Valuation: MFS Multimarket Income Trust

Capitalization 262M 220M 201M 192M 356M 23.69B 369M 2.34B 929M 11.41B 981M 961M 39.86B P/E ratio 2024
5.82x
P/E ratio 2025 11.8x
Enterprise value 357M 300M 274M 262M 486M 32.3B 503M 3.18B 1.27B 15.56B 1.34B 1.31B 54.35B EV / Sales 2024
15.8x
EV / Sales 2025 16.1x
Free-Float
100%
Yield 2024
8.42%
Yield 2025 8.5%
1 day-0.31%
1 week+0.63%
Current month+0.85%
1 month+0.85%
3 months+0.85%
6 months+1.28%
Current year+2.37%
1 week 4.72
Extreme 4.72
4.79
1 month 4.67
Extreme 4.6733
4.79
Current year 4.63
Extreme 4.63
4.79
1 year 4.31
Extreme 4.31
4.87
3 years 4.04
Extreme 4.04
4.9
5 years 4.04
Extreme 4.04
6.65
10 years 3.72
Extreme 3.72
6.65
Manager TitleAgeSince
Chief Executive Officer 56 -
Compliance Officer 49 2022-02-28
Corporate Secretary 58 2017-03-31
Director TitleAgeSince
Director/Board Member 70 2008-12-31
Chairman 70 -
Director/Board Member 67 2005-02-28
Change 5d. change 1-year change 3-years change Capi.($)
-0.31%+0.63%+1.06%-0.42% 262M
-3.57%+2.69%+64.99%+156.87% 18.06B
-11.75%+3.26%+123.24%+223.18% 15.56B
-3.10%-3.52%-1.08%+50.33% 10.53B
-7.07%+4.59%+84.88%+179.78% 9.54B
-0.32%+1.30%-4.89%-9.58% 7.07B
-3.02%+0.11%+27.87%+63.87% 6.78B
-0.73%-1.59%+5.08%+2.87% 4.28B
+0.20%+1.18%+10.08%-10.31% 3.87B
0.00%+5.57%-42.40%-31.33% 3.77B
Average -2.97%+1.29%+26.88%+62.53% 7.97B
Weighted average by Cap. -4.67%+1.54%+49.48%+110.00%

Financials

2024 2025
Net sales 22.67M 19.1M 17.43M 16.64M 30.9M 2.05B 31.96M 202M 80.52M 989M 85.01M 83.26M 3.46B 22.04M 18.57M 16.95M 16.18M 30.04M 2B 31.07M 197M 78.29M 962M 82.65M 80.96M 3.36B
Net income 45.23M 38.12M 34.79M 33.2M 61.66M 4.1B 63.77M 404M 161M 1.97B 170M 166M 6.89B 22.13M 18.65M 17.02M 16.24M 30.16M 2B 31.19M 198M 78.6M 966M 82.98M 81.28M 3.37B
Net Debt 94.64M 79.76M 72.79M 69.48M 129M 8.57B 133M 846M 336M 4.13B 355M 348M 14.43B 95M 80.06M 73.06M 69.74M 130M 8.61B 134M 849M 337M 4.15B 356M 349M 14.48B
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
-
Date Price Change Volume
26-02-12 4.760 $ -0.31% 62,250
26-02-11 4.775 $ +0.53% 61,429
26-02-10 4.750 $ -0.11% 54,615
26-02-09 4.755 $ +0.32% 115,034
26-02-06 4.740 $ +0.21% 39,539
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
4.760
Average target price
-