• LAST PRICE
    2.5850
  • TODAY'S CHANGE (%)
    Trending Up0.0150 (0.5837%)
  • Bid / Lots
    2.5800/ 31
  • Ask / Lots
    2.5900/ 69
  • Open / Previous Close
    2.5700 / 2.5700
  • Day Range
    Low 2.5600
    High 2.5888
  • 52 Week Range
    Low 2.5200
    High 2.8800
  • Volume
    132,322
    below average

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Price Comparison Graph. See accessible table below
1 Day Comparison Chart Accessibility Table. Wednesday's close: 2.57
TimeVolumeMIN
09:32 ET14652.57
09:59 ET3002.57
10:03 ET47152.57
10:10 ET113102.56
10:17 ET84732.57
10:26 ET403982.58
10:28 ET150162.58
10:44 ET151432.58
10:46 ET204122.58
10:48 ET2002.58
10:55 ET35002.5863
11:26 ET1002.58
11:33 ET1002.5888
11:42 ET25012.58
11:45 ET5002.5812
11:47 ET5002.5803
11:51 ET1002.58
11:54 ET21002.585
12:54 ET1022.5812
12:57 ET37002.585
Data delayed at least 15 minutes.
0 New Today
Industry Peers Overview Table
Company sortableMarket Cap sortableP/E Ratio (TTM) sortableEPS Growth (5yr) sortable
United StatesMIN
MFS® Intermediate Income Fund
293.5M
0.0x
---
United StatesHIX
Western Asset High Income Fund II
293.1M
0.0x
---
United StatesANVI
Anvi Global Holdings Inc
295.1M
-1,464.3x
---
United StatesMEPW
ME Renewable Power Corp
295.6M
8,666.7x
---
United StatesDXYZ
Destiny Tech100 Inc
288.3M
-67.0x
---
United StatesJWSM
JAWS Mustang Acquisition Corp
300.6M
54.9x
---
As of 2024-04-25

Company Information

MFS Intermediate 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’s investment adviser, Massachusetts Financial Services Company (MFS), normally invests the fund’s assets primarily in debt instruments. MFS generally invests substantially all of the Fund’s assets in investment grade quality debt instruments. MFS may invest the Fund’s assets in foreign securities. MFS normally invests the Fund’s assets across different industries and sectors, but MFS may invest a significant percentage of the Fund’s assets in issuers in a single industry or sector. The principal investment types in which the Fund may invest are debt instruments, securitized instruments, corporate bonds, United States government securities and others. The Fund seeks to make a monthly distribution at an annual fixed rate of 8.50% of the fund’s average monthly net asset value.

Contact Information

Headquarters
111 Huntington Avenue, 24th FloorBOSTON, MA, United States 02199
Phone
617-954-5000
Fax
---

Executives

Independent Chairman of the Board of Trustees
John Kavanaugh
President
David Dilorenzo
Chief Compliance Officer
Rosa Licea-Mailloux
Treasurer
James Yost
Assistant Treasurer
John Clark

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Fundamentals Table
Market Cap
$293.5M
Revenue (TTM)
---
Shares Outstanding
114.2M
Dividend Yield
9.55%
Annual Dividend Rate
0.2469 USD
Ex-Dividend Date
04-16-24
Pay Date
04-30-24
Beta
0.29
EPS
---
Book Value
---
P/E Ratio
0.0x
Price/Sales (TTM)
---
Price/Cash Flow (TTM)
---
Operating Margin
---
*GAAP = prior to non-GAAP analyst adjusted earnings.

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