NYSE:NBXG
Neuberger Berman High Yield Strategies Fund Inc.
- Stock
Last Close
7.95
20/05 15:29
Market Cap
155.31M
Beta: -
Volume Today
34.12K
Avg: 241.67K
Dividend Yield
10.39%
Payout:83.21%
Apr '22 | Jul '22 | Oct '22 | Jan '23 | Apr '23 | Jul '23 | Oct '23 | ||
---|---|---|---|---|---|---|---|---|
net income | -19.42M - | -7.03M 63.79% | -14.07M 100% | 4.20M 129.88% | 8.41M 100% | -2.34M 127.89% | -4.69M 100% | |
depreciation and amortization | ||||||||
deferred income tax | ||||||||
stock based compensation | ||||||||
change in working capital | -13.73M - | -432.19K 96.85% | -619.61K 43.37% | -1.75M 183.01% | 4.05M 330.96% | -13.36M 429.96% | -6.82M 48.96% | |
accounts receivables | -926.80K - | -432.19K 53.37% | -1.10M 153.79% | -1.75M 59.87% | -2.60M 48.25% | 165.13K 106.35% | -577.24K 449.56% | |
inventory | ||||||||
accounts payables | -3.21M - | 17.36K - | 6.21M - | -6.90M - | ||||
other working capital | -9.59M - | 459.90K - | 439.87K - | -13.53M 3,175.52% | 660.86K 104.88% | |||
other non cash items | 25.82M - | -20.31M 178.66% | 21.06M 203.71% | 3.24M 84.61% | -3.62M 211.70% | 7.09M 295.91% | 9.82M 38.50% | |
net cash provided by operating activities | -7.33M - | -27.77M 278.64% | 6.37M 122.95% | 5.69M 10.72% | 8.84M 55.28% | -8.62M 197.49% | -1.69M 80.42% | |
investments in property plant and equipment | ||||||||
acquisitions net | ||||||||
purchases of investments | -60.03M - | -121.85M - | -131.75M - | -140.59M - | ||||
sales maturities of investments | 52.80M - | 91.14M - | 113.55M - | 114.60M - | ||||
other investing activites | ||||||||
net cash used for investing activites | -7.23M - | -30.72M - | -18.20M - | -25.99M - | ||||
debt repayment | ||||||||
common stock issued | 38.70M - | 45.83M - | ||||||
common stock repurchased | ||||||||
dividends paid | -7.91M - | -5.06M 35.99% | -10.12M 100% | -5.25M 48.08% | -10.51M 100.00% | -6.44M 38.74% | -12.88M 100.00% | |
other financing activites | 32.60M - | 26.50M 18.71% | 14.92M - | -16M 207.27% | ||||
net cash used provided by financing activities | -7.91M - | 27.54M 448.39% | 55.08M 100.00% | -5.25M 109.54% | -10.51M 100.00% | 8.48M 180.68% | 16.96M 100.00% | |
effect of forex changes on cash | ||||||||
net change in cash | -22.47M - | -232.12K 98.97% | 30.74M 13,343.44% | 436.67K 98.58% | -19.87M 4,651.17% | -137.14K 99.31% | -10.72M 7,719.64% | |
cash at beginning of period | 20.05M - | 179.04K - | ||||||
cash at end of period | -22.47M - | -232.12K 98.97% | 30.74M 13,343.44% | 436.67K 98.58% | 179.04K 59.00% | -137.14K 176.60% | -10.55M 7,589.09% | |
operating cash flow | -7.33M - | -27.77M 278.64% | 6.37M 122.95% | 5.69M 10.72% | 8.84M 55.28% | -8.62M 197.49% | -1.69M 80.42% | |
capital expenditure | ||||||||
free cash flow | -7.33M - | -27.77M 278.64% | 6.37M 122.95% | 5.69M 10.72% | 8.84M 55.28% | -8.62M 197.49% | -1.69M 80.42% |
All numbers in USD (except ratios and percentages)