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Valuation: MFS Charter Income Trust

Capitalization 254M 222M 201M 192M 349M 23.52B 363M 2.4B 951M 11.24B 954M 934M 40.59B P/E ratio 2024
8.8x
P/E ratio 2025 15.1x
Enterprise value 349M 305M 276M 264M 480M 32.3B 499M 3.29B 1.31B 15.43B 1.31B 1.28B 55.73B EV / Sales 2024
15.9x
EV / Sales 2025 16.1x
Free-Float
93%
Yield 2024
8.66%
Yield 2025 8.48%
1 day-0.49%
1 week-1.31%
Current month-2.89%
1 month-4.27%
3 months-3.97%
6 months-7.42%
Current year-3.51%
1 week 6
Extreme 6
6.17
1 month 6
Extreme 6
6.3
Current year 6
Extreme 6
6.34
1 year 5.57
Extreme 5.57
6.58
3 years 5.57
Extreme 5.57
6.7
5 years 5.57
Extreme 5.57
9
10 years 5.49
Extreme 5.49
9.09
Manager TitleAgeSince
Chief Executive Officer 59 2020-12-31
President 56 -
Compliance Officer 49 -
Director TitleAgeSince
Director/Board Member 67 2009-10-25
Director/Board Member 70 2009-10-25
Chairman 70 2008-12-31
Change 5d. change 1-year change 3-years change Capi.($)
-0.49%-1.31%-3.20%-3.20% 254M
-1.49%-2.58%+66.13%+158.35% 18.83B
-5.56%-4.11%+126.78%+253.04% 17.56B
-3.05%-3.29%+85.62%+190.12% 10.23B
-0.81%+4.74%+13.13%+50.51% 9.86B
-0.65%-1.88%-10.65%-4.92% 6.66B
+0.04%+2.35%+38.91%+75.32% 6.66B
+0.29%-0.86%+10.00%+12.50% 4.26B
+0.73%-0.05%+9.65%-6.68% 3.87B
+0.26%+0.35%+3.45%-8.29% 3.65B
Average -0.88%+0.30%+33.98%+71.67% 8.18B
Weighted average by Cap. -1.83%+0.90%+58.13%+126.27%

Financials

2024 2025
Net sales 22.61M 19.76M 17.85M 17.08M 31.06M 2.09B 32.29M 213M 84.53M 999M 84.84M 83.05M 3.61B 22.34M 19.53M 17.65M 16.88M 30.7M 2.07B 31.91M 211M 83.54M 987M 83.85M 82.07M 3.57B
Net income 29.94M 26.17M 23.64M 22.62M 41.14M 2.77B 42.76M 282M 112M 1.32B 112M 110M 4.78B 17.56M 15.35M 13.87M 13.26M 24.12M 1.62B 25.08M 166M 65.64M 776M 65.88M 64.49M 2.8B
Net Debt 94.97M 83.02M 75M 71.75M 130M 8.78B 136M 896M 355M 4.2B 356M 349M 15.16B 94.87M 82.93M 74.92M 71.67M 130M 8.78B 136M 895M 355M 4.19B 356M 348M 15.14B
Logo MFS Charter Income Trust
MFS Charter Income Trust (the Fund) is a diversified closed-end management investment company. The Fund’s investment objective is to seek high current income, but also consider capital appreciation. The Fund primarily invests in debt instruments. It also invests in corporate bonds of the United States and/or foreign issuers, United States government securities, foreign government securities, mortgage-backed securities and other securitized instruments of the United States and/or foreign issuers, and/or debt instruments of issuers located in emerging market countries. It invests in a range of fixed income sectors, such as high-yield corporates, emerging markets bonds, investment grade corporates, Non-United States government bonds, commercial mortgage-backed securities, mortgage-backed securities, collateralized debt obligations, municipal bonds, asset-backed securities, and the United States treasury securities. The Fund's investment advisor is Massachusetts Financial Services Company.
Employees
-
Date Price Change Volume
26-03-13 6.050 $ -0.82% 40,489
26-03-12 6.100 $ -0.89% 66,538
26-03-11 6.155 $ +0.90% 134,344
26-03-10 6.100 $ 0.00% 132,282
26-03-09 6.100 $ -0.49% 100,629
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
6.100
Average target price
-
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