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ISD · Pgim High Yield Bond Fund, Inc.
> Ask across nine datasets ⌘K
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TEAM-0.32% 13F +439META+3.01% 13F +2,694RCG-2.04% CLUSTERUTHR-4.03% 13F +425CRWV+4.49% 13F +693CRM+2.92% 13F +1,018CVNA-0.98% 13F +794TPL-0.71% 13F +444NET+4.32% 13F +710MSTR+17.56% 13F +526DELL+4.91% 13F +1,203CRWD+5.68% 13F +1,382ANET+1.22% 13F +1,323COIN+10.14% 13F +475TEAM-0.32% 13F +439META+3.01% 13F +2,694RCG-2.04% CLUSTERUTHR-4.03% 13F +425CRWV+4.49% 13F +693CRM+2.92% 13F +1,018CVNA-0.98% 13F +794TPL-0.71% 13F +444NET+4.32% 13F +710MSTR+17.56% 13F +526DELL+4.91% 13F +1,203CRWD+5.68% 13F +1,382ANET+1.22% 13F +1,323COIN+10.14% 13F +475
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ISD

PGIM High Yield Bond Fund, Inc.
FUNDS & TRUSTS · REGISTERED INVESTMENT COMPANY · CIK 0001534880
SEC FILINGS☆ WATCH
INSIDER NET · 180D
-
open-market buys minus sells, Form 4 codes P and S
INSIDER BUYERS · 180D
0
CONGRESS BUYERS · 1Y
0
FUNDS ADDED · QTR
35
13F, latest reported quarter
REVENUE GROWTH
-
XBRL, annual
NET MARGIN
-
SEVEN FACTS, RANKED AGAINST THE SECTOR · RANK IS NOT A FORECAST
INSIDERS
no Form 4 purchases or sales on file
CONGRESS
no member of Congress has reported trading it
FUNDS
35 funds added or opened last quarter
below 61% of Funds & Trusts
REVENUE
no revenue reported in any filing
MARGIN
no margin: this company reports no revenue to divide by
BUYBACKS
no share repurchases reported
SHORT
1.0 days to cover · settled 2026-07-31
THE SITUATION · EVERY LINE IS ONE RULE OVER ONE DATASET
35 funds added or opened positions in the latest 13F quarter, of 74 holders.
The year, with the filings on it
Total return indexed to 100 over the last 12 months · every marker is a federal filing, placed at its date — hover any marker for the detail
TOTAL 12M RETURN -7.8%
-7.8%12M
-9%-4%+1%+5%2025-092025-102025-122026-032026-052026-072026-09 2025-11-07 · Reid Brian sold $242.6K
INSIDER SELL
INDEXED RETURN, DIVIDEND-ADJUSTED — NOT A PRICE CHART · LARGE TRADES DRAWN FIRST WHEN A NAME FILES HEAVILY
Live price
Daily candles from TradingView, on their licence — no filings are marked on this one
WHY THIS NAME IS ON THE DESK
The complete filing record, in one place.
The record shows 35 funds added last quarter. Every figure is a federal filing, dated the day it became public.
Same sector, ranked by filing activity
Sector from the SEC's own SIC classification
Insider transactions
Form 4 purchases and sales (codes P and S) — grants, option exercises and preferred conversions excluded

No insider purchases or sales are on record for PGIM High Yield Bond Fund, Inc. in the period covered. Source: SEC Form 4 filings, as of 2026-09-05.

INSIDER
FILED
SHARES
VALUE
Reid Brian
Director
SELL
2025-11-07
16,833.0
$242.6K
Cignarella Robert
BUY
2024-12-31
9,000.0
$123.3K
Cignarella Robert
BUY
2023-12-07
1,000.0
$12.2K
Reid Brian
Director
BUY
2023-08-11
6,000.0
$73.7K
Reid Brian
Director
BUY
2023-03-28
3,000.0
$35.3K
8 TRANSACTIONS ON RECORD

Showing the most recent few. Create a free account to see 3 more transactions on record, the cross-source screener and CSV export. We store only your email address, and there is no password to create.

Institutional holders
13F · holdings as of the latest quarter funds have reported
SteelPeak Wealth, LLC
804,218.0 sh
$10.5M
COMMONWEALTH EQUITY SERVICES, LLC
763,231.0 sh
$10.0M
BANK OF AMERICA CORP /DE/
560,909.0 sh
$7.3M
GUGGENHEIM CAPITAL LLC
485,492.0 sh
$6.3M
RAYMOND JAMES FINANCIAL INC
451,612.0 sh
$5.9M
SCHEDULE 13D/G
No 5%+ ownership filings
Nobody has crossed 5% with a filing obligation. Absence is a fact here, not missing data.
FORM 144
No planned-sale notices
No insider has notified an intent to sell. This is the panel to watch after a run-up.
Fund concentration
N-PORT · funds ranked by how much of THEMSELVES they put in this stock — the conviction number 13F cannot show
Invesco CEF Income Composite ETF
$3.3M POSITION · AS OF 2026-02-28
0.4%
THRIVENT MULTISECTOR BOND PORTFOLIO
$106.8K POSITION · AS OF 2026-03-31
0.1%
THRIVENT MULTISECTOR BOND FUND
$532.0K POSITION · AS OF 2026-04-30
0.1%
THRIVENT CONSERVATIVE ALLOCATION FUND
$221.4K POSITION · AS OF 2026-03-31
0.0%
THRIVENT CONSERVATIVE ALLOCATION PORTFOLIO
$138.2K POSITION · AS OF 2026-03-31
0.0%
THRIVENT DYNAMIC ALLOCATION PORTFOLIO
$60.4K POSITION · AS OF 2026-03-31
0.0%
SEC N-PORT, MONTHLY WITH A ~60-DAY PUBLIC LAG · FUNDS ≥ $10M · % = SHARE OF THE FUND'S OWN BOOK
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Public filings, honestly analyzed. Official US government sources in one desk — every figure carries the date it was filed, and the methodology is published, backtest included.

SEC FORM 4FORM 13F 13D/GFORM 144XBRL STOCK ACTCONTRACTSFEC CFPBNRC
© 2026 WAVEMAN · SOURCE: SEC EDGAR & OFFICIAL GOVERNMENT DATA · NOT INVESTMENT ADVICE · CHART BY TRADINGVIEW · UPDATED 2026-09-05 ALL SYSTEMS LIVE FOR MACHINES →