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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 2012-03-29 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
2012-03-29 English
AMENDED SCHEDULE 13G
Major Shareholding Notification
2012-03-08 English
PRIMARY DOCUMENT
Director's Dealing
2012-03-01 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 of Registered Management Investment Companies filed with the SEC. It contains detailed financial information, portfolio composition, management review, performance summary, and audited financial statements for the MFS Intermediate High Income Fund for the fiscal year ended November 30, 2011. The presence of comprehensive financial data, management commentary, and an independent auditor's report indicates this is a full annual report for the fund. Therefore, it fits the category of an Annual Report (10-K equivalent for investment companies).
2012-01-31 English
Net Asset Value 2012
Net Asset Value Classification · 95% confidence The document text appears to be a structured filing with detailed numeric data, addresses, and entity names related to a financial fund (MFS Intermediate High Income Fund). It includes references to financial institutions, trustees, and auditors (Ernst & Young LLP), and contains extensive numeric data likely related to fund holdings or financial metrics. The length is 7891 characters, which is substantial and suggests it is not a brief announcement. There is no indication that this is an annual report (10-K), earnings release, or management discussion. The presence of detailed numeric data and fund-related information suggests this is a Net Asset Value (NAV) update or report for an investment fund. The document does not resemble a proxy statement, voting results, or regulatory certification. Therefore, the best fit is Net Asset Value (NAV) report, which regularly updates the NAV for investment funds.
2012-01-26 English
SCHEDULE 13G
Major Shareholding Notification
2012-01-19 English

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