HIGH YIELD INCOME FUND, INC.

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

 

 

FORM N-Q

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number:    811-05296
Exact name of registrant as specified in charter:    High Yield Income Fund, Inc.
Address of principal executive offices:    Gateway Center 3,
     100 Mulberry Street,
     Newark, New Jersey 07102
Name and address of agent for service:    Deborah A. Docs
     Gateway Center 3,
     100 Mulberry Street,
     Newark, New Jersey 07102
Registrant’s telephone number, including area code:    973-367-7521
Date of fiscal year end:    08/31/2005
Date of reporting period:    11/30/2004


 

Item 1. Schedule of Investments [INSERT REPORT]

 


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


    Maturity
Date


   Principal
Amount
(000)


    Value

LONG-TERM INVESTMENTS 133.9%                               
CORPORATE BONDS 129.3%                               

Aerospace / Defense 2.7%

                              

Alliant Techsystems, Inc., Sr. Sub. Notes

   B2    8.50 %   5/15/11    $ 200 (h)   $ 220,000

Argo-Tech Corp., Sr. Notes

   B3    9.25     6/1/11      55       60,088

BE Aerospace, Inc.,

                              

Sr. Sub. Notes, Ser. B

   Caa3    8.00     3/1/08      50 (h)     49,750

Sr. Sub. Notes, Ser. B

   Caa3    8.875     5/1/11      235 (h)     246,750

Esterline Technologies Corp., Sr. Sub. Notes

   B1    7.75     6/15/13      300 (h)     327,750

K&F Acquisition, Inc., Sr. Sub. Notes, 144A

   Caa1    7.75     11/15/14      150       153,375

L-3 Communications Corp., Sr. Sub. Notes

   Ba3    7.625     6/15/12      300 (h)     325,500

Sequa Corp., Sr. Notes, Ser. B

   B1    8.875     4/1/08      200       218,000

TransDigm, Inc., Sr. Sub. Notes

   B3    8.375     7/15/11      180 (h)     192,600
                            

                               1,793,813
                            

Airlines 0.4%

                              

AMR Corp.,

                              

Deb.

   Caa2    10.00     4/15/21      125 (h)     79,375

Notes, Ser. B

   NR    10.40     3/10/11      100 (h)     67,500

Delta Air Lines, Inc., Notes

   Ca    8.30     12/15/29      340 (h)     141,100
                            

                               287,975
                            

Automotive 2.1%

                              

ArvinMeritor, Inc., Notes

   Ba1    8.75     3/1/12      425       479,187

Collins & Aikman Products Co.,

                              

Sr. Notes

   B2    10.75     12/31/11      55       55,688

Sr. Sub. Notes, 144A

   B3    12.875     8/15/12      30       25,800

Navistar International Corp., Sr. Notes

   Ba3    7.50     6/15/11      120 (h)     129,600

Tenneco Automotive, Inc., Sr. Sub. Notes, 144A

   B3    8.625     11/15/14      175       182,000

TRW Automotive, Inc.,

                              

Sr. Notes

   B1    9.375     2/15/13      156 (h)     181,740

Sr. Sub. Notes

   B2    11.00     2/15/13      50       60,500

Visteon Corp.,

                              

Sr. Notes

   Ba1    8.25     8/1/10      155       159,650

Sr. Notes

   Ba1    7.00     3/10/14      125       116,583
                            

                               1,390,728
                            


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Banking 0.6%

                         

Halyk Bank of Kazakhstan, Notes, 144A (Kazakhstan)

   Baa2    8.125    10/7/09    100 (c)   102,750

Kazkommerts International BV,

                         

Gtd. Notes, 144A (Netherlands)

   Baa2    8.50    4/16/13    205 (c)   214,482

Notes, 144A (Netherlands)

   Baa2    7.00    11/3/09    105 (c)   106,181
                         
                          423,413
                         

Building Materials & Construction 2.1%

                         

American Standard, Inc., Sr. Unsec’d. Gtd. Notes

   Baa3    7.375    4/15/05    275 (i)   278,438

Beazer Homes USA, Inc., Sr. Notes

   Ba1    8.625    5/15/11    110 (h)   119,900

D.R. Horton, Inc., Notes

   Ba1    8.00    2/1/09    375 (h)   420,000

KB HOME,

                         

Sr. Notes, 144A

   Ba1    6.375    8/15/11    150     155,625

Sr. Sub. Notes

   Ba2    8.625    12/15/08    160 (h)   180,000

THL Buildco, Inc., Sr. Sub. Notes, 144A

   B3    8.50    9/1/14    200 (h)   215,000
                         
                          1,368,963
                         

Cable 5.5%

                         

Callahan Nordrhein-Westfalen, Sr. Disc. Notes, Zero Coupon
(until 7/15/05) (Germany)

   NR    Zero    7/15/10    500 (b)(c)(h)(i)   22,500

Charter Communications Holdings II, Sr. Notes

   Caa1    10.25    9/15/10    175     182,875

Charter Communications Holdings LLC,

                         

Sr. Disc. Notes, Zero Coupon (until 5/15/06)

   Ca    Zero    5/15/11    500 (h)   341,250

Sr. Notes

   Ca    10.75    10/1/09    100     86,500

Sr. Notes

   Ca    10.25    1/15/10    400     336,000

Sr. Notes

   Ca    11.125    1/15/11    400     344,000

Sr. Notes

   Ca    10.00    5/15/11    600     493,500

CSC Holdings, Inc.,

                         

Sr. Notes

   B1    7.875    12/15/07    275     292,875

Sr. Notes, Ser. B

   B1    8.125    7/15/09    50     54,375

Kabel Deutschland GmbH Sr. Notes, 144A (Germany)

   B2    10.625    7/1/14    200 (c)   230,000

NTL Cable PLC, Sr. Notes, 144A (United Kingdom)

   B3    6.07    10/15/12    750 (c)(h)   772,500

Rogers Cablesystems, Inc., Sr. Notes, Ser. B (Canada)

   Ba3    10.00    3/15/05    500 (c)(h)   507,500
                         
                          3,663,875
                         


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Capital Goods 8.5%                          

Allied Waste North America, Inc.,

                         

Sec’d. Notes

   B2    5.75    2/15/11    450 (h)   411,750

Sr. Notes

   B2    8.50    12/1/08    135 (h)   141,075

Sr. Sec’d. Notes, Ser B.

   B2    9.25    9/1/12    250 (h)   266,875

Amscan Holdings, Inc., Sr. Sub. Notes

   B3    8.75    5/1/14    225     225,562

AMSTED Industries, Inc., Sr. Notes, 144A

   B3    10.25    10/15/11    175 (h)   192,500

Blount, Inc., Sr. Sub. Notes

   Caa1    8.875    8/1/12    300     325,500

Case New Holland, Inc., Sr. Notes, 144A

   Ba3    9.25    8/1/11    325 (h)   359,937

Flowserve Corp., Sr. Sub. Notes

   B2    12.25    8/15/10    250 (h)   277,500

Great Lakes Dredge & Dock Co., Sr. Sub. Notes

   Caa2    7.75    12/15/13    120     111,300

Invensys PLC, Sr. Notes, 144A (United Kingdom)

   B3    9.875    3/15/11    200 (c)(h)   215,500

Joy Global, Inc., Sr. Sub. Notes, Ser. B

   B1    8.75    3/15/12    350 (h)   395,500

Manitowoc Co., Inc., Sr. Sub. Notes

   B2    10.50    8/1/12    400 (h)   460,000

Motors & Gears, Inc., Sr. Notes, Ser. D

   Caa1    10.75    11/15/06    10 (h)   9,775

Mueller Group, Inc., Sr. Sub. Notes

   Caa1    10.00    5/1/12    115     124,775

Park-Ohio Industries, Inc., Sr. Sub. Notes, 144A

   Caa1    8.375    11/15/14    75     74,813

Rexnord Corp., Sr. Sub. Notes

   B3    10.125    12/15/12    225 (h)   254,250

Sensus Metering Systems, Inc., Sr. Sub. Notes

   Caa1    8.625    12/15/13    250     257,500

SPX Corp., Sr. Notes

   Ba3    7.50    1/1/13    65 (h)   70,038

Stena AB,

                         

Sr. Notes (Sweden)

   Ba3    9.625    12/1/12    100 (c)   113,000

Sr. Notes (Sweden)

   Ba3    7.50    11/1/13    175 (c)(h)   183,312

Terex Corp.,

                         

Sr. Sub. Notes

   B3    9.25    7/15/11    50 (h)   56,500

Sr. Sub. Notes, 144A

   B3    7.375    1/15/14    150 (h)   160,875

Sr. Sub. Notes, Ser. B

   B3    10.375    4/1/11    240 (h)   271,200

Thermadyne Holdings Corp., Sr. Sec’d. Notes

   Caa1    9.25    2/1/14    175     168,000

Tyco Int’l. Group S.A.,

                         

Gtd. Notes (Luxembourg)

   Baa3    6.125    11/1/08    50 (c)   53,771

Gtd. Notes, 144A (Luxembourg)

   Baa3    6.75    2/15/11    100 (c)(i)   111,740

UCAR Finance, Inc.

   B2    10.25    2/15/12    75 (h)   84,750


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


  Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

United Rentals North America, Inc., Sr. Sub. Notes

   B2   7.75    11/15/13    275 (h)   264,000
                        
                         5,641,298
                        

Chemicals 6.6%

                        

Borden U.S. Finance Corp., Sr. Sec’d. Notes, 144A

   B3   6.82    7/15/10    500 (h)   522,500

Equistar Chemicals Funding LP,

                        

Notes

   B+(e)   6.50    2/15/06    140 (h)(i)   143,500

Sr. Notes

   B2   10.125    9/1/08    65     74,588

Sr. Notes

   B2   10.625    5/1/11    85 (h)   98,175

Hercules, Inc.,

                        

Deb.

   Ba1   6.60    8/1/27    325 (h)(i)   333,937

Sr. Notes

   Ba2   11.125    11/15/07    125 (h)   150,000

Sr. Sub. Notes

   Ba3   6.75    10/15/29    50     51,625

HMP Equity Holdings Corp., Sr. Disc. Notes

   CCC+(e)   Zero    5/15/08    100     65,750

Huntsman ICI Chemicals LLC, Sr. Sub. Notes

   Caa1   10.125    7/1/09    70 (h)   73,850

Huntsman LLC, Sr. Sec’d. Notes, 144A

   B2   11.00    7/15/10    95 (h)   112,813

IMC Global, Inc.,

                        

Debs.

   B2   6.875    7/15/07    300 (h)(i)   317,250

Gtd. Notes, Ser. B

   B1   11.25    6/1/11    100 (h)   116,000

Notes, Ser. B

   B1   10.875    6/1/08    100 (h)   120,500

ISP Chemco, Inc., Notes, Ser. B

   B1   10.25    7/1/11    285 (h)   319,200

Johnsondiversey Holdings, Inc., Sr. Notes

   B3   Zero    5/15/13    175 (h)(i)   151,375

Koppers, Inc., Sr. Sec’d. Notes

   B2   9.875    10/15/13    120     135,840

Lyondell Chemical Co., Sec’d., Ser. B

   B1   9.875    5/1/07    200 (h)   210,500

Nalco Co., Sr. Sub. Notes

   Caa1   8.875    11/15/13    375     413,906

Rhodia SA,

                        

Sr. Notes (France)

   B3   10.25    6/1/10    290 (c)(h)   321,900

Sr. Sub. Notes (France)

   Caa1   8.875    6/1/11    350 (c)   343,000

Rockwood Specialties, Inc., Sr. Sub. Notes

   B3   10.625    5/15/11    150 (i)   170,625

Westlake Chemical Corp., Sr. Notes

   Ba2   8.75    7/15/11    146 (h)   164,615
                        
                         4,411,449
                        

Consumer 3.2%

                        

Alderwoods Group, Inc., Sr. Notes, 144A

   B2   7.75    9/15/12    200 (h)   213,500

Coinmach Corp., Sr. Notes

   B3   9.00    2/1/10    305 (h)   320,250


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


  Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

K2, Inc., Sr. Notes, 144A

   Ba3   7.375    7/1/14    150 (h)   164,250

Kindercare Learning Center, Inc., Sr. Sub. Notes, Ser. B

   B3   9.50    2/15/09    192 (i)   194,160

Levi Strauss & Co., Sr. Notes

   Ca   12.25    12/15/12    350     369,250

Propex Fabrics, Inc., Sr. Notes, 144A

   Caa1   10.00    12/1/12    275     279,125

Rayovac Corp., Sr. Sub. Notes

   B3   8.50    10/1/13    275 (h)   303,875

Service Corp. International,

                        

Notes

   Ba3   6.50    3/15/08    25     26,062

Sr. Notes

   Ba3   6.00    12/15/05    235 (h)   238,819
                        
                         2,109,291
                        

Electric 12.9%

                        

AES Corp.,

                        

Sr. Notes

   B2   9.50    6/1/09    75 (h)   85,500

Sr. Notes

   B2   9.375    9/15/10    700     809,375

Sr. Sec’d. Notes, 144A

   B1   8.75    5/15/13    230     260,475

AES Eastern Energy LP, Pass-Through Cert., Ser 99-A

   Ba1   9.00    1/2/17    215 (h)   249,106

Allegheny Energy Supply Co., LLC, Notes, 144A

   B3   8.25    4/15/12    95 (h)   107,588

Aquila, Inc., Sr. Notes

   B2   9.95    2/1/11    285 (h)   323,475

Calpine Corp.,

                        

Sr. Notes

   Caa1   8.50    2/15/11    460 (h)   309,350

Sr. Sec’d. Notes, 144A

   B(e)   8.75    7/15/13    420 (h)   322,350

CMS Energy Corp., Sr. Notes

   B3   7.50    1/15/09    120     128,400

Dynegy Holdings, Inc.,

                        

Deb.

   Caa2   7.125    5/15/18    50     44,625

Deb.

   Caa2   7.625    10/15/26    75     65,062

Sec’d. Notes, 144A

   B3   10.125    7/15/13    410 (h)   478,675

Sr. Notes

   Caa2   6.875    4/1/11    75     72,375

Edison Mission Energy, Sr. Notes

   B1   7.73    6/15/09    275 (h)   294,937

Empresa Nacional de Electricidad, Notes (Chile)

   Ba2   8.35    8/1/13    670 (c)(h)   753,520

Homer City Funding LLC, Gtd. Notes

   Ba2   8.137    10/1/19    147 (h)   163,538

Midland Funding Corp.,

                        

Deb., Ser. A

   Ba3   11.75    7/23/05    136 (h)   142,024

Deb., Ser. B

   Ba3   13.25    7/23/06    305 (h)(i)   338,762

Midwest Generation LLC,

                        

2nd Priority Sr. Sec’d Note

   B1   8.75    5/1/34    325 (h)   368,469

Pass-thru Certs., Ser. A

   B1   8.30    7/2/09    195 (h)(i)   211,087

Pass-thru Certs., Ser. B

   B1   8.56    1/2/16    40     44,600

Mirant Corp., Sr. Notes

   NR   Zero    7/15/49    75 (a)   53,438


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


  Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Mission Energy Holding Co.,

                          

Sr. Sec’d. Notes

   B3   13.50    7/15/08      75 (h)   94,031

Nevada Power Co.,

                          

Gen. Ref. Mtge., Ser. E

   Ba2   10.875    10/15/09      15     17,438

Gen. Ref. Mtge., Ser. I

   Ba2   6.50    4/15/12      130     137,475

Noteco Ltd. (United Kingdom)

   NR   6.18    6/30/25      GBP28 (a)   54,592

NRG Energy, Inc., Sr. Sec’d.

                          

Notes, 144A

   B2   8.00    12/15/13    $ 545 (h)   602,225

Orion Power Holdings, Inc.,

                          

Sr. Notes

   B2   12.00    5/1/10      370 (h)   466,200

Reliant Resources, Inc., Sr. Sec’d. Notes

   B1   9.50    7/15/13      400 (h)   459,000

Sierra Pacific Resources,

                          

Notes

   B2   8.75    5/15/05      500 (h)(i)   508,750

Sr. Notes

   B2   8.625    3/15/14      95     108,300

TECO Energy, Inc., Sr. Notes

   Ba2   7.50    6/15/10      400 (h)   443,000

UtiliCorp Finance Corp., Sr. Notes (Canada)

   B2   7.75    6/15/11      40 (c)   42,000
                          
                           8,559,742
                          
Energy - Other 4.5%                           

Chesapeake Energy Corp.,

                          

Sr. Notes

   Ba3   7.00    8/15/14      150     162,000

Sr. Notes

   Ba3   6.875    1/15/16      200 (h)   211,000

Encore Acquisition Co., Sr. Sub. Notes

   B2   6.25    4/15/14      75 (i)   76,500

Evergreen Resources, Inc., Sr. Sub. Notes

   BBB-(e)   5.875    3/15/12      225 (h)(i)   235,125

Forest Oil Corp., Sr. Notes

   Ba3   8.00    6/15/08      100 (h)   110,500

Hanover Compressor Co., Sr. Notes

   B3   8.625    12/15/10      125 (h)   135,625

Hanover Equipment Trust,

                          

Sec’d. Notes, Ser. A

   B2   8.50    9/1/08      105 (h)   111,825

Sec’d. Notes, Ser. B

   B2   8.75    9/1/11      150 (h)   162,750

Houston Exploration Co., Sr.

                          

Sub. Notes

   B2   7.00    6/15/13      100 (h)   106,250

Magnum Hunter Resources, Inc.,

                          

Sr. Notes

   B2   9.60    3/15/12      23 (h)   26,335

Newfield Exploration Co.,

                          

Sr. Sub. Notes

   Ba3   8.375    8/15/12      100     112,500

Sr. Sub. Notes, 144A

   Ba3   6.625    9/1/14      75     80,437

Parker Drilling Co.,

                          

Sr. Notes

   B2   9.625    10/1/13      450 (h)   505,125

Sr. Notes, Ser. B

   B2   10.125    11/15/09      209     218,405

Premcor Refining Group, Inc.,

                          

Sr. Notes

   Ba3   6.75    2/1/11      100     107,500


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Sr. Notes

   Ba3    9.50    2/1/13    235 (h)   274,950

Sr. Notes

   Ba3    6.75    5/1/14    85     90,100

Sr. Sub. Notes

   B2    7.75    2/1/12    125     137,812

Pride International, Inc., 144A

   Ba2    7.375    7/15/14    125     138,438
                         
                          3,003,177
                         

Foods 3.8%

                         

Agrilink Foods, Inc., Sr. Sub. Notes

   B3    11.875    11/1/08    21 (h)(i)   21,866

Ahold Finance USA, Inc., Notes

   Ba3    8.25    7/15/10    75 (h)   84,750

Carrols Corp., Sr. Sub. Notes

   B3    9.50    12/1/08    250 (h)   258,250

Del Monte Corp., Sr. Sub. Notes

   B2    8.625    12/15/12    250 (h)   279,375

Delhaize America, Inc., Notes

   Ba1    8.125    4/15/11    445 (h)   511,856

Dole Foods Co., Inc.,

                         

Gtd. Notes

   B2    7.25    6/15/10    225 (h)   234,000

Sr. Notes

   B2    8.625    5/1/09    150 (h)   164,250

Sr. Notes

   B2    8.875    3/15/11    115 (h)   125,925

Dominos, Inc., Sr. Sub. Notes

   B2    8.25    7/1/11    73 (h)   79,570

Pathmark Stores, Inc., Sr. Sub. Notes

   B3    8.75    2/1/12    300 (h)   286,500

Smithfield Foods, Inc.,

                         

Notes

   Ba2    7.75    5/15/13    200 (h)   220,000

Sr. Notes, 144A

   Ba2    7.00    8/1/11    125     132,500

Stater Brothers Holdings, Inc.

   B1    8.125    6/15/12    100     105,500
                         
                          2,504,342
                         

Gaming 8.0%

                         

Argosy Gaming Co., Sr. Sub. Notes

   Ba3    9.00    9/1/11    75 (h)   84,563

Aztar Corp., Sr. Sub. Notes

   Ba3    7.875    6/15/14    210     230,475

Boyd Gaming Corp., Sr. Sub. Notes

   B1    8.75    4/15/12    200 (h)   224,500

Isle of Capri Casinos, Inc.,

                         

Sr. Sub. Notes

   B2    9.00    3/15/12    110 (h)   122,100

Sr. Sub. Notes

   B2    7.00    3/1/14    25     26,125

Kerzner International Ltd., Sr. Sub. Notes (Bahamas)

   B2    8.875    8/15/11    315 (c)(h)   345,712

Mandalay Resort Group, Sr. Notes

   Ba2    9.50    8/1/08    250 (h)   285,625

MGM MIRAGE,

                         

Sr. Notes, 144A

   Ba1    6.00    10/1/09    900     921,375

Sr. Sub. Notes

   Ba2    9.75    6/1/07    480 (h)   532,200

Mohegan Tribal Gaming Authority,

                         

Sr. Sub. Notes, 144A

   Ba3    6.375    7/15/09    150 (h)   154,500


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


  

Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Sr. Sub. Notes

   Ba3    8.00    4/1/12    175     191,187

Sr. Sub. Notes

   Ba3    7.125    8/15/14    50     52,875

Park Place Entertainment Corp.,

                         

Sr. Notes

   Ba1    7.50    9/1/09    610 (h)   677,100

Sr. Sub. Notes

   Ba2    8.125    5/15/11    85     98,175

Pinnacle Entertainment, Inc., Sr. Sub. Notes

   Caa1    8.25    3/15/12    75     77,625

Station Casinos, Inc., Sr. Notes

   Ba3    6.00    4/1/12    200 (h)   206,000

Venetian Casino Resort LLC, Second Mtge.

   B2    11.00    6/15/10    465     530,100

Wynn Las Vegas LLC,

                         

Frist Mtge., 144A

   B2    6.625    12/1/14    250     245,625

Second Mtge.

   B3    12.00    11/1/10    234     294,840
                         
                          5,300,702
                         

Health Care & Pharmaceuticals 9.7%

                         

Alliance Imaging, Inc., Sr. Sub. Notes

   B3    10.375    4/15/11    300 (h)   334,500

Concentra Operating Corp., Sr. Sub. Notes

   B3    9.50    8/15/10    175 (h)   198,625

Coventry Health Care, Inc., Sr. Notes

   Ba1    8.125    2/15/12    100     109,000

Elan Finance PLC. Sr. Notes, 144A (Ireland)

   B3    6.29    11/15/11    300 (c)   312,750

HCA, Inc.,

                         

Deb.

   Ba2    8.36    4/15/24    100     106,782

Deb.

   Ba2    7.50    11/15/95    150 (h)   137,193

Notes

   Ba2    7.50    11/6/33    400 (h)   397,627

HEALTHSOUTH Corp.,

                         

Sr. Notes

   NR    6.875    6/15/05    100 (h)   100,875

Sr. Notes

   NR    8.50    2/1/08    275     282,906

Sr. Notes

   NR    7.625    6/1/12    375     368,906

Sr. Sub. Notes

   NR    10.75    10/1/08    150     157,125

Inverness Medical Innovations, Inc., Sr. Sub. Notes, 144A

   Caa1    8.75    2/15/12    165 (h)   173,250

Magellan Health Services, Inc., Sr. Notes

   B3    9.375    11/15/08    731 (h)   788,438

Manner Health Care, Inc., Sr. Sub. Notes, 144A

   B3    8.25    12/15/13    270     323,177

Medco Health Solutions, Inc., Sr. Notes

   Ba1    7.25    8/15/13    145 (h)   160,651

Medical Device Manufacturing, Inc., Sr. Sub. Notes, 144A

   Caa1    10.00    7/15/12    225     241,875


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

MedQuest, Inc., Gtd. Notes, Ser. B

   B3    11.875    8/15/12    275 (h)   321,750

Res-Care, Inc., Sr. Notes

   B2    10.625    11/15/08    300 (h)   330,000

Select Medical Corp., Sr. Sub. Notes

   B2    9.50    6/15/09    160 (h)   174,000

Senior Housing Properties Trust, Sr. Notes

   Ba2    8.625    1/15/12    150 (h)   169,875

Tenet Healthcare Corp.,

                         

Sr. Notes

   B3    5.375    11/15/06    125     125,625

Sr. Notes

   B3    6.375    12/1/11    75 (h)   69,562

Sr. Notes

   B3    6.50    6/1/12    185 (h)   172,050

Vanguard Health Holding Co. II LLC, Sr. Sub. Notes, 144A

   Caa1    9.00    10/1/14    250     265,625

Ventas Reality LP, Sr. Notes, 144A

   Ba3    6.625    10/15/14    150 (h)   152,625

Ventas Realty LP,

                         

Sr. Notes

   Ba3    8.75    5/1/09    280     311,500

Sr. Notes

   Ba3    9.00    5/1/12    145 (h)   167,837
                         
                          6,454,129
                         

Lodging 5.8%

                         

Felcore Lodging LP,

                         

Sr. Notes

   B1    10.00    9/15/08    38     39,900

Sr. Notes

   B1    5.84    6/1/11    125     130,313

Sr. Notes

   B1    9.00    6/1/11    150 (h)   168,000

Felcore Suites LP, Gtd. Notes

   B1    7.625    10/1/07    125 (h)   132,188

HMH Properties, Inc., Sr. Notes, Ser. B

   Ba3    7.875    8/1/08    143     147,111

Host Marriott LP,

                         

Gtd. Notes, Ser. E

   Ba3    8.375    2/15/06    700 (h)   731,500

Sr. Notes

   Ba3    9.50    1/15/07    275 (h)   300,094

Sr. Notes, 144A

   Ba3    7.00    8/15/12    200 (h)   211,000

ITT Corp.,

                         

Notes

   Ba1    6.75    11/15/05    90 (h)   92,475

Notes

   Ba1    7.375    11/15/15    150 (h)   168,750

La Quinta Inns, Inc., Sr. Notes

   Ba3    7.40    9/15/05    445 (h)   455,012

La Quinta Properties, Inc., Sr. Notes

   Ba3    8.875    3/15/11    100     111,750

Royal Caribbean Cruises Ltd.,

                         

Sr. Notes (Liberia)

   Ba2    8.00    5/15/10    350 (c)(h)   395,500

Sr. Notes (Liberia)

   Ba2    6.875    12/1/13    75 (c)(h)   81,281

Starwood Hotels & Resorts Worldwide, Inc.,

                         

Notes

   Ba1    7.375    5/1/07    570 (h)   608,475

Notes

   Ba1    7.875    5/1/12    70 (h)   80,150
                         
                          3,853,499
                         

 

 


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Media & Entertainment 10.7%                          

Advertising Directory Solution, Sr. Notes, 144A (Canada)

   Caa1    9.25    11/15/12    250 (c)   261,250

Alliance Atlantis Commerce, Inc., Sr. Sub. Notes (Canada)

   B1    13.00    12/15/09    325 (c)(h)   346,938

AMC Entertainment, Inc.,

                         

Sr. Notes

   B2    8.625    8/15/12    275 (h)   303,187

Sr. Sub. Notes

   B3    8.00    3/1/14    100     98,500

American Color Graphics, Inc., Sr. Sec’d. Notes

   Caa1    10.00    6/15/10    220 (h)   189,200

American Media Operations, Inc., Ser. B

   B3    10.25    5/1/09    10     10,450

CanWest Media, Inc.,

                         

Sr. Notes (Canada)

   Ba3    7.625    4/15/13    60 (c)(h)   64,950

Sr. Sub. Notes (Canada)

   B2    10.625    5/15/11    225 (c)(h)   253,125

Dex Media East LLC, Sr. Sub. Notes

   B2    12.125    11/15/12    211 (h)   257,420

Dex Media West LLC, Sr. Sub. Notes

   B2    9.875    8/15/13    610 (h)   704,550

Dex Media, Inc., Notes

   B3    8.00    11/15/13    165     176,756

DirecTV Holdings LLC, Sr. Notes

   B1    8.375    3/15/13    325 (h)   364,812

EchoStar DBS Corp.,

                         

Sr. Notes

   Ba3    9.125    1/15/09    192 (h)   211,440

Sr. Notes, 144A

   Ba3    6.625    10/1/14    280 (h)   283,500

Granite Broadcasting Corp., Sr. Sec’d. Notes

   B3    9.75    12/1/10    160 (h)   150,400

Gray Television, Inc., Sr. Sub. Notes

   B2    9.25    12/15/11    285 (h)   319,913

Intrawest Corp., Sr. Notes, 144A (Canada)

   B1    7.50    10/15/13    150 (c)   159,750

LCE Acquisition Corp., Sr. Sub. Notes, 144A

   B3    9.00    8/1/14    100     107,500

Medianews Group, Inc., Sr. Sub. Notes

   B2    6.875    10/1/13    200 (h)   205,000

Morris Publishing Group LLC, Sr. Sub. Notes

   Ba3    7.00    8/1/13    65     66,056

PRIMEDIA, Inc., Sr. Notes, 144A

   B3    7.665    5/15/10    200 (h)   206,000

Quebecor Media, Inc., Sr. Disc. Notes, Zero Coupon (until 7/15/06) (Canada)

   B2    Zero    7/15/11    400 (c)(h)   394,000

RH Donnelley Finance Corp., Sr. Sub. Notes, 144A

   B2    10.875    12/15/12    200 (h)   239,000

Sinclair Broadcast Group, Inc., Sr. Sub. Notes

   B2    8.75    12/15/11    165     176,963

Six Flags, Inc., Sr. Notes

   Caa1    9.625    6/1/14    175 (h)   172,156

Sun Media Corp., Gtd. Notes (Canada)

   Ba3    7.625    2/15/13    400 (c)(h)   434,000


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


  

Maturity

Date


  

Principal
Amount

(000)


    Value

Susquehanna Media Co., Sr. Sub. Notes

   B1    7.375    4/15/13    300 (h)   319,500

Vail Resorts, Inc., Sr. Sub. Notes

   B2    6.75    2/15/14    150     155,625

Vertis, Inc.,

                         

Sec’d. Notes

   B2    9.75    4/1/09    300 (h)   327,000

Sr. Note, Ser. B

   B3    10.875    6/15/09    115 (h)   125,350
                         
                          7,084,291
                         
Metals 3.1%                          

AK Steel Corp.,

                         

Gtd. Notes

   B3    7.875    2/15/09    40 (h)   40,700

Sr. Notes

   B3    7.75    6/15/12    110 (h)   112,200

Arch Western Finance LLC, Sr. Notes, 144A

   Ba3    6.75    7/1/13    200     209,500

Century Aluminum Co., Sr. Notes, 144A

   B1    7.50    8/15/14    225     236,250

Foundation Coal Co., Sr. Notes, 144A

   B1    7.25    8/1/14    200     214,000

IMCO Recycling Escrow, Inc., Sr. Notes, 144A

   B3    9.00    11/15/14    150     154,875

Ispat Inland ULC, Sr. Sec’d. Notes (Canada)

   B3    9.75    4/1/14    400 (c)   483,000

Oregon Steel Mills, Inc.

   B2    10.00    7/15/09    75     84,375

Russel Metals, Inc., Sr. Notes (Canada)

   Ba3    6.375    3/1/14    265 (c)(h)   267,650

United States Steel Corp., Sr. Notes

   Ba2    10.75    8/1/08    225     265,500
                         
                          2,068,050
                         
Non Captive Finance 0.4%                          

Standard Aero Holdings, Inc., Sr. Sub. Notes

   Caa1    8.25    9/1/14    125     133,750

WDAC Subsidiary Corp., Sr. Notes, 144A

   Caa1    8.375    12/1/14    150     150,000
                         
                          283,750
                         
Packaging 4.4%                          

Anchor Glass Container Corp., Sr. Sec’d. Notes

   B2    11.00    2/15/13    250 (h)   267,500

Berry Plastics Corp., Sr. Sub. Notes

   B3    10.75    7/15/12    275 (h)   314,875

Crown Cork & Seal Finance PLC, (United Kingdom)

   B3    7.00    12/15/06    650 (c)(h)   685,750

Graham Packaging Co., Inc.,

                         

Sr. Notes, 144A

   Caa1    8.50    10/15/12    100     104,000

Sr. Sub. Notes, 144A

   Caa2    9.875    10/15/14    200     209,000


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Greif Bros. Corp., Sr. Sub. Notes

   B2    8.875    8/1/12    455     505,050

Owens-Brookway Glass Container,

                         

Gtd. Sr. Sec’d. Notes

   B1    7.75    5/15/11    45 (h)   48,600

Sr. Sec’d. Notes

   B1    8.75    11/15/12    485 (h)   540,775

Portola Packaging, Inc., Sr. Notes

   Caa1    8.25    2/1/12    185     140,138

Silgan Holdings, Inc., Sr. Sub. Notes

   B1    6.75    11/15/13    125 (h)   129,375
                         
                          2,945,063
                         

Paper 6.9%

                         

Abitibi-Consolidated, Inc., Unsec’d. Notes (Canada)

   Ba3    8.30    8/1/05    700 (c)(h)   719,250

Ainsworth Lumber Co. Ltd., Sr. Notes, 144A (Canada)

   B2    5.669    10/1/10    400 (c)(h)   402,000

Boise Cascade LLC, Sr. Notes, 144A

   B1    5.005    10/15/12    900     922,500

Bowater Finance Corp., (Canada)

   Ba3    7.95    11/15/11    25 (c)   26,475

Caraustar Industries, Inc., Sr. Sub. Notes

   Caa1    9.875    4/1/11    125     134,375

Cascades, Inc., Sr. Notes, 144A (Canada)

   Ba3    7.25    2/15/13    250 (c)   266,250

Cellu Tissue Holdings, Inc., Sr. Sec’d. Notes

   B2    9.75    3/15/10    300     312,000

Georgia-Pacific Corp.,

                         

Notes

   Ba3    7.50    5/15/06    500 (h)(i)   523,125

Notes

   Ba3    7.75    11/15/29    300 (h)   330,000

Notes

   Ba3    8.875    5/15/31    150 (h)   184,500

Sr. Notes

   Ba2    9.375    2/1/13    150 (h)   174,750

Millar Western Forest Products Ltd., Sr. Notes (Canada)

   B2    7.75    11/15/13    130 (c)   139,100

Norske Skog Canada Ltd., Sr. Notes (Canada)

   Ba3    7.375    3/1/14    150 (c)(h)   155,625

Tembec Industries, Inc.,

                         

Sr. Notes (Canada)

   Ba3    8.625    6/30/09    75 (c)   74,813

Sr. Notes (Canada)

   Ba3    7.75    3/15/12    240 (c)(h)   229,800
                         
                          4,594,563
                         

Pipelines & Other 4.6%

                         

AmeriGas Partners & Eagle, Sr. Notes

   B2    8.875    5/20/11    175 (h)   190,750

EI Paso Corp., Sr. Notes

   Caa1    7.00    5/15/11    465 (h)   462,675

EI Paso Production Holding Co., Sr. Notes

   B3    7.75    6/1/13    300 (h)   312,750


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Enterprise Products Operating LP, Sr. Notes, 144A

   Baa3    5.60    10/15/14    200     199,379

Ferrellgas Partners LP,

                         

Sr. Notes

   B2    8.75    6/15/12    100 (h)   109,000

Sr. Notes

   Ba3    6.75    5/1/14    50     51,500

Markwest Energy Partners LP, Sr. Notes, 144A

   B1    6.875    11/1/14    100     102,250

Pacific Energy Partners LP, Sr. Notes

   Ba2    7.125    6/15/14    100     107,500

Plains All American Pipeline, Notes

   Baa3    7.75    10/15/12    45     52,305

Southern Natural Gas Co., Sr. Notes

   B1    8.875    3/15/10    250 (h)   281,875

Tennessee Gas Pipeline Co.,

                         

Deb.

   B1    7.00    3/15/27    215 (h)(i)   226,195

Deb.

   B1    7.00    10/15/28    25 (h)   24,500

Deb.

   B1    7.625    4/1/37    295 (h)   303,850

TransMontaigne, Inc., Sr. Sub. Notes

   B3    9.125    6/1/10    85 (h)   92,650

Williams Cos., Inc.,

                         

Notes

   B1    7.125    9/1/11    200 (h)   220,500

Notes

   B1    8.125    3/15/12    300 (h)   346,500
                         
                          3,084,179
                         

Real Estate Investment Trust 0.6%

                         

Omega Healthcare Investors, Inc.,

                         

Notes

   B1    6.95    8/1/07    275 (h)   283,938

Sr. Notes

   B1    7.00    4/1/14    100     102,000
                         
                          385,938
                         

Retailers 4.5%

                         

Asbury Automotive Group, Inc., Sr. Sub. Notes, 144A

   B3    8.00    3/15/14    100     99,000

AutoNation, Inc., Sr. Notes

   Ba2    9.00    8/1/08    50 (h)   57,000

Finlay Fine Jewelry Corp., Sr. Notes

   B1    8.375    6/1/12    120     129,300

General Nutrition Centers, Inc., Sr. Sub. Notes

   B3    8.50    12/1/10    150     149,812

Group 1 Automotive, Inc., Sr. Sub. Notes

   B1    8.25    8/15/13    300 (h)   318,750

J.C. Penney Co., Inc.,

                         

Deb.

   Ba2    7.125    11/15/23    175 (h)   188,563

Deb.

   Ba2    7.40    4/1/37    610 (h)   653,462


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

 

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Jean Coutu Group, Inc.,

                         

Sr. Sub. Notes, 144A (Canada)

   B2    7.625    8/1/12    175 (c)   182,875

Sr. Sub. Notes, 144A (Canada)

   B3    8.50    8/1/14    90 (c)(h)   91,350

Lazydays RV Center, Inc., Sr. Notes, 144A

   B3    11.75    5/15/12    275 (h)   302,500

Pantry, Inc., Sr. Sub. Notes

   B3    7.75    2/15/14    175 (h)   186,375

Rite Aid Corp.,

                         

Deb.

   Caa1    7.70    2/15/27    195 (h)   162,825

Sr. Sec’d. Notes

   B2    8.125    5/1/10    20     21,300

Saks, Inc.,

                         

Gtd. Notes

   Ba3    7.00    12/1/13    115 (h)   116,725

Sr. Notes

   Ba3    7.375    2/15/19    90 (h)   88,875

Sonic Automotive, Inc., Sr. Sub. Notes

   B2    8.625    8/15/13    110 (h)   118,250

Toys “R” Us, Inc., Notes

   Ba2    7.875    4/15/13    100     100,875
                         
                          2,967,837
                         

Technology 5.1%

                         

Amkor Technology, Inc.,

                         

Sr. Notes

   B3    7.125    3/15/11    75     66,188

Sr. Sub. Notes

   Caa1    10.50    5/1/09    50 (h)   46,750

Fairchild Semiconductor Corp., Sr. Sub. Notes

   B2    10.50    2/1/09    500 (h)   531,250

Flextronics International Ltd., Sr. Sub. Notes (Singapore)

   Ba2    6.50    5/15/13    200 (c)(h)   202,000

Freescale Semiconductor, Inc., Sr. Notes

   Ba2    7.125    7/15/14    135     144,450

Iron Mountain, Inc., Sr. Notes

   Caa1    8.625    4/1/13    175 (h)   184,625

Nortel Networks Ltd., Notes (Canada)

   B3    6.125    2/15/06    135 (c)(h)   136,350

ON Semiconductor Corp.,

                         

Gtd. Notes

   Caa1    13.00    5/15/08    290 (h)   332,050

Sr. Notes

   B3    12.00    3/15/10    100     117,500

Sanmina-SCI Corp., Sr. Sec’d. Notes

   Ba2    10.375    1/15/10    125 (h)   143,750

STATS ChipPAC Ltd., Sr. Notes, 144A (Singapore)

   Ba2    6.75    11/15/11    325 (c)   319,312

UGS Corp., Sr. Sub. Notes, 144A

   B3    10.00    6/1/12    115     131,100

Unisys Corp., Sr. Notes

   Ba1    8.125    6/1/06    400 (h)   421,000

Xerox Corp.,

                         

Sr. Notes

   Ba2    6.875    8/15/11    525 (h)   555,187

Sr. Notes

   Ba2    7.625    6/15/13    50     54,875
                         
                          3,386,387
                         


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

Telecommunications 12.0%

                         

Alamosa Delaware, Inc.,

                         

Sr. Notes

   Caa1    11.00    7/31/10    150     175,125

Sr. Notes

   Caa1    8.50    1/31/12    225     241,875

AT&T Corp.,

                         

Sr. Unsec’d. Notes

   Ba1    9.05    11/15/11    480 (h)   547,200

Sr. Unsec’d. Notes

   Ba1    9.75    11/15/31    125     144,844

Centennial Communications Corp., Sr. Notes

   Caa1    8.125    2/1/14    225     229,500

Cincinnati Bell, Inc., Sr. Sub. Notes

   B3    8.375    1/15/14    400 (h)   399,000

Citizens Communications Co.,

                         

Notes

   Ba3    9.25    5/15/11    260 (h)   302,250

Sr. Notes

   Ba3    6.25    1/15/13    175     173,906

Crown Castle International Corp.,

                         

Sr. Notes

   B3    9.375    8/1/11    73     81,760

Sr. Notes

   B3    10.75    8/1/11    215 (h)   234,350

Sr. Notes

   B3    7.50    12/1/13    250 (h)   268,125

Sr. Notes, Ser. B

   B3    7.50    12/1/13    75     80,437

Eircom Funding, Sr. Sub. Notes (Ireland)

   B1    8.25    8/15/13    175 (c)(h)   194,250

MCI, Inc.,

                         

Sr. Notes

   NA    6.688    5/1/09    650     654,875

Sr. Notes

   NA    7.735    5/1/14    10     10,225

New Skies Satellites NV, Sr. Notes, 144A (Netherlands)

   B3    7.438    11/1/11    200 (c)   205,000

Nextel Communications, Inc., Sr. Notes

   Ba3    7.375    8/1/15    825 (h)   907,500

Nextel Partners, Inc., Sr. Notes

   B3    8.125    7/1/11    375 (h)   412,500

Qwest Services Corp., Notes, 144A

   Caa1    14.00    12/15/10    1,477     1,750,245

Rogers Wireless, Inc.,

                         

Sr. Sec. Notes (Canada)

   Ba3    9.625    5/1/11    125 (c)(h)   144,687

Sr. Sec. Notes, 144A (Canada)

   B2    8.00    12/15/12    200 (c)   207,500

Sr. Sec. Notes, 144A (Canada)

   Ba3    7.50    3/15/15    150 (c)   155,625

Triton PCS, Inc., Gtd. Sr. Notes

   Caa1    8.50    6/1/13    95 (h)   86,925

Ubiquitel Operating Co., Sr. Notes, 144A

   Caa1    9.875    3/1/11    250     274,375

US Unwired, Inc., Sec’d. Notes

   B2    6.13    6/15/10    75     77,063
                         
                          7,959,142
                         

Tobacco 0.6%

                         

DIMON, Inc., Sr. Notes, Ser. B

   B1    9.625    10/15/11    80 (h)   87,000

North Atlantic Trading Co., Sr. Notes

   B2    9.25    3/1/12    115 (h)   89,700

Standard Commercial Corp., Sr. Notes

   Ba3    8.00    4/15/12    200 (h)   205,500
                         
                          382,200
                         

Total corporate bonds
(cost $81,268,541)

                        85,907,796
                         


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Moody’s
Rating


   Interest
Rate


   Maturity
Date


   Principal
Amount
(000)


    Value

ASSET BACKED SECURITIES 0.6%

                         

Continental Airlines, Inc.,

                         

Pass-thru Certs., Ser. 01-1

   Ba1    7.373    12/15/15    85 (h)   68,465

Pass-thru Certs., Ser. 96-C

   B3    9.50    10/15/13    120 (h)   88,693

Pass-thru Certs., Ser. 981-B

   Ba2    6.748    3/15/17    97 (h)   74,739

Pass-thru Certs., Ser. 991-B

   Ba2    6.795    8/2/18    163 (h)   134,507
                         

Total asset backed securities
(cost $369,961)

                        366,404
                         

CONVERTIBLE BONDS 0.4%

                         

Nortel Networks Corp. (Canada)

   B3    4.25    9/1/08    135 (c)(h)   129,431

Tyco Int’l. Group S.A., Sr. Notes (Luxembourg)

   Baa3    3.125    1/15/23    100 (c)   162,375
                         

Total convertible bonds
(cost $215,823)

                        291,806
                         

SOVEREIGN 1.3%

                         

Republic of Argentina

   Caa1    1.98    8/3/12    550 (c)   437,250

Republic of Colombia, Notes

   Ba2    10.00    1/23/12    200 (c)   226,500

Republic of Venezuela

   B2    9.25    9/15/27    205 (c)   213,200
                         

Total sovereign
(cost $858,050)

                        876,950
                         
                    Shares

     

COMMON STOCKS 1.3%

                         

Gentek, Inc.

                  608 (b)   29,786

IMPSAT Fiber Networks, Inc.

                  2,330 (b)   10,834

NTL, Inc.

                  700 (b)   48,706

PSF Group Holdings Inc., Class A (cost $462,534; purchased 3/8/94)

                  279 (b)(d)(i)(j)   418,860

Telewest Global, Inc.

                  14,911 (b)   218,297

UnitedGlobalCom, Inc., Class A

                  14,226 (b)   118,503

Walter Industries, Inc.

                  320     8,058
                         

Total common stocks
(cost $1,264,170)

                        853,044
                         

PREFERRED STOCKS 0.9%

                         

McLeodUSA, Inc., Ser. A

                  1,868 (b)   2,550

Paxson Communications Corp.,

                         

14.25%, Payment in Kind

                  57     427,269


THE HIGH YIELD INCOME FUND, INC.

 

Schedule of Investments as of November 30, 2004 (Unaudited)

 

Description


   Shares

    Value

Primedia, Inc., Ser. D, 10.00%

   1,500     144,750
          

Total preferred stocks
(cost $958,059)

         574,569
          
     Units

     

WARRANTS(b) 0.1%

          

Gentek, Inc., expiring 10/31/08 (cost $96; purchased 8/3/99) (Canada)

   710 (c)(j)(j)   1,953

Gentek, Inc., expiring 10/31/10 (cost $64; purchased 8/3/99) (Canada)

   347 (c)(j)(j)   954

Intelcom Group. Inc., expiring 9/15/05 (Canada)

   9,900 (c)   99

McLeodUSA, Inc., expiring 4/16/07

   4,141     248

Sterling Chemical Holdings, Inc., expiring 8/15/08

   140 (i)   0

Telus Corp., expiring 9/15/05 (Canada)

   4,049     61,585

Viasystems Group, Inc., expiring 1/31/10 (Canada)

   10,871 (c)(d)(i)   1

XM Satellite Radio, Inc., expiring 3/03/10, 144A

   150 (d)(i)   2
          

Total warrants
(cost $280,193)

         64,842
          

Total long-term investments
(cost $85,214,797)

         88,935,411
          

 

     Moody’s
Rating


   Interest
Rate


    Maturity
Date


   Principal
Amount
(000)


      

SHORT-TERM INVESTMENTS 1.8%

                               

U.S. GOVERNMENT AGENCY SECURITIES

                               

Federal Farm Credit Bank Discount Notes (g)
(cost $1,181,000)

   Aaa    1.86 %   12/1/04    $ 1,181      1,181,000  
                           


Total Investments 135.7%
(cost $86,395,797)(k)

                            90,116,411  

Liabilities in excess of other assets (35.7%)

                            (23,688,089 )
                           


Net Assets 100.0%

                          $ 66,428,322  
                           


 

 


THE HIGH YIELD INCOME FUND, INC.

 

144A  Security was purchased pursuant to Rule 144A under the securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. Unless otherwise noted 144A securities are deemed to be liquid.

 

(a)   Issuer in default on interest payment, non-income producing security.
(b)   Non-income producing securities.
(c)   US $ Denominated Bonds-Foreign Issuers.
(d)   Fair-valued security-value is determined by the Valuation Committee or Board of Directors in consultation with the investment adviser.
(e)   Standard and Poor’s Rating.
(g)   Rate quoted represents yield-to-maturity as of purchase date.
(h)   Total or partial principal amount segregated as collateral for line of credit. Aggregate value of segregated securities - $56,851,018.
(i)   Indicates a security that has been deemed illiquid. The aggregate cost of the illiquid securities is $4,864,264. The aggregate value, $4,417,197 represents 6.65% of net assets.
(j)   Indicates a restricted security; the aggregate cost of the restricted securities is $462,694. The aggregate value, $421,767 is approximately 0.63% of net assets.
(k)   The United States Federal income tax basis of the Fund’s investments and the unrealized appreciation as of November 30, 2004 were as follows:

 

Tax Basis


 

Appreciation


 

Depreciation


 

Net Unrealized

Appreciation


$87,039,027

  $5,454,613   $2,377,229   $3,077,384

 

The difference between book basis and tax basis was attributable to deferred losses on wash sales and differences in the treatment of premium and market discount amortization for book and tax purposes.

 

NR—Not rated by Moody’s or Standard & Poor’s.

 

The Fund’s current Statement of Additional Information contains a description of Moody’s and Standard & Poor’s ratings.

 

Notes to Schedule of Investments

 

Security Valuation: Portfolio securities that are actively traded in the over-the-counter market, including listed securities for which the primary market is believed to be over-the-counter, are valued at prices provided by principal market makers and pricing agents. Any security for which the primary market is on an exchange is valued at the last sales price on such exchange on the day of valuation or, if there was no sale on such day, the last bid price quoted on such day. Securities issued in private placements are valued at the bid price or the mean between the bid and asked prices, if available, provided by principal market makers. Any security for which a reliable market quotation is unavailable is valued at fair value as determined in good faith by or under the direction of the Fund’s Board of Directors. Using fair value to price securities may result in a value that is different from a security’s most recent closing price and from the price used by other mutual funds to calculate their net asset values.


Short-term securities which mature in sixty days or less, are valued at amortized cost, Which approximates market value. The amortized cost method involves valuing a security at its cost on the date of purchase and thereafter assuming a constant amortization to maturity of the difference between the principal amount due at maturity and cost. Short-term securities which mature in more than sixty dates are valued at current market quotations.

 

The Fund may invest up to 20% of its total assets in securities which are not readily marketable, including those which are restricted as to disposition under securities law (“restricted securities”).

 

Other information regarding the Fund is available in the Fund’s most recent Report to Shareholders. This information is available on the Securities and Exchange Commission’s website (www.sec.gov).


 

Item 2. Controls and Procedures

 

  (a) It is the conclusion of the registrant’s principal executive officer and principal financial officer that the effectiveness of the registrant’s current disclosure controls and procedures (such disclosure controls and procedures having been evaluated within 90 days of the date of this filing) provide reasonable assurance that the information required to be disclosed by the registrant has been recorded, processed, summarized and reported within the time period specified in the Commission’s rules and forms and that the information required to be disclosed by the registrant has been accumulated and communicated to the registrant’s principal executive officer and principal financial officer in order to allow timely decisions regarding required disclosure.

 

  (b) There have been no significant changes in the registrant’s internal controls or in other factors that could significantly affect these controls subsequent to the date of their evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.

 

Item 3. Exhibits

 

Certifications pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 – Attached hereto.

 


 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) High Yield Income Fund, Inc.
By (Signature and Title)*   /s/    DEBORAH A. DOCS        
    Deborah A. Docs
    Secretary of the Fund

 

Date January 27, 2005

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)*   /s/    JUDY A. RICE        
    Judy A. Rice
    President and Principal Executive Officer

 

Date January 27, 2005

 

By (Signature and Title)*   /s/    GRACE C. TORRES        
    Grace C. Torres
    Treasurer and Principal Financial Officer

 

Date January 27, 2005

 

* Print the name and title of each signing officer under his or her signature.