Valuation: MFS Municipal Income Trust

Capitalization 225M 192M 176M 167M 309M 21.56B 310M 2.1B 817M 10.23B 845M 828M 35.57B P/E ratio 2024
4.94x
P/E ratio 2025 39.3x
Enterprise value 339M 290M 265M 251M 464M 32.45B 467M 3.16B 1.23B 15.4B 1.27B 1.25B 53.53B EV / Sales 2024
20.1x
EV / Sales 2025 19.4x
Free-Float
100%
Yield 2024
4.3%
Yield 2025 5.01%
1 day-0.36%
1 week-0.55%
Current month+1.58%
1 month+0.37%
3 months-1.35%
6 months+1.11%
Current year+0.74%
1 week 5.45
Extreme 5.45
5.57
1 month 5.33
Extreme 5.33
5.57
Current year 5.2
Extreme 5.2
5.67
1 year 5.03
Extreme 5.03
5.67
3 years 4.37
Extreme 4.37
5.78
5 years 4.37
Extreme 4.37
7.42
10 years 4.37
Extreme 4.37
7.63
Manager TitleAgeSince
Director of Finance/CFO 56 2012-01-31
Compliance Officer 49 2021-12-31
Corporate Secretary 58 2017-03-31
Director TitleAgeSince
Director/Board Member 67 2005-02-28
Chairman 70 -
Director/Board Member 71 2008-12-31
Change 5d. change 1-year change 3-years change Capi.($)
-0.36%-0.55%+5.39%+7.05% 225M
+1.32%+13.69%+157.74%+243.13% 18.11B
-0.56%+0.11%+43.28%+125.81% 16.93B
+0.10%+5.64%+80.37%+170.65% 9.91B
-0.48%+0.29%+9.10%+51.25% 9.84B
-0.40%-2.76%+18.59%+62.21% 6.69B
-0.64%-3.06%-9.37%-5.67% 6.48B
-2.02%-2.55%+9.83%+11.18% 4.53B
+3.66%-1.29% - - 4.22B
0.00%+0.19%+10.88%+0.47% 4.03B
Average +0.06%+1.56%+36.20%+74.01% 8.1B
Weighted average by Cap. +0.12%+3.70%+60.31%+119.38%

Financials

2024 2025
Net sales 17.11M 14.61M 13.39M 12.65M 23.43M 1.64B 23.55M 159M 62.05M 777M 64.19M 62.84M 2.7B 17.35M 14.81M 13.57M 12.83M 23.76M 1.66B 23.89M 162M 62.92M 788M 65.09M 63.73M 2.74B
Net income 46.72M 39.9M 36.56M 34.56M 64M 4.47B 64.33M 435M 169M 2.12B 175M 172M 7.38B 5.67M 4.84M 4.43M 4.19M 7.76M 542M 7.8M 52.79M 20.55M 257M 21.26M 20.81M 894M
Net Debt 114M 97.16M 89.02M 84.16M 156M 10.89B 157M 1.06B 413M 5.17B 427M 418M 17.96B 114M 97.17M 89.03M 84.17M 156M 10.89B 157M 1.06B 413M 5.17B 427M 418M 17.96B
Logo MFS Municipal Income Trust
MFS Municipal Income Trust (the Fund) is a diversified closed-end management investment company. Its investment objective is to seek high current income exempt from federal income tax but may also consider capital appreciation. It invests approximately 80% of its net assets, including assets attributable to preferred shares and borrowings for investment purposes, in municipal bonds. These municipal bonds include debt securities issued by or on behalf of states, territories, possessions of the United States, the District of Columbia, and their political subdivisions, agencies, or instrumentalities. The Fund invests in various sectors, such as hospitals, secondary schools, colleges, schools, and water and sewer utilities. It has investments in areas including Alabama, Alaska, Arizona, Arkansas, California, Colorado, Delaware, Florida, Georgia, Guam, Hawaii, Idaho, and Illinois. Massachusetts Financial Services Company is the investment adviser of the Fund.
Employees
-
Date Price Change Volume
26-05-13 5.470 $ -0.36% 84,771
26-05-12 5.490 $ -0.72% 68,947
26-05-11 5.530 $ -0.36% 106,281
26-05-08 5.550 $ +0.18% 88,605
26-05-07 5.540 $ +0.73% 157,808