Valuation: MFS Multimarket Income Trust

Capitalization 255M 248M 233M 209M 368M 22.12B 411M 2.85B 1.06B 9.05B 959M 938M 39.68B P/E ratio 2023
13.3x
P/E ratio 2024 5.82x
Enterprise value 350M 340M 319M 286M 504M 30.32B 563M 3.9B 1.45B 12.41B 1.31B 1.29B 54.37B EV / Sales 2023
14.6x
EV / Sales 2024 15.8x
Free-Float
100%
Yield 2023
9.33%
Yield 2024 8.42%
More valuation ratios * Estimated data
Dynamic Chart
1 week-0.43%
Current month-1.49%
1 month-2.12%
3 months-4.15%
6 months-3.95%
Current year-1.49%
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1 week
4.57
Extreme 4.57
4.64
1 month
4.54
Extreme 4.5409
4.72
Current year
4.57
Extreme 4.57
4.72
1 year
4.43
Extreme 4.43
4.90
3 years
4.04
Extreme 4.04
5.98
5 years
3.72
Extreme 3.72
6.65
10 years
3.72
Extreme 3.72
6.65
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Director TitleAgeSince
Chief Executive Officer 55 -
Compliance Officer 48 2022-02-28
Corporate Secretary 57 2017-03-31
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. ($)
0.00%-0.43%+0.87%-22.87%255M
+1.50%+4.12%+13.97%+7.28%14.86B
+1.56%+4.51%+16.42%+32.74%9.38B
+0.77%+2.39%+33.93%+46.68%8.76B
+0.16%+0.90%+2.60%-26.10%6.63B
+1.42%+3.65%+8.73%-0.98%6.21B
+0.19%+2.58%+33.33%+30.96%5.37B
+1.14%+0.78%+44.16%+65.09%5.12B
-0.61%+2.41%-24.55%+66.58%4.62B
+0.08%+3.60%-1.99%-10.80%3.58B
Average +0.39%+1.63%+12.75%+18.86% 6.48B
Weighted average by Cap. +0.58%+1.88%+15.67%+21.72%
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Financials

2023 2024
Net sales 23.36M 22.69M 21.29M 19.09M 33.63M 2.02B 37.56M 260M 96.76M 828M 87.65M 85.81M 3.63B 22.67M 22.02M 20.65M 18.53M 32.63M 1.96B 36.44M 253M 93.88M 803M 85.04M 83.26M 3.52B
Net income 18M 17.48M 16.4M 14.71M 25.91M 1.56B 28.93M 201M 74.54M 638M 67.52M 66.1M 2.79B 45.23M 43.94M 41.22M 36.97M 65.11M 3.92B 72.72M 504M 187M 1.6B 170M 166M 7.02B
Net Debt 95M 92.28M 86.57M 77.65M 137M 8.23B 153M 1.06B 393M 3.37B 356M 349M 14.75B 94.64M 91.94M 86.25M 77.36M 136M 8.2B 152M 1.05B 392M 3.35B 355M 348M 14.7B
More financial data * Estimated data
Logo MFS Multimarket Income Trust
MFS Multimarket Income Trust (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 seeks to pay monthly distributions based on an annual rate of 8.00% of the Fund’s average monthly net asset value. The Fund normally invests at least 80% of its net assets in fixed income securities. It considers debt instruments of all types to be fixed-income securities. The Fund 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 foreign issuers, and/or debt instruments of issuers located in emerging market countries. It also invests its assets in equity securities. The Fund's investment adviser is Massachusetts Financial Services Company (MFS).
Employees
-
More about the company
Date Price Change Volume
25-01-17 4.620 $ 0.00% 38,187
25-01-16 4.620 $ 0.00% 72,096
25-01-15 4.620 $ +0.43% 82,873
25-01-14 4.600 $ -0.22% 48,647
25-01-13 4.610 $ 0.00% 29,177

Delayed Quote Nyse, January 16, 2025 at 04:00 pm EST

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Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
4.620
Average target price
-
Consensus