US Stock MarketDetailed Quotes

PHT Pioneer High Income Trust

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  • 7.930
  • 0.0000.00%
Close Dec 2 16:00 ET
232.68MMarket Cap6.45P/E (TTM)

Pioneer High Income Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(Q2)Sep 30, 2021
(FY)Mar 31, 2021
Assets
Cash cash equivalents and federal funds sold
269.91%1.84M
269.91%1.84M
21.14%343.89K
2,564.82%497.95K
2,564.82%497.95K
-77.42%283.88K
-99.86%18.69K
--18.69K
-46.03%1.26M
660.43%13.81M
-Cash and cash equivalents
269.91%1.84M
269.91%1.84M
21.14%343.89K
2,564.82%497.95K
2,564.82%497.95K
-77.42%283.88K
-99.86%18.69K
--18.69K
-46.03%1.26M
660.43%13.81M
Receivables
3.03%6.53M
3.03%6.53M
-4.74%6.17M
-6.13%6.33M
-6.13%6.33M
-39.17%6.48M
-4.24%6.75M
--6.75M
49.65%10.65M
-13.90%7.05M
Prepaid assets
----
----
----
--1.69M
--1.69M
----
----
----
----
----
-Available for sale securities
5,775.97%26.48M
5,775.97%26.48M
----
--450.59K
--450.59K
----
----
----
----
----
Derivative assets
119.94%212.69K
119.94%212.69K
--355.77K
-19.26%96.7K
-19.26%96.7K
----
--119.77K
--119.77K
----
----
Other assets
-8.20%112
-8.20%112
6,224.11%7.08K
8.93%122
8.93%122
-99.24%112
-97.67%112
--112
-89.69%14.76K
2,402.60%4.81K
Total assets
6.36%352.58M
6.36%352.58M
4.43%338.58M
-12.91%331.5M
-12.91%331.5M
-22.93%324.22M
-8.17%380.65M
--380.65M
16.95%420.68M
32.00%414.52M
Liabilities
Payables
122.28%4.01M
122.28%4.01M
900.18%5.43M
-13.62%1.8M
-13.62%1.8M
-95.03%542.87K
-81.64%2.09M
--2.09M
565.88%10.92M
604.78%11.37M
-Accounts payable
122.99%3.97M
122.99%3.97M
410,935.01%5.14M
-13.67%1.78M
-13.67%1.78M
-99.98%1.25K
-81.54%2.06M
--2.06M
446.39%7.93M
593.28%11.18M
-Other payable
64.56%36K
64.56%36K
-46.90%287.62K
-9.64%21.88K
-9.64%21.88K
-81.88%541.62K
-87.37%24.21K
--24.21K
1,485.94%2.99M
21,458.61%191.66K
Long term debt and capital lease obligation
1.88%108.5M
1.88%108.5M
0.93%108.5M
-8.58%106.5M
-8.58%106.5M
-15.35%107.5M
-5.28%116.5M
--116.5M
23.30%127M
24.24%123M
Derivative product liabilities
-77.06%28.7K
-77.06%28.7K
-95.19%16.88K
1,399.07%125.08K
1,399.07%125.08K
157.31%351.2K
-95.71%8.34K
--8.34K
-56.10%136.49K
-86.86%194.64K
Total liabilities
3.80%112.73M
3.80%112.73M
5.16%114.11M
-8.53%108.6M
-8.53%108.6M
-21.45%108.51M
-11.82%118.74M
--118.74M
31.53%138.15M
31.79%134.65M
Shareholders'equity
Share capital
-0.00%372.92M
-0.00%372.92M
-0.01%372.93M
-0.01%372.93M
-0.01%372.93M
0.11%372.97M
0.28%372.97M
--372.97M
0.24%372.57M
0.06%371.92M
-common stock
-0.00%372.92M
-0.00%372.92M
-0.01%372.93M
-0.01%372.93M
-0.01%372.93M
0.11%372.97M
0.28%372.97M
--372.97M
0.24%372.57M
0.06%371.92M
Retained earnings
11.31%-133.07M
11.31%-133.07M
5.59%-148.47M
-35.09%-150.03M
-35.09%-150.03M
-74.64%-157.26M
-20.65%-111.06M
---111.06M
23.04%-90.05M
42.40%-92.05M
Total stockholders'equity
7.60%239.85M
7.60%239.85M
4.06%224.47M
-14.89%222.9M
-14.89%222.9M
-23.65%215.71M
-6.42%261.91M
--261.91M
10.93%282.53M
32.10%279.87M
Total equity
7.60%239.85M
7.60%239.85M
4.06%224.47M
-14.89%222.9M
-14.89%222.9M
-23.65%215.71M
-6.42%261.91M
--261.91M
10.93%282.53M
32.10%279.87M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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--
Unqualified Opinion
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--
Unqualified Opinion
--
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Unqualified Opinion
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(Q2)Sep 30, 2021(FY)Mar 31, 2021
Assets
Cash cash equivalents and federal funds sold 269.91%1.84M269.91%1.84M21.14%343.89K2,564.82%497.95K2,564.82%497.95K-77.42%283.88K-99.86%18.69K--18.69K-46.03%1.26M660.43%13.81M
-Cash and cash equivalents 269.91%1.84M269.91%1.84M21.14%343.89K2,564.82%497.95K2,564.82%497.95K-77.42%283.88K-99.86%18.69K--18.69K-46.03%1.26M660.43%13.81M
Receivables 3.03%6.53M3.03%6.53M-4.74%6.17M-6.13%6.33M-6.13%6.33M-39.17%6.48M-4.24%6.75M--6.75M49.65%10.65M-13.90%7.05M
Prepaid assets --------------1.69M--1.69M--------------------
-Available for sale securities 5,775.97%26.48M5,775.97%26.48M------450.59K--450.59K--------------------
Derivative assets 119.94%212.69K119.94%212.69K--355.77K-19.26%96.7K-19.26%96.7K------119.77K--119.77K--------
Other assets -8.20%112-8.20%1126,224.11%7.08K8.93%1228.93%122-99.24%112-97.67%112--112-89.69%14.76K2,402.60%4.81K
Total assets 6.36%352.58M6.36%352.58M4.43%338.58M-12.91%331.5M-12.91%331.5M-22.93%324.22M-8.17%380.65M--380.65M16.95%420.68M32.00%414.52M
Liabilities
Payables 122.28%4.01M122.28%4.01M900.18%5.43M-13.62%1.8M-13.62%1.8M-95.03%542.87K-81.64%2.09M--2.09M565.88%10.92M604.78%11.37M
-Accounts payable 122.99%3.97M122.99%3.97M410,935.01%5.14M-13.67%1.78M-13.67%1.78M-99.98%1.25K-81.54%2.06M--2.06M446.39%7.93M593.28%11.18M
-Other payable 64.56%36K64.56%36K-46.90%287.62K-9.64%21.88K-9.64%21.88K-81.88%541.62K-87.37%24.21K--24.21K1,485.94%2.99M21,458.61%191.66K
Long term debt and capital lease obligation 1.88%108.5M1.88%108.5M0.93%108.5M-8.58%106.5M-8.58%106.5M-15.35%107.5M-5.28%116.5M--116.5M23.30%127M24.24%123M
Derivative product liabilities -77.06%28.7K-77.06%28.7K-95.19%16.88K1,399.07%125.08K1,399.07%125.08K157.31%351.2K-95.71%8.34K--8.34K-56.10%136.49K-86.86%194.64K
Total liabilities 3.80%112.73M3.80%112.73M5.16%114.11M-8.53%108.6M-8.53%108.6M-21.45%108.51M-11.82%118.74M--118.74M31.53%138.15M31.79%134.65M
Shareholders'equity
Share capital -0.00%372.92M-0.00%372.92M-0.01%372.93M-0.01%372.93M-0.01%372.93M0.11%372.97M0.28%372.97M--372.97M0.24%372.57M0.06%371.92M
-common stock -0.00%372.92M-0.00%372.92M-0.01%372.93M-0.01%372.93M-0.01%372.93M0.11%372.97M0.28%372.97M--372.97M0.24%372.57M0.06%371.92M
Retained earnings 11.31%-133.07M11.31%-133.07M5.59%-148.47M-35.09%-150.03M-35.09%-150.03M-74.64%-157.26M-20.65%-111.06M---111.06M23.04%-90.05M42.40%-92.05M
Total stockholders'equity 7.60%239.85M7.60%239.85M4.06%224.47M-14.89%222.9M-14.89%222.9M-23.65%215.71M-6.42%261.91M--261.91M10.93%282.53M32.10%279.87M
Total equity 7.60%239.85M7.60%239.85M4.06%224.47M-14.89%222.9M-14.89%222.9M-23.65%215.71M-6.42%261.91M--261.91M10.93%282.53M32.10%279.87M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

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