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Neuberger High Yield Strategies Fund Inc (NHS)

Neuberger High Yield Strategies Fund Inc (NHS)
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Company Info

Neuberger High Yield Strategies Fund Inc

Sector:

Finance

Description:

Neuberger Berman High Yield Strategies Fund, formerly Lehman Brothers First Trust Income Opportunity Fund, is a diversified closed-end management investment company. The Fund invests its assets primarily in high-yield debt securities. Its portfolio includes investments in various sectors, such as media broadcasting and publishing, telephone systems, entertainment and leisure, electric utilities, multiple utilities, oil and gas, health care, transportation, commercial services, and chemicals. The Fund's investment objective is to seek high total return through income plus capital appreciation. Neuberger Berman Management, LLC serves as the advisor of the Fund. The Fund's sub-advisor is Lehman Brothers Asset Management, LLC.

Key Statistics

Overview:

Market Capitalization, $K 208,717
Enterprise Value, $K 208,717
Shares Outstanding, K 31,386
Float, K 31,386
% Float 100.00%
Short Interest, K 219
Short Float 0.70%
Days to Cover 1.44
Short Volume Ratio 0.53
% of Institutional Shareholders 0.00%

Financials:

Annual Sales, $ 23,448 K
Annual Net Income, $ 20,216 K
EBIT, $ 0 K
EBITDA, $ 0 K

Growth:

1-Year Return -13.19%
3-Year Return -16.77%
5-Year Return -46.88%
5-Year Revenue Growth 0.00%
5-Year Earnings Growth 0.00%
5-Year Dividend Growth 0.00%

Per-Share Information:

Next Earnings Date N/A
Earnings Per Share ttm 0.00
EPS Growth vs. Prev Year -0.54%
Annual Dividend & Yield (Paid) 1.09 (16.33%)
Annual Dividend & Yield (Fwd) 1.09 (16.21%)
Most Recent Dividend 0.090 on 03/16/26
Next Ex-Dividends Date 04/07/26
Dividend Payable Date 04/30/26
Dividend Payout Ratio 0.00%

NHS Ratios

Ratio
Price/Earnings ttm 0.00
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % 0.00%
Return-on-Assets % 0.00%
Profit Margin % 86.22%
Debt/Equity 0.00
Price/Sales 8.89
Price/Cash Flow N/A
Price/Book N/A
Book Value/Share 0.00
Interest Coverage 0.00
60-Month Beta 0.77

NHS Dividends

Date Value
03/16/26 $0.0900
02/17/26 $0.0900
01/15/26 $0.0900
12/15/25 $0.0900
11/17/25 $0.0900
10/15/25 $0.0900
09/15/25 $0.0900
08/15/25 $0.0900
07/15/25 $0.0900
06/16/25 $0.0900
05/15/25 $0.0900
04/15/25 $0.0900
03/17/25 $0.0900
02/18/25 $0.0900
01/15/25 $0.0900
12/16/24 $0.0900
11/15/24 $0.0900
10/15/24 $0.0900
09/16/24 $0.0900
08/15/24 $0.0900
07/15/24 $0.0900
06/17/24 $0.0900
05/14/24 $0.0900
04/12/24 $0.0900
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