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NYSE:NBXG

Neuberger Berman High Yield Strategies Fund Inc.

  • Stock

USD

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)