MFS INTERMEDIATE HIGH INCOME FUND - Common Stock (CIF) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock
Symbol
CIF on NYSE
Shares outstanding
18,034,767
Price per share
$1.76
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,793,831
Total reported value
$3,164,010
% of total 13F portfolios
0%
Share change
+48,284
Value change
+$86,408
Number of holders
19
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MFS INTERMEDIATE HIGH INCOME FUND - Common Stock (CIF) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SIT INVESTMENT ASSOCIATES INC 6% $1,828,725 1,082,086 Sit Investment Associates, Inc. 31 Dec 2024

As of 30 Sep 2025, 19 institutional investors reported holding 1,793,831 shares of MFS INTERMEDIATE HIGH INCOME FUND - Common Stock (CIF). This represents 9.9% of the company’s total 18,034,767 outstanding shares.

Institutional Holders of MFS INTERMEDIATE HIGH INCOME FUND - Common Stock (CIF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 1,793,831 $3,164,010 +$86,408 $1.76 19
2025 Q2 1,745,547 $3,034,251 +$841 $1.74 20
2025 Q1 1,745,595 $2,984,916 +$121,912 $1.71 19
2024 Q4 1,673,614 $2,900,839 +$640,509 $1.73 16
2024 Q3 1,300,000 $2,313,521 +$81,637 $1.78 20
2024 Q2 1,241,376 $2,104,414 +$192,947 $1.70 19
2024 Q1 1,126,141 $1,941,947 -$304,753 $1.72 22
2023 Q4 1,302,636 $2,238,656 -$442,740 $1.72 18
2023 Q3 1,576,728 $2,475,897 -$377,653 $1.57 19
2023 Q2 1,814,059 $2,956,657 +$384,078 $1.63 20
2023 Q1 1,578,396 $2,640,664 +$149,455 $1.68 19
2022 Q4 1,495,983 $2,550,884 +$228,402 $1.70 22
2022 Q3 1,383,393 $2,364,635 +$333,741 $1.71 17
2022 Q2 1,185,842 $2,252,150 -$14,837 $1.90 18
2022 Q1 1,460,370 $3,546,955 -$1,865,898 $2.43 18
2021 Q4 2,247,663 $6,199,300 +$675,585 $2.76 20
2021 Q3 1,988,490 $6,024,450 +$1,509,128 $3.03 14
2021 Q2 1,470,300 $4,923,900 +$1,247,722 $3.35 16
2021 Q1 1,207,455 $3,043,420 -$1,180,914 $2.53 17
2020 Q4 1,593,208 $4,046,560 -$43,535 $2.54 15
2020 Q3 1,603,430 $3,753,620 +$536,577 $2.33 14
2020 Q2 1,387,384 $2,982,100 -$129,644 $2.15 16
2020 Q1 1,450,648 $3,047,250 +$662,362 $2.10 17
2019 Q4 1,086,098 $3,024,243 +$944,090 $2.79 16
2019 Q3 754,475 $1,958,835 -$295,871 $2.60 19
2019 Q2 868,468 $2,205,510 -$1,401,822 $2.54 20
2019 Q1 1,416,029 $3,612,575 -$678,533 $2.55 22
2018 Q4 1,735,339 $3,712,910 +$1,443,172 $2.14 27
2018 Q3 953,368 $2,506,160 -$1,323,461 $2.64 21
2018 Q2 1,469,070 $3,710,380 +$2,039,569 $2.52 28
2018 Q1 648,966 $1,845,330 +$256,866 $2.82 24
2017 Q4 548,350 $1,612,000 -$2,091,693 $2.94 20
2017 Q3 1,191,322 $3,491,000 -$1,000,095 $2.93 19
2017 Q2 1,660,593 $4,651,000 -$4,514,051 $2.80 19
2017 Q1 3,322,747 $8,773,000 -$5,396,777 $2.64 21
2016 Q4 5,395,705 $13,923,000 -$853,392 $2.58 26
2016 Q3 5,712,154 $14,656,000 -$275,763 $2.56 23
2016 Q2 5,829,630 $14,400,000 -$489,686 $2.47 24
2016 Q1 6,047,094 $14,149,000 +$810,494 $2.34 23
2015 Q4 5,687,282 $13,194,000 +$636,862 $2.32 29
2015 Q3 5,372,629 $12,568,000 +$1,048,502 $2.27 27
2015 Q2 4,893,309 $13,006,083 +$1,428,911 $2.66 24
2015 Q1 4,454,909 $12,250,324 +$2,004,127 $2.75 27
2014 Q4 3,874,808 $10,285,541 +$1,046,293 $2.66 24
2014 Q3 2,456,932 $6,679,050 +$1,114,525 $2.72 23
2014 Q2 1,916,648 $5,636,555 +$687,522 $2.94 21
2014 Q1 1,685,582 $4,971,999 +$982,803 $2.95 19