Price
$2.64
Increased by +0.38%
Dollar volume (20D)
623.41 K
ADR%
1.08
Shares float
0.00
Shares short
338.46 K [N/A%]
Shares outstanding
114.01 M
Market cap
299.85 M
Beta
0.29
Price/earnings
131.50
20D range
2.62 2.73
50D range
2.62 2.75
200D range
2.47 2.76

MFS Intermediate Income Trust is a closed ended fixed income mutual fund launched and managed by Massachusetts Financial Services Company.

The fund invests in fixed income markets across the globe.

It primarily invests in debt instruments.

The fund seeks to benchmarks the performance of its portfolio against the Barclays IntermediateU. S.

Government/Credit and MFS Intermediate Income Trust Blended Index.

MFS Intermediate Income Trust was formed on March 17, 1988 and is domiciled in the United States.

  • Quarterly earnings
  • Annual earnings
Reported date EPSChange YoY EstimateSurprise
Oct 31, 21 0.00
Decreased by -95.47%
-
Jul 31, 21 0.00
Decreased by -95.47%
-
Apr 30, 21 0.01
Decreased by -89.06%
-
Jan 31, 21 0.01
Decreased by -92.62%
-
Oct 31, 20 0.06
Decreased by -26.18%
-
Jul 31, 20 0.06
Decreased by -27.19%
-
Apr 30, 20 0.06
Decreased by -33.45%
-
Oct 31, 19 0.09
Increased by +1.21 K%
-
  • Quarterly financials
  • Annual financials
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Apr 30, 24 3.13 M
Decreased by -15.81%
6.56 M
Decreased by -65.44%
Increased by +209.69%
Decreased by -58.96%
Jan 31, 24 3.13 M
Increased by +11.31%
6.56 M
Decreased by -30.88%
Increased by +209.69%
Decreased by -37.91%
Oct 31, 23 1.14 M
Decreased by -71.69%
-9.34 M
Increased by +41.75%
Decreased by -819.27%
Decreased by -105.73%
Jul 31, 23 2.97 M
Increased by +8.18%
-4.67 M
Increased by +41.75%
Decreased by -157.42%
Increased by +46.16%
Apr 30, 23 3.72 M
Increased by +40.43%
18.99 M
Increased by +236.48%
Increased by +510.89%
Increased by +197.19%
Jan 31, 23 2.81 M
Increased by +N/A%
9.50 M
Increased by +N/A%
Increased by +337.71%
-
Oct 31, 22 4.03 M
Increased by +N/A%
-16.04 M
Decreased by N/A%
Decreased by -398.23%
-
Jul 31, 22 2.74 M
Increased by +N/A%
-8.02 M
Decreased by N/A%
Decreased by -292.38%
-
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