006-12-082006-12-19$0.09
2006-11-102006-11-30$0.09
2006-10-122006-10-31$0.09
2006-09-132006-09-29$0.09
2006-08-102006-08-31$0.09
2006-07-132006-07-31$0.09
2006-06-092006-06-30$0.09
2006-05-112006-05-31$0.09
2006-04-122006-04-28$0.09
2006-03-102006-03-31$0.09-10%
2005-12-282006-01-10$0.10
2005-12-082005-12-21$0.10-9.09%
2005-11-102005-11-30$0.11
2005-10-132005-10-31$0.11
2005-09-122005-09-30$0.11
2005-08-112005-08-31$0.11
2005-07-122005-07-29$0.11
2005-06-102005-06-30$0.11-9.09%
2005-05-112005-05-31$0.121
2005-04-132005-04-29$0.121
2005-03-112005-03-31$0.121
2005-02-112005-02-28$0.121
2004-12-282005-01-10$0.20036Special dividend
2004-12-082004-12-21$0.1211.89%
2004-11-092004-11-30$0.11875
2004-10-132004-10-29$0.11875
2004-09-102004-09-30$0.11875
2004-08-122004-08-31$0.11875
2004-07-132004-07-30$0.11875
2004-06-102004-06-30$0.11875
2004-05-122004-05-28$0.11875
2004-04-142004-04-30$0.11875
2004-03-112004-03-31$0.11875
2004-02-112004-02-27$0.11875
2003-12-292004-01-13$0.11875
2003-12-052003-12-22$0.11875
2003-11-122003-11-28$0.11875
2003-10-152003-10-31$0.11875
2003-09-122003-09-30$0.11875
2003-08-132003-08-29$0.1187542.81%
2003-07-152003-07-31$0.08315



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