High Income Securities Fund Inc. announced that the Fund's Board of Trustees has declared the next three-monthly distributions under the Fund's managed distribution plan. Under the Fund's managed distribution plan, the Fund intends to make monthly distributions to common stockholders at an annual rate of 10% (or 0.8333% per month) for 2022, based on the net asset value of $8.75 of the Fund's common shares as of December 31, 2021. For the month of October, November and December the company declared distribution of $0.073 with payable date on October 31, 2022, November 30, 2022 and December 30, 2022.

Record Dates are October 20, 2022, November 18, 2022 and December 20, 2022.