Valuation: MFS Intermediate High Income Fund

Capitalization 31.51M 30.12M 28.42M 24.97M 44.71M 2.74B 49.6M 337M 125M 1.14B 118M 116M 4.78B P/E ratio 2023
10.6x
P/E ratio 2024 7.6x
Enterprise value 46.51M 44.46M 41.94M 36.86M 65.99M 4.04B 73.22M 498M 185M 1.69B 174M 171M 7.06B EV / Sales 2023
14.5x
EV / Sales 2024 14.3x
Free-Float
100%
Yield 2023
10.5%
Yield 2024 9.99%
More valuation ratios * Estimated data
Dynamic Chart
MFS Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2024 Jan. 27 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Half Year Ended May 31, 2024 24-07-22 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2023 24-01-25 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Half Year Ended May 31, 2023 23-07-18 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2022 23-01-19 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Half Year Ended May 31, 2022 22-07-20 CI
MFS Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2021 22-01-20 CI
Mfs Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2020 21-01-25 CI
Mfs Intermediate High Income Fund Reports Earnings Results for the Half Year Ended May 31, 2020 20-07-22 CI
Mfs Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2019 20-01-28 CI
Mfs Intermediate High Income Fund Reports Earnings Results for the Half Year Ended May 31, 2019 19-07-24 CI
Mfs Intermediate High Income Fund Reports Earnings Results for the Full Year Ended November 30, 2018 19-01-22 CI
MFS Multimarket Income Trust, MFS Charter Income Trust, MFS Intermediate Income Trust, and MFS Special Value Trust Appoints Michael Skatrud to its Portfolio Management, Effective March 1, 2018 18-02-15 CI
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1 day-1.14%
1 week-0.86%
Current month-1.67%
1 month-1.43%
3 months+1.47%
6 months-1.99%
Current year-0.29%
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1 week
1.72
Extreme 1.72
1.75
1 month
1.72
Extreme 1.715
1.76
Current year
1.71
Extreme 1.7118
1.76
1 year
1.62
Extreme 1.62
1.83
3 years
1.47
Extreme 1.47
2.50
5 years
1.41
Extreme 1.41
3.40
10 years
1.41
Extreme 1.41
3.40
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Manager TitleAgeSince
Chief Executive Officer 55 -
Compliance Officer 48 2022-02-28
Treasurer 64 1990-08-31
Director TitleAgeSince
Director/Board Member 69 2008-12-31
Chairman 69 2008-12-31
Director/Board Member 66 2005-02-28
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Change 5d. change 1-year change 3-years change Capi.($)
-1.43%-0.86%+0.88%-25.32% 31.51M
-0.22%+0.85%+16.21%+68.72% 10.34B
+1.37%+0.94%+45.34%+51.47% 9.34B
+0.33%-0.69%+1.84%-19.22% 6.82B
+0.99%+3.56%+19.14%+9.41% 6.65B
+1.97%+2.87%+44.47%+34.02% 5.68B
+2.10%+1.13%+53.02%+63.89% 5.39B
-1.83%-4.00%-30.61%+49.36% 4.05B
+0.44%+1.89%-9.58%-17.97% 3.74B
-0.16%-0.77%-0.31%-5.45% 3.74B
Average +0.40%+0.39%+14.04%+20.89% 5.58B
Weighted average by Cap. +0.69%+0.70%+19.87%+31.76%
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Financials

2023 2024
Net sales 3.17M 3.03M 2.86M 2.52M 4.5M 276M 5M 33.99M 12.6M 115M 11.9M 11.66M 482M 3.28M 3.14M 2.96M 2.6M 4.66M 285M 5.17M 35.12M 13.02M 119M 12.3M 12.05M 498M
Net income 2.85M 2.73M 2.57M 2.26M 4.05M 248M 4.49M 30.52M 11.32M 103M 10.68M 10.47M 433M 4.18M 4M 3.77M 3.32M 5.94M 363M 6.59M 44.78M 16.6M 152M 15.68M 15.37M 635M
Net Debt 15M 14.34M 13.53M 11.89M 21.28M 1.3B 23.61M 161M 59.54M 544M 56.21M 55.1M 2.28B 15M 14.34M 13.53M 11.89M 21.28M 1.3B 23.61M 161M 59.54M 544M 56.21M 55.1M 2.28B
More financial data * Estimated data
Logo MFS Intermediate High Income Fund
MFS Intermediate High Income Fund (the Fund) is a diversified, closed-end management investment company. The Fund’s investment objective is to seek high current income but may also consider capital appreciation. The Fund normally invests at least 80% of the Fund’s net assets, including borrowings for investment purposes, in high-income debt instruments. The Fund may invest the Fund’s assets in other types of debt instruments and equity securities. The Fund may invest the Fund’s assets in foreign securities and also invest the Fund's assets in different industries and sectors. The Fund invests in various sectors, such as aerospace and defense, airlines, apparel manufacturers, automotive, broadcasting, business services, chemicals, computer software, conglomerates, consumer products, consumer services, food and beverages, energy, insurance, network and telecom, among others. Massachusetts Financial Services Company is the investment adviser of the Fund.
Employees
-
More about the company
Date Price Change Volume
25-02-18 1.725 $ -1.43% 61,260
25-02-14 1.750 $ +0.57% 83,171
25-02-13 1.740 $ 0.00% 40,166
25-02-12 1.740 $ 0.00% 32,623
25-02-11 1.740 $ -0.29% 38,961

Delayed Quote Nyse, February 18, 2025 at 01:35 pm EST

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