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Putnam High Income Bond Fund (PCF)

Putnam High Income Bond Fund (PCF)
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Company Info

Putnam High Income Bond Fund

https://www.putnam.com

Sector:

Finance

Description:

High Income Securities Fund is a diversified, closed-end management investment company. The Fund invests in high yielding convertible securities as well as non-convertible securities, lower-rated or non-rated debt securities. High Income Securities Fund, formerly known as Putnam High Income Securities Fund, is based in BOSTON MA.

Key Statistics

Overview:

Market Capitalization, $K 114,168
Enterprise Value, $K 114,168
Shares Outstanding, K 18,716
Annual Sales, $ 12,704 K
Annual Net Income, $ 11,384 K
EBIT, $ 0 K
EBITDA, $ 0 K
60-Month Beta 0.69
% of Insider Shareholders 1.60%
% of Institutional Shareholders 16.64%
Float, K 18,417
% Float 98.40%
Short Interest 40
Short Float 0.21%
Short Volume Ratio 0.26

Growth:

1-Year Return -5.28%
3-Year Return -6.15%
5-Year Return -28.99%
5-Year Revenue Growth 0.00%
5-Year Earnings Growth 0.00%
5-Year Dividend Growth 0.00%

Per-Share Information:

Next Earnings Date 01/01/70
Earnings Per Share ttm 0.00
EPS Growth vs. Prev Year -0.35%
Annual Dividend & Yield 0.71 (11.67%)
Annual Dividend & Yield (Fwd) 0.71 (11.69%)
Most Recent Dividend 0.059 on 12/16/25
Next Ex-Dividends Date 12/16/25
Dividend Payable Date 12/31/25
Dividend Payout Ratio 0.00%

PCF 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 % 89.61%
Debt/Equity 0.00
Price/Sales 8.99
Price/Cash Flow N/A
Price/Book N/A
Book Value/Share 0.00
Interest Coverage 0.00

PCF Dividends

Date Value
12/16/25 $0.0590
11/18/25 $0.0590
10/21/25 $0.0590
09/16/25 $0.0590
08/19/25 $0.0590
07/22/25 $0.0590
06/17/25 $0.0590
05/20/25 $0.0590
04/22/25 $0.0590
03/18/25 $0.0590
02/18/25 $0.0590
01/21/25 $0.0590
12/17/24 $0.0620
11/19/24 $0.0620
10/22/24 $0.0620
09/18/24 $0.0620
08/21/24 $0.0620
07/17/24 $0.0620
06/18/24 $0.0620
05/20/24 $0.0620
04/18/24 $0.0620
03/19/24 $0.0620
02/16/24 $0.0620
01/19/24 $0.0620
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