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PGIM Global High Yield Fund (GHY)

PGIM Global High Yield Fund (GHY)
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Fundamentals

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  • Market Capitalization, $K N/A
  • Shares Outstanding, K N/A
  • Annual Sales, $ 35,645 K
  • Annual Income, $ 34,991 K
  • 60-Month Beta N/A
  • Price/Sales 9.38
  • Price/Cash Flow N/A
  • Price/Book N/A
Trade GHY with:
  • Price/Earnings ttm N/A
  • Earnings Per Share ttm N/A
  • Most Recent Earnings N/A on N/A
  • Latest Earnings Date N/A
  • Annual Dividend & Yield N/A (N/A)
  • Most Recent Dividend N/A on N/A
  • Sectors:

Price Performance

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Period Period Low Period High Performance
1-Month
11.11 +1.03%
on 04/16/24
12.01 -6.49%
on 03/28/24
-0.42 (-3.61%)
since 03/18/24
3-Month
11.05 +1.63%
on 01/19/24
12.01 -6.49%
on 03/28/24
+0.08 (+0.72%)
since 01/18/24
52-Week
10.24 +9.67%
on 10/23/23
12.01 -6.49%
on 03/28/24
+0.07 (+0.63%)
since 04/18/23

Most Recent Stories

More News
PGIM Closed End Funds declare distributions for March, April and May 2023

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for March,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PGIM Closed-End Funds declare distributions for December 2022, January and February 2023

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared monthly distributions today for December...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PGIM Closed-End Funds declare distributions for September, October and November 2022

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for September,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PGIM Closed-End Funds declare distributions for June, July and August 2022

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for June,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PRU : 108.70 (+1.26%)
PGIM Closed-End Funds declare distributions for December 2021, January and February 2022

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for December...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PRU : 108.70 (+1.26%)
PGIM Closed-End Funds declare distributions for September, October and November 2021

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for September,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PRU : 108.70 (+1.26%)
PGIM High Yield Bond Fund, Inc., PGIM Global High Yield Fund, Inc. and PGIM Short Duration High Yield Opportunities Fund declare distributions for June, July and August 2021

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for June,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PGIM Global High Yield Fund, Inc. Reports Unaudited Earnings and Financial Position for Quarter Ended January 31, 2021

PGIM Global High Yield Fund, Inc. (NYSE: GHY), (the “Fund”), a diversified, closed-end management investment company, announced today its unaudited investment results for the quarter ended Jan. 31,...

GHY : 11.23 (+0.54%)
PGIM High Yield Bond Fund, Inc., PGIM Global High Yield Fund, Inc. and PGIM Short Duration High Yield Opportunities Fund declare distributions for March, April and May 2021

PGIM High Yield Bond Fund, Inc. (NYSE: ISD), PGIM Global High Yield Fund, Inc. (NYSE: GHY) and PGIM Short Duration High Yield Opportunities Fund (NYSE: SDHY) declared today monthly distributions for March,...

ISD : 12.30 (+0.41%)
GHY : 11.23 (+0.54%)
SDHY : 15.03 (+0.47%)
PGIM Global High Yield Fund, Inc. Reports Unaudited Earnings and Financial Position for Quarter Ended October 31, 2020

PGIM Global High Yield Fund, Inc. (NYSE: GHY) (the “Fund”), a diversified, closed-end management investment company, announced today its unaudited investment results for the quarter ended Oct. 31,...

GHY : 11.23 (+0.54%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 8% Buy with a Weakest short term outlook on maintaining the current direction.

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GHY Dividends

Date Value
04/11/24 $0.1050
03/14/24 $0.1050
02/15/24 $0.1050
12/26/23 $0.1050
12/14/23 $0.1050
11/08/23 $0.1050
10/12/23 $0.1050
09/14/23 $0.1050
08/10/23 $0.1050
07/13/23 $0.1050
06/15/23 $0.1050
05/11/23 $0.1050
04/13/23 $0.1050
03/16/23 $0.1050
02/09/23 $0.1050
12/27/22 $0.1050
12/15/22 $0.1050
11/09/22 $0.1050
10/13/22 $0.1050
09/15/22 $0.1050
08/11/22 $0.1050
07/14/22 $0.1050
06/16/22 $0.1050
05/12/22 $0.1050
04/13/22 $0.1050
03/17/22 $0.1050
02/10/22 $0.1050
12/27/21 $0.1050
12/16/21 $0.1050
11/10/21 $0.1050
10/14/21 $0.1050
09/16/21 $0.1050
08/12/21 $0.1050
07/15/21 $0.1050
06/10/21 $0.1050
05/13/21 $0.1050
04/15/21 $0.1050
03/11/21 $0.1050
02/11/21 $0.1050
12/28/20 $0.1050
12/10/20 $0.1050
11/12/20 $0.1050
10/15/20 $0.1050
09/10/20 $0.1050
08/13/20 $0.1050
07/16/20 $0.1050
06/11/20 $0.1050
05/14/20 $0.1050
04/16/20 $0.1050
03/12/20 $0.1050
02/13/20 $0.1050
12/26/19 $0.1050
12/12/19 $0.1050
11/14/19 $0.1050
10/10/19 $0.1050
09/12/19 $0.1050
08/15/19 $0.1000
07/18/19 $0.1000
06/13/19 $0.1000
05/16/19 $0.1000
04/17/19 $0.1000
03/21/19 $0.1000
02/14/19 $0.0830
12/27/18 $0.0830
12/13/18 $0.0830
11/15/18 $0.0830
10/11/18 $0.0830
09/13/18 $0.0830
08/16/18 $0.0830
07/12/18 $0.0830
06/14/18 $0.0830
05/10/18 $0.0830
04/12/18 $0.0830
10/14/15 $0.1100
09/16/15 $0.1100
08/19/15 $0.1250
07/15/15 $0.1250
06/17/15 $0.1250
05/13/15 $0.1250
04/15/15 $0.1250
03/18/15 $0.1250
02/19/15 $0.1250
12/26/14 $0.3790
12/17/14 $0.1250
11/18/14 $0.1250
10/15/14 $0.1250
09/17/14 $0.1250
08/19/14 $0.1250
07/16/14 $0.1250
06/18/14 $0.1250
05/19/14 $0.1250
04/15/14 $0.1250
03/25/14 $0.1250
02/19/14 $0.1250
12/18/13 $0.1250
11/18/13 $0.1250
10/16/13 $0.1250
09/18/13 $0.1250
08/19/13 $0.1250
07/17/13 $0.1250
06/18/13 $0.1250
05/20/13 $0.1250
04/17/13 $0.1250
03/18/13 $0.1250
02/19/13 $0.1250
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