formnq-430.htm - Generated by SEC Publisher for SEC Filing

 

 

 

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT
INVESTMENT COMPANY

Investment Company Act file number

811-08703

 

 

 

Dreyfus High Yield Strategies Fund

 

 

(Exact name of Registrant as specified in charter)

 

 

 

 

 

 

c/o The Dreyfus Corporation

200 Park Avenue

New York, New York 10166

 

 

(Address of principal executive offices) (Zip code)

 

 

 

 

 

John Pak, Esq.

200 Park Avenue

New York, New York 10166

 

 

(Name and address of agent for service)

 

 

Registrant's telephone number, including area code:

(212) 922-6000

 

 

Date of fiscal year end:

 

3/31

 

Date of reporting period:

12/31/13

 

             

 


 

 

FORM N-Q

Item 1.                         Schedule of Investments.

 


 

STATEMENT OF INVESTMENTS           
Dreyfus High Yield Strategies Fund             
December 31, 2013 (Unaudited)             
 
    Coupon  Maturity  Principal    
Bonds and Notes--137.8%    Rate (%)  Date  Amount ($) a   Value ($) 
Casinos--4.6%             
MGM Resorts International,             
Gtd. Notes    7.75  3/15/22  740,000 b  830,650 
MGM Resorts International,             
Gtd. Notes    10.00  11/1/16  2,370,000 b  2,855,850 
MGM Resorts International,             
Gtd. Notes    11.38  3/1/18  3,940,000 b  5,023,500 
Peninsula Gaming,             
Gtd. Notes    8.38  2/15/18  770,000 b,c  843,150 
Pinnacle Entertainment,             
Gtd. Notes    7.50  4/15/21  1,695,000 b  1,847,550 
Pinnacle Entertainment,             
Gtd. Notes    8.75  5/15/20  1,095,000 b  1,212,712 
Scientific Games International,             
Gtd. Notes    9.25  6/15/19  900,000 b  969,750 
            13,583,162 
Consumer Discretionary--19.1%             
Accudyne Industries,             
Gtd. Notes    7.75  12/15/20  1,340,000 b,c  1,427,100 
Allbritton Communications,             
Sr. Unscd. Notes    8.00  5/15/18  1,105,000 b  1,174,063 
AMC Networks,             
Gtd. Notes    7.75  7/15/21  1,215,000 b  1,372,950 
Cablevision Systems,             
Sr. Unscd. Notes    8.00  4/15/20  555,000 b  622,987 
Cablevision Systems,             
Sr. Unscd. Notes    8.63  9/15/17  2,675,000 b  3,123,063 
Chrysler Group,             
Scd. Notes    8.25  6/15/21  3,660,000 b  4,181,550 
Cirsa Funding Luxembourg,             
Gtd. Notes  EUR  8.75  5/15/18  395,000   578,725 
Clear Channel Communications,             
Sr. Scd. Notes    9.00  12/15/19  1,865,000 b  1,911,625 
Clear Channel Communications,             
Sr. Scd. Notes    9.00  3/1/21  675,000 b  685,125 
Cumulus Media Holdings,             

 



Gtd. Notes    7.75  5/1/19  1,765,000 b  1,870,900 
Ferrellgas,             
Sr. Unscd. Notes    6.75  1/15/22  1,210,000 c  1,234,200 
Goodyear Tire & Rubber,             
Gtd. Notes    8.25  8/15/20  1,450,000 b  1,627,625 
Hillman Group,             
Gtd. Notes    10.88  6/1/18  1,855,000 b  2,012,675 
J.Crew Group,             
Gtd. Notes    8.13  3/1/19  1,355,000 b  1,429,525 
Lear,             
Gtd. Notes    8.13  3/15/20  550,000 b  609,125 
Neiman Marcus Group,             
Gtd. Notes    8.00  10/15/21  770,000 c  808,500 
Neiman Marcus Group,             
Gtd. Notes    8.75  10/15/21  460,000 c  484,150 
Nara Cable Funding,             
Sr. Scd. Notes    8.88  12/1/18  1,200,000 b,c  1,296,000 
Nexstar Broadcasting,             
Gtd. Notes    6.88  11/15/20  1,615,000 b  1,736,125 
Ono Finance II,             
Gtd. Notes    10.88  7/15/19  1,370,000 b,c  1,507,000 
Quebecor Media,             
Sr. Unscd. Notes    7.75  3/15/16  1,099,000 b  1,115,485 
RCN Telecom Services,             
Sr. Unscd. Notes    8.50  8/15/20  1,235,000 b,c  1,253,525 
Rite Aid,             
Gtd. Notes    6.75  6/15/21  1,860,000 b  1,959,975 
Schaeffler Finance,             
Sr. Scd. Notes    7.75  2/15/17  390,000 b,c  444,600 
Schaeffler Finance,             
Sr. Scd. Notes    8.50  2/15/19  1,850,000 b,c  2,090,500 
Schaeffler Holding Finance,             
Sr. Scd. Notes  EUR  6.88  8/15/18  810,000   1,196,502 
Shea Homes Funding,             
Sr. Scd. Notes    8.63  5/15/19  3,200,000 b  3,560,000 
Standard Pacific,             
Gtd. Notes    8.38  5/15/18  2,025,000 b  2,389,500 
StoneMor Partners,             
Gtd. Notes    7.88  6/1/21  740,000 b,c  773,300 
Taylor Morrison Communities,             
Gtd. Notes    7.75  4/15/20  316,000 b,c  349,180 
Taylor Morrison Communities,             
Gtd. Notes    7.75  4/15/20  1,355,000 b,c  1,497,275 

 



Titan International,             
Sr. Scd. Notes    6.88  10/1/20  605,000 c  633,738 
Townsquare Radio,             
Gtd. Notes    9.00  4/1/19  600,000 c  652,500 
UCI International,             
Gtd. Notes    8.63  2/15/19  2,540,000 b  2,552,700 
Unitymedia Hessen & Co.,             
Sr. Scd. Notes    7.50  3/15/19  1,870,000 b,c  2,042,975 
Unitymedia,             
Scd. Notes  EUR  9.63  12/1/19  1,310,000   2,004,918 
William Lyon Homes,             
Gtd. Notes    8.50  11/15/20  365,000 b,c  396,937 
William Lyon Homes,             
Gtd. Notes    8.50  11/15/20  1,115,000   1,212,563 
            55,819,186 
Consumer Staples--3.1%             
Albea Beauty Holdings,             
Sr. Scd. Notes    8.38  11/1/19  1,690,000 b,c  1,766,050 
Bakkavor Finance 2,             
Sr. Scd. Notes  GBP  8.75  6/15/20  525,000   951,986 
Michael Foods Group,             
Gtd. Notes    9.75  7/15/18  2,898,000 b  3,166,065 
Pinnacle Operating,             
Sr. Scd. Notes    9.00  11/15/20  985,000 b,c  1,047,794 
Post Holdings,             
Gtd. Notes    7.38  2/15/22  1,530,000 b  1,644,750 
RSI Home Products,             
Scd. Notes    6.88  3/1/18  395,000 b,c  415,738 
            8,992,383 
Energy--13.5%             
Alpha Natural Resources,             
Gtd. Notes    6.25  6/1/21  480,000   412,800 
Alpha Natural Resources,             
Gtd. Notes    9.75  4/15/18  1,830,000 b  1,948,950 
Aurora USA Oil & Gas,             
Gtd. Notes    9.88  2/15/17  1,915,000 b,c  2,063,413 
Bonanza Creek Energy,             
Gtd. Notes    6.75  4/15/21  1,985,000 b  2,089,212 
Carrizo Oil & Gas,             
Gtd. Notes    7.50  9/15/20  1,920,000 b  2,112,000 
Chesapeake Energy,             
Sr. Notes    9.50  2/15/15  3,185,000 b  3,467,669 
Crestwood Midstream Partners,             

 



Gtd. Notes  6.13  3/1/22  700,000 c  721,000 
EP Energy Finance,           
Sr. Unscd. Notes  9.38  5/1/20  2,200,000 b  2,549,250 
Forum Energy Technologies,           
Gtd. Notes  6.25  10/1/21  1,465,000 c  1,545,575 
Halcon Resources,           
Gtd. Notes  8.88  5/15/21  820,000 b  832,300 
Halcon Resources,           
Gtd. Notes  9.75  7/15/20  2,820,000 b  2,953,950 
Hercules Offshore,           
Gtd. Notes  7.50  10/1/21  175,000 c  186,375 
Hercules Offshore,           
Gtd. Notes  8.75  7/15/21  1,605,000 b,c  1,797,600 
Kodiak Oil & Gas,           
Gtd. Notes  8.13  12/1/19  3,365,000 b  3,751,975 
Murray Energy,           
Sr. Scd. Notes  8.63  6/15/21  1,250,000 b,c  1,300,000 
Newfield Exploration,           
Sr. Sub. Notes  6.88  2/1/20  1,550,000 b  1,668,187 
Northern Oil and Gas,           
Gtd. Notes  8.00  6/1/20  1,955,000 b  2,057,637 
Oasis Petroleum,           
Gtd. Notes  6.88  3/15/22  875,000 b,c  931,875 
Offshore Group Investment,           
Sr. Scd. Notes  7.50  11/1/19  2,820,000 b  3,080,850 
Rex Energy,           
Gtd. Notes  8.88  12/1/20  1,905,000 b  2,095,500 
Welltec,           
Sr. Scd. Notes  8.00  2/1/19  1,990,000 b,c  2,119,350 
          39,685,468 
Entertainment & Gaming--2.0%           
AMC Entertaiment,           
Gtd. Notes  9.75  12/1/20  3,715,000 b  4,267,606 
Live Nation Entertainment,           
Gtd. Notes  7.00  9/1/20  400,000 b,c  436,000 
Regal Entertainment Group,           
Sr. Unscd. Notes  9.13  8/15/18  1,075,000 b  1,171,750 
          5,875,356 
Financial--15.8%           
Ahern Rentals,           
Scd. Notes  9.50  6/15/18  1,505,000 b,c  1,636,688 
Ally Financial,           
Gtd. Notes  7.50  9/15/20  1,410,000 b  1,647,938 

 



Ally Financial,             
Sr. Gtd. Notes    8.00  11/1/31  1,630,000 b  1,958,037 
American Capital,             
Sr. Unscd. Notes    6.50  9/15/18  1,845,000 b,c  1,932,638 
Ashton Woods USA/Finance,             
Unscd. Notes    6.88  2/15/21  915,000 b,c  905,850 
Boparan Finance,             
Gtd. Notes  EUR  9.75  4/30/18  1,530,000   2,310,050 
Hockey Merger Sub 2,             
Sr. Unscd. Notes    7.88  10/1/21  1,520,000 c  1,569,400 
Icahn Enterprises Finance,             
Gtd. Notes    8.00  1/15/18  4,465,000 b  4,654,762 
Interactive Data,             
Gtd. Notes    10.25  8/1/18  1,580,000 b  1,739,422 
International Lease Finance,             
Sr. Unscd. Notes    8.25  12/15/20  3,195,000 b  3,746,137 
International Lease Finance,             
Sr. Unscd. Notes    8.63  9/15/15  1,155,000 b,d  1,286,381 
International Lease Finance,             
Sr. Unscd. Notes    8.88  9/1/17  1,675,000 b  2,001,625 
LBG Capital No. 1,             
Bank Gtd. Bonds    7.88  11/1/20  965,000 c  1,048,195 
Lloyds TSB Bank,             
Sub. Notes  GBP  10.75  12/16/21  2,385,000 d  4,745,474 
Lloyds TSB Bank,             
Sub. Notes  EUR  11.88  12/16/21  690,000 d  1,185,549 
Nuveen Investments,             
Sr. Unscd. Notes    9.13  10/15/17  300,000 c  301,500 
Nuveen Investments,             
Sr. Unscd. Notes    9.50  10/15/20  1,790,000 b,c  1,803,425 
Onex USI Acquisition,             
Sr. Unscd. Notes    7.75  1/15/21  2,355,000 b,c  2,419,762 
Provident Funding Associates,             
Gtd. Notes    6.75  6/15/21  1,205,000 b,c  1,205,000 
Royal Bank of Scotland Group,             
Sub. Notes    6.13  12/15/22  700,000   717,856 
Royal Bank of Scotland,             
Sub. Notes    9.50  3/16/22  2,815,000 d  3,303,507 
SLM,             
Sr. Unscd. Notes    8.00  3/25/20  940,000 b  1,068,075 
SLM,             
Sr. Unscd. Notes    8.45  6/15/18  2,675,000 b  3,126,406 
            46,313,677 

 



Health Care--8.0%             
CHS/Community Health Systems,             
Gtd. Notes    8.00  11/15/19  1,900,000 b  2,071,000 
ConvaTec Finance International,             
Sr. Unscd. Notes    8.25  1/15/19  1,615,000 b,c  1,657,394 
HCA Holdings,             
Sr. Unscd. Notes    7.75  5/15/21  5,650,000 b  6,186,750 
IASIS Healthcare,             
Gtd. Notes    8.38  5/15/19  780,000 b  830,700 
Lifepoint Hospitals,             
Gtd. Notes    5.50  12/1/21  540,000 c  543,375 
Physio-Control International,             
Sr. Scd. Notes    9.88  1/15/19  1,221,000 b,c  1,373,625 
Salix Pharmaceuticals,             
Gtd. Notes    6.00  1/15/21  400,000 c  411,000 
STHI Holding,             
Scd. Notes    8.00  3/15/18  1,940,000 b,c  2,085,500 
Tenet Healthcare,             
Sr. Unscd. Notes    8.13  4/1/22  3,855,000 b  4,163,400 
United Surgical Partners             
International, Gtd. Notes    9.00  4/1/20  1,425,000 b  1,603,125 
Valeant Pharmaceuticals             
International, Sr. Unscd. Notes    6.75  8/15/18  1,260,000 b,c  1,390,725 
Valeant Pharmaceuticals             
International, Gtd. Notes    6.75  8/15/21  1,105,000 c  1,176,825 
            23,493,419 
Industrial--17.0%             
AA Bond,             
Scd. Notes  GBP  9.50  7/31/43  490,000   894,590 
Abengoa Finance,             
Gtd. Notes  EUR  8.88  2/5/18  1,960,000   2,933,663 
ADS Waste Holdings,             
Gtd. Notes    8.25  10/1/20  1,930,000 b  2,103,700 
Ainsworth Lumber,             
Sr. Scd. Notes    7.50  12/15/17  432,000 b,c  466,560 
Algeco Scotsman Global Finance,             
Sr. Scd. Notes  EUR  9.00  10/15/18  610,000   912,608 
Algeco Scotsman Global Finance,             
Gtd. Notes    10.75  10/15/19  1,825,000 b,c  1,934,500 
Cemex,             
Sr. Scd. Notes    9.50  6/15/18  1,795,000 c  2,046,300 
Ceridian HCM Holding,             
Sr. Unscd. Notes    11.00  3/15/21  1,085,000 b,c  1,255,887 

 



Ceridian,             
Sr. Scd. Notes    8.88  7/15/19  700,000 b,c  808,500 
Ceridian,             
Gtd. Notes    12.25  11/15/15  351,150 b  355,539 
Deutsche Raststatten,             
Scd. Bonds  EUR  6.75  12/30/20  1,150,000   1,658,237 
Envision Healthcare,             
Gtd. Notes    8.13  6/1/19  633,000 b  689,179 
Gardner Denver,             
Sr. Unscd. Notes    6.88  8/15/21  725,000 b,c  726,812 
Interline Brands,             
Sr. Unscd. Notes    10.00  11/15/18  2,420,000 b  2,655,950 
Kratos Defense & Security             
Solutions, Sr. Scd. Notes    10.00  6/1/17  1,965,000 b  2,129,569 
Manitowoc,             
Gtd. Notes    8.50  11/1/20  3,100,000 b  3,534,000 
Manitowoc,             
Gtd. Notes    9.50  2/15/18  900,000 b  950,625 
Marquette Transportation Finance,             
Scd. Notes    10.88  1/15/17  1,980,000 b  2,098,800 
Mobile Mini,             
Gtd. Notes    7.88  12/1/20  2,460,000 b  2,736,750 
Navios Maritime Acquisition,             
Sr. Scd. Notes    8.13  11/15/21  1,690,000 c  1,732,250 
Navios South American Logistics,             
Gtd. Notes    9.25  4/15/19  1,320,000 b  1,430,550 
Nortek,             
Gtd. Notes    8.50  4/15/21  1,570,000 b  1,746,625 
Obrascon Huarte Lain,             
Sr. Unscd. Notes  EUR  8.75  3/15/18  735,000   1,127,425 
Ply Gem Industries,             
Sr. Scd. Notes    8.25  2/15/18  711,000 b  760,770 
Reliance Intermediate Holdings,             
Sr. Scd. Notes    9.50  12/15/19  2,515,000 b,c  2,766,500 
Roofing Supply Group,             
Gtd. Notes    10.00  6/1/20  1,250,000 b,c  1,412,500 
TransUnion Holding,             
Sr. Unscd. Notes    9.63  6/15/18  1,915,000 b  2,068,200 
United Rentals North America,             
Gtd. Notes    8.38  9/15/20  1,900,000 b  2,128,000 
United Rentals North America,             
Gtd. Notes    9.25  12/15/19  1,675,000 b  1,876,000 
Wesco Distribution,             

 



Gtd. Notes  5.38  12/15/21  605,000 c  606,512 
Zachry Holdings,           
Sr. Notes  7.50  2/1/20  1,335,000 b,c  1,401,750 
          49,948,851 
Information Technology--10.2%           
ACI Worldwide,           
Gtd. Notes  6.38  8/15/20  160,000 b,c  167,600 
Alcatel-Lucent USA,           
Gtd. Notes  6.75  11/15/20  1,455,000 c  1,515,019 
Amkor Technology,           
Sr. Unscd. Notes  6.38  10/1/22  880,000 b  908,600 
Audatex North America,           
Gtd. Notes  6.00  6/15/21  325,000 c  342,063 
Audatex North America,           
Gtd. Notes  6.13  11/1/23  290,000 c  300,150 
BMC Software Finance,           
Sr. Unscd. Notes  8.13  7/15/21  2,960,000 b,c  3,063,600 
CDW Finance,           
Gtd. Notes  8.50  4/1/19  3,748,000 b  4,160,280 
Eagle Midco,           
Sr. Unscd. Notes  9.00  6/15/18  455,000 b,c  476,613 
Epicor Software,           
Gtd. Notes  8.63  5/1/19  2,565,000 b  2,795,850 
First Data,           
Scd. Notes  8.25  1/15/21  1,636,000 b,c  1,748,475 
First Data,           
Gtd. Notes  10.63  6/15/21  225,000 b,c  244,969 
First Data,           
Gtd. Notes  11.75  8/15/21  760,000 c  805,600 
First Data,           
Gtd. Notes  11.75  8/15/21  1,880,000 c  1,992,800 
First Data,           
Gtd. Notes  12.63  1/15/21  3,900,000 b  4,597,125 
Healthcare Technology           
Intermediate, Sr. Unscd. Notes  7.38  9/1/18  920,000 b,c  961,400 
Infor US,           
Gtd. Notes  9.38  4/1/19  1,475,000 b  1,666,750 
Sophia Holding Finance,           
Gtd. Notes  9.63  12/1/18  660,000 c  683,100 
Sophia,           
Gtd. Notes  9.75  1/15/19  1,553,000 b,c  1,727,713 
WireCo WorldGroup,           
Gtd. Notes  9.50  5/15/17  1,655,000 b  1,723,269 

 



            29,880,976 
Materials--22.0%             
AEP Industries,             
Sr. Unscd. Notes    8.25  4/15/19  2,125,000 b  2,295,000 
ArcelorMittal,             
Sr. Unscd. Bonds    10.35  6/1/19  3,323,000 b,d  4,220,210 
ARD Finance,             
Sr. Scd. Notes    11.13  6/1/18  2,138,216 b,c  2,298,582 
Ardagh Packaging Finance,             
Gtd. Notes    9.13  10/15/20  2,000,000 c  2,200,000 
Ardagh Packaging Finance,             
Gtd. Notes  EUR  9.25  10/15/20  1,625,000   2,439,512 
BOE Intermediate Holding,             
Sr. Unscd. Notes    9.00  11/1/17  872,992 b,c  914,460 
BOE Merger,             
Sr. Unscd. Notes    9.50  11/1/17  1,225,000 b,c  1,307,688 
BWAY Holding,             
Gtd. Notes    10.00  6/15/18  1,080,000 b  1,174,500 
Consolidated Container,             
Gtd. Notes    10.13  7/15/20  1,000,000 b,c  1,070,000 
Dynacast International,             
Scd. Notes    9.25  7/15/19  2,375,000 b  2,630,313 
Edgen Murray,             
Sr. Scd. Notes    8.75  11/1/20  1,705,000 b,c  1,960,750 
FMG Resources (August 2006),             
Gtd. Notes    6.88  4/1/22  3,415,000 c  3,739,425 
Global Brass & Copper,             
Sr. Scd. Notes    9.50  6/1/19  930,000 b  1,064,850 
Hexion U.S. Finance,             
Sr. Scd. Notes    6.63  4/15/20  190,000   195,700 
Hexion U.S. Finance,             
Sr. Scd. Notes    8.88  2/1/18  1,160,000 b  1,210,750 
Hexion U.S. Finance,             
Scd. Notes    9.00  11/15/20  1,265,000 b  1,268,162 
Huntsman International,             
Gtd. Notes    8.63  3/15/20  2,030,000 b  2,255,837 
Huntsman International,             
Gtd. Notes    8.63  3/15/21  1,515,000 b  1,719,525 
Ineos Finance,             
Sr. Scd. Notes    7.50  5/1/20  305,000 b,c  335,881 
Ineos Finance,             
Sr. Scd. Notes    8.38  2/15/19  1,225,000 b,c  1,367,406 
INEOS Group Holdings,             

 



Gtd. Notes  EUR  6.50  8/15/18  2,480,000   3,505,572 
NCR,             
Sr. Unscd. Notes    5.88  12/15/21  300,000 c  307,125 
NCR,             
Sr. Unscd. Notes    6.38  12/15/23  380,000 c  389,975 
Packaging Dynamics,             
Sr. Scd. Notes    8.75  2/1/16  740,000 b,c  762,662 
Rain CII Carbon,             
Scd. Notes    8.25  1/15/21  2,965,000 b,c  3,039,125 
Rentech Nitrogen Partners,             
Scd. Notes    6.50  4/15/21  1,890,000 b,c  1,833,300 
Reynolds Group,             
Gtd. Notes    8.50  5/15/18  4,155,000 b,d  4,404,300 
Reynolds Group,             
Gtd. Notes    9.88  8/15/19  2,230,000 b  2,492,025 
Ryerson,             
Sr. Scd. Notes    9.00  10/15/17  1,220,000   1,294,725 
Sappi Papier Holding,             
Sr. Scd. Notes    7.75  7/15/17  730,000 b,c  803,000 
Sappi Papier Holding,             
Sr. Scd. Notes    8.38  6/15/19  1,910,000 b,c  2,103,388 
Sealed Air,             
Gtd. Notes    8.13  9/15/19  1,270,000 b,c  1,431,925 
Sealed Air,             
Gtd. Notes    8.38  9/15/21  1,030,000 b,c  1,174,200 
ServiceMaster,             
Gtd. Notes    8.00  2/15/20  315,000   322,875 
TPC Group,             
Sr. Scd. Notes    8.75  12/15/20  2,000,000 b,c  2,135,000 
US Coatings Acquisition/Axalta             
Coating Systems Dutch Holding             
B, Gtd. Notes    7.38  5/1/21  2,625,000 b,c  2,812,031 
            64,479,779 
Telecommunications--17.4%             
Cincinnati Bell,             
Gtd. Notes    8.38  10/15/20  1,215,000 b  1,324,350 
CommScope Holdings,             
Sr. Unscd. Notes    6.63  6/1/20  1,030,000 b,c  1,076,350 
CommScope,             
Gtd. Notes    8.25  1/15/19  2,019,000 b,c  2,223,424 
CPI International,             
Gtd. Notes    8.00  2/15/18  1,355,000 b  1,422,750 
Digicel Group,             

 



Sr. Unscd. Notes  8.25  9/30/20  1,725,000 c  1,796,156 
Digicel Group,           
Sr. Unscd. Notes  10.50  4/15/18  3,231,000 c  3,473,325 
Digicel,           
Sr. Unscd. Notes  8.25  9/1/17  1,215,000 c  1,269,675 
Eileme 2,           
Sr. Scd. Notes  11.63  1/31/20  2,900,000 b,c  3,505,314 
Hughes Satellite Systems,           
Gtd. Notes  7.63  6/15/21  2,010,000 b  2,251,200 
Intelsat Luxembourg,           
Gtd. Notes  7.75  6/1/21  4,745,000 b,c  5,106,806 
Level 3 Financing,           
Gtd. Notes  6.13  1/15/21  240,000 c  243,000 
Level 3 Financing,           
Gtd. Notes  8.13  7/1/19  1,000,000 b  1,102,500 
Level 3 Financing,           
Gtd. Notes  8.63  7/15/20  2,430,000 b  2,733,750 
Sable International Finance,           
Sr. Scd. Notes  8.75  2/1/20  1,845,000 b,c  2,084,850 
Sprint Communications,           
Gtd. Notes  9.00  11/15/18  930,000 b,c  1,122,975 
Sprint Communications,           
Sr. Unscd. Notes  11.50  11/15/21  5,325,000 b  7,002,375 
Sprint,           
Gtd. Notes  7.25  9/15/21  1,125,000 b,c  1,212,187 
Sprint,           
Gtd. Notes  7.88  9/15/23  555,000 b,c  598,012 
T-Mobile USA,           
Gtd. Notes  6.13  1/15/22  145,000   147,900 
T-Mobile USA,           
Gtd. Notes  6.50  1/15/24  200,000   203,000 
T-Mobile USA,           
Gtd. Notes  6.63  4/28/21  2,835,000   2,994,469 
T-Mobile USA,           
Gtd. Notes  6.84  4/28/23  1,115,000   1,160,994 
T-Mobile,           
Gtd. Notes  6.73  4/28/22  995,000   1,041,019 
West,           
Gtd. Notes  8.63  10/1/18  3,145,000 b  3,435,912 
Wind Acquisition Finance,           
Scd. Notes  11.75  7/15/17  2,365,000 b,c  2,518,725 
          51,051,018 
Utilities--5.1%           

 



AES,               
Sr. Unscd. Notes    9.75  4/15/16  3,195,000 b  3,778,088  
Calpine,               
Sr. Scd. Notes    6.00  1/15/22  210,000 c  216,300  
Calpine,               
Sr. Scd. Notes    7.50  2/15/21  1,147,000 b,c  1,257,399  
Calpine,               
Sr. Scd. Notes    7.88  1/15/23  1,862,000 b,c  2,043,545  
GenOn Energy,               
Sr. Unscd. Notes    9.50  10/15/18  2,779,000 b  3,161,112  
NRG Energy,               
Gtd. Notes    7.63  5/15/19  2,015,000 b  2,140,937  
Techem Energy Metering Service &               
Co., Gtd. Notes  EUR  7.88  10/1/20  1,435,000 c  2,222,681  
            14,820,062  
Total Bonds and Notes               
(cost $378,731,236)            403,943,337  
 
Preferred Stocks--.9%        Shares   Value ($)  
Financial               
GMAC Capital Trust I,               
Ser. 2, 8.13%               
(cost $2,492,932)        98,738 d  2,640,254  
 
Other Investment--.4%               
Registered Investment Company;               
Dreyfus Institutional Preferred               
Plus Money Market Fund               
(cost $1,261,564)        1,261,564 e  1,261,564  
Total Investments (cost $382,485,732)        139.1 %  407,845,155  
Liabilities, Less Cash and Receivables        (39.1 %)  (114,686,015 ) 
Net Assets        100.0 %  293,159,140  

 

a Principal amount stated in U.S. Dollars unless otherwise noted.
EUR-- Euro
GBP--British Pound
b Collateral for Revolving Credit and Security Agreement.
c Securities exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities may be
resold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2013,
these securities were valued at $146,670,122 or 50.0% of net assets.
d Variable rate security--interest rate subject to periodic change.
e Investment in affiliated money market mutual fund.



At December 31, 2013, net unrealized appreciation on investments was $25,359,423 of which $25,804,334 related to appreciated
investment securities and $444,911 related to depreciated investment securities. At December 31, 2013, the cost of investments for federal
income tax purposes was substantially the same as the cost for financial reporting purposes.

Portfolio Summary (Unaudited) †  Value (%) 
Corporate Bonds  137.8 
Preferred Stocks  .9 
Money Market Investment  .4 
  139.1 

 

† Based on net assets.



STATEMENT OF FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS
December 31, 2013 (Unaudited)

    Foreign         
Forward Foreign Currency  Currency      Unrealized  
Exchange Contracts  Amounts  Proceeds ($)  Value ($)  (Depreciation) ($)  
Sales:             
 
British Pound,           
Expiring             
1/31/2014 a   4,065,000  6,562,768  6,730,085  (167,317 ) 
 
Euro,             
Expiring:             
1/31/2014 a  6,655,000  9,005,899  9,155,191  (149,292 ) 
1/31/2014 b   4,875,000  6,598,605  6,706,470  (107,865 ) 
1/31/2014 c   5,130,000  6,922,063  7,057,270  (135,207 ) 
 
 
          (559,681 ) 

 

Counterparties:

a Goldman Sachs International
b Commonwealth Bank of Australia
c Morgan Stanley Capital Services



The following is a summary of the inputs used as of December 31, 2013 in valuing the fund's investments:

      Level 3 -     
  Level 1 -  Level 2 - Other Significant     
  Unadjusted Quoted  Significant Unobservable     
Assets ($)  Prices  Observable Inputs Inputs  Total  
Investments in Securities:           
Corporate Bonds+  -  403,943,337 -  403,943,337  
Mutual Funds+  1,261,564  - -  1,261,564  
Preferred Stocks+  -  2,640,254 -  2,640,254  
Liabilities ($)           
Other Financial Instruments:           
Forward Foreign Currency Exchange Contracts++  -  (559,681) -  (559,681)  

 

+ See Statement of Investments for additional detailed categorizations.
++ Amount shown represents unrealized (depreciation) at period end.



The Financial Accounting Standards Board (“FASB”) Accounting
Standards Codification (“ASC”) is the exclusive reference of
authoritative U.S. generally accepted accounting principles (“GAAP”)
recognized by the FASB to be applied by nongovernmental entities.
Rules and interpretive releases of the Securities and Exchange
Commission (“SEC”) under authority of federal laws are also sources
of authoritative GAAP for SEC registrants. The fund's
financial statements are prepared in accordance with GAAP, which
may require the use of management estimates and assumptions. Actual
results could differ from those estimates.

Portfolio valuation: The fair value of a financial instrument is the
amount that would be received to sell an asset or paid to transfer a liability
in an orderly transaction between market participants at the
measurement date (i.e. the exit price). GAAP establishes a fair value
hierarchy that prioritizes the inputs of valuation techniques used to
measure fair value. This hierarchy gives the highest priority to unadjusted
quoted prices in active markets for identical assets or liabilities
(Level 1 measurements) and the lowest priority to unobservable inputs
(Level 3 measurements).
Additionally, GAAP provides guidance on determining whether the
volume and activity in a market has decreased significantly and
whether such a decrease in activity results in transactions that are not
orderly. GAAP requires enhanced disclosures around valuation inputs
and techniques used during annual and interim periods.

Various inputs are used in determining the value of the fund’s investments
relating to fair value measurements. These inputs are summarized
in the three broad levels listed below:
Level 1—unadjusted quoted prices in active markets for
identical investments.
Level 2—other significant observable inputs (including quoted
prices for similar investments, interest rates, prepayment speeds,
credit risk, etc.).
Level 3—significant unobservable inputs (including the fund’s
own assumptions in determining the fair value of investments).
The inputs or methodology used for valuing securities are not necessarily
an indication of the risk associated with investing in those securities.
Changes in valuation techniques may result in transfers in or out of an
assigned level within the disclosure hierarchy. Valuation techniques
used to value the fund’s investments are as follows:

Investments in debt securities excluding short-term investments (other
than U.S. Treasury Bills) are valued each business day by an independent
pricing service (the “Service”) approved by the Board of Trustees.
Investments for which quoted bid prices are readily available and are representative
of the bid side of the market in the judgment of the Service



are valued at the mean between the quoted bid prices (as obtained by the
Service from dealers in such securities) and asked prices (as calculated by
the Service based upon its evaluation of the market for such securities).
Other investments are valued as determined by the Service, based on
methods which include consideration of the following: yields or prices of securities of
comparable quality, coupon, maturity and type; indications as to values
from dealers; and general market conditions. These securities are generally
categorized within Level 2 of the fair value hierarchy.
U.S. Treasury Bills are valued at the mean price between quoted bid
prices and asked prices by the Service. These securities are generally
categorized within Level 2 of the fair value hierarchy.
The Service’s procedures are reviewed by Dreyfus under the general
supervision of the Board of Trustees.

Derivatives: A derivative is a financial instrument whose performance
is derived from the performance of another asset. Each type of deriv-
ative instrument that was held by the fund during the period ended
December 31, 2013 is discussed below.

Forward Foreign Currency Exchange Contracts: The fund enters
into forward contracts in order to hedge its exposure to changes in foreign
currency exchange rates on its foreign portfolio holdings, to settle
foreign currency transactions or as a part of its investment strategy.
When executing forward contracts, the fund is obligated to buy or sell
a foreign currency at a specified rate on a certain date in the future.
With respect to sales of forward contracts, the fund incurs a loss if the
value of the contract increases between the date the forward contract is
opened and the date the forward contract is closed. The fund realizes a
gain if the value of the contract decreases between those dates. With
respect to purchases of forward contracts, the fund incurs a loss if the
value of the contract decreases between the date the forward contract
is opened and the date the forward contract is closed. The fund realizes
a gain if the value of the contract increases between those dates. Any
realized gain or loss which occurred during the period is reflected in
the Statement of Operations. The fund is exposed to foreign currency
risk as a result of changes in value of underlying financial instruments.
The fund is also exposed to credit risk associated with counterparty
nonperformance on these forward contracts, which is typically limited
to the unrealized gain on each open contract.

Additional investment related disclosures are hereby incorporated by reference to the annual
and semi-annual reports previously filed with the Securities and Exchange Commission on Form N-CSR.

 

 

 

Item 2.             Controls and Procedures.

(a)        The Registrant's principal executive and principal financial officers have concluded, based on their evaluation of the Registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrant's disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-Q is accumulated and communicated to the Registrant's management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure.

(b)        There were no changes to the Registrant's internal control over financial reporting that occurred during the Registrant's most recently ended fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting. 

Item 3.             Exhibits.

(a)        Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940.

 


 

 

FORM N-Q

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.

Dreyfus High Yield Strategies Fund

By: /s/ Bradley J. Skapyak

Bradley J. Skapyak

President

 

Date:

February 21, 2014

 

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: /s/ Bradley J. Skapyak

Bradley J. Skapyak

President

 

Date:

February 21, 2014

 

By: /s/ James Windels

James Windels

Treasurer

 

Date:

February 21, 2014

 

EXHIBIT INDEX

(a)        Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940.  (EX-99.CERT)