Price
$5.78
Increased by +4.55%
Dollar volume (20D)
420.73 K
ADR%
0.73
Shares float
0.00
Shares short
45.61 K [N/A%]
Shares outstanding
62.29 M
Market cap
361.29 M
Beta
0.62
Price/earnings
145.00
20D range
5.73 5.90
50D range
5.49 5.98
200D range
5.49 6.45

BNY Mellon Strategic Municipals, Inc. is a closed ended fixed income mutual fund launched and managed by BNY Mellon Investment Adviser, Inc. It invests in the fixed income markets of the United States.

The fund primarily invests in investment grade municipal bonds, the income from which is exempt from federal income tax.

It employs fundamental analysis to create its portfolio.

The fund was formerly known as Dreyfus Strategic Municipals, Inc. BNY Mellon Strategic Municipals, Inc. was formed on September 23, 1987 and is domiciled in the United States.

  • Quarterly earnings
  • Annual earnings
Reported date EPSChange YoY EstimateSurprise
Mar 31, 23 0.00
Decreased by -100.00%
1.19
Decreased by -100.00%
Nov 23, 22 1.08
Increased by +129.79%
1.08
May 23, 22 -0.74
Decreased by -413.03%
-
Nov 24, 21 0.28
Decreased by -54.10%
-
Sep 30, 21 0.14
Decreased by -53.33%
-
May 27, 21 0.47
Increased by +194.00%
-
Mar 31, 21 0.24
Increased by +194.48%
-
Nov 25, 20 0.61
Increased by +27.08%
-
  • Quarterly financials
  • Annual financials
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Mar 31, 24 14.21 M
Increased by +N/A%
50.68 M
Increased by +N/A%
Increased by +356.55%
-
Sep 30, 23 7.23 M
Decreased by -45.41%
-29.10 M
Increased by +36.41%
Decreased by -402.58%
Decreased by -16.49%
Mar 31, 23 8.55 M
Increased by +N/A%
34.22 M
Increased by +N/A%
Increased by +400.46%
-
Sep 30, 22 7.52 M
Decreased by -51.43%
-65.49 M
Decreased by -468.46%
Decreased by -870.79%
Decreased by -858.65%
Jun 30, 22 N/A
Decreased by N/A%
N/A
Decreased by N/A%
- -
Mar 31, 22 13.24 M
Decreased by -30.65%
-45.76 M
Decreased by -254.99%
Decreased by -345.60%
Decreased by -323.48%
Dec 31, 21 N/A
Decreased by N/A%
N/A
Decreased by N/A%
- -
Sep 30, 21 15.49 M
Increased by +85.90%
17.78 M
Decreased by -53.49%
Increased by +114.78%
Decreased by -74.98%
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