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MMT MFS Multimarket Income Trust

4.52
0.045 (1.01%)
Apr 26 2024 - Closed
Delayed by 15 minutes

Period:

Draw Mode:

Volume 86,305
Bid Price
Ask Price
News -
Day High 4.53

Low
4.04

52 Week Range

High
4.70

Day Low 4.48
Share Name Share Symbol Market Stock Type
MFS Multimarket Income Trust MMT NYSE Common Stock
  Price Change Price Change % Share Price Last Trade
0.045 1.01% 4.52 15:00:02
Open Price Low Price High Price Close Price Previous Close
4.48 4.48 4.53 4.52 4.475
Trades Shares Traded VWAP Financial Volume Average Volume 52 Week Range
373 86,305 US$ 4.51 US$ 389,252 - 4.04 - 4.70
Last Trade Type Quantity Price Currency
18:00:00 133 US$ 4.52 USD

MFS Multimarket Income Trust Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
269.75M 59.55M - 23.36M 18M 0.30 14.99
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- - - -

more financials information »

MFS Multimarket Income News

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Historical MMT Price Data

Period † Open High Low VWAP Avg. Daily Vol Change %
1 Week4.484.554.454.5066,5380.040.89%
1 Month4.634.654.434.5479,441-0.11-2.38%
3 Months4.644.704.434.5980,073-0.12-2.59%
6 Months4.134.704.124.5286,3660.399.44%
1 Year4.624.704.044.4791,982-0.10-2.16%
3 Years6.506.654.045.07106,353-1.98-30.46%
5 Years5.646.653.725.42130,724-1.12-19.86%

MFS Multimarket Income Description

MFS Multimarket Income Trust is a United States based diversified closed-end management investment company. Fund Investments in debt instruments may decline in value as the result of, or perception of, declines in the credit quality of the issuer, borrower, counterparty, or other entity responsible for payment, underlying collateral, or changes in economic, political, issuer-specific, or other conditions. Certain types of debt instruments can be more sensitive to these factors and therefore more volatile. In addition, debt instruments entail interest rate risk (as interest rates rise, prices usually fall). Therefore, the portfolio's value may decline during rising rates. Portfolios that consist of debt instruments with longer durations are generally more sensitive to a rise in interest rates than those with shorter durations. At times, and particularly during periods of market turmoil, all or a large portion of segments of the market may not have an active trading market.

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