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MFS Muni Income Trust (MFM)

MFS Muni Income Trust (MFM)
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Fundamentals

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  • Market Capitalization, $K 0
  • Shares Outstanding, K 0
  • Annual Sales, $ 1,301 K
  • Annual Income, $ 1,162 K
  • 60-Month Beta 0.50
  • Price/Sales 161.13
  • Price/Cash Flow N/A
  • Price/Book N/A
Trade MFM with:

Price Performance

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Period Period Low Period High Performance
1-Month
5.05 +0.30%
on 04/25/24
5.37 -5.68%
on 03/28/24
-0.20 (-3.71%)
since 03/25/24
3-Month
5.05 +0.30%
on 04/25/24
5.48 -7.57%
on 03/06/24
-0.13 (-2.60%)
since 01/25/24
52-Week
4.37 +15.90%
on 10/27/23
5.48 -7.57%
on 03/06/24
-0.07 (-1.27%)
since 04/25/23

Most Recent Stories

More News
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of May 1, 2023, ex-dividend dates of May 16, 2023, record dates...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of April 3, 2023, ex-dividend dates of April 18, 2023, record...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Portfolio Management Team Update for Three Closed End Funds

MFS® is announcing a portfolio management team update for three closed end funds: MFS® High Income Municipal Trust (NYSE: CXE), MFS® High Yield Municipal Trust (NYSE: CMU), and MFS® Municipal Income...

CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
MFM : 5.07 (-0.49%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of March 1, 2023, ex-dividend dates of March 14, 2023, record...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of February 1, 2023, ex-dividend dates of February 14, 2023,...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of January 3, 2023, ex-dividend dates of January 17, 2023, record...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of December 1, 2022, ex-dividend dates of December 13, 2022,...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of November 1, 2022, ex-dividend dates of November 15, 2022,...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of October 3, 2022, ex-dividend dates of October 18, 2022, record...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)
MFS Announces Closed-End Fund Distributions

MFS Investment Management ® (MFS ® ) announced today monthly distributions of the following closed-end funds, all with declaration dates of September 1, 2022, ex-dividend dates of September 13, 2022,...

MCR : 6.09 (-0.25%)
MGF : 3.05 (-0.65%)
CXE : 3.52 (+0.43%)
CMU : 3.21 (-0.34%)
CIF : 1.6500 (-0.60%)
MIN : 2.59 (+0.78%)
CXH : 7.33 (-0.61%)
MMT : 4.47 (-0.51%)
MFM : 5.07 (-0.49%)
MFV : 4.41 (-0.11%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 8% Buy with a Weakening short term outlook on maintaining the current direction.

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MFM Dividends

Date Value
09/15/15 $0.0325
08/18/15 $0.0330
07/14/15 $0.0330
06/16/15 $0.0330
05/12/15 $0.0330
04/14/15 $0.0330
03/17/15 $0.0330
02/17/15 $0.0320
01/13/15 $0.0320
12/16/14 $0.0330
11/18/14 $0.0330
10/14/14 $0.0330
09/16/14 $0.0330
08/12/14 $0.0330
07/15/14 $0.0330
06/17/14 $0.0330
05/13/14 $0.0330
04/15/14 $0.0330
03/18/14 $0.0340
02/18/14 $0.0350
01/14/14 $0.0350
12/17/13 $0.0360
11/12/13 $0.0365
10/15/13 $0.0370
09/17/13 $0.0370
08/13/13 $0.0370
07/16/13 $0.0370
06/18/13 $0.0370
05/14/13 $0.0370
04/16/13 $0.0370
03/12/13 $0.0370
02/12/13 $0.0370
01/15/13 $0.0370
12/18/12 $0.0370
11/13/12 $0.0370
10/16/12 $0.0390
09/18/12 $0.0400
08/14/12 $0.0400
07/17/12 $0.0400
06/12/12 $0.0400
05/15/12 $0.0400
04/17/12 $0.0420
03/13/12 $0.0420
02/14/12 $0.0420
01/17/12 $0.0420
12/12/11 $0.0420
11/14/11 $0.0420
10/11/11 $0.0420
09/12/11 $0.0420
08/09/11 $0.0420
07/12/11 $0.0420
06/08/11 $0.0420
05/10/11 $0.0420
04/11/11 $0.0420
03/09/11 $0.0420
02/09/11 $0.0420
01/11/11 $0.0420
12/13/10 $0.0420
11/08/10 $0.0420
10/12/10 $0.0420
09/13/10 $0.0420
08/10/10 $0.0420
07/12/10 $0.0420
06/08/10 $0.0420
05/11/10 $0.0420
04/12/10 $0.0420
03/09/10 $0.0420
02/09/10 $0.0420
01/12/10 $0.0420
12/09/09 $0.0420
11/10/09 $0.0420
10/13/09 $0.0420
09/10/09 $0.0420
08/10/09 $0.0420
07/13/09 $0.0420
06/10/09 $0.0420
05/11/09 $0.0420
04/13/09 $0.0410
03/09/09 $0.0410
02/09/09 $0.0400
01/12/09 $0.0380
12/10/08 $0.0380
11/07/08 $0.0380
10/09/08 $0.0380
09/10/08 $0.0380
08/11/08 $0.0380
07/09/08 $0.0380
06/11/08 $0.0380
05/09/08 $0.0380
04/09/08 $0.0380
03/10/08 $0.0380
02/11/08 $0.0380
01/10/08 $0.0380
12/12/07 $0.0380
11/09/07 $0.0380
10/09/07 $0.0380
09/10/07 $0.0380
08/10/07 $0.0380
07/10/07 $0.0380
06/11/07 $0.0380
05/09/07 $0.0390
04/10/07 $0.0390
03/09/07 $0.0390
02/09/07 $0.0390
01/10/07 $0.0390
12/13/06 $0.0390
11/09/06 $0.0390
10/10/06 $0.0390
09/12/06 $0.0390
08/09/06 $0.0390
07/11/06 $0.0390
06/08/06 $0.0390
05/09/06 $0.0410
04/11/06 $0.0420
03/09/06 $0.0420
02/09/06 $0.0430
01/11/06 $0.0430
12/08/05 $0.0430
11/09/05 $0.0440
10/11/05 $0.0455
09/08/05 $0.0455
08/09/05 $0.0455
07/14/05 $0.0455
06/09/05 $0.0455
05/10/05 $0.0455
04/12/05 $0.0455
03/10/05 $0.0455
02/09/05 $0.0455
01/11/05 $0.0455
12/13/04 $0.0455
11/10/04 $0.0455
10/13/04 $0.0455
09/13/04 $0.0455
08/12/04 $0.0455
07/13/04 $0.0455
06/14/04 $0.0455
05/12/04 $0.0455
04/13/04 $0.0455
03/11/04 $0.0455
02/12/04 $0.0455
01/13/04 $0.0455
12/11/03 $0.0455
11/12/03 $0.0455
10/10/03 $0.0455
09/11/03 $0.0455
08/13/03 $0.0446
07/11/03 $0.0446
06/11/03 $0.0446
05/13/03 $0.0446
04/11/03 $0.0446
03/12/03 $0.0440
02/12/03 $0.0440
01/13/03 $0.0440
12/12/02 $0.0440
11/13/02 $0.0440
10/10/02 $0.0440
09/12/02 $0.0440
08/13/02 $0.0440
07/11/02 $0.0440
06/12/02 $0.0440
05/13/02 $0.0440
04/11/02 $0.0440
03/13/02 $0.0440
02/13/02 $0.0440
01/11/02 $0.0440
12/12/01 $0.0440
11/13/01 $0.0440
10/11/01 $0.0440
08/13/01 $0.0440
07/12/01 $0.0440
06/13/01 $0.0440
05/11/01 $0.0430
04/11/01 $0.0440
03/13/01 $0.0440
02/13/01 $0.0440
01/11/01 $0.0440
12/13/00 $0.0440
11/13/00 $0.0440
10/12/00 $0.0440
09/11/00 $0.0440
08/11/00 $0.0440
07/12/00 $0.0440
06/13/00 $0.0440
05/11/00 $0.0430
04/12/00 $0.0440
03/13/00 $0.0430
02/11/00 $0.0440
01/12/00 $0.0440
12/13/99 $0.0440
11/09/99 $0.0440
10/12/99 $0.0440
09/13/99 $0.0440
08/11/99 $0.0430
07/13/99 $0.0440
06/10/99 $0.0430
05/12/99 $0.0430
04/13/99 $0.0430
03/12/99 $0.0430
02/10/99 $0.0430
01/13/99 $0.0430
12/11/98 $0.0430
11/12/98 $0.0480
10/13/98 $0.0480
09/11/98 $0.0480
08/12/98 $0.0480
07/13/98 $0.0480
06/11/98 $0.0480
05/13/98 $0.0480
04/13/98 $0.0480
03/12/98 $0.0480
02/11/98 $0.0480
01/13/98 $0.0480
12/11/97 $0.0500
11/12/97 $0.0500
10/10/97 $0.0500
09/11/97 $0.0500
08/13/97 $0.0500
07/11/97 $0.0550
06/12/97 $0.0550
05/13/97 $0.0550
04/11/97 $0.0550
03/12/97 $0.0550
02/12/97 $0.0550
01/13/97 $0.0550
12/12/96 $0.0550
11/13/96 $0.0550
10/10/96 $0.0550
09/12/96 $0.0550
08/13/96 $0.0530
07/11/96 $0.0530
06/13/96 $0.0530
05/13/96 $0.0530
04/11/96 $0.0530
03/13/96 $0.0560
02/13/96 $0.0560
01/11/96 $0.0580
12/13/95 $0.0580
11/13/95 $0.0580
10/12/95 $0.0580
09/13/95 $0.0580
08/11/95 $0.0580
07/13/95 $0.0580
06/13/95 $0.0580
05/09/95 $0.0580
04/10/95 $0.0580
03/09/95 $0.0580
02/09/95 $0.0580
01/10/95 $0.0580
12/09/94 $0.0580
11/08/94 $0.0580
10/07/94 $0.0580
09/09/94 $0.0580
07/11/94 $0.0580
06/09/94 $0.0580
05/10/94 $0.0580
04/11/94 $0.0580
03/09/94 $0.0580
02/09/94 $0.0580
01/10/94 $0.0580
12/09/93 $0.0580
11/08/93 $0.0580
10/08/93 $0.0580
09/09/93 $0.0580
08/10/93 $0.0580
07/09/93 $0.0590
06/09/93 $0.0590
05/10/93 $0.0580
04/08/93 $0.0580
03/09/93 $0.0580
02/09/93 $0.0590
01/11/93 $0.0590
12/09/92 $0.0580
11/09/92 $0.0580
10/08/92 $0.0590
09/09/92 $0.0590
08/10/92 $0.0590
07/09/92 $0.0600
06/09/92 $0.0600
05/11/92 $0.0600
04/09/92 $0.0600
03/10/92 $0.0600
02/10/92 $0.0600
01/10/92 $0.0600
12/09/91 $0.0600
11/08/91 $0.0600
10/08/91 $0.0600
09/10/91 $0.0600
08/08/91 $0.0600
07/09/91 $0.0600
06/11/91 $0.0600
05/08/91 $0.0610
04/09/91 $0.0610
03/08/91 $0.0610
02/11/91 $0.0620
01/10/91 $0.0610
12/10/90 $0.0610
11/08/90 $0.0610
10/09/90 $0.0630
09/11/90 $0.0630
08/08/90 $0.0630
07/10/90 $0.0630
06/08/90 $0.0640
05/08/90 $0.0640
04/09/90 $0.0630
03/08/90 $0.0640
02/09/90 $0.0640
01/09/90 $0.0640
12/06/89 $0.0640
11/07/89 $0.0640
10/10/89 $0.0630
09/07/89 $0.0640
08/08/89 $0.0640
07/11/89 $0.0630
06/06/89 $0.0630
05/08/89 $0.0640
04/10/89 $0.0630
03/07/89 $0.0630
02/07/89 $0.0630
01/10/89 $0.0630
12/08/88 $0.0630
11/07/88 $0.0630
10/07/88 $0.0630
09/09/88 $0.0640
08/08/88 $0.0630
07/11/88 $0.0620
06/08/88 $0.0620
05/09/88 $0.0620
04/11/88 $0.0620
03/08/88 $0.0620
02/23/88 $0.1000
02/08/88 $0.0610
12/24/87 $0.0610
12/08/87 $0.0610
11/06/87 $0.0610
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