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BlackRock MuniYield Fund, Inc.

MYD

NYSE

10.53

USD
+0.03(+0.29%)

As of today

BlackRock MuniYield Fund, Inc. fundamentals

MYD Cash Flow

Period EndingJul 31, 2024Jul 31, 2023Apr 30, 2022Apr 30, 2021Apr 30, 2020Apr 30, 2019Apr 30, 2018Apr 30, 2017Apr 30, 2016Apr 30, 2015Apr 30, 2014Apr 30, 2013
Net Income23,928,895-5,559,627-93,180,984119,608,160-23,648,73742,651,80122,639,132-1,650,58058,431,97071,497,840-14,282,74885,100,724
Depreciation & Amortization000000000000
Deferred Income Tax000000000000
Stock-Based Compensation000000000000
Change in Working Capital156,106372,959122,448-158,9952,149,141772,5801,378,3332,107,030-9,288,09011,211,610341,657-1,113,605
Accounts Receivable Change-422,647950,90615,642,924621,1962,080,124641,0680824,56000341,657-1,113,605
Inventory Change000000000000
Accounts Payable Change00000006,466,9100000
Other Working Capital Change578,753-577,947-15,520,476-780,19169,017131,5120-5,184,4400000
Other Non-Cash Items-29,024,628121,893,788130,541,730-84,870,54541,067,87220,730,86015,161,96144,245,050-16,542,090-32,468,97094,055,942-66,939,809
Net Cash Provided by Operating Activities-4,939,627116,707,12037,483,19434,578,62019,568,27664,155,24139,179,42644,701,50032,601,79050,240,48080,114,85117,047,310
Investments in Property, Plant & Equipment000000000000
Net Acquisitions000000000000
Purchases of Investments000000000000
Sales & Maturities of Investments000000000000
Other Investing Activities000000000000
Net Cash Used for Investing Activities-31,205,00400000000000
Debt Repayment80,55900000000000
Common Stock Issued000000000000
Common Stock Repurchased-6,599,514-5,230,5970000000000
Dividends Paid-23,647,108-25,285,466-30,775,566-31,530,034-31,524,559-33,990,193-36,938,217-39,327,640-43,046,070-44,636,230-45,214,083-42,792,042
Other Financing Activities35,643,690-91,492,340-5,042,208800,12625,867,553-27,989,732-2,218,656-5,373,86010,444,280-5,604,250-38,691,18729,535,151
Net Cash Used/Provided by Financing Activities5,477,627-122,008,403-36,519,553-33,982,261-20,648,524-63,474,396-39,156,873-44,701,500-32,601,790-50,240,480-83,905,270-13,256,891
Effect of Forex Changes on Cash000000000000
Net Change in Cash538,000-5,301,283963,641596,359-1,080,248680,84522,553000-3,790,4193,790,419
Cash at End of Period538,00001,560,000596,35901,080,24822,55300207,40003,790,419
Cash at Beginning of Period05,301,283596,35901,080,248399,403000207,4003,790,4190
Operating Cash Flow-4,939,627116,707,12037,483,19434,578,62019,568,27664,155,24139,179,42644,701,50032,601,79050,240,48080,114,85117,047,310
Capital Expenditure000000000000
Free Cash Flow-4,939,627116,707,12037,483,19434,578,62019,568,27664,155,24139,179,42644,701,50032,601,79050,240,48080,114,85117,047,310