The High Yield Income Fund, Inc.

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


FORM N-Q

 


QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number:   811-05296
Exact name of registrant as specified in charter:   The High Yield Income Fund, Inc.
Address of principal executive offices:   Gateway Center 3,
  100 Mulberry Street,
  Newark, New Jersey 07102
Name and address of agent for service:   Deborah A. Docs
  Gateway Center 3,
  100 Mulberry Street,
  Newark, New Jersey 07102
Registrant’s telephone number, including area code:   973-367-7521
Date of fiscal year end:   8/31/2007
Date of reporting period:   5/31/2007

 



Item 1. Schedule of Investments


The High Yield Income Fund, Inc.

Schedule of Investments

May 31, 2007 (Unaudited)

 

       Moody’s
Rating
    Interest
Rate
    Maturity
Date
   Principal
Amount
(000)
    Value
LONG-TERM INVESTMENTS 127.0%              
CORPORATE BONDS 125.6%              
Aerospace/Defense 4.0%              

DRS Technologies, Inc.,

             

Gtd. Notes

     B1     6.625 %   2/1/16    $ 200     $ 201,500

Gtd. Notes

     B3     7.625     2/1/18      150       155,438

Esterline Technologies Corp.,

             

Sr. Sub Notes

     B1     7.75     6/15/13      300       309,750

Hawker Beechcraft Acquisition Co. LLC,

             

Sr. Notes

     B3     8.50     4/1/15      325 (h)     342,875

K&F Acquisition, Inc.,

             

Gtd. Notes

     Caa1     7.75     11/15/14      150       159,750

L-3 Communications Corp.,

             

Gtd. Notes, Ser. B

     Ba3     6.375     10/15/15      150       149,625

Gtd. Notes

     Ba3     7.625     6/15/12      500       517,499

Moog, Inc., Sr. Sub. Notes

     Ba3     6.25     1/15/15      300       300,000

Sequa Corp., Sr. Notes, Ser. B

     B2     8.875     4/1/08      300       305,625

Standard Aerospace Holdings, Inc., Gtd. Notes

     Caa1     8.25     9/1/14      45       48,488

TransDigm, Inc., Sr. Sub. Notes

     B3     7.75     7/15/14      150 (h)     156,000
                 
                2,646,550
                 
Airlines 0.3%              

AMR Corp., M.T.N., Notes, Ser. B

     CCC+ (d)   10.40     3/10/11      100       102,500

Continental Airlines, Inc.,

             

Pass-Thru Certs., Ser. 1998-1, Class B

             

(Sinkable, expected maturity 3/15/17)

     Ba2     6.748     9/15/18      84       82,693
                 
                185,193
                 
Automotive 4.7%              

Ford Motor Credit Co.,

             

Notes

     B1     7.875     6/15/10      1,305       1,317,585

Sr. Notes

     B1     9.875     8/10/11      200       214,241

General Motors Corp.,

             

Notes

     Caa1     7.20     1/15/11      1,085       1,041,600

Sr. Notes

     Caa1     7.125     7/15/13      50       46,875

General Motors Nova Scotia Finance Co. (Canada),

             

Gtd. Notes

     Caa1     6.85     10/15/08      225 (c)     223,594

Lear Corp., Gtd. Notes, Ser. B

     B3     8.75     12/1/16      170       163,200

Visteon Corp., Sr. Notes

     Caa2     7.00     3/10/14      135       118,800
                 
                3,125,895
                 
Banking 0.6%              

Halyk Savings Bank of Kazakhstan (Kazakhstan),

             

Notes (cost $101,750; purchased 10/22/04)

     Baa2     8.125     10/7/09      100 (c)(g)(h)     104,770

Kazkommerts International BV (Netherlands),

             

Gtd. Notes

     Baa1     7.00     11/3/09      105 (c)(h)     105,903

Gtd. Notes

     Baa1     8.50     4/16/13      205 (c)(h)     213,200
                 
                423,873
                 


Building Materials & Construction 1.6%                  

Beazer Homes USA, Inc., Gtd. Notes

   Ba2      8.625    5/15/11      110       110,825

Goodman Global Holdings, Inc., Sr. Notes, Ser. B

   B1      8.36    6/15/12      122 (i)     123,373

K Hovnanian Enterprises Inc., Gtd. Notes

   Ba3      7.50    5/15/16      170       165,750

KB Home,

                 

Notes

   Ba1      6.375    8/15/11      150       148,500

Sr. Sub. Notes

   Ba2      8.625    12/15/08      160       164,600

Nortek, Inc., Sr. Sub. Notes

   B3      8.50    9/1/14      350       347,375
                     
                    1,060,423
                     
Cable 5.5%                  

Callahan Nordrhein-Westfalen (Germany),

                 

Sr. Disc.Notes

   NR      Zero    7/15/10      500 (a)(c)(f)     5

Charter Communications Holdings I LLC,

                 

Gtd. Notes

   Caa3      10.00    5/15/14      99       95,040

Gtd. Notes

   NR      11.00    10/1/15      4       4,340

Gtd. Notes

   Caa3      11.125    1/15/14      198       196,020

Gtd. Notes

   Caa3      11.75    5/15/14      500       504,999

Sec’d. Notes

   Caa2      11.00    10/1/15      400       435,000

Charter Communications Holdings II LLC,

                 

Gtd. Notes

   NR      10.25    10/1/13      88       97,680

Sr. Notes

   Caa2      10.25    9/15/10      325       346,125

Sr. Notes, Series B

   Caa2      10.25    9/15/10      250       265,625

CSC Holdings, Inc.,

                 

Debs.

   B2      7.625    7/15/18      100       100,500

Debs.

   B2      7.875    2/15/18      50       50,875

Debs., Ser. B

   B2      8.125    8/15/09      100       103,625

Sr. Notes

   B2      7.875    12/15/07      350       353,938

Sr. Notes, Ser. B

   B2      7.625    4/1/11      25       25,625

Sr. Notes, Ser. B

   B2      8.125    7/15/09      400       414,500

Mediacom Broadband LLC, Sr. Notes

   B3      8.50    10/15/15      125 (h)     129,688

Mediacom LLC, Sr. Notes

   B3      9.50    1/15/13      25       25,813

NTL Cable PLC (United Kingdom), Sr. Notes

   B2      9.125    8/15/16      400 (c)     435,000

Videotron Ltee (Canada), Gtd. Notes

   Ba2      6.375    12/15/15      100 (c)     98,750
                     
                    3,683,148
                     
Capital Goods 9.2%                  

ALH Finance LLC, Sr. Sub. Notes

   B3      8.50    1/15/13      75       75,188

Allied Waste North America, Inc.,

                 

Gtd. Notes, Ser. B

   B1      9.25    9/1/12      167       175,768

Sec’d. Notes, Ser. B

   B1      5.75    2/15/11      450       442,687

Sr. Notes

   B1      7.25    3/15/15      95       98,088

Ashtead Capital, Inc., Notes

   B3      9.00    8/15/16      275 (h)     297,688

Avis Budget Car Rental LLC, Sr. Notes

   Ba3      7.625    5/15/14      105 (h)     108,938

Baldor Electric Co., Gtd. Notes

   B3      8.625    2/15/17      175       188,125

Blount, Inc., Sr. Sub Notes

   B2      8.875    8/1/12      425       441,999

Case New Holland, Inc., Gtd. Notes

   Ba3      9.25    8/1/11      200       210,000

Columbus McKinnon Corp., Sr. Sub. Notes

   B2      8.875    11/1/13      300       321,000

Hertz Corp., Gtd. Notes

   B1      8.875    1/1/14      495       532,743

Invensys PLC (United Kingdom), Sr. Notes

   B2      9.875    3/15/11      18 (c)(h)     19,350

JohnsonDiversey Holdings, Inc., Disc. Notes,

   Caa1      10.67    5/15/13        210       218,400


JohnsonDiversey, Inc., Gtd. Notes, Ser. B

   B3        9.625            5/15/12        75     78,375

Manitowoc Co., Inc., (The), Gtd. Notes

   B2    10.50    8/1/12    260     274,950

Mobile Mini, Inc., Sr. Notes

   B1    6.875    5/1/15    375 (h)   374,531

Mueller Water Products, Inc., Sr. Sub. Notes

   B3    7.375    6/1/17    250 (h)   252,686

RBS Global, Inc. & Rexnord Corp., Gtd. Notes

   B3    9.50    8/1/14    400     429,999

Rental Service Corp., Bonds

   Caa1    9.50    12/1/14    250 (h)   268,750

Stena AB (Sweden), Sr. Notes

   Ba3    7.50    11/1/13    275 (c)   280,844

Terex Corp., Gtd. Notes

   B1    7.375    1/15/14    275     286,688

United Rentals North America, Inc.,

             

Sr. Sub. Notes

   B3    7.75    11/15/13    400     414,999

Valmont Industries, Inc., Gtd. Notes

   Ba3    6.875    5/1/14    350     352,188
               
              6,143,984
               
Chemicals 6.1%              

Equistar Chemical Funding LP,

             

Gtd. Notes

   B1    10.125    9/1/08    215     226,288

Sr. Notes

   B1    10.625    5/1/11    85     89,675

Equistar Chemicals LP, Notes

   B1    8.75    2/15/09    251     261,668

Huntsman LLC, Gtd. Notes

   Ba1    11.625    10/15/10    611     656,824

Ineos Group Holdings PLC (United Kingdom),

             

Sr. Sub. Notes

   B2    8.50    2/15/16    75 (c)(h)   75,469

Koppers, Inc., Gtd. Notes

   B2    9.875    10/15/13    730     793,874

Lyondell Chemical Co.,

             

Gtd. Notes

   B1    6.875    6/15/17    100     100,125

Gtd. Notes

   B1    8.25    9/15/16    250     270,625

Gtd. Notes

   Ba2    10.50    6/1/13    224     244,720

MacDermid, Inc., Sr. Sub. Notes

   Caa1    9.50    4/15/17    300 (h)   316,500

Momentive Performance Materials, Inc.,

             

Sr. Notes

   B3    9.75    12/1/14    225 (h)   235,125

Mosaic Co. (The),

             

Sr. Notes

   B1    7.375    12/1/14    125 (h)   130,313

Sr. Notes

   B1    7.625    12/1/16    125 (h)   132,813

Nalco Co.,

             

Sr. Notes

   B1    7.75    11/15/11    275     284,625

Sr. Sub. Notes

   B3    8.875    11/15/13    100     107,250

Rhodia SA (France), Sr. Sub. Notes

   B3    8.875    6/1/11    113 (c)   118,015
               
              4,043,909
               
Consumer 3.4%              

Levi Strauss & Co., Sr. Unsub. Notes

   B2    9.75    1/15/15    200     217,250

Mac-Gray Corp., Sr. Notes

   B2    7.625    8/15/15    150     152,250

Playtex Products, Inc.,

             

Gtd. Notes

   Caa1    9.375    6/1/11    350     360,938

Sec’d. Notes

   Ba3    8.00    3/1/11    15     15,638

Realogy Corp.,

             

Sr. Notes

   Caa1    10.50    4/15/14    100 (h)   100,375

Sr. Notes, PIK

   Caa1    11.00    4/15/14    200 (h)   199,000

Sr. Sub. Notes

   Caa2    12.375    4/15/15    825 (h)   804,374

Service Corp. International, Inc., Sr. Notes

   B1    7.375    10/1/14    350     362,688

TDS Investor Corp., Sr. Sub. Notes

   Caa1    11.875    9/1/16    60 (h)   67,650
               
              2,280,163
               


Electric 9.7%              

AES Corp.,

             

Sec’d. Notes

   Ba3        8.75            5/15/13        90 (h)   95,513

Sr. Notes

   B1    9.50    6/1/09    75     79,781

Sr. Notes

   B1    9.375    9/15/10    700     766,500

AES Eastern Energy LP,

             

Pass-Through Cert., Ser. 1999-A

   Ba1    9.00    1/2/17    199     221,631

Aquila, Inc., Sr. Notes

   B2    9.95    2/1/11    10     10,920

CMS Energy Corp.,

             

Sr. Notes

   Ba3    7.50    1/15/09    120     123,117

Sr. Notes

   Ba3    8.50    4/15/11    200     217,326

Dynegy Holdings, Inc.,

             

Debs.

   B2    7.125    5/15/18    50     47,625

Sr. Notes

   B2    6.875    4/1/11    75     75,281

Sr. Notes

   B2    7.50    6/1/15    175 (h)   173,688

Sr. Unsec’d. Notes

   B2    8.375    5/1/16    255     264,881

Edison Mission Energy,

             

Sr. Notes

   B1    7.625    5/15/27    800 (h)   809,999

Sr. Unsec’d. Notes

   B1    7.75    6/15/16    225     234,000

Homer City Funding LLC, Gtd. Notes

   Ba2    8.137    10/1/19    131     142,734

Midwest Generation LLC,

             

Pass-Thru Certs., Ser. A

   Ba2    8.30    7/2/09    164     168,042

Pass-Thru Certs., Ser. B

   Ba2    8.56    1/2/16    33     36,564

Mirant Americas Generation LLC,

             

Sr. Unsec’d. Notes

   Caa1    8.30    5/1/11    100     106,500

Mirant Corp.

   NR    7.40    7/15/04    75 (a)(f)(h)   5,625

Mirant North America LLC, Gtd. Notes

   B2    7.375    12/31/13    385     407,138

NRG Energy Inc.,

             

Gtd. Notes

   B1    7.375    2/1/16    550     570,625

Gtd. Notes

   B1    7.375    1/15/17    325     337,594

NSG Holdings LLC, Sec’d. Notes

   Ba2    7.75    12/15/25    475 (h)   499,938

Orion Power Holdings, Inc., Sr. Notes

   B2    12.00    5/1/10    370     425,963

Reliant Energy, Inc., Sec’d. Notes

   B2    9.50    7/15/13    220     238,425

Sierra Pacific Resources, Inc., Sr. Notes

   B1    8.625    3/15/14    95     102,064

TXU Corp.,

             

Sr. Notes, Ser. P

   Ba1    5.55    11/15/14    50     44,376

Sr. Notes, Ser. Q

   Ba1    6.50    11/15/24    150     128,711

UtiliCorp Canada Finance Corp. (Canada),

             

Gtd. Notes

   B2    7.75    6/15/11    115 (c)   123,132
               
              6,457,693
               
Energy-Other 6.4%              

Chesapeake Energy Corp.,

             

Gtd. Notes

   Ba2    6.50    8/15/17    130     128,700

Sr. Notes

   Ba2    6.375    6/15/15    200     200,000

Sr. Notes

   Ba2    6.875    1/15/16    180     182,700

Sr. Notes

   Ba2    7.00    8/15/14    150     154,500

Compagnie Generale de Geophysique-Veritas

             

(France), Gtd. Notes

   Ba3    7.50    5/15/15    360 (c)   376,649

Compton Petroleum Finance Corp. (Canada),

             

Gtd. Notes

   B2    7.625    12/1/13    100 (c)   101,000

Forest Oil Corp.,

             

Sr. Notes

   B1    8.00    6/15/08    100     102,000

Sr. Notes

   B1    8.00    6/15/12    95     99,750

Hanover Equipment Trust,

             

Sec’d. Notes, Ser. A

   Ba3    8.50    9/1/08    43     43,108

Sec’d. Notes, Ser. B

   Ba3    8.75    9/1/11    125     129,063

Houston Exploration Co., Sr. Sub. Notes

   B2    7.00    6/15/13    100     101,000


Newfield Exploration Co.,

             

Sr. Sub. Notes

   Ba3        6.625            9/1/14        75     75,374

Sr. Sub. Notes

   Ba3    6.625    9/1/16    475     402,000

OPTI Canada, Inc. (Canada), Gtd. Notes

   B1    8.25    12/15/14    200 (c)(h)   212,500

Parker Drilling Co., Sr. Notes

   B2    9.625    10/1/13    270     291,599

PetroHawk Energy Corp., Gtd. Notes

   B3    9.125    7/15/13    250     268,750

Petroplus Finance Ltd. (Bermuda),

             

Gtd. Notes

   B1    6.75    5/1/14    150 (c)(h)   150,188

Gtd. Notes

   B1    7.00    5/1/17    75 (c)(h)   75,563

Pioneer Natural Resource Co.,

             

Sr. Notes

   Ba1    5.875    7/15/16    40     36,695

Sr. Unsec’d. Notes

   Ba1    6.65    3/15/17    275     266,492

Plains Exploration & Production Co.,

             

Gtd. Notes

   Ba3    7.00    3/15/17    410     407,949

Pride International, Inc., Sr. Notes

   Ba2    7.375    7/15/14    75     77,250

Swift Energy Co., Gtd. Notes

   B1    7.125    6/1/17    225     222,188

Tesoro Corp.,

             

Gtd. Notes

   Ba1    6.25    11/1/12    15     15,038

Gtd. Notes

   Ba1    6.625    11/1/15    50     50,688

Sr. Notes

   Ba1    6.50    6/1/17    100 (h)   100,125
               
              4,270,869
               
Foods 3.4%              

Ahold Finance USA Inc.,

             

Gtd Notes

   Ba1    6.875    5/1/29    75     76,707

Notes

   Ba1    8.25    7/15/10    75     80,855

Alberton’s, Inc.,

             

Debs.

   B1    7.45    8/1/29    275     277,194

Debs.

   B1    8.70    5/1/30    100     112,371

Aramark Corp.,

             

Sr. Notes

   B3    8.50    2/1/15    250 (h)   262,813

Sr. Notes

   B3    8.856    2/1/15    200 (h)(i)   206,250

Carrols Corp., Gtd. Notes

   Caa1    9.00    1/15/13    175     180,250

Dean Foods Co., Gtd. Notes

   B1    7.00    6/1/16    45     44,888

Del Monte Corp., Sr. Sub. Notes

   B2    8.625    12/15/12    100     105,000

Dole Food Co., Inc.,

             

Gtd. Notes

   Caa1    7.25    6/15/10    100     99,000

Sr. Notes

   Caa1    8.625    5/1/09    35     35,700

National Beef Packing Co. LLC, Sr. Notes

   Caa1    10.50    8/1/11    150     157,875

Pilgrim’s Pride Corp.,

             

Gtd. Notes

   B1    9.625    9/15/11    75     78,000

Sr. Unsec’d. Notes

   B1    7.625    5/1/15    100     102,750

Stater Brothers Holdings, Inc.,

             

Sr. Notes

   B2    7.75    4/15/15    225 (h)   234,000

Sr. Notes

   B2    8.125    6/15/12    100     104,000

Supervalu, Inc., Sr. Notes

   B1    7.50    11/15/14    100     105,000
               
              2,262,653
               
Gaming 7.2%              

Boyd Gaming Corp., Sr. Sub. Notes

   Ba3    6.75    4/15/14    60     60,525

Caesars Entertainment, Inc., Sr. Sub. Notes

   Ba1    8.125    5/15/11    135     142,931

CCM Merger, Inc., Notes

   B3    8.00    8/1/13    450 (h)   460,125

Fountainebleau Las Vegas Holdings LLC,

             

Mortgage Backed

   Caa1    10.25    6/15/15    175 (h)   180,250

Harrah’s Operating Co. Inc.,

             


Gtd. Notes

   Baa3        5.375        12/15/13        25     22,250

Gtd. Notes

   Baa3    5.50    7/1/10    150     147,375

Gtd. Notes

   Baa3    5.625    6/1/15    375     318,750

Notes

   Baa3    6.50    6/1/16    25     22,094

Isle of Capri Casinos, Inc., Gtd. Notes

   B1    9.00    3/15/12    185     193,325

Mandalay Resort Group,

             

Sr. Notes

   Ba2    9.50    8/1/08    250     258,750

Sr. Sub. Notes

   B1    9.375    2/15/10    100     107,250

MGM Mirage, Inc.,

             

Gtd. Notes

   Ba2    6.875    4/1/16    225     215,438

Gtd. Notes

   Ba2    7.50    6/1/16    300     295,500

Gtd. Notes

   Ba2    7.625    1/15/17    100     98,750

Gtd. Notes

   B1    9.75    6/1/07    480     480,039

Mohegan Tribal Gaming Authority,

             

Sr. Sub. Notes

   Ba2    7.125    8/15/14    50     50,625

Sr. Sub. Notes

   Ba2    8.00    4/1/12    175     182,219

Sr. Sub. Notes

   Ba2    8.375    7/1/11    850 (f)   875,499

Snoqualmie Entertainment Authority, Sr. Notes

   B3    9.15    2/1/14    100 (h)(i)   102,250

Station Casinos, Inc.,

             

Sr. Notes

   Ba2    6.00    4/1/12    215     208,550

Sr. Sub. Notes

   Ba3    6.50    2/1/14    75     69,469

Sr. Unsec’d. Notes

   Ba2    7.75    8/15/16    150     154,875

Trump Entertainment Resorts, Inc., Sec’d. Notes

   Caa1    8.50    6/1/15    150     153,563
               
              4,800,402
               
Healthcare & Pharmaceutical 11.6%              

Accellent, Inc., Gtd. Notes

   Caa2    10.50    12/1/13    450     464,063

Advanced Medical Optics, Inc., Sr. Sub. Notes

   B1    7.50    5/1/17    110 (h)   108,488

Alliance Imaging, Inc., Sr. Sub. Notes

   B3    7.25    12/15/12    200     196,500

Concentra Operating Corp., Gtd. Notes

   B3    9.50    8/15/10    942     989,099

Elan Finance PLC (Ireland), Gtd. Notes

   B3    9.36    11/15/11    103 (c)(i)   105,060

Fisher Scientific International, Inc.,

             

Sr. Sub. Notes

   Baa3    6.125    7/1/15    150     149,237

Fresenius Medical Care Capital Trust II,

             

Gtd. Notes

   B1    7.875    2/1/08    500     506,875

Hanger Orthopedic Group, Inc., Gtd. Notes

   Caa1    10.25    6/1/14    150     162,750

HCA, Inc.,

             

Debs.

   Caa1    7.50    11/15/95    100     82,308

Sec’d. Notes

   B2    9.25    11/15/16    775 (h)   849,593

Sec’d Notes, PIK

   B2    9.625    11/15/16    1,100 (h)   1,212,749

Inverness Medical Innovations, Inc.,

             

Sr. Sub. Notes

   Caa1    8.75    2/15/12    205     217,300

Mylan Laboratories, Inc., Gtd. Notes

   Ba1    6.375    8/15/15    75     77,813

Omega Healthcare Investors, Inc., Gtd. Notes

   Ba3    7.00    4/1/14    50     51,125

Omnicare, Inc.,

             

Sr. Sub. Notes

   Ba3    6.125    6/1/13    125     119,688

Sr. Sub. Notes

   Ba3    6.875    12/15/15    100     98,500

PTS Acquisition Corp., Sr. Notes, PIK

   Caa1    9.50    4/15/15    325 (h)   333,938

Res-Care, Inc., Sr. Notes

   B1    7.75    10/15/13    300     307,500

Select Medical Corp., Gtd. Notes

   B3    7.625    2/1/15    45     41,625

Senior Housing Properties Trust, Sr. Notes

   Ba2    8.625    1/15/12    405     441,450

Skilled Healthcare Group, Inc., Sr. Sub. Notes

   Caa1    11.00    1/15/14    455 (h)   513,013

Sun Healthcare Group, Inc., Sr. Sub. Notes

   B3    9.125    4/15/15    500 (h)   525,000

Warner Chilcott Corp., Gtd. Notes

   Caa1    8.75    2/01/15    161     170,861
               
              7,724,535
               


Lodging 1.9%

             

Felcor Lodging LP, Gtd. Notes

   Ba3        8.50            6/1/11        225     240,188

Gaylord Entertainment Co., Sr. Notes

   B3    8.00    11/15/13    100     104,500

Host Marriott LP,

             

Gtd. Notes, Ser. Q

   Ba1    6.75    6/1/16    325     329,469

Sr. Notes

   Ba1    7.125    11/1/13    400     409,999

Sr. Notes, Ser. M

   Ba1    7.00    8/15/12    200     203,500
               
              1,287,656
               

Media & Entertainment 9.8%

             

AMC Entertainment, Inc.,

             

Gtd. Notes

   B3    11.00    2/1/16    50     57,063

Sr. Sub. Notes

   B3    8.00    3/1/14    100     103,250

Cinemark, Inc., Sr. Disc. Notes

          (Zero Coupon until 3/15/09)

   B3    Zero    3/15/14    225     207,844

Clear Channel Communications, Inc.,

             

Debs.

   Baa3    6.875    6/15/18    25     22,604

Sr. Notes

   Baa3    5.50    9/15/14    150     130,475

Sr. Notes

   Baa3    5.75    1/15/13    250     227,337

Dex Media East LLC, Gtd. Notes

   B2    12.125    11/15/12    406     440,509

Dex Media West LLC, Sr. Sub. Notes, Ser. B

   B2    9.875    8/15/13    415     450,793

Dex Media, Inc., Notes

   B3    8.00    11/15/13    165     172,425

DirecTV Holdings LLC,

             

Gtd. Notes

   Ba3    6.375    6/15/15    25     24,250

Sr. Notes

   Ba3    8.375    3/15/13    150     158,250

Echostar DBS Corp.,

             

Gtd. Notes

   Ba3    7.00    10/1/13    75     76,781

Gtd. Notes

   Ba3    6.625    10/1/14    75     75,000

Gtd. Notes

   Ba3    7.125    2/1/16    475     487,468

Sr. Notes

   Ba3    6.375    10/1/11    75     75,281

Idearc, Inc., Sr. Notes

   B2    8.00    11/15/16    150 (h)   155,438

Intelsat Bermuda Ltd. (Bermuda),

             

Gtd. Notes

   B2    9.25    6/15/16    175 (c)   193,813

Sr. Unsec’d. Notes

   Caa1    11.25    6/15/16    750 (c)   856,874

Medianews Group, Inc., Sr. Sub. Notes

   B2    6.875    10/1/13    200     184,000

Morris Publishing Group LLC, Gtd. Notes

   B1    7.00    8/1/13    65     60,044

Nielsen Finance LLC, Sr. Notes

   Caa1    10.00    8/1/14    125 (h)   136,250

PRIMEDIA, Inc., Sr. Notes

   B2    10.735    5/15/10    200 (i)   206,250

Quebecor World, Inc. (Canada), Sr. Notes

   B2    9.75    1/15/15    100 (c)(h)   106,000

Rainbow National Services LLC,

             

Sr. Notes

   B2    8.75    9/1/12    125 (h)   133,438

Sr. Sub. Debs.

   B3    10.375    9/1/14    25 (h)   28,063

RH Donnelly Corp., Sr. Notes, Ser. A-3

   B3    8.875    1/15/16    225     242,438

RH Donnelley Finance Corp. I, Gtd. Notes

          (cost $200,000; purchased 11/26/02)

   B2    10.875    12/15/12    200 (g)(h)   215,250

Six Flags, Inc., Sr. Notes

   Caa1    9.625    6/1/14    20     19,250

Sun Media Corp. (Canada), Gtd. Notes

   Ba2    7.625    2/15/13    400 (c)   413,000

Universal City Florida Holdings Co., Sr. Notes

   B3    10.106    5/1/10    250 (i)   258,125

Univision Communications, Inc.,

             

Sr. Notes, PIK

   B3    9.75    3/15/15    400 (h)   414,000

Vertis, Inc., Sec’d. Notes

   B1    9.75    4/1/09    200     205,000
               
              6,536,563
               


Metals 7.0%

             

AK Steel Corp., Gtd. Notes

   B2        7.75            6/15/12        150     154,313

Aleris International, Inc.,

             

Sr. Notes, PIK

   B3    9.00    12/15/14    150 (h)   160,500

Sr. Sub. Notes

   Caa1    10.00    12/15/16    100 (h)   105,125

Arch Western Finance LLC, Gtd. Notes

   B1    6.75    7/1/13    160     159,400

Century Aluminum Co., Gtd. Notes

   B1    7.50    8/15/14    300     312,750

Chaparral Steel Co., Gtd. Notes

   B1    10.00    7/15/13    430     479,450

FMG Finance Pty Ltd. (Australia),

             

Sec’d. Notes (cost $147,000; purchased 1/18/07)

   Ba3    10.00    9/1/13    140 (c)(g)(h)   157,150

Sec’d. Notes (cost $90,750; purchased 5/22/07)

   Ba3    10.625    9/1/16    75 (c)(g)(h)   90,094

Freeport-McMoRan Copper & Gold, Inc.,

             

Sr. Unsec’d Notes

   Ba3    8.375    4/1/17    275     300,438

Sr. Unsec’d Notes

   Ba3    8.564    4/1/15    300 (i)   316,125

Gerdau AmeriSteel Corp. (Canada), Sr. Notes

   Ba2    10.375    7/15/11    500 (c)   528,749

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

   Baa3    9.75    4/1/14    340 (c)   375,622

Metals USA, Inc., Sec’d. Notes

   B3    11.125    12/1/15    447     501,757

Novelis, Inc. (Canada), Gtd. Notes

   B2    7.25    2/15/15    225 (c)   237,375

PNA Group, Inc., Sr. Notes

          (cost $175,000; purchased 8/4/06)

   B3    10.75    9/1/16    175 (f)(g)(h)   194,250

Ryerson, Inc., Sr. Notes

   B3    8.25    12/15/11    135     139,388

United States Steel Corp., Sr. Notes

   Baa3    9.75    5/15/10    400     422,000
               
              4,634,486
               

Non-Captive Finance 2.6%

             

General Motors Acceptance Corp.,

             

Notes

   Ba1    6.75    12/1/14    285     284,086

Notes

   Ba1    6.875    9/15/11    450     453,394

Notes

   Ba1    6.875    8/28/12    950     954,626

GMAC LLC, Unsub. Notes

   Ba1    6.625    5/15/12    75     74,632
               
              1,766,738
               

Packaging 4.2%

             

Ball Corp., Gtd. Notes

   Ba1    6.625    3/15/18    350     351,750

Berry Plastics Holding Corp.,

             

Sec’d. Notes

   B3    8.875    9/15/14    75     76,875

Sec’d. Notes

   B3    9.23    9/15/14    225 (i)   230,344

Crown Americas LLC,

             

Gtd. Notes

   B1    7.625    11/15/13    300     311,250

Gtd. Notes

   B1    7.75    11/15/15    250     261,250

Exopack Holding Corp., Gtd. Notes

   B3    11.25    2/1/14    150     163,500

Graham Packaging Co., Inc.,

             

Gtd. Notes

   Caa1    8.50    10/15/12    175     178,500

Sub. Notes

   Caa1    9.875    10/15/14    125     128,750

Greif, Inc., Sr. Notes

   Ba2    6.75    2/1/17    175 (h)   176,750

Owens-Brockway Glass Container, Inc.,

             

Sec’d. Notes

   Ba2    8.75    11/15/12    705     742,012

Silgan Holdings, Inc., Sr. Sub. Notes

   B1    6.75    11/15/13    175     173,688
               
              2,794,669
               

Paper 3.6%

             

Bowater Canada Finance Corp. (Canada),

             

Gtd. Notes

   B3    7.95    11/15/11    100 (c)   96,375

Cascades, Inc. (Canada), Sr. Notes

   Ba3    7.25    2/15/13    275 (c)   277,406

Catalyst Paper Corp. (Canada),

             

 


Gtd. Notes, Ser. D

   B2        8.625            6/15/11        315 (c)   315,787

Sr. Notes

   B2    7.375    3/1/14    100 (c)   94,375

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

   B2    9.75    3/15/10    300     301,499

Domtar, Inc., (Canada), Notes

   B2    7.875    10/15/11    100 (c)   105,000
             

Georgia-Pacific Corp., Gtd. Notes

          (cost $275,000; purchased 12/14/06)

   Ba3    7.125    1/15/17    275 (g)(h)   274,313

Graphic Packaging International Corp.,

             

Sr. Notes

   B2    8.50    8/15/11    200     208,250

Sr. Sub. Notes

   B3    9.50    8/15/13    150     159,563

Norampac, Inc. (Canada), Sr. Notes

   Ba3    6.75    6/1/13    110 (c)   108,625

P.H. Glatfelter, Gtd. Notes

   Ba1    7.125    5/1/16    40     40,800

Smurfit-Stone Container Enterprises, Inc.,

             

Sr. Notes

   B3    8.00    3/15/17    265     266,988

Sr. Notes

   B3    8.375    7/1/12    75     76,500

Stone Container Finance (Canada), Gtd. Notes

   B3    7.375    7/15/14    95 (c)(h)   94,050
               
              2,419,531
               

Pipelines & Other 5.0%

             

AmeriGas Partners LP, Sr. Notes

   B1    7.125    5/20/16    175     177,188

El Paso Corp., Sr. Notes, M.T.N.

   Ba3    7.75    1/15/32    390     427,719

Ferrellgas Partners LP, Sr. Notes

   Ba3    6.75    5/1/14    50     49,625

Inergy LP,

             

Gtd. Notes

   B1    8.25    3/1/16    50     52,875

Sr. Notes

   B1    6.875    12/15/14    150     148,500

Kinder Morgan Finance Co. ULC (Canada),

             

Gtd. Notes

   Ba2    5.70    1/5/16    125 (c)   117,771

Gtd. Notes

   Ba2    6.40    1/5/36    175 (c)   160,579

Pacific Energy Partners LP, Sr. Notes

   Baa3    7.125    6/15/14    100     104,341

Targa Resources, Inc., Gtd. Notes

   B3    8.50    11/1/13    400 (h)   416,000

Williams Cos., Inc. (The),

             

Debs., Ser. A

   Ba2    7.50    1/15/31    100     108,000

Notes

   Ba2    7.125    9/1/11    200     209,750

Notes

   Ba2    7.75    6/15/31    100     109,500

Notes

   Ba2    7.875    9/1/21    245     274,400

Notes

   Ba2    8.75    3/15/32    25     29,750

Sr. Unsec’d. Notes

   Ba2    8.125    3/15/12    475     517,156

Williams Partners LP, Gtd. Notes

   Ba3    7.25    2/1/17    375     397,500
               
              3,300,654
               

Retailers 2.3%

             

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

   B3    8.00    3/15/14    50     51,125

Couche-Tard Finance Corp., Sr. Sub. Notes

   Ba2    7.50    12/15/13    125     129,375

GSC Holdings Corp., Gtd. Notes

   Ba3    8.00    10/1/12    65     69,225

Jean Coutu Group, Inc. (Canada),

             

Sr. Notes

   B3    7.625    8/1/12    50 (c)   52,960

Sr. Sub. Notes

   Caa2    8.50    8/1/14    145 (c)   156,517

Neiman-Marcus Group, Inc.,

             

Gtd. Notes, PIK

   B2    9.00    10/15/15    125     137,188

Gtd. Notes

   B3    10.375    10/15/15    30     33,750

Pantry, Inc. (The), Sr. Sub. Notes

   B3    7.75    2/15/14    165     165,825

Rite Aid Corp., Sec’d. Notes

   B3    8.125    5/1/10    545     561,350

Susser Holdings LLC, Gtd. Notes

   B2    10.625    12/15/13    134     147,400
               
              1,504,715
               


Technology 5.6%

            

Amkor Technology, Inc., Sr. Notes

   B1       7.125            3/15/11        75     73,594

Avago Technologies Finance Wireless (Singapore),

            

Gtd. Notes

   B2   10.125    12/1/13    260 (c)   283,400

Gtd. Notes

   Caa1   11.875    12/1/15    75 (c)   85,313

Flextronics International Ltd. (Singapore),

            

Sr. Sub.Notes

   Ba2   6.25    11/15/14    200 (c)   193,500

Freescale Semiconducter, Inc.,

            

Sr. Notes

   B1   8.875    12/15/14    205 (h)   205,256

Sr. Notes, PIK

   B1   9.125    12/15/14    1,155 (h)   1,143,449

Sr. Sub Notes

   B2   10.125    12/15/16    20 (h)   20,025

Iron Mountain, Inc.,

            

Gtd. Notes

   B3   7.75    1/15/15    250     257,500

Gtd. Notes

   B3   8.625    4/1/13    175     179,813

Nortel Networks Ltd. (Canada), Gtd. Notes

   B3   4.25    9/1/08    135 (c)   131,625

NXP BV/NXP Funding LLC (Netherlands),

            

Gtd. Notes, Series WI

   B2   9.50    10/15/15    125 (c)(h)   129,375

Sec’d. Notes, Series WI

   Ba2   7.875    10/15/14    175 (c)(h)   180,250

Seagate Technology HDD Holdings

          (Cayman Islands), Gtd. Notes

   Ba1   6.375    10/1/11    150 (c)   148,500

Sensata Technologies BV (Netherlands), Gtd. Notes

   Caa1   8.00    5/1/14    300 (c)   303,000

Serena Software, Inc., Gtd. Notes

   Caa1   10.375    3/15/16    300     327,750

STATS ChipPAC Ltd. (Singapore), Gtd. Notes

   Ba2   6.75    11/15/11    50 (c)   51,250
              
             3,713,600
              

Telecommunications 9.6%

            

Centennial Communications Corp., Sr. Notes

   Caa1   10.00    1/1/13    75     81,375

Cincinnati Bell, Inc.,

            

Gtd. Notes

   Ba3   7.25    7/15/13    75     78,000

Sr. Sub. Notes

   B2   8.375    1/15/14    75     76,875

Citizens Communications Co.,

            

Notes

   Ba2   9.25    5/15/11    205     226,525

Sr. Notes

   Ba2   6.25    1/15/13    150     148,500

Sr. Notes

   Ba2   9.00    8/15/31    75     81,188

Cricket Communications, Inc., Gtd. Notes

   Caa1   9.375    11/1/14    175     185,500

Dobson Cellular Systems, Inc., Sec’d. Notes

   Ba2   8.375    11/1/11    250     266,250

Hawaiian Telcom Communications, Inc.,

            

Gtd. Notes, Ser. B

   Caa1   12.50    5/1/15    225     258,750

Level 3 Financing, Inc.,

            

Gtd. Notes

   B3   12.25    3/15/13    575     672,749

Sr. Notes

   B3   8.75    2/15/17    175 (h)   179,594

Sr. Notes

   B3   9.25    11/1/14    100 (h)   104,375

MetroPCS Wireless, Inc., Sr. Notes

   Caa1   9.25    11/1/14    200 (h)   212,000

Nextel Partners, Inc., Gtd. Notes

   BBB(d)   8.125    7/1/11    375     390,998

Nordic Telephone Co. Holdings (Denmark),

            

Sr. Notes

   B2   8.875    5/1/16    265 (c)(h)   287,194

Qwest Communications International, Inc.,

            

Gtd. Notes, Ser. B

   Ba3   7.50    2/15/14    65     67,113

Qwest Corp.,

            

Debs.

   Ba1   6.875    9/15/33    250     240,000

Debs.

   Ba1   7.50    6/15/23    650     661,374

Notes

   Ba1   8.875    3/15/12    125     137,188

Sr. Notes

   Ba1   7.50    10/1/14    200     210,500

Sr. Notes

   Ba1   7.625    6/15/15    210     222,600

Sr. Notes

   Ba1   7.875    9/1/11    150     158,625

Rogers Wireless, Inc. (Canada),

            


Sec’d. Notes

   Baa3       9.625             5/1/11          125 (c)     141,442  

Sr. Sub. Notes

   Ba1   8.00     12/15/12      200 (c)     211,285  

Rural Cellular Corp., Sr. Notes

   B3   9.875     2/1/10      135       141,919  

Time Warner Telecom Holdings, Inc.,

           

Gtd. Notes

   B3   9.25     2/15/14      100       107,375  

Windstream Corp.,

           

Sr. Notes

   Ba3   7.00     3/15/19      500       498,124  

Sr. Notes

   Ba3   8.625     8/1/16      300       327,750  
                 
              6,375,168  
                 

Tobacco 0.3%

           

Reynolds American, Inc., Sec’d. Notes

   Ba2   7.625     6/1/16      175       189,580  
                 

Total corporate bonds (cost $81,016,509)

              83,632,650  
                 

SOVEREIGN BONDS 1.4%

           

Republic of Argentina,

           

Bonds, F.R.N.

   B3   3.00     4/30/13      173 (c)(i)     114,368  

Bonds, F.R.N.

   B3   5.475     8/3/12      255 (c)(i)     244,707  

Republic of Colombia, Notes

   Ba2   10.00     1/23/12      200 (c)     235,400  

Republic of Philippines, Bonds

   B1   9.375     1/18/17      300 (c)     369,749  
                 

Total sovereign bonds (cost $903,525)

              964,224  
                 
                    Units        

WARRANTS(b)

           

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

            140 (f)     0  

Viasystems Group, Inc., expiring 1/10/31

            10,871 (f)     1  

XM Satellite Radio, Inc., expiring 3/15/10

            150 (f)(h)     0  
                 

Total warrants (cost $219,817)

              1  
                 

Total long-term investments (cost $82,139,851)

              84,596,875  
                 
           
                   

Principal

Amount

(000)

       

SHORT-TERM INVESTMENT 2.5%

           

U.S. GOVERNMENT AGENCY SECURITY

           

Federal Home Loan Bank,

           

          Discount Note

          (cost $1,679,000)

   A-1+(d)   5.10 %(e)   6/1/07    $ 1,679       1,678,762  
                 

Total Investments(j) 129.5%

          (cost $83,818,851)(k)

              86,275,637  

Liabilities in excess of other assets (29.5%)

              (19,676,658 )
                 

Net Assets 100.0%

            $ 66,598,979  
                 



F.R.N. — Floating Rate Note

M.T.N. — Medium Term Note

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

PIK— Payment in Kind

 

(a) Represents issuer in default on interest payment; non-income producing security.
(b) Non-income producing security.
(c) US$ denominated foreign securities.
(d) Standard & Poor’s Rating.
(e) Percentage quoted represents yield-to-maturity as of purchase date.
(f) Indicates a security that has been deemed illiquid.
(g) Indicates a restricted security; the aggregate cost of such securities is $989,500. The aggregate value of $1,035,827 is approximately 1.6% of net assets.
(h) Security was purchased pursuant to Rule 144A under the Securities Act of 1993 and may not be resold subject to that rule except to qualified institutional buyers. Unless otherwise noted, 144A securities are deemed to be liquid.
(i) Indicates a variable rate security. The interest rate shown reflects the rate in effect at May 31, 2007.
(j) As of May 31, 2007, one security representing $1 and 0.0% of the total market value was fair valued in accordance with the policies adopted by the Board of Directors.
(k) The United States federal income tax basis of the Fund’s investments and the net unrealized appreciation as of May 31, 2007 were as follows:

 

Tax Basis of
Investments
  Appreciation   Depreciation   Net Unrealized
Appreciation
$ 84,379,751   $ 3,001,247   $ 1,105,361   $ 1,895,886

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


Notes to Schedule of Investments (Unaudited)

Securities Valuation: Securities for which market quotations are readily available—including securities listed on national securities exchanges and those traded over-the-counter—are valued at the last quoted sales price on the valuation date on which the security is traded. If such securities were not traded on the valuation date, but market quotations are readily available, they are valued at the most recently quoted bid price provided by an independent pricing service or by a principal market maker. Securities for which market quotations are not readily available or for which the pricing agent or market maker does not provide a valuation or methodology, or provides a valuation or methodology that, in the judgment of the adviser, does not represent fair value, are valued by a Valuation Committee appointed by the Board of Directors, in consultation with the adviser. When determining the fair valuation of securities some of the factors influencing the valuation include, the nature of any restrictions on disposition of the securities; assessment of the general liquidity of the securities; the issuer’s financial condition and the markets in which it does business; the cost of the investment; the size of the holding and the capitalization of issuer; the prices of any recent transactions or bids/offers for such securities or any comparable securities; any available analyst media or other reports or information deemed reliable by the investment adviser regarding the issuer or the markets or industry in which it operates. Using fair value to price securities may result in a value that is different from a security’s most recent closing price and from the price used by other mutual funds to calculate their net asset values.

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

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


Item 2. Controls and Procedures

 

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

 

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

 

Item 3. Exhibits

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


SIGNATURES

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

 

(Registrant) The High Yield Income Fund, Inc.      
By (Signature and Title)*   

/s/ Deborah A. Docs

     
   Deborah A. Docs      
   Secretary of the Fund      
Date July 26, 2007         

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

 

By (Signature and Title)*   

/s/ Judy A. Rice

     
   Judy A. Rice      
   President and Principal Executive Officer   
Date July 26, 2007         
By (Signature and Title)*   

/s/ Grace C. Torres

     
   Grace C. Torres      
   Treasurer and Principal Financial Officer   
Date July 26, 2007         

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