PGIM Global High Yield Fund
Dividend Yield & History

Last updated:

Its most recent quarterly dividend was paid to shareholders on 28 Feb 2022. In trailing 12 Months, 76.03% of the company’s earnings is paid out as dividends.

GHY Most Recent Dividend 28 Feb 2022
GHY Dividend Yield TTM 10.14%
GHY Payout Ratio TTM 76.03% (Trailing 12 Months of Earnings)
PGIM Global High Yield Fund, Inc (NYSE:GHY): Payout ratio
Payout ratio 76.03%

PGIM Global High Yield Fund stock dividend per share (2018 – 2022)

PGIM Global High Yield Fund, Inc (NYSE:GHY): Dividend per share
2018 $0.25
2019 $1.21
2020 $1.26
2021 $0
2022 $0.11

PGIM Global High Yield Fund stock dividend yield (2018 – 2022)

PGIM Global High Yield Fund, Inc (NYSE:GHY): Dividend Yield
2018 6.87%
2019 7.42%
2020 9.52%
2021 8.08%
2022 10.35%

PGIM Global High Yield Fund stock dividend history by quarter (2013 – 2022)

Date Dividend Dividend adjustment Declaration date Record date Payment date
10 Feb 2022 $0.10500 $0.10500 30 Nov 2021 11 Feb 2022 28 Feb 2022
27 Dec 2021 $0.10500 $0.10500 30 Nov 2021 28 Dec 2021 3 Jan 2022
16 Dec 2021 $0.10500 $0.10500 17 Dec 2021 30 Dec 2021
10 Nov 2021 $0.10500 $0.10500 12 Nov 2021 30 Nov 2021
14 Oct 2021 $0.10500 $0.10500 15 Oct 2021 29 Oct 2021
16 Sep 2021 $0.10500 $0.10500 17 Sep 2021 30 Sep 2021
12 Aug 2021 $0.10500 $0.10500 27 May 2021 13 Aug 2021 31 Aug 2021
15 Jul 2021 $0.10500 $0.10500 16 Jul 2021 30 Jul 2021
10 Jun 2021 $0.10500 $0.10500 11 Jun 2021 30 Jun 2021
13 May 2021 $0.10500 $0.10500 14 May 2021 28 May 2021
15 Apr 2021 $0.00000 $0.10500 26 Feb 2021 16 Apr 2021 30 Apr 2021
11 Mar 2021 $0.00000 $0.10500 19 Feb 2021 12 Mar 2021 31 Mar 2021
11 Feb 2021 $0.10500 $0.10500 30 Nov 2020 12 Feb 2021 26 Feb 2021
28 Dec 2020 $0.10500 $0.10500 30 Nov 2020 29 Dec 2020 4 Jan 2021
10 Dec 2020 $0.10500 $0.10500
12 Nov 2020 $0.10500 $0.10500 31 Aug 2020 13 Nov 2020 30 Nov 2020
15 Oct 2020 $0.10500 $0.10500 31 Aug 2020 16 Oct 2020 30 Oct 2020
10 Sep 2020 $0.10500 $0.10500 31 Aug 2020 11 Sep 2020 30 Sep 2020
13 Aug 2020 $0.10500 $0.10500 28 May 2020 14 Aug 2020 31 Aug 2020
16 Jul 2020 $0.10500 $0.10500 28 May 2020 17 Jul 2020 31 Jul 2020
11 Jun 2020 $0.10500 $0.10500 28 May 2020 12 Jun 2020 30 Jun 2020
14 May 2020 $0.10500 $0.10500 27 Feb 2020 15 May 2020 29 May 2020
16 Apr 2020 $0.10500 $0.10500 27 Feb 2020 17 Apr 2020 30 Apr 2020
12 Mar 2020 $0.10500 $0.10500 27 Feb 2020 13 Mar 2020 31 Mar 2020
13 Feb 2020 $0.10500 $0.10500 26 Nov 2019 14 Feb 2020 28 Feb 2020
26 Dec 2019 $0.10500 $0.10500 26 Nov 2019 27 Dec 2019 6 Jan 2020
12 Dec 2019 $0.10500 $0.10500 26 Nov 2019 13 Dec 2019 31 Dec 2019
14 Nov 2019 $0.10500 $0.10500 26 Aug 2019 15 Nov 2019 29 Nov 2019
10 Oct 2019 $0.10500 $0.10500 26 Aug 2019 11 Oct 2019 31 Oct 2019
12 Sep 2019 $0.10500 $0.10500 26 Aug 2019 13 Sep 2019 30 Sep 2019
15 Aug 2019 $0.10000 $0.10000 30 May 2019 16 Aug 2019 30 Aug 2019
18 Jul 2019 $0.10000 $0.10000 30 May 2019 19 Jul 2019 31 Jul 2019
13 Jun 2019 $0.10000 $0.10000 30 May 2019 14 Jun 2019 28 Jun 2019
16 May 2019 $0.10000 $0.10000 8 Mar 2019 17 May 2019 31 May 2019
17 Apr 2019 $0.10000 $0.10000 8 Mar 2019 18 Apr 2019 30 Apr 2019
21 Mar 2019 $0.10000 $0.10000 8 Mar 2019 22 Mar 2019 29 Mar 2019
14 Feb 2019 $0.08250 $0.08250 28 Nov 2018 15 Feb 2019 28 Feb 2019
27 Dec 2018 $0.08250 $0.08250 28 Nov 2018 28 Dec 2018 7 Jan 2019
13 Dec 2018 $0.08250 $0.08250 28 Nov 2018 14 Dec 2018 31 Dec 2018
15 Nov 2018 $0.08250 $0.08250 4 Sep 2018 16 Nov 2018 30 Nov 2018
11 Oct 2018 $0.08250 $0.08250 4 Sep 2018 12 Oct 2018 31 Oct 2018
13 Sep 2018 $0.08250 $0.08250 4 Sep 2018 14 Sep 2018 28 Sep 2018
16 Aug 2018 $0.08250 $0.08250 31 May 2018 17 Aug 2018 31 Aug 2018
12 Jul 2018 $0.08250 $0.08250 31 May 2018 13 Jul 2018 31 Jul 2018
14 Jun 2018 $0.08250 $0.08250 31 May 2018 15 Jun 2018 29 Jun 2018
10 May 2018 $0.08250 $0.08250 28 Feb 2018 11 May 2018 31 May 2018
12 Apr 2018 $0.08250 $0.08250 28 Feb 2018 13 Apr 2018 30 Apr 2018
15 Mar 2018 $0.08250 $0.08250 28 Feb 2018 16 Mar 2018 29 Mar 2018
15 Feb 2018 $0.09000 $0.09000 30 Nov 2017 16 Feb 2018 28 Feb 2018
28 Dec 2017 $0.09000 $0.09000 30 Nov 2017 29 Dec 2017 8 Jan 2018
14 Dec 2017 $0.09000 $0.09000 30 Nov 2017 15 Dec 2017 29 Dec 2017
16 Nov 2017 $0.09000 $0.09000 31 Aug 2017 17 Nov 2017 30 Nov 2017
12 Oct 2017 $0.09000 $0.09000 31 Aug 2017 13 Oct 2017 31 Oct 2017
14 Sep 2017 $0.09000 $0.09000 31 Aug 2017 15 Sep 2017 29 Sep 2017
16 Aug 2017 $0.09000 $0.09000 1 Jun 2017 18 Aug 2017 31 Aug 2017
12 Jul 2017 $0.09000 $0.09000 1 Jun 2017 14 Jul 2017 31 Jul 2017
14 Jun 2017 $0.09000 $0.09000 1 Jun 2017 16 Jun 2017 30 Jun 2017
10 May 2017 $0.10000 $0.10000 1 Mar 2017 12 May 2017 31 May 2017
11 Apr 2017 $0.10000 $0.10000 1 Mar 2017 14 Apr 2017 28 Apr 2017
15 Mar 2017 $0.10000 $0.10000 1 Mar 2017 17 Mar 2017 31 Mar 2017
15 Feb 2017 $0.10000 $0.10000 28 Nov 2016 17 Feb 2017 28 Feb 2017
28 Dec 2016 $0.10000 $0.10000 28 Nov 2016 30 Dec 2016 9 Jan 2017
14 Dec 2016 $0.10000 $0.10000 28 Nov 2016 16 Dec 2016 30 Dec 2016
16 Nov 2016 $0.10000 $0.10000 31 Aug 2016 18 Nov 2016 30 Nov 2016
12 Oct 2016 $0.10000 $0.10000 31 Aug 2016 14 Oct 2016 31 Oct 2016
14 Sep 2016 $0.10000 $0.10000 31 Aug 2016 16 Sep 2016 30 Sep 2016
17 Aug 2016 $0.11000 $0.11000 26 May 2016 19 Aug 2016 31 Aug 2016
13 Jul 2016 $0.11000 $0.11000 26 May 2016 15 Jul 2016 29 Jul 2016
15 Jun 2016 $0.11000 $0.11000 26 May 2016 17 Jun 2016 30 Jun 2016
11 May 2016 $0.11000 $0.11000 25 Feb 2016 13 May 2016 31 May 2016
13 Apr 2016 $0.11000 $0.11000 25 Feb 2016 15 Apr 2016 29 Apr 2016
16 Mar 2016 $0.11000 $0.11000 25 Feb 2016 18 Mar 2016 31 Mar 2016
17 Feb 2016 $0.11000 $0.11000 24 Nov 2015 19 Feb 2016 29 Feb 2016
28 Dec 2015 $0.11000 $0.11000 24 Nov 2015 30 Dec 2015 11 Jan 2016
16 Dec 2015 $0.11000 $0.11000 24 Nov 2015 18 Dec 2015 31 Dec 2015
18 Nov 2015 $0.11000 $0.11000 2 Sep 2015 20 Nov 2015 30 Nov 2015
14 Oct 2015 $0.11000 $0.11000 2 Sep 2015 16 Oct 2015 30 Oct 2015
16 Sep 2015 $0.11000 $0.11000 2 Sep 2015 18 Sep 2015 30 Sep 2015
19 Aug 2015 $0.12500 $0.12500 28 May 2015 21 Aug 2015 31 Aug 2015
15 Jul 2015 $0.12500 $0.12500 28 May 2015 17 Jul 2015 31 Jul 2015
17 Jun 2015 $0.12500 $0.12500 28 May 2015 19 Jun 2015 30 Jun 2015
13 May 2015 $0.12500 $0.12500 26 Feb 2015 15 May 2015 29 May 2015
15 Apr 2015 $0.12500 $0.12500 26 Feb 2015 17 Apr 2015 30 Apr 2015
18 Mar 2015 $0.12500 $0.12500 26 Feb 2015 20 Mar 2015 31 Mar 2015
19 Feb 2015 $0.12500 $0.12500 25 Nov 2014 23 Feb 2015 27 Feb 2015
26 Dec 2014 $0.25400 $0.37900 25 Nov 2014 30 Dec 2014 9 Jan 2015
17 Dec 2014 $0.12500 $0.12500 25 Nov 2014 19 Dec 2014 31 Dec 2014
18 Nov 2014 $0.12500 $0.12500 28 Aug 2014 20 Nov 2014 28 Nov 2014
15 Oct 2014 $0.12500 $0.12500 28 Aug 2014 17 Oct 2014 31 Oct 2014
17 Sep 2014 $0.12500 $0.12500 28 Aug 2014 19 Sep 2014 30 Sep 2014
19 Aug 2014 $0.12500 $0.12500 28 May 2014 21 Aug 2014 29 Aug 2014
16 Jul 2014 $0.12500 $0.12500 28 May 2014 18 Jul 2014 31 Jul 2014
18 Jun 2014 $0.12500 $0.12500 28 May 2014 20 Jun 2014 30 Jun 2014
19 May 2014 $0.12500 $0.12500 27 Feb 2014 21 May 2014 30 May 2014
15 Apr 2014 $0.12500 $0.12500 27 Feb 2014 17 Apr 2014 30 Apr 2014
25 Mar 2014 $0.12500 $0.12500 27 Feb 2014 27 Mar 2014 31 Mar 2014
19 Feb 2014 $0.12500 $0.12500 26 Nov 2013 21 Feb 2014 28 Feb 2014
27 Dec 2013 $0.12500 $0.12500 26 Nov 2013 31 Dec 2013 10 Jan 2014
18 Dec 2013 $0.12500 $0.12500 26 Nov 2013 20 Dec 2013 31 Dec 2013
18 Nov 2013 $0.12500 $0.12500 28 Aug 2013 20 Nov 2013 29 Nov 2013
16 Oct 2013 $0.12500 $0.12500 28 Aug 2013 18 Oct 2013 31 Oct 2013
18 Sep 2013 $0.12500 $0.12500 28 Aug 2013 20 Sep 2013 30 Sep 2013
19 Aug 2013 $0.12500 $0.12500 3 Jun 2013 21 Aug 2013 30 Aug 2013
17 Jul 2013 $0.12500 $0.12500 3 Jun 2013 19 Jul 2013 31 Jul 2013
18 Jun 2013 $0.12500 $0.12500 3 Jun 2013 20 Jun 2013 28 Jun 2013
20 May 2013 $0.12500 $0.12500 28 Jan 2013 22 May 2013 31 May 2013
17 Apr 2013 $0.12500 $0.12500 28 Jan 2013 19 Apr 2013 30 Apr 2013
18 Mar 2013 $0.12500 $0.12500 28 Jan 2013 20 Mar 2013 28 Mar 2013
19 Feb 2013 $0.12500 $0.12500 28 Jan 2013 21 Feb 2013 28 Feb 2013

PGIM Global High Yield Fund Dividend FAQs

Does PGIM Global High Yield Fund pay dividends?

Yes, PGIM Global High Yield Fund pays dividends to its shareholders. The current dividend yield for the trailing 12 months is at 10.14%.

When does PGIM Global High Yield Fund pay dividends?

The last payment date was on 28 Feb 2022.

How much does PGIM Global High Yield Fund pay in dividends?

The most recent quarterly dividend was $0.11. The total yearly dividend (TTM) amounted to $0, per share.

What is dividend?

Dividend is money paid to shareholders of a company as a reward for their investment in the company's equity. Most often, they are paid out in form of cash or additional stocks.

How do dividends work?

Dividends are paid per share, meaning for every share held a shareholder gets a declared percentage of the company’s net earnings. Dividend payouts are usually on an annual or quarterly basis.

What is a dividend payout ratio?

The percentage of a company's total earnings that is paid to its shareholders.

How to calculate the dividend payout ratio?

The dividend ratio can be calculated by dividing the annual amount paid out in dividends by net earnings of the company.

What is the dividend yield?

The dividend yield determines the rate of return to shareholders of a company via dividends.

How to calculate the dividend yield?

The dividend yield can be calculated by dividing the annual dividends per share by the price per share.

What is the declaration date of dividend?

The declaration date is the day when a company announces its nearest dividend payment date.

What is the ex-dividend date of dividend?

If you buy shares of a company before its ex-dividend date, you are sure to be paid the nearest scheduled dividend on the payment date. Conversely, all shareholders who sold their shares prior to this date will not receive the next scheduled dividend.

What is the record date of dividend?

If an investor is listed as a shareholder of a company on this day, they are eligible to receive the nearest scheduled dividend. The record date is one business day after the ex-dividend date.

What is the payment date of dividend?

The payment date is a day when the dividends are paid out to all shareholders eligible to receive the latest dividend.