Valuation: MFS Investment Grade Municipal Trust

Capitalization 67.56M 64.16M 59.67M 53.13M 95.08M 5.72B 105M 738M 274M 2.35B 254M 248M 10.14B P/E ratio 2022
-3.62x
P/E ratio 2023 37.9x
Enterprise value 111M 106M 98.33M 87.56M 157M 9.43B 173M 1.22B 452M 3.87B 418M 409M 16.72B EV / Sales 2022
23.2x
EV / Sales 2023 18.8x
Free-Float
99.91%
Yield 2022
5.64%
Yield 2023 3.83%
More valuation ratios * Estimated data
Dynamic Chart
1 day+0.12%
1 week+0.49%
Current month+0.12%
1 month+1.23%
3 months+1.73%
6 months+8.62%
Current year+8.98%
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1 week
8.15
Extreme 8.1457
8.29
1 month
7.98
Extreme 7.98
8.29
Current year
7.30
Extreme 7.3
8.31
1 year
7.30
Extreme 7.3
8.31
3 years
6.41
Extreme 6.4099
10.38
5 years
6.41
Extreme 6.4099
10.74
10 years
6.41
Extreme 6.4099
10.77
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Director TitleAgeSince
Chief Executive Officer 57 -
Chief Executive Officer 55 -
Compliance Officer 47 2022-02-28
Manager TitleAgeSince
Director/Board Member 69 2008-12-31
Chairman 69 -
Director/Board Member 66 2005-02-28
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Change 5d. change 1-year change 3-years change Capi. ($)
+0.12%+0.49%+12.55%-15.87%67.56M
-0.36%+0.41%+11.28%+8.71%14.33B
+0.81%+7.07%+26.14%+29.07%9.12B
+0.44%+0.54%+29.01%+45.40%8.48B
+0.42%-3.43%+6.85%+1.67%6.16B
+0.67%+3.66%+26.23%+33.29%5.41B
+0.26%+0.99%+6.63%-24.10%5.27B
+0.58%+2.00%+34.95%+56.96%4.99B
-1.20%+1.02%-5.67%+83.99%4.97B
+0.31%+0.62%+0.62%-5.39%3.78B
Average +0.11%+1.67%+14.86%+21.37% 6.26B
Weighted average by Cap. +0.08%+1.88%+16.21%+24.27%
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Financials

2022 2023
Net sales 5.1M 4.84M 4.5M 4.01M 7.17M 432M 7.92M 55.69M 20.7M 177M 19.14M 18.72M 765M 5.5M 5.22M 4.86M 4.32M 7.74M 466M 8.54M 60.09M 22.33M 191M 20.65M 20.2M 826M
Net income -18.34M -17.41M -16.2M -14.42M -25.81M -1.55B -28.49M -200M -74.49M -637M -68.87M -67.37M -2.75B 1.57M 1.49M 1.39M 1.24M 2.21M 133M 2.44M 17.19M 6.39M 54.66M 5.91M 5.78M 236M
Net Debt 51.5M 48.9M 45.48M 40.5M 72.47M 4.36B 80M 563M 209M 1.79B 193M 189M 7.73B 43.77M 41.57M 38.66M 34.43M 61.6M 3.71B 68.01M 478M 178M 1.52B 164M 161M 6.57B
More financial data * Estimated data
Logo MFS Investment Grade Municipal Trust
MFS Investment Grade Municipal Trust (the Fund) is a diversified closed-end management investment company. The Fund’s investment objective is to seek high current income exempt from federal income tax, but may also consider capital appreciation. The Fund invests, under normal market conditions, at least 80% of its net assets, including assets attributable to preferred shares and borrowings for investment purposes, in tax-exempt bonds and tax-exempt notes. The Fund may also invest in below-investment grade quality debt instruments. It invests in various sectors, such as healthcare, general obligations, universities, water and sewer utilities, toll roads, student loan, airports, and state and local appropriations. The fund offers a Dividend Reinvestment and Cash Purchase Plan that allows common shareholders to reinvest either all the distributions paid by the fund or only the long-term capital gains. The Fund's investment adviser is Massachusetts Financial Services Company.
Employees
0
More about the company
Date Price Change Volume
24-12-04 8.250 $ +0.12% 14,603
24-12-03 8.240 $ +0.24% 11,708
24-12-02 8.220 $ -0.24% 66,104
24-11-29 8.240 $ +0.37% 18,265
24-11-27 8.210 $ +1.28% 32,260

Delayed Quote Nyse, December 04, 2024 at 04:10 pm EST

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