UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-Q

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY

 

 

Investment Company Act file number 811-21318

 

Name of Fund: BlackRock Corporate High Yield Fund, Inc. (HYT)

 

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

 

Name and address of agent for service: John M. Perlowski, Chief Executive Officer, BlackRock Corporate
High Yield Fund, Inc., 55 East 52nd Street, New York, NY 10055

 

Registrant’s telephone number, including area code: (800) 882-0052, Option 4

 

Date of fiscal year end: 08/31/2014

 

Date of reporting period: 05/31/2014

 

Item 1 – Schedule of Investments

 
 
Consolidated Schedule of Investments May 31, 2014 (Unaudited)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Common Stocks
Shares
  Value  
 
Airlines — 0.5%  
American Airlines Group, Inc. (a)   106,529 $ 4,278,205  
Delta Air Lines, Inc. (a)   64,807   2,586,447  
Southwest Airlines Co.   30,009   793,738  
   
    7,658,390  
 
Auto Components — 1.3%  
The Goodyear Tire & Rubber Co.   861,837   22,726,642  
Lear Corp.   1,032   90,867  
   
    22,817,509  
 
Capital Markets — 2.0%  
American Capital Ltd. (a)   1,875,455   27,681,716  
E*Trade Financial Corp. (a)   246,100   5,013,057  
Uranium Participation Corp. (a)   176,860   817,180  
   
    33,511,953  
 
Chemicals — 0.8%  
Advanced Emissions Solutions, Inc. (a)   168,580   3,946,458  
Huntsman Corp.   373,192   9,960,494  
   
    13,906,952  
 
Communications Equipment — 0.4%  
Nokia OYJ - ADR (a)   877,870   7,137,083  
 
Containers & Packaging — 0.0%  
Smurfit Kappa Group PLC   12,980   312,733  
 
Diversified Consumer Services — 0.5%  
Cengage Thomson Learning (a)   211,143   7,640,843  
 
Diversified Financial Services — 2.8%  
Ally Financial, Inc.   1,126,075   26,615,933  
Ally Financial, Inc. (a)    117,489   2,768,041  
Citigroup, Inc.    161,430   7,679,225  
Kcad Holdings I Ltd. (a)   1,563,279,160   9,786,128  
   
    46,849,327  
 
Diversified Telecommunication Services — 0.3%  
Broadview Networks Holdings, Inc. (a)   192,400   480,999  
Level 3 Communications, Inc. (a)   115,920   5,059,908  
   
    5,540,907  
 
Electrical Equipment — 0.0%  
Medis Technologies Ltd. (a)   365,353   4  
 
Energy Equipment & Services — 0.7%  
Laricina Energy Ltd. (a)   211,764   6,956,593  
Common Stocks
Shares
  Value  
 
Energy Equipment & Services (concluded)  
Osum Oil Sands Corp. (a)   400,000 $ 4,589,136  
   
    11,545,729  
 
Health Care Providers & Services — 0.0%  
HealthSouth Corp.   1,468   51,559  
 
Insurance — 1.0%  
American International Group, Inc.   316,865   17,132,891  
 
Media — 0.0%  
Clear Channel Outdoor Holdings, Inc., Class A   47,653   388,848  
 
Metals & Mining — 0.1%  
African Minerals Ltd. (a)   225,302   404,490  
Peninsula Energy Ltd. (a)   39,319,091   1,097,769  
   
    1,502,259  
 
Oil, Gas & Consumable Fuels — 1.2%  
African Petroleum Corp. Ltd. (a)   331,833   83,381  
General Maritime Corp.   953,381   17,637,549  
Seven Generations Energy Ltd.   108,000   2,490,085  
   
    20,211,015  
 
Paper & Forest Products — 0.7%  
Ainsworth Lumber Co. Ltd. (a)   2,147,503   5,755,281  
Ainsworth Lumber Co. Ltd. (a)(b)   614,940   1,650,351  
NewPage Holdings, Inc.   47,380   4,027,300  
Western Forest Products, Inc.   621,145   1,307,704  
   
    12,740,636  
 
Semiconductors & Semiconductor Equipment  — 0.0%  
SunPower Corp. (a)   1,025   34,174  
 
Software — 0.2%  
HMH Holdings/EduMedia (a)   206,188   3,756,745  
 
Trading Companies & Distributors — 0.2%  
HD Supply Holdings, Inc. (a)   115,400   3,031,558  
 
Total Common Stocks12.7%   215,771,115  
 
 
 
Asset-Backed Securities (b)(c) Par
(000)
     
 
   
ALM Loan Funding, Series 2013-7RA:          
  Class C, 3.68%, 4/24/24 USD 2,840   2,739,881  
  Class D, 5.23%, 4/24/24   2,360   2,254,442  
Atlas Senior Loan Fund V, Ltd., Series 2014-1A (d):          
  Class C, 3.23%, 7/16/26   250   245,325  
  Class D, 3.68%, 7/16/26   250   236,375  
                     
             
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20141
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)

Asset-Backed Securities Par
(000)
  Value  
 
Avalon IV Capital, Ltd., Series 2012-1AR, Class CR, 3.08%, 4/17/23 USD  850 $ 850,000  
Benefit Street Partners CLO, Ltd., Series 2014-IVA, Class C, 3.73%, 7/20/26   500   477,000  
Cedar Funding, Ltd., Series 2014-3A:          
  Class C, 3.03%, 5/20/26   800   784,000  
  Class D, 3.78%, 5/20/26   535   511,246  
CIFC Funding 2014-II, Ltd., Series 2014-2A, Class A3L, 3.10%, 5/24/26   1,185   1,153,894  
Jamestown CLO Ltd., Series 2014-4A, Class C, 3.73%, 7/15/26 (d)   250   235,590  
LCM V Ltd., Series 5A, Class C, 0.90%, 3/21/19   500   476,069  
LCM VI Ltd., Series 6A, Class C, 1.03%, 5/28/19   900   856,647  
LCM X LP, Series 10AR, Class ER, 5.73%, 4/15/22   1,000   982,500  
Octagon Investment Partners XII, Ltd., Series 2012-1AR, Class ER, 5.72%, 5/05/23   1,200   1,200,000  
OZLM Funding III, Ltd., Series 2013-3A, Class A1, 1.56%, 1/22/25   913   905,618  
Palmer Square CLO, Ltd., Series 2014-1A(d):          
  Class B, 2.82%, 10/17/22   1,100   1,082,400  
  Class C, 4.12%, 10/17/22   845   845,000  
  Class D, 6.02%, 10/17/22   590   590,000  
Venture CDO, Ltd., Series 2014-17A, Class C, 3.07%, 7/15/26   910   883,883  
Washington Mill CLO, Ltd., Series 2014-1A:          
  Class C, 3.23%, 4/20/26   515   510,262  
  Class D, 3.68%, 4/20/26   660   631,092  
Whitehorse, Ltd., Series 2014-1A, Class C, 2.96%, 5/01/26   1,180   1,135,750  
 
Total Asset-Backed Securities1.2%   19,586,974  
 
 
 
Corporate Bonds  
 
Aerospace & Defense — 0.9%  
CTP Transportation Products LLC/CTP Finance, Inc., 8.25%, 12/15/19 (b)   1,260   1,356,075  
Huntington Ingalls Industries, Inc.:          
  6.88%, 3/15/18   1,015   1,080,975  
             
Corporate Bonds Par
(000)
  Value  
 
Aerospace & Defense (concluded)  
Huntington Ingalls Industries, Inc. (concluded):          
  7.13%, 3/15/21 USD  1,405 $ 1,534,962  
Meccanica Holdings USA, Inc., 6.25%, 7/15/19 (b)   1,140   1,245,450  
Transdigm, Inc. (b)(d):          
  6.00%, 7/15/22   4,760   4,795,700  
  6.50%, 7/15/24   5,373   5,453,595  
   
    15,466,757  
 
Air Freight & Logistics — 0.2%  
CEVA Group PLC, 9.00%, 9/01/21 (b)   844   865,100  
National Air Cargo Group, Inc.:          
  12.38%, 8/16/15   1,230   1,229,841  
  12.38%, 9/02/15   1,211   1,211,234  
   
    3,306,175  
 
Airlines — 2.9%  
American Airlines Pass-Through Trust, Series 2013-2, Class C, 6.00%, 1/15/17 (b)   6,420   6,708,900  
Continental Airlines Pass-Through Trust:          
  Series 1997-4, Class B, 6.90%, 7/02/18   333   356,006  
  Series 2012-3, Class C, 6.13%, 4/29/18   5,145   5,479,425  
Delta Air Lines Pass-Through Trust, Class B:          
  Series 2009-1, 9.75%, 6/17/18   899   1,030,836  
  Series 2010-1, 6.38%, 7/02/17 (b)   2,647   2,835,599  
US Airways Pass-Through Trust:          
  Series 2011-1, Class C, 10.88%, 10/22/14   1,449   1,499,859  
  Series 2012-1, Class C, 9.13%, 10/01/15   1,634   1,731,521  
  Series 2012-2, Class C, 5.45%, 6/03/18   5,720   5,877,300  
  Series 2013-1, Class B, 5.38%, 5/15/23   5,255   5,386,375  
Virgin Australia Trust, Series 2013-1 (b):          
  Class C, 7.13%, 10/23/18   8,847   9,134,541  
  Class D, 8.50%, 10/23/16   8,642   8,914,650  
   
    48,955,012  
 
Auto Components — 3.0%  
Affinia Group, Inc., 7.75%, 5/01/21   3,109   3,318,857  
Autodis SA, 6.50%, 2/01/19 EUR 265   375,337  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20142
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Auto Components (concluded)  
Brighthouse Group PLC, 7.88%, 5/15/18 GBP 400 $ 708,194  
CNH Industrial Finance Europe SA, 2.75%, 3/18/19 EUR 1,860   2,560,814  
Dana Holding Corp., 6.75%, 2/15/21 USD 200   216,500  
Delphi Corp., 6.13%, 5/15/21   420   467,775  
Grupo Antolin Dutch BV, 4.75%, 4/01/21 EUR 556   770,682  
Icahn Enterprises LP/Icahn Enterprises Finance Corp.:          
  3.50%, 3/15/17 USD 352   355,960  
  4.88%, 3/15/19   8,850   9,060,187  
  6.00%, 8/01/20   2,158   2,319,850  
  5.88%, 2/01/22   2,797   2,908,880  
IDQ Holdings, Inc., 11.50%, 4/01/17 (b)   2,155   2,375,888  
Jaguar Land Rover Automotive PLC:          
  8.25%, 3/15/20 GBP 2,269   4,280,076  
  5.00%, 2/15/22   1,555   2,668,393  
Rhino Bondco SpA, 7.25%, 11/15/20 EUR 490   718,039  
Schaeffler Holding Finance BV:          
  2.75%, 5/15/19   2,035   2,767,586  
  6.88% (6.88% Cash or 7.63% PIK), 8/15/18 (e)   1,660   2,390,113  
  6.88% (6.88% Cash or 7.63% PIK), 8/15/18 (b)(e) USD 2,400   2,535,000  
Servus Luxembourg Holding SCA, 7.75%, 6/15/18 EUR 884   1,298,409  
Titan International, Inc., 6.88%, 10/01/20 (b) USD 2,505   2,589,544  
UCI International, Inc., 8.63%, 2/15/19   7,080   6,779,100  
   
    51,465,184  
 
Auto Parts — 0.1%  
PetroLogistics LP/PetroLogistics Finance Corp., 6.25%, 4/01/20   947   1,025,128  
 
Automobiles — 0.8%  
Chrysler Group LLC/CG Co-Issuer, Inc., Term Loan, 8.25%, 6/15/21   2,920   3,328,800  
Ford Motor Co., 4.25%, 11/15/16 (f)   160   306,100  
General Motors Co. (b):          
  4.88%, 10/02/23   940   984,650  
             
Corporate Bonds Par
(000)
  Value  
 
Automobiles (concluded)  
General Motors Co. (b) (concluded):          
  6.25%, 10/02/43 USD  7,410 $ 8,419,613  
   
    13,039,163  
 
Beverages — 0.1%  
Crown European Holdings SA, 7.13%, 8/15/18 EUR 92   131,053  
Hydra Dutch Holdings 2BV, 5.82%, 4/15/19 (c)   1,355   1,820,286  
   
    1,951,339  
 
Biotechnology — 0.2%  
Laba Royalty Sub LLC, 9.00%, 5/15/29 (b) USD 2,630   2,656,300  
 
Building Products — 1.7%  
American Builders & Contractors Supply Co., Inc., 5.63%, 4/15/21 (b)   3,430   3,550,050  
BMBG Bond Finance SCA, 5.33%, 10/15/20 (c) EUR 1,020   1,400,837  
Builders FirstSource, Inc., 7.63%, 6/01/21 (b) USD 2,058   2,202,060  
Building Materials Corp. of America, 6.75%, 5/01/21 (b)   3,320   3,585,600  
Cemex Finance LLC, 6.00%, 4/01/24 (b)   3,295   3,381,494  
Cemex SAB de CV, 5.88%, 3/25/19 (b)   1,335   1,388,400  
CPG Merger Sub LLC, 8.00%, 10/01/21 (b)   3,590   3,796,425  
Ply Gem Industries, Inc., 6.50%, 2/01/22 (b)   3,550   3,479,000  
Roofing Supply Group LLC/Roofing Supply Finance, Inc., 10.00%, 6/01/20 (b)   1,220   1,302,350  
USG Corp., 9.75%, 1/15/18   3,935   4,717,081  
   
    28,803,297  
 
Capital Markets — 1.1%  
American Capital Ltd., 6.50%, 9/15/18 (b)   3,840   4,108,800  
Blackstone CQP Holdco LP, 2.32%, 3/18/19   11,759   11,851,676  
E*Trade Financial Corp. (f)(g):          
  0.00%, 8/31/19 (b)   1,206   2,381,850  
  Series A, 0.00%, 8/31/19   373   736,675  
   
    19,079,001  
 
Chemicals — 2.0%  
Axiall Corp., 4.88%, 5/15/23 (b)   629   624,283  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20143
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Chemicals (concluded)  
Basell Finance Co. BV, 8.10%, 3/15/27 (b) USD  2,115 $ 2,846,917  
Celanese US Holdings LLC:          
  5.88%, 6/15/21   1,848   2,039,730  
  4.63%, 11/15/22   1,565   1,574,781  
Huntsman International LLC:          
  8.63%, 3/15/21   945   1,053,675  
  5.13%, 4/15/21 EUR 1,779   2,510,415  
INEOS Finance PLC, 8.38%, 2/15/19 (b) USD 100   109,750  
INEOS Group Holdings SA:          
  6.13%, 8/15/18 (b)   2,125   2,199,375  
  6.50%, 8/15/18 EUR 1,485   2,120,431  
  5.75%, 2/15/19   1,785   2,514,128  
LSB Industries, Inc., 7.75%, 8/01/19 (b) USD 1,313   1,401,628  
Montichem Holdco SA, 5.25%, 6/15/21 (d) EUR 311   426,271  
Nexeo Solutions LLC/Nexeo Solutions Finance Corp., 8.38%, 3/01/18 USD 510   515,100  
Nufarm Australia Ltd., 6.38%, 10/15/19 (b)   1,250   1,300,000  
Orion Engineered Carbons Bondco GmbH:          
  9.63%, 6/15/18 (b)   200   215,500  
  10.00%, 6/15/18 EUR 1,637   2,404,122  
PolyOne Corp.:          
  7.38%, 9/15/20 USD 1,205   1,314,956  
  5.25%, 3/15/23   1,506   1,524,825  
Rockwood Specialties Group, Inc., 4.63%, 10/15/20   4,247   4,358,484  
U.S. Coatings Acquisition, Inc./Axalta Coating Systems Dutch Holding BV:          
  5.75%, 2/01/21 EUR 500   730,989  
  7.38%, 5/01/21 (b) USD 1,760   1,927,200  
   
    33,712,560  
 
Commercial Banks — 1.1%  
Banco Bilbao Vizcaya Argentaria SA, 7.00% (c)(h) EUR 1,000   1,426,196  
CIT Group, Inc.:          
  5.25%, 3/15/18 USD 4,320   4,638,600  
  6.63%, 4/01/18 (b)   1,400   1,564,500  
  5.50%, 2/15/19 (b)   6,919   7,472,520  
  6.00%, 4/01/36   2,800   2,898,000  
   
    17,999,816  
 
Commercial Services & Supplies — 3.2%  
AA Bond Co., Ltd., 9.50%, 7/31/43 GBP 996   1,874,007  
           
Corporate Bonds Par
(000)
  Value  
 
Commercial Services & Supplies (concluded)  
ACCO Brands Corp., 6.75%, 4/30/20 USD 424 $ 443,610  
ADS Waste Holdings, Inc., 8.25%, 10/01/20   1,546   1,673,545  
ARAMARK Corp., 5.75%, 3/15/20   3,608   3,838,010  
Aviation Capital Group Corp., 6.75%, 4/06/21 (b)   3,002   3,353,666  
AWAS Aviation Capital Ltd., 7.00%, 10/17/16 (b)   649   669,686  

Bilbao Luxembourg SA, 10.50%,

(10.50% Cash or 11.25% PIK) 12/01/18 (e)

EUR 400   572,523  
Brand Energy & Infrastructure Services, Inc., 8.50%, 12/01/21 (b) USD 3,057   3,240,420  
Catalent Pharma Solutions, Inc., 7.88%, 10/15/18   2,806   2,855,105  
Covanta Holding Corp.:          
  6.38%, 10/01/22   2,970   3,196,462  
  5.88%, 3/01/24   1,180   1,209,500  
Jurassic Holdings III, Inc., 6.88%, 2/15/21 (b)   2,738   2,806,450  
Mobile Mini, Inc., 7.88%, 12/01/20   2,040   2,254,200  
Mustang Merger Corp., 8.50%, 8/15/21 (b)   2,688   2,943,360  
United Rentals North America, Inc.:          
  7.38%, 5/15/20   1,890   2,107,350  
  8.25%, 2/01/21   2,168   2,428,160  
  7.63%, 4/15/22   9,095   10,311,456  
  6.13%, 6/15/23   1,055   1,134,125  
  5.75%, 11/15/24   5,256   5,439,960  
Verisure Holding AB:          
  8.75%, 9/01/18 EUR 790   1,158,732  
  8.75%, 12/01/18   673   990,425  
West Corp., 8.63%, 10/01/18 USD 765   810,900  
   
    55,311,652  
 
Communications Equipment — 2.0%  
Alcatel-Lucent USA, Inc.:          
  4.63%, 7/01/17 (b)   1,735   1,782,713  
  6.75%, 11/15/20 (b)   2,520   2,677,500  
  6.45%, 3/15/29   4,078   3,986,245  
Avaya, Inc. (b):          
  7.00%, 4/01/19   1,505   1,489,950  
  10.50%, 3/01/21   1,355   1,226,275  
CommScope, Inc. (b):          
  5.00%, 6/15/21   1,475   1,482,375  
  5.50%, 6/15/24   1,413   1,420,065  
Nokia OYJ, 5.00%, 10/26/17 EUR 800   2,569,374  
Zayo Group LLC/Zayo Capital, Inc.:          
  8.13%, 1/01/20 USD 5,725   6,254,562  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20144
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Communications Equipment (concluded)  
Zayo Group LLC/Zayo Capital, Inc. (concluded):          
  10.13%, 7/01/20 USD  9,470 $ 10,937,850  
   
    33,826,909  
 
Construction & Engineering — 0.8%  
Aldesa Financial Services SA, 7.25%, 4/01/21 EUR 960   1,318,438  
Astaldi SpA, 7.13%, 12/01/20   2,654   3,913,664  
BlueLine Rental Finance Corp., 7.00%, 2/01/19 (b) USD 1,032   1,104,240  
H&E Equipment Services, Inc., 7.00%, 9/01/22   2,462   2,708,200  
Officine MaccaFerri SpA, 5.75%, 6/01/21 (d) EUR 780   1,084,203  
Safway Group Holding LLC/Safway Finance Corp., 7.00%, 5/15/18 (b) USD 2,852   3,023,120  
Weekley Homes LLC/Weekley Finance Corp., 6.00%, 2/01/23   862   864,155  
   
    14,016,020  
 
Construction Materials — 2.3%  
HD Supply, Inc.:          
  8.13%, 4/15/19   13,109   14,452,672  
  11.00%, 4/15/20   9,123   10,787,948  
  7.50%, 7/15/20   12,975   14,077,875  
Kerneos Tech Group SAS:          
  5.05%, 3/01/21 (c) EUR 194   266,104  
  5.75%, 3/01/21   262   366,074  
   
    39,950,673  
 
Consumer Finance — 0.3%  
Ford Motor Credit Co. LLC:          
  12.00%, 5/15/15 USD 1,120   1,239,784  
  6.63%, 8/15/17   361   416,726  
  8.13%, 1/15/20   500   637,484  
IVS F. SpA, 7.13%, 4/01/20 EUR 1,260   1,825,089  
Springleaf Finance Corp.:          
  6.90%, 12/15/17 USD 315   344,925  
  7.75%, 10/01/21   297   331,898  
  8.25%, 10/01/23   539   609,070  
   
    5,404,976  
 
Containers & Packaging — 1.5%  
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., 6.25%, 1/31/19 (b)   1,504   1,556,640  
Ball Corp., 4.00%, 11/15/23   1,129   1,066,905  
Berry Plastics Corp., 9.75%, 1/15/21   1,020   1,175,550  
           
Corporate Bonds Par
(000)
  Value  
 
Containers & Packaging (concluded)  
Beverage Packaging Holdings Luxembourg II SA (b):          
  5.63%, 12/15/16 USD  3,913 $ 3,976,586  
  6.00%, 6/15/17   2,137   2,179,740  
Crown Americas LLC/Crown Americas Capital Corp. III, 6.25%, 2/01/21   93   99,975  
GCL Holdings SCA, 9.38%, 4/15/18 (b) EUR 1,439   2,107,694  
Graphic Packaging International, Inc., 7.88%, 10/01/18 USD 2,080   2,199,600  
Metsa Board OYJ, 4.00%, 3/13/19 EUR 550   764,802  
OI European Group BV, 4.88%, 3/31/21   1,057   1,552,573  
Pactiv LLC, 7.95%, 12/15/25 USD 3,533   3,656,655  
SGD Group SAS, 5.63%, 5/15/19 EUR 405   565,944  
Signode Industrial Group Lux SA/Signode Industrial Group US, Inc., 6.38%, 5/01/22 (b) USD 1,755   1,772,550  
Tekni-Plex, Inc., 9.75%, 6/01/19 (b)   1,907   2,131,073  
   
    24,806,287  
 
Distributors — 0.4%  
VWR Funding, Inc., 7.25%, 9/15/17   6,554   6,963,625  
 
Diversified Consumer Services — 0.5%  
APX Group, Inc.:          
  6.38%, 12/01/19   580   594,500  
  8.75%, 12/01/20   599   610,980  
Garda World Security Corp., 7.25%, 11/15/21 (b)   702   737,978  
Laureate Education, Inc., 9.25%, 9/01/19 (b)   5,935   6,231,750  
   
    8,175,208  
 
Diversified Financial Services — 4.6%  
Aircastle Ltd., 6.25%, 12/01/19   1,795   1,943,087  
Ally Financial, Inc.:          
  7.50%, 9/15/20   1,141   1,360,643  
  8.00%, 11/01/31 (i)   20,980   26,192,017  
CE Energy AS, 7.00%, 2/01/21   745   1,063,785  
Co-Operative Group Holdings, 6.88%, 7/08/20 (j) GBP 890   1,573,867  
Ford Motor Credit Co. LLC, 5.88%, 8/02/21 USD 200   234,446  
Gala Group Finance PLC, 8.88%, 9/01/18 GBP 2,708   4,822,843  
Jarden Corp., 1.88%, 9/15/18 USD 100   133,875  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20145
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Diversified Financial Services (concluded)  
Jefferies Finance LLC/JFIN Co-Issuer Corp. (b):          
  7.38%, 4/01/20 USD  3,410 $ 3,580,500  
  6.88%, 4/15/22   2,987   3,009,402  
JPMorgan Chase & Co., 6.75% (c)(h)   5,674   6,127,920  
Lehman Brother Holding Escrow, 1.00%, 9/22/18   430   79,013  
Lehman Brothers Holdings, Inc.:          
  5.38%, 10/17/14 EUR 350   93,631  
  4.75%, 1/16/15   1,890   505,609  
  1.00%, 2/05/15   3,950   1,009,583  
  1.00%, 12/31/49 USD 1,535   282,056  
Leucadia National Corp., 8.13%, 9/15/15   4,503   4,881,252  
Reynolds Group Issuer, Inc.:          
  7.13%, 4/15/19   2,140   2,247,000  
  9.00%, 4/15/19   3,290   3,487,400  
  7.88%, 8/15/19   728   795,340  
  9.88%, 8/15/19   3,448   3,797,110  
  5.75%, 10/15/20   9,982   10,381,280  
  6.88%, 2/15/21   115   123,913  
  8.25%, 2/15/21   1,365   1,452,019  
   
    79,177,591  
 
Diversified Telecommunication Services — 3.7%  
CenturyLink, Inc., Series V, 5.63%, 4/01/20   6,545   6,921,337  
Cequel Communications Holdings I LLC/Cequel Capital Corp., 5.13%, 12/15/21 (b)   2,350   2,326,500  
Consolidated Communications Finance Co., 10.88%, 6/01/20   1,915   2,226,188  
Frontier Communications Corp., 8.50%, 4/15/20   2,900   3,382,125  
Level 3 Communications, Inc., 8.88%, 6/01/19   1,780   1,949,100  
Level 3 Financing, Inc.:          
  8.13%, 7/01/19   7,665   8,374,012  
  7.00%, 6/01/20   2,395   2,592,588  
  8.63%, 7/15/20   8,235   9,243,787  
Telecom Italia SpA:          
  6.13%, 11/15/16 (f) EUR 3,500   5,904,143  
  6.38%, 6/24/19 GBP 900   1,645,024  
  4.88%, 9/25/20 EUR 870   1,281,774  
  4.50%, 1/25/21   1,350   1,948,768  
  5.88%, 5/19/23 GBP 1,900   3,326,768  
Telenet Finance V Luxembourg SCA:          
  6.25%, 8/15/22 EUR 1,362   2,002,874  
  6.75%, 8/15/24   1,982   2,978,694  
tw telecom holdings, Inc., 5.38%, 10/01/22 USD 3,085   3,150,557  
           
Corporate Bonds Par
(000)
  Value  
 
Diversified Telecommunication Services (concluded)  
Windstream Corp.:          
  7.75%, 10/15/20 USD  1,963 $ 2,129,855  
  7.75%, 10/01/21   1,720   1,866,200  
   
    63,250,294  
 
Electric Utilities — 0.4%  
Homer City Generation LP (e):          
  8.14% (8.14% Cash or 8.64% PIK), 10/01/19   850   905,250  
  8.73% (8.73% Cash or 9.23% PIK), 10/01/26   2,165   2,313,844  
Miran Mid-Atlantic Series C Pass Through Trust, Series C, 10.06%, 12/30/28   1,565   1,768,130  
Mirant Mid Atlantic Pass-Through Trust, Series B, 9.13%, 6/30/17   1,320   1,438,446  
   
    6,425,670  
 
Electrical Equipment — 0.3%  
Belden, Inc., 5.50%, 4/15/23 EUR 600   850,606  
International Wire Group Holdings, Inc., 8.50%, 10/15/17 (b) USD 1,421   1,548,890  
Rexel SA, 5.25%, 6/15/20 (b)   205   215,250  
Techem Energy Metering Service GmbH & Co., 7.88%, 10/01/20 EUR 210   320,613  
Trionista Holdco GmbH, 5.00%, 4/30/20   1,511   2,157,556  
Trionista TopCo GmbH, 6.88%, 4/30/21   418   617,910  
   
    5,710,825  
 
Electronic Equipment, Instruments & Components — 0.1%  
CDW LLC/CDW Finance Corp., 8.50%, 4/01/19 USD 125   136,094  
Jabil Circuit, Inc., 8.25%, 3/15/18   1,310   1,558,900  
   
    1,694,994  
 
Energy Equipment & Services — 2.2%  
Atwood Oceanics, Inc., 6.50%, 2/01/20   780   826,800  
Calfrac Holdings LP, 7.50%, 12/01/20 (b)   1,575   1,681,312  
CGG SA:          
  7.75%, 5/15/17   499   503,990  
  6.50%, 6/01/21   6,600   6,336,000  
Genesis Energy LP/Genesis Energy Finance Corp., 5.75%, 2/15/21   283   292,905  
Gulfmark Offshore, Inc., 6.38%, 3/15/22   870   904,800  
Hornbeck Offshore Services, Inc., 5.88%, 4/01/20   1,750   1,820,000  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20146
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Energy Equipment & Services (concluded)  
MEG Energy Corp. (b):          
  6.50%, 3/15/21 USD  5,278 $ 5,588,082  
  7.00%, 3/31/24   4,342   4,689,360  
Peabody Energy Corp.:          
  6.00%, 11/15/18   3,526   3,675,855  
  6.25%, 11/15/21   3,679   3,679,000  
  7.88%, 11/01/26   2,795   2,934,750  
Pioneer Energy Services Corp., 6.13%, 3/15/22 (b)   528   542,520  
Precision Drilling Corp.:          
  6.63%, 11/15/20   425   454,750  
  5.25%, 11/15/24 (b)   2,382   2,405,820  
Rain CII Carbon LLC/CII Carbon Corp., 8.25%, 1/15/21 (b)   1,361   1,412,038  
   
    37,747,982  
 
Food & Staples Retailing — 0.8%  
Bakkavor Finance 2 PLC:          
  8.25%, 2/15/18 GBP 1,427   2,555,376  
  8.75%, 6/15/20   795   1,492,487  
Brakes Capital, 7.13%, 12/15/18   830   1,410,375  
Labeyrie Fine Foods SAS, 5.63%, 3/15/21 EUR 250   350,585  
Premier Foods Finance PLC, 6.50%, 3/15/21 GBP 420   726,954  
R&R Ice Cream PLC:          
  5.50%, 5/15/20   425   701,699  
  9.25% (9.25% Cash), 5/15/18 (e) EUR 610   848,152  
Rite Aid Corp.:          
  9.25%, 3/15/20 USD 2,080   2,371,200  
  6.75%, 6/15/21   2,283   2,471,347  
TreeHouse Foods, Inc., 4.88%, 3/15/22   730   743,688  
   
    13,671,863  
 
Food Products — 0.6%  
Findus Bondco SA:          
  9.13%, 7/01/18 EUR 830   1,230,413  
  9.50%, 7/01/18 GBP 465   847,672  
JBS Investments GmbH, 7.75%, 10/28/20 (b) USD 2,638   2,831,761  
Smithfield Foods, Inc.:          
  5.88%, 8/01/21 (b)   891   946,688  
  6.63%, 8/15/22   2,626   2,878,752  
Univeg Holding BV, 7.88%, 11/15/20 EUR 595   827,312  
   
    9,562,598  
 
Health Care Equipment & Supplies — 0.8%  
3AB Optique Developpement SAS, 5.63%, 4/15/19   900   1,193,097  
Biomet, Inc., 6.50%, 10/01/20 USD 2,801   3,011,075  
           
Corporate Bonds Par
(000)
  Value  
 
Health Care Equipment & Supplies (concluded)  
DJO Finance LLC/DJO Finance Corp., 8.75%, 3/15/18 USD  2,106 $ 2,263,950  
Fresenius Medical Care US Finance, Inc., 5.75%, 2/15/21 (b)   1,580   1,714,300  
IDH Finance PLC:          
  6.00%, 12/01/18 GBP 614   1,070,353  
  6.00%, 12/01/18 (b)   200   348,649  
Kinetic Concepts, Inc./KCI USA, Inc., 12.50%, 11/01/19 USD 1,279   1,467,653  
Ortho-Clinical Diagnostics, Inc., 6.63%, 5/15/22 (b)   1,280   1,270,400  
Teleflex, Inc., 6.88%, 6/01/19   1,635   1,743,319  
   
    14,082,796  
 
Health Care Providers & Services — 5.3%  
Alere, Inc.:          
  7.25%, 7/01/18   802   876,185  
  8.63%, 10/01/18   2,834   2,996,955  
Aviv Healthcare Properties LP/Aviv Healthcare Capital Corp.:          
  7.75%, 2/15/19   3,165   3,378,638  
  6.00%, 10/15/21   1,353   1,427,415  
CHS/Community Health Systems, Inc.:          
  5.13%, 8/15/18   4,465   4,693,831  
  6.88%, 2/01/22 (b)   4,448   4,681,520  
ConvaTec Healthcare E SA, 7.38%, 12/15/17 (b) EUR 1,907   2,747,648  
Crown Newco 3 PLC, 7.00%, 2/15/18 GBP 294   519,660  
HCA Holdings, Inc., 7.75%, 5/15/21 USD 2,666   2,935,933  
HCA, Inc.:          
  3.75%, 3/15/19   4,161   4,233,817  
  6.50%, 2/15/20   9,730   11,055,712  
  5.88%, 3/15/22   3,565   3,881,394  
  4.75%, 5/01/23   1,250   1,250,000  
  5.88%, 5/01/23   4,096   4,239,360  
Hologic, Inc., 6.25%, 8/01/20   6,719   7,138,937  
Kindred Healthcare, Inc., 6.38%, 4/15/22 (b)   931   946,129  
MPH Acquisition Holdings LLC, 6.63%, 4/01/22 (b)   1,280   1,328,000  
Omnicare, Inc., 3.75%, 4/01/42   1,722   2,742,285  
Priory Group No. 3 PLC, 7.00%, 2/15/18 (b) GBP 2,017   3,565,151  
Symbion, Inc., 8.00%, 6/15/16 USD 1,915   1,996,388  
Tenet Healthcare Corp.:          
  6.25%, 11/01/18   3,043   3,354,908  
  5.00%, 3/01/19 (b)   2,252   2,297,040  
  4.75%, 6/01/20   2,575   2,607,188  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20147
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Health Care Providers & Services (concluded)  
Tenet Healthcare Corp. (concluded):          
  8.00%, 8/01/20 USD  1,973 $ 2,150,570  
  6.00%, 10/01/20   2,100   2,257,500  
  4.50%, 4/01/21   311   308,668  
  4.38%, 10/01/21   4,005   3,934,912  
  8.13%, 4/01/22   4,192   4,768,400  
Voyage Care Bondco PLC, 6.50%, 8/01/18 GBP 890   1,551,489  
   
    89,865,633  
 
Health Care Technology — 0.0%  
IMS Health, Inc., 6.00%, 11/01/20 (b) USD 795   838,725  
 
Hotels, Restaurants & Leisure — 4.5%  
Caesars Entertainment Operating Co., Inc.:          
  10.00%, 12/15/15   389   396,780  
  8.50%, 2/15/20   1,530   1,216,350  
  9.00%, 2/15/20   17,176   13,697,859  
Carlson Wagonlit BV, 6.88%, 6/15/19 (b)   295   316,004  
Cedar Funding Ltd., 5.38%, 6/01/24 (b)   1,070   1,079,363  
Cirsa Funding Luxembourg SA, 8.75%, 5/15/18 EUR 3,382   4,817,631  
Diamond Resorts Corp., 12.00%, 8/15/18 USD 6,422   6,947,962  
Enterprise Funding Ltd., Series ETI, 3.50%, 9/10/20 (f) GBP 400   707,691  
Enterprise Inns PLC, 6.50%, 12/06/18   1,598   2,895,261  
Gamenet SpA, 7.25%, 8/01/18 EUR 1,255   1,762,076  
Gategroup Finance Luxembourg SA, 6.75%, 3/01/19   2,164   3,126,848  
GLP Capital LP/GLP Financing II, Inc., 4.38%, 11/01/18 (b) USD 894   927,525  
Greektown Holdings LLC/Greektown Mothership Corp., 8.88%, 3/15/19 (b)   1,220   1,250,500  
Intralot Capital Luxembourg SA, 6.00%, 5/15/21 EUR 713   976,786  
Intralot Finance Luxembourg SA, 9.75%, 8/15/18   2,140   3,325,541  
Isle of Capri Casinos, Inc.:          
  7.75%, 3/15/19 USD 280   298,200  
  5.88%, 3/15/21   1,209   1,227,135  
MCE Finance Ltd., 5.00%, 2/15/21 (b)   3,339   3,330,652  
PNK Finance Corp., 6.38%, 8/01/21 (b)   1,482   1,559,805  
           
Corporate Bonds Par
(000)
  Value  
 
Hotels, Restaurants & Leisure (concluded)  
Regal Entertainment Group, 5.75%, 2/01/25 USD  489 $ 489,000  
Six Flags Entertainment Corp., 5.25%, 1/15/21 (b)   3,247   3,311,940  
Snai SpA, 7.63%, 6/15/18 EUR 1,025   1,504,117  
Station Casinos LLC, 7.50%, 3/01/21 USD 5,095   5,528,075  
Stonegate Pub Co. Financing PLC, 5.75%, 4/15/19 GBP 420   711,043  
Travelport LLC/Travelport Holdings, Inc. (b):          
  6.36%, 3/01/16 (c) USD 470   470,170  
  11.88%, 9/01/16   188   188,122  
  13.88% (11.38% Cash or 2.50% PIK), 3/01/16 (e)   5,152   5,306,881  
Tropicana Entertainment LLC/Tropicana Finance Corp., 9.63%, 12/15/14 (a)(k)   1,850    
The Unique Pub Finance Co. PLC, Series A3, 6.54%, 3/30/21 GBP 2,273   4,021,950  
Vougeot Bidco PLC, 7.88%, 7/15/20   920   1,675,109  
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., 5.38%, 3/15/22 USD 689   720,005  
Wynn Macau Ltd., 5.25%, 10/15/21 (b)   2,425   2,491,688  
   
    76,278,069  
 
Household Durables — 2.8%  
Algeco Scotsman Global Finance PLC, 9.00%, 10/15/18 EUR 611   899,515  
Ashton Woods USA LLC/Ashton Woods Finance Co., 6.88%, 2/15/21 (b) USD 1,262   1,271,465  
Beazer Homes USA, Inc.:          
  6.63%, 4/15/18   215   230,050  
  5.75%, 6/15/19 (b)   3,638   3,619,810  
  7.50%, 9/15/21   2,710   2,859,050  
Brookfield Residential Properties, Inc., 6.50%, 12/15/20 (b)   2,275   2,400,125  
Brookfield Residential Properties, Inc./Brookfield Residential US Corp., 6.13%, 7/01/22 (b)   1,604   1,656,130  
K. Hovnanian Enterprises, Inc. (b):          
  7.00%, 1/15/19   387   393,773  
  7.25%, 10/15/20   4,360   4,708,800  
KB Home:          
  4.75%, 5/15/19   2,024   2,029,060  
  7.00%, 12/15/21   1,506   1,626,480  
PulteGroup, Inc., 6.38%, 5/15/33   1,050   1,044,750  
The Ryland Group, Inc., 6.63%, 5/01/20   1,900   2,061,500  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20148
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Household Durables (concluded)  
Spie BondCo 3 SCA, 11.00%, 8/15/19 EUR 878 $ 1,356,672  
Standard Pacific Corp.:          
  10.75%, 9/15/16 USD 6,920   8,269,400  
  8.38%, 1/15/21   4,270   5,081,300  
Taylor Morrison Communities, Inc./Monarch Communities, Inc. (b):          
  7.75%, 4/15/20   1,650   1,810,875  
  5.25%, 4/15/21   1,484   1,498,840  
William Lyon Homes, Inc., 8.50%, 11/15/20   4,579   5,117,033  
   
    47,934,628  
 
Household Products — 0.4%  
Ontex IV SA, 9.00%, 4/15/19 EUR 1,163   1,728,024  
Spectrum Brands, Inc.:          
  6.75%, 3/15/20 USD 535   575,125  
  6.38%, 11/15/20   2,125   2,302,969  
  6.63%, 11/15/22   1,385   1,516,575  
   
    6,122,693  
 
Independent Power Producers & Energy Traders — 1.6%  
Baytex Energy Corp. (b):          
  5.13%, 6/01/21   944   955,800  
  5.63%, 6/01/24   779   783,869  
Calpine Corp. (b):          
  7.50%, 2/15/21   156   169,650  
  6.00%, 1/15/22   676   725,010  
  5.88%, 1/15/24   1,999   2,093,952  
Energy Future Intermediate Holding Co. LLC/EFIH Finance, Inc., 11.75%, 3/01/22 (a)(b)(k)   6,312   7,527,060  
NRG Energy, Inc.:          
  7.63%, 1/15/18   7,493   8,551,386  
  6.25%, 5/01/24 (b)   3,606   3,732,210  
NRG REMA LLC:          
  Series B, 9.24%, 7/02/17   158   163,614  
  Series C, 9.68%, 7/02/26   935   1,019,150  
QEP Resources, Inc., 5.38%, 10/01/22   1,843   1,866,038  
   
    27,587,739  
 
Insurance — 1.1%  
A-S Co-Issuer Subsidiary, Inc./A-S Merger Sub LLC, 7.88%, 12/15/20 (b)   6,232   6,590,340  
CNO Financial Group, Inc., 6.38%, 10/01/20 (b)   1,244   1,349,740  
Galaxy Bidco Ltd., 6.38%, 11/15/20 GBP 600   1,023,360  
Hockey Merger Sub 2, Inc., 7.88%, 10/01/21 (b) USD 3,920   4,204,200  
           
Corporate Bonds Par
(000)
  Value  
 
Insurance (concluded)  
MPL 2 Acquisition Canco, Inc., 9.88%, 8/15/18 (b) USD  3,650 $ 3,942,000  
TMF Group Holding BV, 9.88%, 12/01/19 EUR 1,140   1,715,528  
   
    18,825,168  
 
Internet Software & Services — 0.4%  
Bankrate, Inc., 6.13%, 8/15/18 (b) USD 1,613   1,715,829  
Cerved Group SpA:          
  6.38%, 1/15/20 EUR 601   888,890  
  8.00%, 1/15/21   400   605,238  
Interactive Data Corp., 5.88%, 4/15/19 (b) USD 4,101   4,131,757  
   
    7,341,714  
 
IT Services — 4.7%  
Ceridian Corp., 8.88%, 7/15/19 (b)   10,485   11,821,837  
Ceridian HCM Holding, Inc., 11.00%, 3/15/21 (b)   13,854   15,966,735  
Ceridian LLC/Comdata, Inc., 8.13%, 11/15/17 (b)(d)   4,145   4,186,450  
Epicor Software Corp., 8.63%, 5/01/19   3,077   3,342,391  
First Data Corp.:          
  7.38%, 6/15/19 (b)   8,670   9,298,575  
  8.88%, 8/15/20 (b)   2,745   3,046,950  
  6.75%, 11/01/20 (b)   6,605   7,092,119  
  8.25%, 1/15/21 (b)   1,054   1,143,590  
  10.63%, 6/15/21   3,247   3,721,874  
  11.75%, 8/15/21   4,869   5,404,590  
  8.75% (8.75% Cash or 10.00% PIK), 1/15/22 (b)(e)   365   399,675  
SunGard Data Systems, Inc.:          
  7.38%, 11/15/18   3,100   3,282,125  
  6.63%, 11/01/19   7,950   8,407,125  
WEX, Inc., 4.75%, 2/01/23 (b)   2,728   2,642,750  
   
    79,756,786  
 
Machinery — 0.2%  
DH Services Luxembourg Sarl, 7.75%, 12/15/20 (b)   514   548,695  
Galapagos Holding SA, 7.00%, 6/15/22 EUR 475   654,813  
Galapagos SA, 5.38%, 6/15/21   325   447,454  
SPX Corp., 6.88%, 9/01/17 USD 980   1,107,400  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 20149
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Machinery (concluded)  
Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc., 8.75%, 2/01/19 USD  661 $ 704,791  
   
    3,463,153  
 
Media — 10.3%  
Adria Bidco BV, 7.88%, 11/15/20 EUR 600   883,321  
Altice Financing SA, 6.50%, 1/15/22 (b) USD 2,410   2,542,550  
Altice SA:          
  7.25%, 5/15/22 EUR 2,010   2,881,997  
  7.75%, 5/15/22 (b) USD 2,645   2,780,556  
AMC Networks, Inc.:          
  7.75%, 7/15/21   1,250   1,396,875  
  4.75%, 12/15/22   1,613   1,608,968  
Cablevision Systems Corp., 5.88%, 9/15/22   3,070   3,123,725  
CBS Outdoor Americas Capital LLC/CBS Outdoor Americas Capital Corp. (b):          
  5.25%, 2/15/22   650   666,250  
  5.63%, 2/15/24   638   655,545  
CCO Holdings LLC/CCO Holdings Capital Corp.:          
  5.25%, 9/30/22   3,171   3,226,492  
  5.13%, 2/15/23   4,230   4,261,725  
Cengage Learning Acquisitions, Inc., 11.50%, 4/15/20 (a)(k)   3,439    
Clear Channel Communications, Inc.:          
  9.00%, 12/15/19   5,469   5,824,485  
  9.00%, 3/01/21   4,778   5,100,515  
Clear Channel Worldwide Holdings, Inc.:          
  7.63%, 3/15/20   4,069   4,374,175  
  6.50%, 11/15/22   11,724   12,526,886  
Clearwire Communications LLC / Clearwire Finance, Inc., 8.25%, 12/01/40 (b)   4,706   5,453,077  
Columbus International, Inc., 7.38%, 3/30/21 (b)   3,455   3,657,981  
DISH DBS Corp.:          
  4.25%, 4/01/18   3,209   3,353,405  
  5.13%, 5/01/20   4,652   4,884,600  
DreamWorks Animation SKG, Inc., 6.88%, 8/15/20 (b)   901   973,080  
Gannett Co., Inc. (b):          
  5.13%, 10/15/19   857   893,423  
  5.13%, 7/15/20   506   523,710  
  6.38%, 10/15/23   1,314   1,402,695  
Gray Television, Inc., 7.50%, 10/01/20   1,743   1,869,367  
           
Corporate Bonds Par
(000)
  Value  
 
Media (continued)  
Harron Communications LP/Harron Finance Corp., 9.13%, 4/01/20 (b) USD  4,510 $ 5,051,200  
Inmarsat Finance PLC, 4.88%, 5/15/22 (b)(d)   2,805   2,833,050  
Intelsat Jackson Holdings SA:          
  6.63%, 12/15/22   1,040   1,084,200  
  5.50%, 8/01/23 (b)   3,775   3,756,125  
Intelsat Luxembourg SA, 6.75%, 6/01/18   5,500   5,836,875  
Lamar Media Corp., 5.38%, 1/15/24 (b)   1,061   1,100,788  
Live Nation Entertainment, Inc., 7.00%, 9/01/20 (b)   987   1,078,298  
The McClatchy Co., 9.00%, 12/15/22   1,934   2,212,012  
Midcontinent Communications & Midcontinent Finance Corp., 6.25%, 8/01/21 (b)   3,901   4,037,535  
NAI Entertainment Holdings/NAI Entertainment Holdings Finance Corp., 5.00%, 8/01/18 (b)   2,039   2,120,560  
The New York Times Co., 6.63%, 12/15/16   225   249,750  
Nexstar Broadcasting, Inc., 6.88%, 11/15/20   1,023   1,092,053  
Numericable Group SA:          
  5.38%, 5/15/22 EUR 890   1,279,930  
  6.00%, 5/15/22 (b) USD 7,205   7,475,187  
  5.63%, 5/15/24 EUR 1,785   2,571,430  
  6.25%, 5/15/24 (b) USD 1,285   1,344,431  
Odeon & UCI Finco PLC, 9.00%, 8/01/18 (b) GBP 832   1,460,841  
Play Finance 2 SA, 5.25%, 2/01/19 EUR 1,070   1,526,029  
ProQuest LLC/ProQuest Notes Co., 9.00%, 10/15/18 (b) USD 1,009   1,061,973  
Radio One, Inc., 9.25%, 2/15/20 (b)   2,686   2,900,880  
RCN Telecom Services LLC/RCN Capital Corp., 8.50%, 8/15/20 (b)   1,450   1,547,875  
Sirius XM Holdings, Inc. (b):          
  4.25%, 5/15/20   2,309   2,274,365  
  5.75%, 8/01/21   1,811   1,906,077  
Sterling Entertainment Corp., 10.00%, 12/15/19   4,810   4,906,200  
Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH:          
  7.50%, 3/15/19 EUR 4,494   6,564,495  
  5.50%, 1/15/23 (b) USD 2,550   2,613,750  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201410
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Media (concluded)  
Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH (concluded):          
  5.63%, 4/15/23 EUR 208 $ 305,864  
Unitymedia KabelBW GmbH:          
  9.63%, 12/01/19   100   147,050  
  9.50%, 3/15/21   2,061   3,230,870  
Univision Communications, Inc. (b):          
  8.50%, 5/15/21 USD 1,597   1,752,708  
  6.75%, 9/15/22      
  5.13%, 5/15/23   3,720   3,822,300  
UPCB Finance II Ltd., 6.38%, 7/01/20 (b) EUR 4,437   6,437,081  
Virgin Media Secured Finance PLC, 6.00%, 4/15/21 GBP 5,502   9,602,871  
VTR Finance BV, 6.88%, 1/15/24 (b) USD 1,727   1,830,625  
WaveDivision Escrow LLC/WaveDivision Escrow Corp., 8.13%, 9/01/20 (b)   2,248   2,422,220  
Ziggo Bond Co. BV, 8.00%, 5/15/18 (b) EUR 709   1,058,288  
   
    175,361,189  
 
Metals & Mining — 4.1%  
APERAM, 7.75%, 4/01/18 (b) USD 600   639,000  
ArcelorMittal, 6.13%, 6/01/18   2,500   2,740,625  
Arch Coal, Inc.:          
  7.00%, 6/15/19   1,614   1,198,395  
  7.25%, 10/01/20   678   491,550  
  7.25%, 6/15/21   500   356,250  
Constellium NV:          
  4.63%, 5/15/21 EUR 1,270   1,776,644  
  5.75%, 5/15/24 (b) USD 3,385   3,490,781  
Eco-Bat Finance PLC, 7.75%, 2/15/17 EUR 2,090   2,955,820  
First Quantum Minerals Ltd. (b):          
  6.75%, 2/15/20 USD 2,651   2,704,020  
  7.25%, 5/15/22   583   599,033  
FMG Resources August 2006 Property Ltd., 6.00%, 4/01/17 (b)   2,117   2,191,095  
Global Brass & Copper, Inc., 9.50%, 6/01/19   4,660   5,324,050  
Imperial Metals Corp., 7.00%, 3/15/19 (b)   460   469,200  
Kaiser Aluminum Corp., 8.25%, 6/01/20   1,240   1,401,200  
New Gold, Inc., 6.25%, 11/15/22 (b)   1,485   1,533,263  
Novelis, Inc., 8.75%, 12/15/20   12,130   13,479,462  
Ovako AB, 6.50%, 6/01/19 EUR 935   1,296,850  
           
Corporate Bonds Par
(000)
  Value  
 
Metals & Mining (concluded)  
Peninsula Energy Ltd., 11.00%, 12/14/14 USD 2,800 $ 2,800,000  
Perstorp Holding AB, 8.75%, 5/15/17 (b)   990   1,064,250  
Ryerson, Inc. / Joseph T Ryerson & Son, Inc., 9.00%, 10/15/17   1,740   1,868,325  
Steel Dynamics, Inc.:          
  6.38%, 8/15/22   1,345   1,464,369  
  5.25%, 4/15/23   1,168   1,194,280  
Taseko Mines Ltd., 7.75%, 4/15/19   2,320   2,360,600  
ThyssenKrupp AG, 3.13%, 10/25/19 EUR 2,040   2,858,761  
Vedanta Resources PLC, 8.25%, 6/07/21 (b) USD 1,565   1,750,922  
Wise Metals Group LLC/Wise Alloys Finance Corp., 8.75%, 12/15/18 (b)   10,804   11,506,260  
   
    69,515,005  
 
Multiline Retail — 0.7%  
CST Brands, Inc., 5.00%, 5/01/23   2,083   2,077,793  
Dufry Finance SCA, 5.50%, 10/15/20 (b)   1,927   2,013,869  
The Neiman Marcus Group Ltd., 8.00%, 10/15/21 (b)   7,817   8,598,700  
   
    12,690,362  
 
Oil, Gas & Consumable Fuels — 12.9%  
Access Midstream Partners LP/ACMP Finance Corp.:          
  5.88%, 4/15/21   1,635   1,743,319  
  6.13%, 7/15/22   1,520   1,656,800  
  4.88%, 5/15/23   3,283   3,430,735  
  4.88%, 3/15/24   2,190   2,294,025  
Antero Resources Finance Corp., 5.38%, 11/01/21   1,942   2,022,107  
Athlon Holdings LP/Athlon Finance Corp. (b):          
  7.38%, 4/15/21   1,053   1,142,505  
  6.00%, 5/01/22   2,327   2,379,357  
Aurora USA Oil & Gas, Inc. (b):          
  9.88%, 2/15/17   2,667   2,960,370  
  7.50%, 4/01/20   4,188   4,732,440  
Berry Petroleum Co., 6.38%, 9/15/22   1,755   1,838,363  
Bonanza Creek Energy, Inc., 6.75%, 4/15/21   637   679,998  
BreitBurn Energy Partners LP/BreitBurn Finance Corp., 7.88%, 4/15/22   1,420   1,526,500  
Carrizo Oil & Gas, Inc., 7.50%, 9/15/20   1,321   1,446,495  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201411
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Oil, Gas & Consumable Fuels (continued)  
Chaparral Energy, Inc., 7.63%, 11/15/22 USD  1,220 $ 1,299,300  
Chesapeake Energy Corp.:          
  6.63%, 8/15/20   1,632   1,880,880  
  6.88%, 11/15/20   1,641   1,907,662  
  6.13%, 2/15/21   524   588,845  
  5.75%, 3/15/23   1,863   2,077,245  
Cimarex Energy Co., 4.38%, 6/01/24 (d)   1,349   1,372,608  
Concho Resources, Inc.:          
  7.00%, 1/15/21   465   514,988  
  5.50%, 10/01/22   2,016   2,162,160  
  5.50%, 4/01/23   2,253   2,410,710  
CONSOL Energy, Inc.:          
  8.25%, 4/01/20   1,286   1,398,525  
  5.88%, 4/15/22 (b)   9,808   10,175,800  
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp., 6.13%, 3/01/22 (b)   1,207   1,264,333  
CrownRock LP/CrownRock Finance, Inc., 7.13%, 4/15/21 (b)   3,135   3,291,750  
Denbury Resources, Inc.:          
  5.50%, 5/01/22   1,862   1,917,860  
  4.63%, 7/15/23   3,540   3,407,250  
Diamondback Energy, Inc., 7.63%, 10/01/21 (b)   2,449   2,669,410  
El Paso LLC:          
  7.80%, 8/01/31   2,547   2,757,127  
  7.75%, 1/15/32   3,565   3,885,850  
Energy Transfer Equity LP:          
  5.88%, 1/15/24   2,247   2,320,027  
  5.88%, 1/15/24 (b)   5,720   5,920,200  
Energy XXI Gulf Coast, Inc.:          
  9.25%, 12/15/17   2,600   2,798,250  
  7.75%, 6/15/19   2,025   2,181,937  
  6.88%, 3/15/24 (b)   1,141   1,149,558  
EnQuest PLC, 7.00%, 4/15/22 (b)   2,100   2,173,500  
EP Energy LLC/EP Energy Finance, Inc., 9.38%, 5/01/20   1,180   1,355,525  
EP Energy LLC/Everest Acquisition Finance, Inc., 6.88%, 5/01/19   1,915   2,049,050  
EV Energy Partners LP/EV Energy Finance Corp., 8.00%, 4/15/19   820   856,900  
EXCO Resources, Inc.:          
  7.50%, 9/15/18   1,475   1,500,813  
  8.50%, 4/15/22   947   977,778  
Halcon Resources Corp.:          
  9.75%, 7/15/20   2,146   2,349,870  
  8.88%, 5/15/21   2,311   2,461,215  
  9.25%, 2/15/22   1,117   1,195,190  
             
Corporate Bonds Par
(000)
  Value  
 
Oil, Gas & Consumable Fuels (continued)  
Hilcorp Energy I LP/Hilcorp Finance Co., 7.63%, 4/15/21 (b) USD  1,472 $ 1,610,000  
Jones Energy Holdings LLC/Jones Energy Finance Corp., 6.75%, 4/01/22 (b)   1,400   1,477,000  
Kinder Morgan, Inc., 5.63%, 11/15/23 (b)   1,711   1,725,429  
Kodiak Oil & Gas Corp.:          
  8.13%, 12/01/19   1,735   1,925,850  
  5.50%, 2/01/22   892   912,070  
Laredo Petroleum, Inc., 7.38%, 5/01/22   3,065   3,394,487  
Legacy Reserves LP/Legacy Reserves Finance Corp.:          
  6.63%, 12/01/21   843   855,645  
  6.63%, 12/01/21 (b)   1,390   1,410,850  
Lightstream Resources Ltd., 8.63%, 2/01/20 (b)   1,441   1,498,640  
Linn Energy LLC/Linn Energy Finance Corp.:          
  6.50%, 5/15/19   243   255,758  
  7.25%, 11/01/19 (b)   1,904   1,999,200  
  8.63%, 4/15/20   4,354   4,718,647  
  7.75%, 2/01/21   365   393,744  
MarkWest Energy Partners LP/MarkWest Energy Finance Corp.:          
  6.25%, 6/15/22   674   727,920  
  4.50%, 7/15/23   1,720   1,689,900  
Memorial Production Partners LP/Memorial Production Finance Corp., 7.63%, 5/01/21   1,091   1,129,185  
Newfield Exploration Co., 6.88%, 2/01/20   4,325   4,595,312  
NGPL PipeCo LLC, 7.12%, 12/15/17 (b)   3,130   3,130,000  
Northern Oil and Gas, Inc., 8.00%, 6/01/20   1,523   1,618,188  
Oasis Petroleum, Inc.:          
  7.25%, 2/01/19   1,125   1,198,125  
  6.50%, 11/01/21   1,625   1,738,750  
Offshore Group Investment Ltd., 7.50%, 11/01/19   2,521   2,647,050  
Pacific Drilling SA, 5.38%, 6/01/20 (b)   2,069   2,027,620  
Parker Drilling Co.:          
  7.50%, 8/01/20   1,995   2,139,637  
  6.75%, 7/15/22 (b)   715   740,025  
Parsley Energy LLC / Parsley Finance Corp., 7.50%, 2/15/22 (b)   3,594   3,800,655  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201412
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Oil, Gas & Consumable Fuels (continued)  
PBF Holding Co. LLC/PBF Finance Corp., 8.25%, 2/15/20 USD  532 $ 582,540  
PDC Energy, Inc., 7.75%, 10/15/22   995   1,099,475  
Penn Virginia Corp., 8.50%, 5/01/20   2,035   2,261,394  
Petrobras Global Finance BV, 3.00%, 1/15/19   1,927   1,884,606  
Petroleum Geo-Services ASA, 7.38%, 12/15/18 (b)   3,816   4,083,120  
QEP Resources, Inc., 5.25%, 5/01/23   800   800,000  
Range Resources Corp.:          
  6.75%, 8/01/20   658   712,285  
  5.75%, 6/01/21   568   614,860  
  5.00%, 8/15/22   530   556,500  
  5.00%, 3/15/23   1,193   1,252,650  
Regency Energy Partners LP/Regency Energy Finance Corp.:          
  5.75%, 9/01/20   628   659,400  
  4.50%, 11/01/23   2,835   2,700,337  
RKI Exploration & Production LLC/RKI Finance Corp., 8.50%, 8/01/21 (b)   460   499,100  
Rosetta Resources, Inc.:          
  5.63%, 5/01/21   2,021   2,076,577  
  5.88%, 6/01/24   1,007   1,024,623  
Sabine Pass Liquefaction LLC:          
  5.63%, 4/15/23   1,908   1,960,470  
  5.63%, 4/15/23 (b)   3,087   3,171,892  
  5.75%, 5/15/24 (b)   9,250   9,504,375  
Sabine Pass LNG LP, 7.50%, 11/30/16   8,155   9,031,662  
SandRidge Energy, Inc.:          
  8.75%, 1/15/20   171   184,680  
  7.50%, 3/15/21   350   372,750  
  7.50%, 2/15/23   1,378   1,467,570  
Seven Generations Energy Ltd., 8.25%, 5/15/20 (b)   5,098   5,582,310  
SM Energy Co.:          
  6.63%, 2/15/19   1,174   1,245,908  
  6.50%, 1/01/23   951   1,031,835  
Summit Midstream Holdings LLC/Summit Midstream Finance Corp., 7.50%, 7/01/21   1,566   1,699,110  
Tesoro Logistics LP/Tesoro Logistics Finance Corp., 5.88%, 10/01/20   860   898,700  
Ultra Petroleum Corp., 5.75%, 12/15/18 (b)   2,596   2,738,780  
           
Corporate Bonds Par
(000)
  Value  
 
Oil, Gas & Consumable Fuels (concluded)  
Vanguard Natural Resources LLC/VNR Finance Corp., 7.88%, 4/01/20 USD  1,500 $ 1,620,000  
Whiting Petroleum Corp.:          
  5.00%, 3/15/19   3,541   3,731,329  
  5.75%, 3/15/21   2,356   2,544,480  
   
    219,078,135  
 
Paper & Forest Products — 0.6%  
Ainsworth Lumber Co. Ltd., 7.50%, 12/15/17 (b)   1,864   1,961,860  
Clearwater Paper Corp.:          
  7.13%, 11/01/18   3,235   3,408,881  
  4.50%, 2/01/23   245   237,650  
Mercer International, Inc., 9.50%, 12/01/17   1,175   1,263,125  
NewPage Corp., 11.38%, 12/31/14 (a)(k)   10,925   1  
Sappi Papier Holding GmbH (b):          
  8.38%, 6/15/19   1,000   1,105,000  
  6.63%, 4/15/21   350   367,500  
Unifrax I LLC/Unifrax Holding Co., 7.50%, 2/15/19 (b)   1,335   1,401,750  
   
    9,745,767  
 
Pharmaceuticals — 2.2%  
Capsugel Finance Co. SCA:          
  9.88%, 8/01/19 EUR 405   601,072  
  9.88%, 8/01/19 (b)   1,100   1,632,542  
Endo Finance LLC/Endo Finco, Inc., 7.25%, 1/15/22 (b) USD 696   758,640  
Forest Laboratories, Inc. (b):          
  4.38%, 2/01/19   3,901   4,222,833  
  5.00%, 12/15/21   2,636   2,886,420  
Grifols Worldwide Operations Ltd., 5.25%, 4/01/22 (b)   4,047   4,188,645  
Jaguar Holding Co. II/Jaguar Merger Sub, Inc., 9.50%, 12/01/19 (b)   3,596   3,955,600  
Pinnacle Merger Sub, Inc., 9.50%, 10/01/23 (b)   755   838,050  
Salix Pharmaceuticals Ltd., 6.00%, 1/15/21 (b)   1,162   1,246,245  
Valeant Pharmaceuticals International, Inc. (b):          
  6.75%, 8/15/18   10,923   11,796,840  
  6.38%, 10/15/20   1,508   1,613,560  
  7.50%, 7/15/21   1,375   1,526,250  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201413
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Pharmaceuticals (concluded)  
Valeant Pharmaceuticals International, Inc. (b) (concluded):          
  6.75%, 8/15/21 USD  2,241 $ 2,381,063  
   
    37,647,760  
 
Professional Services — 0.2%  
Truven Health Analytics, Inc., 10.63%, 6/01/20   2,840   3,152,400  
 
Real Estate Investment Trusts (REITs) — 0.9%  
Cantor Commercial Real Estate Co. LP/CCRE Finance Corp., 7.75%, 2/15/18 (b)   1,565   1,682,375  
Felcor Lodging LP:          
  6.75%, 6/01/19   5,386   5,736,090  
  5.63%, 3/01/23   1,422   1,466,438  
Host Hotels & Resorts LP, 2.50%, 10/15/29 (b)   815   1,379,897  
iStar Financial, Inc., 4.88%, 7/01/18   2,254   2,304,715  
Rayonier AM Products, Inc., 5.50%, 6/01/24 (b)   2,289   2,317,612  
   
    14,887,127  
 
Real Estate Management & Development — 1.9%  
CBRE Services, Inc., 6.63%, 10/15/20   1,880   1,992,800  
Crescent Resources LLC/Crescent Ventures, Inc., 10.25%, 8/15/17 (b)   4,515   5,056,800  
The Howard Hughes Corp., 6.88%, 10/01/21 (b)   1,369   1,471,675  
IVG Finance BV, 1.75%, 3/29/17 EUR 800   883,321  
Mattamy Group Corp., 6.50%, 11/15/20 (b) USD 2,645   2,678,062  
Realogy Corp. (b):          
  7.63%, 1/15/20   842   936,725  
  9.00%, 1/15/20   1,269   1,449,833  
Realogy Group LLC/Realogy Co-Issuer Corp., 4.50%, 4/15/19 (b)   5,542   5,555,855  
Rialto Holdings LLC/Rialto Corp., 7.00%, 12/01/18 (b)   1,065   1,112,925  
RPG Byty Sro, 6.75%, 5/01/20 EUR 1,146   1,632,468  
Shea Homes LP/Shea Homes Funding Corp., 8.63%, 5/15/19 USD 6,320   6,904,600  
           
Corporate Bonds Par
(000)
  Value  
 
Real Estate Management & Development (concluded)  
Woodside Homes Co. LLC/Woodside Homes Finance, Inc., 6.75%, 12/15/21 (b) USD  2,305 $ 2,356,862  
   
    32,031,926  
 
Road & Rail — 0.9%  
Florida East Coast Holdings Corp. (b):          
  6.75%, 5/01/19   3,372   3,511,095  
  9.75%, 5/01/20   1,520   1,584,600  
The Hertz Corp.:          
  7.50%, 10/15/18   3,220   3,401,125  
  6.75%, 4/15/19   1,615   1,726,031  
  5.88%, 10/15/20   370   391,275  
  7.38%, 1/15/21   2,360   2,590,100  
  6.25%, 10/15/22   1,475   1,576,406  
Watco Cos. LLC/Watco Finance Corp., 6.38%, 4/01/23 (b)   1,093   1,114,860  
   
    15,895,492  
 
Semiconductors & Semiconductor Equipment — 0.3%  
NXP BV/NXP Funding LLC (b):          
  3.75%, 6/01/18   2,235   2,246,175  
  5.75%, 2/15/21   2,065   2,206,969  
   
    4,453,144  
 
Software — 1.8%  
Audatex North America, Inc., 6.13%, 11/01/23 (b)   1,350   1,446,188  
BMC Software Finance, Inc., 8.13%, 7/15/21 (b)   2,440   2,568,100  
Igloo Holdings Corp., 8.25% (8.25% Cash or 9.00% PIK),  12/15/17 (b)(e)   1,636   1,676,900  
Infor Software Parent LLC/Infor Software Parent, Inc., 7.13%, (7.13% Cash or 7.88% PIK),  5/01/21 (b)(e)   4,891   4,988,820  
Infor US, Inc., 9.38%, 4/01/19   9,815   10,980,531  
Interface Security Systems Holdings, Inc./Interface Security Systems LLC, 9.25%, 1/15/18 (b)   827   843,540  
Nuance Communications, Inc.:          
  5.38%, 8/15/20 (b)   5,035   5,123,112  
  2.75%, 11/01/31   145   145,544  
Sophia LP/Sophia Finance, Inc., 9.75%, 1/15/19 (b)   2,437   2,692,885  
   
    30,465,620  
 
Specialty Retail — 2.0%  
Asbury Automotive Group, Inc., 8.38%, 11/15/20   2,030   2,263,450  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201414
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Corporate Bonds Par
(000)
  Value  
 
Specialty Retail (concluded)  
DriveTime Automotive Group, Inc./DT Acceptance Corp., 8.00%, 6/01/21 (b)(d) USD  2,028 $ 2,063,490  
Guitar Center, Inc., 9.63%, 4/15/20 (b)   1,370   1,239,850  
House of Fraser Funding PLC:          
  8.88%, 8/15/18 GBP 808   1,453,698  
  8.88%, 8/15/18 (b)   1,532   2,756,269  
L Brands, Inc., 8.50%, 6/15/19 USD 3,925   4,739,437  
Magnolia BC SA, 9.00%, 8/01/20 EUR 1,293   1,842,044  
Michaels Stores, Inc., 7.75%, 11/01/18 USD 1,299   1,373,693  
New Academy Finance Co. LLC/New Academy Finance Corp., 8.00% (8.00% Cash or 8.75% PIK), 6/15/18 (b)(e)   1,197   1,223,933  
New Look Bondco I PLC, 8.75%, 5/14/18 GBP 438   791,074  
Party City Holdings, Inc., 8.88%, 8/01/20 USD 3,489   3,872,790  
PC Nextco Holdings LLC/PC Nextco Finance, Inc., 8.75% (8.75% Cash or 9.50% PIK), 8/15/19 (b)(e)   1,575   1,622,250  
Penske Automotive Group, Inc., 5.75%, 10/01/22   1,775   1,857,094  
QVC, Inc. (b):          
  7.50%, 10/01/19   3,180   3,357,129  
  7.38%, 10/15/20   1,640   1,766,332  
Sally Holdings LLC/Sally Capital, Inc., 5.75%, 6/01/22   2,359   2,518,232  
   
    34,740,765  
 
Textiles, Apparel & Luxury Goods — 0.5%  
Levi Strauss & Co., 6.88%, 5/01/22   2,430   2,691,225  
PVH Corp., 4.50%, 12/15/22   1,401   1,379,985  
Quiksilver, Inc./QS Wholesale, Inc., 7.88%, 8/01/18 (b)   610   661,850  
SIWF Merger Sub, Inc., 6.25%, 6/01/21 (b)   2,777   2,804,770  
The William Carter Co., 5.25%, 8/15/21 (b)   1,398   1,457,415  
   
    8,995,245  
 
Thrifts & Mortgage Finance — 0.2%  
MGIC Investment Corp., 2.00%, 4/01/20   273   385,954  
Radian Group, Inc.:          
  3.00%, 11/15/17   330   470,869  
  2.25%, 3/01/19   712   1,051,535  
             
Corporate Bonds Par
(000)
  Value  
 
Thrifts & Mortgage Finance (concluded)  
Radian Group, Inc. (concluded):          
  5.50%, 6/01/19 USD  926 $ 947,992  
   
    2,856,350  
 
Trading Companies & Distributors — 0.5%  
Air Lease Corp., 4.50%, 1/15/16   3,290   3,458,613  
Ashtead Capital, Inc., 6.50%, 7/15/22 (b)   4,976   5,423,840  
   
    8,882,453  
 
Transportation Infrastructure — 0.2%  
Aguila 3 SA:          
  7.88%, 1/31/18 (b)   3,894   4,130,054  
  7.88%, 1/31/18   150   159,093  
   
    4,289,147  
 
Wireless Telecommunication Services — 5.3%  
Crown Castle International Corp., 5.25%, 1/15/23   4,871   5,065,840  
Digicel Group Ltd., 8.25%,
9/30/20 (b)
  4,870   5,247,425  
    7.13%, 4/01/22 (b)   4,840   4,985,200  
Digicel Ltd., 6.00%, 4/15/21 (b)   7,619   7,771,380  
The Geo Group, Inc., 5.88%, 1/15/22   2,220   2,297,700  
Phones4u Finance PLC:          
  9.50%, 4/01/18 GBP 1,694   2,963,708  
  9.50%, 4/01/18 (b)   2,015   3,525,307  
Sprint Capital Corp., 8.75%, 3/15/32 USD 1,330   1,539,475  
Sprint Communications, Inc. (b):          
  9.00%, 11/15/18   14,889   18,090,135  
  7.00%, 3/01/20   8,124   9,362,910  
Sprint Corp. (b):          
  7.88%, 9/15/23   9,139   10,327,070  
  7.13%, 6/15/24   2,560   2,758,400  
T-Mobile USA, Inc.:          
  6.63%, 4/28/21   5,880   6,335,700  
  6.13%, 1/15/22   367   389,020  
  6.73%, 4/28/22   6,145   6,636,600  
  6.50%, 1/15/24   2,638   2,802,875  
   
    90,098,745  
 
Total Corporate Bonds105.1%   1,790,040,635  
 
 
 
Floating Rate Loan Interests (c)  
 
Air Freight & Logistics — 0.2%  
CEVA Group PLC, Synthetic Letter of Credit, 6.50%, 3/19/21   1,149   1,123,798  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201415
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Air Freight & Logistics (concluded)  
CEVA Intercompany BV, Dutch Term Loan, 6.50%, 3/19/21 USD  1,211 $ 1,185,096  
CEVA Logisitics U.S. Holdings, Inc., Term Loan, 6.50%, 3/19/21   1,671   1,634,616  
CEVA Logistics Canada ULC, Term Loan, 6.50%, 3/19/21   209   204,327  
   
    4,147,837  
 
Airlines — 0.8%  
Delta Air Lines, Inc., 2018 Term Loan B1, 3.50%, 10/18/18   2,361   2,354,062  
Northwest Airlines, Inc.:          
  2.18%, 3/10/17   5,315   5,142,585  
  1.56%, 9/10/18   7,307   6,928,953  
   
    14,425,600  
 
Building Products — 0.1%  
Wilsonart LLC, Term Loan B, 4.00%, 10/31/19   2,321   2,295,981  
 
Capital Markets — 0.3%  
Affinion Group, Inc.:          
  2nd Lien Term Loan, 8.50%, 10/12/18   2,300   2,307,199  
  Term Loan B, 1.00%, 4/30/18   200   200,428  
American Capital Holdings, Inc., 2017 Term Loan, 3.50%, 8/22/17   3,014   3,009,733  
   
    5,517,360  
 
Chemicals — 0.1%  
Axalta Coating Systems US Holdings, Inc., Term Loan, 4.00%, 2/01/20   298   297,446  
OXEA Finance LLC, 2nd Lien Term Loan, 8.25%, 7/15/20   1,615   1,629,810  
   
    1,927,256  
 
Commercial Services & Supplies — 0.3%  
Brand Energy & Infrastructure Services, Inc., Term Loan B, 4.75%, 11/26/20   1,449   1,452,091  
Catalent Pharma Solutions, Inc., Term Loan, 6.50%, 12/29/17   1,435   1,445,762  
Spin Holdco, Inc., Term Loan B, 4.25%, 11/14/19   2,640   2,635,202  
   
    5,533,055  
 
Communications Equipment — 1.0%  
Alcatel-Lucent USA, Inc., Term Loan C, 4.50%, 1/30/19   9,640   9,653,695  
           
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Communications Equipment (concluded)  
Zayo Group LLC, Term Loan B, 4.00%, 7/02/19 USD  7,472 $ 7,455,402  
   
    17,109,097  
 
Construction Materials — 0.3%  
HD Supply, Inc., Term Loan B, 4.00%, 6/28/18   4,839   4,835,081  
 
Containers & Packaging — 0.2%  
Ardagh Holdings USA, Inc.:          
  Incremental Term Loan, 4.00%, 12/17/19   855   853,572  
  Term Loan B, 4.25%, 12/17/19   1,017   1,018,406  
Tekni-Plex, Inc., Term Loan B, 4.75% - 6.00%, 8/25/19   823   821,272  
   
    2,693,250  
 
Diversified Consumer Services — 0.2%  
ServiceMaster Co.,:          
  Extended Term Loan, 4.40%, 1/31/17   913   914,007  
  Term Loan 4.25%, 1/31/17   1,816   1,815,721  
   
    2,729,728  
 
Diversified Telecommunication Services — 0.3%  
Hawaiian Telcom Communications, Inc., Term Loan B, 5.00%, 6/06/19   2,970   2,979,191  
Level 3 Financing, Inc., 2019 Term Loan B, 4.00%, 1/15/20   1,785   1,786,785  
   
    4,765,976  
 
Electric Utilities — 0.4%  
American Energy - Utica LLC, 2nd Lien Term Loan, 11.00%, 9/30/18   5,696   6,094,256  
Sandy Creek Energy Associates LP, Term Loan B, 5.00%, 11/06/20   1,192   1,197,305  
   
    7,291,561  
 
Electrical Equipment — 0.2%  
Texas Competitive Electric Holdings Co. LLC, DIP Term Loan, 3.75%, 5/05/16   2,757   2,766,790  
 
Electronic Equipment, Instruments & Components — 0.0%  
CDW LLC, Term Loan, 3.25%, 4/29/20   617   608,106  
 
Energy Equipment & Services — 0.1%  
Dynegy Holdings, Inc., Term Loan B2, 4.00%, 4/23/20   997   998,350  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201416
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Food & Staples Retailing — 0.0%  
Rite Aid Corp., 2nd Lien Term Loan, 5.75%, 8/21/20 USD  600 $ 611,874  
 
Health Care Equipment & Supplies — 0.1%  
LHP Hospital Group, Inc., Term Loan, 9.00%, 7/03/18   913   876,861  
 
Health Care Providers & Services — 0.3%  
CHS/Community Health Systems, Inc., Term Loan D, 4.25%, 1/27/21   3,625   3,644,236  
Genesis HealthCare Corp., Term Loan B, 10.00% - 10.75%, 9/25/17   1,252   1,273,959  
   
    4,918,195  
 
Hotels, Restaurants & Leisure — 4.9%  
Bally Technologies, Inc., Term Loan B, 4.25%, 11/25/20   1,908   1,911,885  
Boyd Gaming Corp., Term Loan B, 4.00%, 8/14/20   2,348   2,351,007  
Bronco Midstream Funding LLC, Term Loan B, 5.00%, 8/17/20   6,275   6,274,826  
Caesars Entertainment Operating Co., Term Loan B7, 9.75%, 3/01/17   12,552   12,415,309  
Caesars Entertainment Resort Properties LLC, Term Loan B, 7.00%, 10/12/20   17,331   17,247,829  
Diamond Resorts Corp., Term Loan, 5.50%, 4/23/21   2,875   2,892,969  
Hilton Worldwide Finance LLC, Term Loan B2, 3.50%, 10/26/20   13,446   13,390,107  
La Quinta Intermediate Holdings LLC, Term Loan B, 4.00%, 4/14/21   5,765   5,766,441  
Las Vegas Sands LLC, Term Loan B, 3.25%, 12/19/20   2,822   2,816,781  
MGM Resorts International, Term Loan B, 3.50%, 12/20/19   1,779   1,772,541  
Pinnacle Entertainment, Inc., Term Loan B2, 3.75%, 8/13/20   2,641   2,640,218  
Playa Resorts Holding BV, Term Loan B, 4.00%, 8/06/19   3,587   3,591,459  
Station Casinos LLC, Term Loan B, 4.25%, 3/02/20   4,933   4,939,232  
Travelport LLC:          
  2nd Lien PIK Term Loan 2, 4.00%, 12/01/16 (e)   2,558   2,577,526  
  2nd Lien Term Loan 1, 9.50%, 1/29/16   547   562,443  
             
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Hotels, Restaurants & Leisure (concluded)  
Travelport LLC (concluded):          
  Refinancing Term Loan, 6.25%, 6/26/19 USD  1,613 $ 1,646,746  
   
    82,797,319  
 
Industrial Conglomerates  — 0.4%  
Sequa Corp., Term Loan B, 5.25%, 6/19/17   6,400   6,326,826  
 
Insurance — 0.1%  
Alliant Holdings I, Inc., Term Loan B, 4.25%, 12/20/19   1,657   1,659,883  
 
Internet Software & Services — 0.2%  
Interactive Data Corp., Term Loan B, 4.75%, 4/30/21   3,650   3,675,112  
 
IT Services — 0.7%  
Ceridian Corp., Term Loan B, 4.40%, 5/09/17   1,647   1,648,160  
First Data Corp., Extended 2018 Term Loan B, 4.15%, 3/24/18   10,170   10,168,169  
   
    11,816,329  
 
Machinery — 1.3%  
Gardner Denver, Inc.:          
  4.25%, 7/30/20   7,271   7,263,132  
  4.75%, 7/30/20 EUR 7,439   10,200,594  
Rexnord LLC, 1st Lien Term Loan B, 4.00%, 8/21/20 USD 2,901   2,893,407  
Silver II US Holdings LLC, Term Loan, 4.00%, 12/13/19   1,149   1,146,627  
   
    21,503,760  
 
Media — 1.2%  
Cengage Learning Acquisitions, Inc.:          
  4.75%, 7/03/14 (k)   8,692    
  1st Lien Term Loan, 0.00%, 7/03/14   1,777    
  1st Lien Term Loan, 7.00%, 3/31/20 (k)   7,685   7,781,064  
Clear Channel Communications, Inc.:          
  Term Loan B, 3.80%, 1/29/16   747   739,291  
  Term Loan C, 3.80%, 1/29/16   501   491,809  
  Term Loan D, 6.90%, 1/30/19   8,252   8,150,887  
Getty Images, Inc., Term Loan B, 4.75%, 10/18/19   75   72,612  
Media General, Inc., Delayed Draw Term Loan B, 4.25%, 7/31/20   3,488   3,501,171  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201417
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Media (concluded)  
Tribune Co., 2013 Term Loan, 4.00%, 12/27/20 USD  244 $ 243,661  
   
    20,980,495  
 
Metals & Mining — 0.3%  
FMG Resources August 2006 Property Ltd., Term Loan B, 3.75%, 6/30/19   4,531   4,523,922  
 
Multiline Retail — 0.5%  
BJ's Wholesale Club, Inc., 2nd Lien Term Loan, 8.50%, 3/26/20   1,065   1,095,619  
HEMA Holding BV, Mezzanine, 5.26%, 7/05/17 EUR 4,729   5,285,534  
The Neiman Marcus Group, Inc., Term Loan, 4.25%, 10/26/20 USD 2,602   2,594,135  
   
    8,975,288  
 
Oil, Gas & Consumable Fuels — 0.3%  
Arch Coal, Inc., Term Loan B, 6.25%, 5/16/18   1,716   1,687,336  
Obsidian Natural Gas Trust, Term Loan, 7.00%, 11/02/15   2,517   2,542,289  
   
    4,229,625  
 
Pharmaceuticals — 0.7%  
Grifols Worldwide Operations USA, Inc., Term Loan B, 3.15%, 2/27/21   4,785   4,761,458  
Mallinckrodt International Finance SA, Term Loan B, 3.50%, 3/19/21   1,820   1,808,625  
Par Pharmaceutical Cos, Inc., Term Loan B2, 4.00%, 9/30/19   3,940   3,923,478  
Pharmaceutical Product Development LLC, Term Loan B, 4.00%, 12/05/18   1,380   1,380,684  
   
    11,874,245  
 
Real Estate Investment Trusts (REITs) — 0.2%  
IStar Financial, Inc., Term Loan, 4.50%, 10/16/17   3,813   3,818,747  
 
Real Estate Management & Development — 0.0%  
Realogy Corp., Extended Letter of Credit, 4.40%, 10/10/16   491   490,130  
 
Road & Rail — 0.0%  
Genesee & Wyoming, Inc., Term Loan A, 1.90%, 9/29/17   740   740,229  
 
Semiconductors & Semiconductor Equipment — 0.4%  
Avago Technologies Cayman Ltd., Term Loan B, 3.75%, 5/06/21   6,785   6,801,963  
           
Floating Rate Loan Interests (c) Par
(000)
  Value  
 
Software — 0.4%  
BMC Software Finance, Inc., Term Loan, 5.00%, 9/10/20 USD  773 $ 774,670  
GCA Services Group, Inc., 2nd Lien Term Loan, 9.25%, 10/22/20   260   261,300  
Infor US, Inc., Term Loan B5, 3.75%, 6/03/20   2,781   2,757,672  
Kronos, Inc., 2nd Lien Term Loan, 9.75%, 4/30/20   3,445   3,565,197  
   
    7,358,839  
 
Textiles, Apparel & Luxury Goods — 0.4%  
Ascend Performance Materials LLC, Term Loan B, 6.75%, 4/10/18   6,150   6,088,005  
 
Total Floating Rate Loan Interests16.9%   287,712,675  
 
   
 
 

 

Non-Agency Mortgage-Backed Securities— 0.2%

     
 
Commercial Mortgage-Backed Securities— 0.2%  
Hilton USA Trust, Series 2013-HLT, Class EFX, 4.45%, 11/05/30 (b)(c) 3,829   3,964,547  
 
 
 
Other Interests (l) Beneficial
Interest
(000)
     
 
   
Auto Components — 0.0%  
Lear Corp. Escrow   1,250   10,938  
 
Media — 0.0%  
Adelphia Escrow (a)   4,000   40  
Adelphia Recovery Trust (a)   5,017   2,508  
   
    2,548  
 
Total Other Interests0.0%   13,486  
 
 
 
Preferred Securities  
 
Capital Trusts Par
(000)
     
 
   
Capital Markets — 0.4%  
The Goldman Sachs Group, Inc., Series L, 5.70% (c)(h)   5,978   6,276,900  
 
Chemicals — 0.1%  
Solvay Finance SA, 4.20% (c)(h)   1,490   2,101,166  
 
Diversified Financial Services — 0.8%  
Bank of America Corp., Series U, 5.20% (c)(h)   1,165   1,127,138  
                     
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201418
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
  (Percentages shown are based on Net Assets)
Capital Trusts Par
(000)
  Value  
 
Diversified Financial Services (concluded)  
Barclays PLC, 8.00% (c)(h) EUR 985   1,453,293  
Citigroup, Inc., Series D, 5.35% (c)(h)   1,055 $ 1,007,525  
JPMorgan Chase & Co., Series Q, 5.15% (c)(h)   850   811,750  
JPMorgan Chase & Co., Series U, 6.13% (c)(h)   4,228   4,259,710  
Morgan Stanley, Series H, 5.45% (c)(h)   4,815   4,983,525  
   
    13,642,941  
 
Media — 0.0%          
NBCUniversal Enterprise, Inc., 5.25% (b)(h)   400   420,000  
 
Total Capital Trusts1.3%   22,441,007  
 
 
 
Preferred Stocks
Shares
     
 
   
Capital Markets — 0.3%  
RBS Capital Funding Trust, Series F, 6.25%   93,975   2,269,496  
RBS Capital Funding Trust VII, 6.08%   2,472,900   2,366,225  
State Street Corp., Series D, 5.90% (c)   20,889   545,830  
   
    5,181,551  
 
Diversified Financial Services — 0.1%  
Ally Financial, Inc., Series A, 8.50% (c)   41,694   1,153,256  
 
Media — 0.0%  
Emmis Communications Corp., Series A, 6.25%   10,300   149,453  
 
Oil, Gas & Consumable Fuels — 0.3%  
Chesapeake Energy Corp., 5.75%   4,151   4,772,073  
Chesapeake Energy Corp., 5.75% (b)   1,182   1,444,256  
   
    6,216,329  
 
Total Preferred Stocks0.7%   12,700,589  
 
   
 
 
Trust Preferreds


Par

(000)

 

 

Value

 
 
Diversified Financial Services — 1.0%  
GMAC Capital Trust I, Series 2, 8.13%, 2/15/40 (c) $ 601,466 $ 16,254,065  
 
Total Preferred Securities3.0% $ 51,395,661  
 
Warrants (m)

 

Shares

     
 
Media — 0.0%  
New Vision Holdings LLC (Expires 9/30/14)   89,790   4,858  
 
Metals & Mining — 0.0%  
Peninsula Energy Ltd. (Expires 12/31/15)   20,061,773   336,069  
Peninsula Energy Ltd. (Expires 12/31/15)   11,552,784   138,695  
   
    474,764  
 
Software — 0.0%  
HMH Holdings/EduMedia (Issued/exercisable 3/09/10, 19 Shares for 1 Warrant, Expires 6/22/19, Strike Price $42.27)   6,494   26,811  
 
Total Warrants0.0%   506,433  
 
Total Long-Term Investments
(Cost — $2,288,819,299) — 139.1%
  2,368,991,526  
 
 
 
BlackRock Liquidity Funds, TempFund, Institutional Class, 0.03% (n)(o)   808,520   808,520  
 
Total Short-Term Securities
(Cost — $808,520) — 0.1%
  808,520  
 
Options Purchased
(Cost — $719,254) — 0.0%
  457,500  
 
Total Investments
(Cost — $2,290,347,073*) — 139.2%
  2,370,257,546  
Liabilities in Excess of Other Assets(39.2)%   (667,054,150)  
   
Net Assets100.0% $ 1,703,203,396  
                     
 

 

* As of May 31, 2014, gross unrealized appreciation and depreciation based on cost for federal income tax purposes were as follows:

 

Tax cost $ 2,292,308,997  
   
Gross unrealized appreciation $ 132,270,078  
Gross unrealized depreciation   (54,321,529)  
   
Net unrealized appreciation $ 77,948,549  
   
                     
 
 
 
 

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201419
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
   

Notes to Schedule of Investments

 
(a) Non-income producing security.
(b) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(c) Variable rate security. Rate shown is as of report date.
(d) When-issued security. Unsettled when-issued transactions were as follows:
   
       

 

 
  Counterparty   Value   Unrealized
Appreciation
 
 
  Bank of America N.A   $ 2,517,400    
  Barclays Capital, Inc.     481,700    
  Citigroup Global Markets, Inc.     235,590    
  Credit Suisse Securities (Europe) Ltd.     1,084,203 $ 23,208  
  Credit Suisse Securities (USA) LLC     2,833,050   50,742  
  Deutsche Bank Securities, Inc.     4,612,721   54,144  
  Morgan Stanley & Co. LLC     10,249,295   111,092  
  Wells Fargo Securities, LLC     3,436,098   59,098  
                     
 
                                     

 

(e) Represents a payment-in-kind security which may pay interest/dividends in additional par/shares and/or in cash. Rates shown are the current rate and possible payment rates.
(f) Convertible security.
(g) Zero-coupon bond.
(h) Security is perpetual in nature and has no stated maturity date.
(i) All or a portion of security has been pledged as collateral in connection with outstanding OTC derivatives.
(j) Represents a step-up bond that pays an initial coupon rate for the first period and then a higher coupon rate for the following periods. Rate shown is as of report date.
(k) Issuer filed for bankruptcy and/or is in default of principal and/or interest payments.
(l) Other interests represent beneficial interests in liquidation trusts and other reorganization or private entities.
(m) Warrants entitle the Fund to purchase a predetermined number of shares of common stock and are non-income producing. The purchase price and number of shares are subject to adjustment under certain conditions until the expiration date, if any.
(n) Investments in issuers considered to be an affiliate of the Fund during the period ended May 31, 2014, for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
   
     

 

 
  Affiliate   Shares
Held at
August 31, 2013
  Shares Purchased  

Shares

Sold

  Shares
Held at
May 31, 2014
 

Value at

May 31, 2014

  Income   Realized
Gain
 
 
  BlackRock Liquidity Funds,
TempFund, Institutional Class
  1,737,587     (929,067)1   808,520 $ 808,520 $ 812    
  iShares MSCI EAFE ETF2   18,790       (18,790)       $ 61,883  
 
                                                   

 

1 Represents net shares sold.
2 No longer held by the Fund as of report date.
 

 

(o) Represents the current yield as of report date.
   
   

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201420
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

Portfolio Abbreviations

ADR American Depositary Receipts
AUD Australian Dollar
CAD Canadian Dollar
DIP Debtor-In-Possession
EBITDA Earnings Before Interest, Taxes, Depreciation and Amortization
ETF Exchange-Traded Fund
EUR Euro
GBP British Pound
MSCI Morgan Stanley Capital International
PIK Payment-In-Kind
SPDR Standard & Poor's Depository Receipts
USD U.S. Dollar
   
     

 

For Fund compliance purposes, the Fund’s industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or rating group indexes, and/or as defined by the investment advisor. These definitions may not apply for purposes of this report, which may combine such industry subclassifications for reporting ease.  
     
Financial futures contracts outstanding as of May 31, 2014 were as follows:  
 

 

Contracts
Sold
Issue Exchange Expiration Notional
Value
  Unrealized
Appreciation
(Depreciation)
 
 
(168) S&P 500 E-Mini Index Chicago Mercantile June
2014
USD 16,140,600 $ (386,712 )
(156) 5-Year U.S. Treasury Note Chicago Board of Trade September
2014
USD 18,682,219   (8,365 )
(111) 10-Year U.S. Treasury Note Chicago Board of Trade September
2014
USD 13,932,234   14,622  
 
Total           $ (380,455 )
   
                           

 

Forward foreign currency exchange contracts outstanding as of May 31, 2014 were as follows:

 

Currency
Purchased
  Currency
Sold
Counterparty Settlement
Date
  Unrealized
Appreciation/ (Depreciation)
 
 
EUR 200,000   USD 274,388 State Street Bank and Trust Co. 7/23/14 $ (1,769)  
EUR 400,000   USD 553,496 State Street Bank and Trust Co. 7/23/14   (8,258)  
GBP 116,000   USD 195,801 Bank of America N.A. 7/23/14   (1,437)  
GBP 160,000   USD 269,332 Deutsche Bank AG 7/23/14   (1,243)  
GBP 180,000   USD 305,294 Deutsche Bank AG 7/23/14   (3,693)  
USD 730,494   AUD 781,000 Deutsche Bank AG 7/23/14   6,163  
USD 22,530,866   CAD 24,789,000 Deutsche Bank AG 7/23/14   (302,935)  
USD 2,739,048   EUR 2,000,000 Bank of America N.A. 7/23/14   12,858  
USD 420,971   EUR 305,000 Bank of America N.A. 7/23/14   5,227  
USD 2,483,884   EUR 1,806,000 Barclays Bank PLC 7/23/14   22,135  
USD 1,152,164   EUR 841,000 Barclays Bank PLC 7/23/14   5,801  
USD 143,643,004   EUR 103,930,000 Barclays Bank PLC 7/23/14   1,976,544  
USD 7,491,260   EUR 5,400,000 BNP Paribas S.A. 7/23/14   130,547  
USD 1,053,815   EUR 773,000 BNP Paribas S.A. 7/23/14   143  
USD 1,483,088   EUR 1,091,000 Toronto Dominion Bank 7/23/14   (4,049)  
USD 2,348,883   EUR 1,693,000 UBS AG 7/23/14   41,164  
USD 1,705,600   EUR 1,250,000 UBS AG 7/23/14   1,731  
USD 1,074,598   EUR 790,000 Westpac Banking Corp. 7/23/14   (2,247)  
USD 67,720,115   GBP 40,310,000 Barclays Bank PLC 7/23/14   178,447  
USD 1,696,692   GBP 1,005,000 Citibank N.A. 7/23/14   12,758  

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201421
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

Forward foreign currency exchange contracts outstanding as of May 31, 2014 were as follows (concluded):

 

Currency
Purchased
  Currency
Sold
Counterparty Settlement
Date
  Unrealized
Appreciation/ (Depreciation)
 
USD 331,750   GBP 197,000 Goldman Sachs International 7/23/14   1,665  
Total             $ 2,069,552  
   

 

Exchange-traded options purchased as of May 31, 2014 were as follows:  

 

Description  Put/
Call
  Strike
Price
  Expiration
Date
  Contracts  Market
Value
                   
SPDR S&P 500 ETF Trust  Put  USD  190.00  6/30/14  3,000  $457,500
                   
                   

 

OTC options purchased as of May 31, 2014 were as follows:  

 

Description  Counterparty  Put/
Call
  Strike
Price
  Expiration
Date
  Contracts  Market
Value
                      
Marsico Parent Superholdco LLC  Goldman Sachs & Co.  Call  USD  942.86  12/14/19  USD 39 
    
                      

 

OTC credit default swaps – buy protection outstanding as of May 31, 2014 were as follows:  

 

Issuer  Pay
Fixed
Rate
  Counterparty  Expiration
Date
  Notional
Amount
(000)
  Market
Value
  Premiums
Paid
  Unrealized
Appreciation
(Depreciation)
                         
Clear Channel Communications, Inc.   5.00%  Deutsche Bank AG   3/20/16  USD   35   $530   $3,221   $(2,691)
Clear Channel Communications, Inc.   5.00%  Barclays Bank PLC   3/20/16  USD   18    265    1,668    (1,403)
The New York Times Co.   1.00%  Barclays Bank PLC   12/20/16  USD   225    (2,971)   8,033    (11,004)
RadioShack Corp.   5.00%  Deutsche Bank AG   9/20/18  USD   367    215,174    97,411    117,763 
RadioShack Corp.   5.00%  Deutsche Bank AG   9/20/18  USD   367    215,174    95,916    119,258 
RadioShack Corp.   5.00%  Deutsche Bank AG   9/20/18  USD   367    215,175    86,915    128,260 
Total  $643,347   $293,164   $350,183 
                                     
                                     

 

OTC credit default swaps – sold protection outstanding as of May 31, 2014 were as follows:  

 

Issuer  Receive
Fixed
Rate
  Counterparty  Expiration
Date
  Credit
Rating1
  Notional
Amount
(000)2
  Market
Value
  Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
                            
Caesars Entertainment Operating Co., Inc.  5.00%  Barclays Bank PLC  9/20/15  C  USD  34  $    (7,494)  $    (5,161)  $    (2,333)
RadioShack Corp.  5.00%  Deutsche Bank AG  9/20/15  CC  USD  367  (165,525)  (36,299)  (129,226)
RadioShack Corp.  5.00%  Deutsche Bank AG  9/20/15  CC  USD  367  (165,526)  (36,346)  (129,180)
                            
                            

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201422
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

 

OTC credit default swaps – sold protection outstanding as of May 31, 2014 were as follows (continued):

 

  Issuer   Receive
Fixed
Rate
  Counterparty   Expiration
Date
  Credit
Rating1
  Notional
Amount
(000)2
Market
Value
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
 
  RadioShack Corp.   5.00%   Deutsche Bank AG   9/20/15   CC   USD   367 $ (165,526) $ (29,763) $ (135,763)
  Caesars Entertainment Operating Co., Inc.   5.00%   JPMorgan Chase Bank N.A.   12/20/15   C   USD   1,395   (350,123)   (271,439)   (78,684)
  Caesars Entertainment Operating Co., Inc.   5.00%   Citibank N.A.   12/20/15   C   USD   143   (35,860)   (24,810)   (11,050)
  Caesars Entertainment Operating Co., Inc.   5.00%   JPMorgan Chase Bank N.A.   12/20/15   C   USD   375   (94,216)   (63,319)   (30,897)
  Caesars Entertainment Operating Co., Inc.   5.00%   Citibank N.A.   12/20/15   C   USD   70   (17,565)   (10,890)   (6,675)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   12/20/15   C   USD   95   (23,726)   (14,128)   (9,598)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   12/20/15   C   USD   913   (229,104)   (88,045)   (141,059)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   543   (154,858)   (92,025)   (62,833)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   543   (154,858)   (92,025)   (62,833)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   1,615   (460,168)   (260,640)   (199,528)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   3/20/16   C   USD   12   (3,344)   (1,767)   (1,577)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   378   (107,695)   (58,001)   (49,694)
 

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201423
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

OTC credit default swaps – sold protection outstanding as of May 31, 2014 were as follows (continued):
 

 

  Issuer   Receive
Fixed
Rate
  Counterparty   Expiration
Date
  Credit Rating1   Notional
Amount
(000)2
Market
Value
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
 
  Caesars Entertainment Operating Co., Inc.   5.00%   JPMorgan Chase Bank N.A.   3/20/16   C   USD   231 $ (65,920) $ (33,525) $ (32,395)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   3/20/16   C   USD   11   (3,248)   (1,524)   (1,724)
  Caesars Entertainment Operating Co., Inc.   5.00%   Citibank N.A.   3/20/16   C   USD   48   (13,811)   (6,620)   (7,191)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   1,784   (508,434)   (221,119)   (287,315)
  Caesars Entertainment Operating Co., Inc.   5.00%   Citibank N.A.   3/20/16   C   USD   324   (92,300)   (40,768)   (51,532)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   74   (21,108)   (9,180)   (11,928)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   26   (7,404)   (3,988)   (3,416)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   53   (15,053)   (8,526)   (6,527)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   17   (4,897)   (2,910)   (1,987)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/16   C   USD   17   (4,897)   (2,910)   (1,987)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   1,104   (353,304)   (203,157)   (150,147)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   2,110   (675,198)   (375,999)   (299,199)

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201424
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

 

OTC credit default swaps – sold protection outstanding as of May 31, 2014 were as follows (continued):
 

 

  Issuer   Receive
Fixed
Rate
  Counterparty   Expiration
Date
  Credit Rating1   Notional
Amount
(000)2
Market
Value
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
 
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   74 $ (23,836) $ (13,457) $ (10,379)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   3,791   (1,213,256)   (684,962)   (528,294)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   21   (6,560)   (3,076)   (3,484)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   609   (194,976)   (91,435)   (103,541)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   6/20/16   C   USD   30   (9,600)   (4,236)   (5,364)
  Caesars Entertainment Operating Co., Inc.   5.00%   JPMorgan Chase Bank N.A.   6/20/16   C   USD   982   (314,380)   (146,453)   (167,927)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   70   (22,400)   (12,474)   (9,926)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   6/20/16   C   USD   35   (11,252)   (6,470)   (4,782)
  Caesars Entertainment Operating Co., Inc.   5.00%   Citibank N.A.   9/20/16   C   USD   335   (119,266)   (86,994)   (32,272)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   9/20/16   C   USD   3,620   (1,288,888)   (623,985)   (664,903)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   1,000   (428,309)   (218,461)   (209,848)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   1,191   (510,118)   (292,428)   (217,690)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   40   (17,137)   (9,824)   (7,313)

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201425
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

 

OTC credit default swaps – sold protection outstanding as of May 31, 2014 were as follows (concluded):
 

 

  Issuer   Receive
Fixed
Rate
  Counterparty   Expiration
Date
  Credit Rating1   Notional
Amount
(000)2
Market
Value
Premiums
Paid
(Received)
  Unrealized
Appreciation
(Depreciation)
 
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   694 $ (297,443) $ (161,362) $ (136,081)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   3/20/17   C   USD   11   (4,883)   (2,610)   (2,273)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   23   (9,941)   (5,393)   (4,548)
  Caesars Entertainment Operating Co., Inc.   5.00%   Goldman Sachs International   3/20/17   C   USD   33   (14,240)   (7,263)   (6,977)
  Caesars Entertainment Operating Co., Inc.   5.00%   Barclays Bank PLC   3/20/17   C   USD   7,015   (3,005,273)   (2,429,175)   (576,098)
  CCO Holdings LLC   8.00%   Deutsche Bank AG   9/20/17   BB-   USD   8,180   1,653,454     1,653,454
  Trionista Holdco GmbH   5.00%   Citibank N.A.   3/20/19   B+   EUR   363   54,714   45,445   9,269
  Trionista Holdco GmbH   5.00%   Citibank N.A.   3/20/19   B+   EUR   363   54,713   46,143   8,570
  Trionista Holdco GmbH   5.00%   Citibank N.A.   3/20/19   B+   EUR   340   51,211   35,232   15,979
  Trionista Holdco GmbH   5.00%   Citibank N.A.   3/20/19   B+   EUR   363   54,714   38,186   16,528
  Level 3 Communications, Inc.   5.00%   Goldman Sachs International   6/20/19   CCC+   USD   5,000   665,177   (388,112)   1,053,289
  Total $ (8,858,937) $ (7,018,048) $ (1,840,889)

 

1 Using Standard & Poor’s rating of the issuer.
2 The maximum potential amount the Fund may pay should a negative credit event take place as defined under the terms of the agreement.
   
     

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201426
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

Fair Value Measurements - Various inputs are used in determining the fair value of investments and derivative financial instruments. These inputs to valuation techniques are categorized into a disclosure hierarchy consisting of three broad levels for financial reporting purposes as follows:

  Level 1 — unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Fund has the ability to access
 
  Level 2 — other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs)
 
  Level 3 — unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund's own assumptions used in determining the fair value of investments and derivative financial instruments)
 

 

The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety.

Changes in valuation techniques may result in transfers into or out of an assigned level within the disclosure hierarchy. In accordance with the Fund's policy, transfers between different levels of the fair value disclosure hierarchy are deemed to have occurred as of the beginning of the reporting period. The categorization of a value determined for investments and derivative financial instruments is based on the pricing transparency of the investment and derivative financial instrument and is not necessarily an indication of the risks associated with investing in those securities. For information about the Fund's policy regarding valuation of investments and derivative financial instruments, please refer to the Fund's most recent financial statements as contained in its semi-annual report.

 

 
The following tables summarize the Fund's investments and derivative financial instruments categorized in the disclosure hierarchy as of May 31, 2014:

 

    Level 1   Level 2   Level 3   Total  
 
Assets:  
Investments:
Long-Term Investments:
  Common Stocks $ 129,338,845 $ 26,453,518 $ 59,978,752 $ 215,771,115  
  Asset-Backed Securities     7,949,947   11,637,027   19,586,974  
  Corporate Bonds     1,777,237,059   12,803,576   1,790,040,635  
  Floating Rate Loan Interests     243,832,440   43,880,235   287,712,675  
  Non-Agency Mortgage-Backed Securities     3,964,547     3,964,547  
  Other Interests     2,508   10,978   13,486  
  Preferred Securities   22,738,325   28,657,336     51,395,661  
  Warrants   336,069   26,811   143,553   506,433  
Short-Term Securities:
  Short-Term Investment Fund   808,520       808,520  
Options Purchased   457,500       457,500  
Unfunded Loan Commitments     52,288     52,288  
     
Total   $ 153,679,259 $ 2,088,176,454 $ 128,454,121 $ 2,370,309,834  
     

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201427
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

 

    Level 1    Level 2    Level 3    Total 
Derivative Financial Instruments 1                    
Assets:                     
Credit contracts      $3,122,370       $3,122,370 
Foreign currency exchange contracts       2,395,183        2,395,183 
Interest rate contracts  $14,622            14,622 
Liabilities:                     
Credit contracts       (4,613,076)       (4,613,076)
Equity contracts   (386,712)           (386,712)
Foreign currency exchange contracts       (325,631)       (325,631)
Interest rate contracts   (8,365)           (8,365)
Total  $(380,455)  $578,846       $198,391 
                       

 

1 Derivative financial instruments are swaps, financial futures contracts and forward foreign currency exchange contracts, which are valued at the unrealized appreciation/depreciation on the instrument.

 

The Fund may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial reporting purposes. As of May 31, 2014, such assets and/or liabilities are categorized within the disclosure hierarchy as follows:
  

 

   Level 1  Level 2  Level 3  Total
Assets:  
  Cash   $2,293,436           $ 2,293,436  
  Cash pledged as collateral for OTC derivatives   3,515,000             3,515,000  
  Cash pledged for financial futures contracts    1,062,000             1,062,000  
Liabilities:  
  Bank borrowings payable       $(657,000,000)        (657,000,000 )
  Cash received as collateral for OTC derivatives       (2,000,000)        (2,000,000 )
  Foreign bank overdraft        (13,709)        (13,709 )
Total   $6,870,436   $(659,013,709)      $ (652,143,273 )
                       

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201428
 
Consolidated Schedule of Investments (continued)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

A reconciliation of Level 3 investments and derivative financial instruments is presented when the Fund had a significant amount of Level 3 investments and derivative financial instruments at the beginning and/or end of the period in relation to net assets. The following table is a reconciliation of Level 3 investments for which significant unobservable inputs were used in determining fair value:

 

   

 

Common Stocks

 

 

Asset-Backed Securities

  Corporate Bonds  

Floating Rate Loan

Interests

 

Other Interests

Warrants

 

 

Total

Assets:                                
Opening Balance, as of August 31, 2013   $ 7,608,130   $2,824,497   $3,673,915   $ 13,072,578 $ 71 $ 66,028 $ 27,245,219
Transfers into Level 3             3,948,248       3,948,248
Transfers out of Level 3     (343,980)   (2,251,497)       (3,124,665)       (5,720,142)
Accrued discounts/premiums       4,102   7,682     381,255       393,039
Net realized gain (loss)     99,176   56,314   247,876     261,477   805     665,648
Net change in unrealized appreciation/ depreciation1     (13,795,242)   (5,583)   (8,776,812)     676,070   10,637   50,908   (21,840,022)
Purchases     79,917,869   12,918,072   20,353,897     40,490,901   270   26,617   153,707,626
Sales     (13,507,201)   (1,908,878)   (2,702,982)     (11,825,629)   (805)     (29,945,495)
Closing Balance, as of May 31, 2014   $ 59,978,752   $11,637,027   $12,803,576     $43,880,235 $ 10,978   $143,553 $ 128,454,121
Net change in unrealized appreciation/depreciation on investments  still held as of May 31, 20141   $ (13,795,242)   $(5,583)   $(8,682,196)     $725,610 $ 10,695   $50,908 $ (21,603,132)
   
                                   

 

1 Any difference between Net change in unrealized appreciation/depreciation and Net change in unrealized appreciation/depreciation on investments still held as of May 31, 2014 is generally due to investments no longer held or categorized as Level 3 at period end.

 

   
The following table is a reconciliation of Level 3 derivative financial instruments for which significant unobservable inputs were used in determining fair value:  
     

 

  Credit Contracts
Assets:  
Opening Balance, as of August 31, 2013 $ 607,499
Transfers into Level 3
Transfers out of Level 3 (490,360)
Accrued discounts/premiums
Net realized gain (loss)
Net change in unrealized appreciation/depreciation2 (117,139)
Purchases
Issues
Sales
Settlements
Closing Balance, as of May 31, 2014
Net change in unrealized appreciation/depreciation on derivative financial instruments still held as of May 31, 20142
   

 

2 Any difference between Net change in unrealized appreciation/depreciation and Net change in unrealized appreciation/depreciation on derivative financial instruments still held as of May 31, 2014 is generally due to derivative financial instruments no longer held or categorized as Level 3 at period end.
BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201429
 
Consolidated Schedule of Investments (concluded)  BlackRock Corporate High Yield Fund, Inc. (HYT)
 

 

The following table summarizes the valuation techniques used and unobservable inputs utilized by the BlackRock Global Valuation Methodologies Committee (the “Global Valuation Committee”) determine the value of certain of the Fund’s Level 3 investments as of May 31, 2014. The table does not include Level 3 investments with values based upon unadjusted third party pricing information in the amount of $79,193,888.  A significant change in such third party pricing information could result in a significantly lower or higher value of such Level 3 investments.

 

 

 

 

Value

 

Valuation Techniques

 

 

Unobservable Inputs

Range of

Unobservable

Inputs Utilized

Assets:            
Common Stocks $ 11,545,729   Market Comparable Companies 2P (Proved and Probable) Reserves + 2C (Contingent) Resources Multiple3

 

CAD6 0.34x - 0.54x

          PV-10 Multiple3,4 0.14x - 0.25x
    17,637,549   Market Comparable Companies Fleet Value Multiple 1.10x
    9,786,128   Market Comparable Companies Offshore Last 12 Months EBITDA Multiple3 6.75x
          Offshore Current Fiscal Year EBITDA Multiple3 6.88x
          Onshore Last 12 Months EBITDA Multiple3 5.13x
          Onshore Current Fiscal Year EBITDA Multiple3 4.75x
Corporate Bonds1   2,441,074   Par Call Price3
    4,906,200   Discounted Cash Flow Internal Rate of Return5 10.00%
    2,800,000   Cost2 N/A
Warrants   138,695   Black-Scholes Implied Volatility3 66.61%
    4,858   Estimated Recovery Value Distribution Rate5 $0.0541
Total $ 49,260,233        

 

1 For the period ended May 31, 2014, the valuation technique for certain investments classified as corporate bonds changed to utilizing par value or an income approach. Market information previously utilized to determine fair value under the market approach no longer applied to these investments; therefore, the par value or income approach is considered to be a more relevant measure of fair value for these investments.
2 The Fund fair values certain of its Level 3 investments using acquisition cost, although the transaction may not have occurred during the current reporting period. These investments are generally privately held investments. There may not be a secondary market, and/or there are a limited number of investors. The determination to fair value such investments at cost is based upon factors consistent with the principles of fair value measurement that are reasonably available to the Global Valuation Committee, or its delegate. Valuations are reviewed utilizing available market information to determine if the carrying value should be adjusted. Such market data may include, but is not limited to, observations of the trading multiples of public companies considered comparable to the private companies being valued, financial or operational information released by the company, and/or news or corporate events that affect the investment. Valuations may be adjusted to account for company-specific issues, the lack of liquidity inherent in a nonpublic investment and the fact that comparable public companies are not identical to the investments being fair valued by the Fund.
3 Increase in unobservable input may result in a significant increase to value, while a decrease in the unobservable input may result in a significant decrease to value.
4 Present value of estimated future oil and gas revenues, net of estimated direct expenses discounted at an annual discount of 10%.
5 Decrease in unobservable input may result in a significant increase to value, while an increase in the unobservable input may result in a significant decrease to value.
6 Canadian Dollar.

 

BLACKROCK CORPORATE HIGH YIELD FUND, INC. MAY 31, 201430
 

Item 2 – Controls and Procedures

2(a) –    The registrant's principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the ″1940 Act″)) are effective as of a date within 90 days of the filing of this report based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Securities Exchange Act of 1934, as amended.

2(b) –    There were no changes in the registrant's internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrant's last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant's internal control over financial reporting.

Item 3 – Exhibits

Certifications – Attached hereto

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.

 

BlackRock Corporate High Yield Fund, Inc.

 

By: /s/ John M. Perlowski

John M. Perlowski

Chief Executive Officer (principal executive officer) of

BlackRock Corporate High Yield Fund, Inc.

 

Date: July 23, 2014

 

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: /s/ John M. Perlowski

John M. Perlowski

Chief Executive Officer (principal executive officer) of

BlackRock Corporate High Yield Fund, Inc.

 

Date: July 23, 2014

 

By: /s/ Neal J. Andrews

Neal J. Andrews

Chief Financial Officer (principal financial officer) of

BlackRock Corporate High Yield Fund, Inc.

 

Date: July 23, 2014