Credit Suisse High Yield Bond Fund is a non-diversified, closed-end management investment fund, which engages in seeking high current income investment. It seeks to deliver attractive returns from U.S. high yield bond markets to investors. The firm’s investment strategy is to maximize total return from monetizing macroeconomic themes and exploiting sector and issuer performance and rating dispersion. The company was founded on April 24, 1998 and is headquartered in New York, NY.
Sector:
Miscellaneous
Industry:
Investment Trusts Or Mutual Funds
Employees:
N/A
Frequently Asked Questions
What is Market Cap of UBS Asset Management High Yield Credit Fund?
Market cap, also known as market capitalization, is the total market value of a company. It's calculated by multiplying the current market price by the total number of shares outstanding. UBS Asset Management High Yield Credit Fund market cap is $175.1M.
What is the 52-week high for UBS Asset Management High Yield Credit Fund?
52 week high is the highest price of a stock in the past 52 weeks, or one year. UBS Asset Management High Yield Credit Fund 52 week high is $2.13 as of September 05, 2026.
What is the 52-week low for UBS Asset Management High Yield Credit Fund?
52 week low is the lowest price of a stock in the past 52 weeks, or one year. UBS Asset Management High Yield Credit Fund 52 week low is $0.0026 as of September 05, 2026.
What is UBS Asset Management High Yield Credit Fund stock price today?
UBS Asset Management High Yield Credit Fund stock price today is $1.69.
What was UBS Asset Management High Yield Credit Fund stock price yesterday?
UBS Asset Management High Yield Credit Fund stock price yesterday was $1.71.
What is the PE ratio of UBS Asset Management High Yield Credit Fund?
The Price-to-Earnings (or P/E) ratio is a commonly used tool for valuing a company. It's calculated by dividing the current share price by the earnings per share (or EPS). It can also be calculated by dividing the company's Market Cap by the Net Profit. UBS Asset Management High Yield Credit Fund's P/E ratio is 19.01.
What is the Price-to-Book ratio of UBS Asset Management High Yield Credit Fund?
The Price-to-Book (P/B) ratio is a commonly used tool for valuing a company. It's calculated by dividing a company's market capitalization by its book value. UBS Asset Management High Yield Credit Fund P/B ratio is 0.8296.
What is the 50-day moving average of UBS Asset Management High Yield Credit Fund?
The 50-day moving average is a frequently used data point by active investors and traders to understand the trend of a stock. It's calculated by averaging the closing stock price over the previous 50 trading days. UBS Asset Management High Yield Credit Fund 50-day moving average is $1.74.