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Articles from High Income Securities Fund, Inc.

High Income Securities Fund Announces Monthly Distributions For Second Quarter of 2024
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For First Quarter of 2024
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Adjournment of Annual Stockholder Meeting
High Income Securities Fund (NYSE: PCF) (the “Fund”), announced that the annual stockholders meeting convened on November 30, 2023, was adjourned and will reconvene on December 11, 2023 at 11:00 a.m., Eastern time, at the offices of Bulldog Investors, Park 80 West, 250 Pehle Avenue, Suite 708, Saddle Brook, NJ 07663.
By High Income Securities Fund, Inc. · Via Business Wire · December 1, 2023
High Income Securities Fund Announces Monthly Distributions For Fourth Quarter of 2023
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
By High Income Securities Fund, Inc. · Via Business Wire · September 15, 2023
High Income Securities Fund Announces Monthly Distributions For Third Quarter of 2023
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For Second Quarter of 2023
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For First Quarter of 2023
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For Fourth Quarter of 2022
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
By High Income Securities Fund, Inc. · Via Business Wire · October 11, 2022
High Income Securities Fund Announces Monthly Distributions For Third Quarter of 2022
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For Second Quarter of 2022
High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) today announced that the Fund’s Board of Trustees (the “Board”) has declared the next three-monthly distributions under the Fund’s managed distribution plan.
High Income Securities Fund Announces Monthly Distributions For Fourth Quarter of 2021
As previously announced, High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) intends to make monthly distributions at an annual rate of at least 10% per annum (or 0.8333% per month). The distributions for 2021 are based on the net asset value of $9.34 of the Fund’s common shares as of the last business day of 2020.
By High Income Securities Fund, Inc. · Via Business Wire · September 10, 2021
High Income Securities Fund Announces Monthly Distributions For Third Quarter of 2021
As previously announced, High Income Securities Fund, Inc. (NYSE: PCF) (the “Fund”) intends to make monthly distributions at an annual rate of at least 10% per annum (or 0.8333% per month). The distributions for 2021 are based on the net asset value of $9.34 of the Fund’s common shares as of the last business day of 2020.