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MFS INTERMEDIATE HIGH INCOME FUND — Investor Relations & Filings

Ticker · CIF ISIN · US1957631070 LEI · SASSJTLSXHXELZG42340 US Financial and insurance activities
Filings indexed 397 across all filing types
Latest filing 2015-07-21 Director's Dealing
Country US United States of America
Listing US CIF

About MFS INTERMEDIATE HIGH INCOME FUND

https://www.mfs.com/en-us/individual-in…

MFS Intermediate High Income Fund is a closed-end, fixed-income fund managed by Massachusetts Financial Services Company. The fund's primary investment objective is to seek a high level of current income, with capital appreciation as a secondary consideration. It pursues this goal by investing in a diversified portfolio of high-yield corporate bonds and other fixed-income instruments that are predominantly rated below investment grade. The fund focuses on instruments with intermediate-term maturities. It has adopted a managed distribution plan to provide shareholders with a consistent distribution level, which may be sourced from net investment income, realized capital gains, or a return of capital.

Recent filings

Filing Released Lang Actions
PRIMARY DOCUMENT
Director's Dealing
2015-07-21 English
MFS INTERMEDIATE HIGH INCOME FUND N-Q
Interim / Quarterly Report Classification · 95% confidence The document is titled 'FORM N-Q' and is filed with the SEC, indicating it is a quarterly schedule of portfolio holdings for a registered management investment company. The text includes detailed portfolio investment listings as of February 28, 2015, with unaudited data. Form N-Q is a regulatory filing used by investment companies to report their portfolio holdings on a quarterly basis. This is not a full financial report like an Annual Report (10-K) or Interim Report (IR), nor is it an announcement or certification. It is a specific regulatory filing type for quarterly portfolio holdings. Therefore, the appropriate classification is 'Interim / Quarterly Report (IR)' because it contains substantive financial data for a period shorter than a full fiscal year and is a quarterly report for an investment fund.
2015-04-27 English
SABA CAPITAL MANAGEMENT, L.P.
Major Shareholding Notification
2015-02-17 English
MFS INTERMEDIATE HIGH INCOME FUND N-CSR
Annual Report Classification · 95% confidence The document is a Form N-CSR, which is a Certified Shareholder Report for Registered Management Investment Companies filed with the SEC. It includes detailed financial statements, management review, portfolio composition, performance summary, and an independent auditor's report. The document is comprehensive and contains substantive financial data and analysis for the fiscal year ending November 30, 2014. This matches the characteristics of an Annual Report for an investment fund. Therefore, the appropriate classification is Annual Report (10-K).
2015-02-05 English
Financial Supplement Data 2015
Financial Supplement Data Classification · 90% confidence The document text appears to be a detailed financial filing related to the MFS Intermediate High Income Fund, including various financial data points, institutional names, and signatures. The presence of detailed financial figures, fund names, and trustee information suggests this is a comprehensive financial report rather than a brief announcement or certification. The length of the document (7354 characters) supports it being a substantive report. Given the nature of the content and the fund focus, this aligns best with a Financial Supplement Data (XLSX) or a detailed fund report. However, since the text is not an Excel spreadsheet but detailed financial data for a fund, the most appropriate classification is Financial Supplement Data (XLSX) as it fits supplementary financial data for a fund. Confidence is high due to the detailed financial data and fund-specific information.
2015-01-27 English
Fund Information / Factsheet 2015
Fund Information / Factsheet Classification · 85% confidence The document text contains detailed financial and administrative data related to the MFS Intermediate High Income Fund, including references to financial institutions, trustees, and auditors such as Ernst & Young LLP. The length of the document (7323 characters) suggests it is substantive and not merely an announcement. The content appears to be structured data typical of a fund's detailed financial or operational report rather than a brief summary or announcement. There is no indication that this is a proxy statement, voting results, or a management change announcement. The presence of detailed financial figures and trustee information aligns with a comprehensive fund report. Given the nature of the document and the presence of detailed financial data, the most appropriate classification is a Fund Information / Factsheet (FS), which typically includes key company facts, financials, and market information for investment funds.
2015-01-23 English

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