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Valuation: MFS Intermediate Income Trust

Market Cap 277M 242M 224M 209M 392M 26.13B 394M 2.66B 1.03B 12.85B 1.04B 1.02B 44.63B P/E 2024
11.4x
P/E 2025 16.3x
Enterprise Value 277M 242M 224M 209M 392M 26.13B 394M 2.66B 1.03B 12.85B 1.04B 1.02B 44.63B EV / Sales 2024
24.7x
EV / Sales 2025 24.1x
Free-Float
100%
Yield 2024
8.89%
Yield 2025 8.83%
1 week-1.22%
Current month-1.22%
1 month-0.82%
3 months-1.22%
6 months-7.60%
Current year-6.90%
1 week 2.42
Extreme 2.42
2.46
1 month 2.42
Extreme 2.42
2.49
Current year 2.41
Extreme 2.41
2.66
1 year 2.41
Extreme 2.41
2.73
3 years 2.41
Extreme 2.41
2.88
5 years 2.41
Extreme 2.41
3.74
10 years 2.41
Extreme 2.41
4.69
Manager TitleAgeSince
President 56 30/06/2005
Compliance Officer 49 28/02/2022
Corporate Secretary 58 31/03/2017
Director TitleAgeSince
Director/Board Member 67 28/02/2005
Director/Board Member 71 31/12/2008
Chairman 70 31/12/2008
Change 5-day change 1-year change 3-year change Capi.($)
0.00%-1.22%-8.65%-11.64% 277M
-0.72%-2.98%+22.25%+113.73% 15.06B
-1.86%-7.91%+69.91%+170.12% 13.11B
-2.07%-4.66%-1.43%+37.80% 8.91B
-1.13%-4.93%+40.93%+139.51% 7.91B
-0.61%-1.64%-13.25%-12.17% 7.5B
-1.41%-2.47%+7.08%+50.97% 6.43B
-1.01%+1.36%+6.60%+28.55% 4.54B
+0.47%+0.19%+11.18%+6.34% 4.05B
-3.07%-2.63% - - 3.86B
Average -1.09%-1.99%+14.96%+58.13% 7.17B
Weighted average by Cap. -1.24%-2.85%+23.34%+85.16%

Financials

2024 2025
Net sales 12.57M 10.99M 10.16M 9.49M 17.81M 1.19B 17.94M 121M 46.99M 584M 47.21M 46.18M 2.03B 12.3M 10.75M 9.95M 9.28M 17.43M 1.16B 17.55M 118M 45.98M 572M 46.2M 45.2M 1.99B
Net income 27.31M 23.87M 22.08M 20.6M 38.68M 2.58B 38.96M 262M 102M 1.27B 103M 100M 4.41B 18.24M 15.94M 14.74M 13.76M 25.83M 1.72B 26.02M 175M 68.17M 848M 68.48M 67M 2.94B
Net Debt - -
Logo MFS Intermediate Income Trust
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 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 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.
Employees
-
Date Price Change Volume
22/06/26 2.430 $ 0.00% 121,085
18/06/26 2.430 $ -0.41% 117,287
17/06/26 2.440 $ 0.00% 238,096
16/06/26 2.440 $ -0.81% 118,884
Sell
Consensus
Buy
Mean consensus
SELL
Number of Analysts
1
Last Close Price
2.430
Average target price
-
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