Valuation: Western Asset Intermediate Muni Fund Inc

Market Cap 110M 96.22M 88.83M 82.09M 156M 10.5B 159M 1.07B 415M 5.14B 412M 403M 17.84B P/E 2024
14.7x
P/E 2025 64.9x
Enterprise Value 160M 140M 129M 119M 226M 15.28B 231M 1.55B 604M 7.48B 599M 586M 25.96B EV / Sales 2024
23.1x
EV / Sales 2025 22.5x
Free-Float
100%
Yield 2024
5.77%
Yield 2025 6.51%
Manager TitleAgeSince
Chief Executive Officer 64 31/07/2015
Director of Finance/CFO 52 31/12/2018
Compliance Officer 63 31/12/2019
Director TitleAgeSince
Director/Board Member 80 26/04/2007
Chairman 68 14/11/2024
Director/Board Member 76 31/12/2014
Change 5-day change 1-year change 3-year change Capi.($)
-0.23%+0.70% - - 110M
-0.94%+1.15%+21.52%+104.94% 14.76B
-3.16%-1.11%+49.72%+136.03% 12.36B
+0.69%-0.58%-7.14%+33.76% 8.9B
-1.63%+0.42%+34.18%+124.43% 7.62B
-0.12%-0.12%-12.75%-12.57% 7.72B
+1.19%-2.65%+16.97%+62.79% 6.34B
0.00%+1.06%+11.76%+21.41% 4.69B
-0.27%+1.30%+13.16%+5.20% 4.13B
-1.45%-4.09% - - 3.78B
Average -0.58%+1.90%+15.93%+59.50% 7.81B
Weighted average by Cap. -0.77%+2.47%+18.76%+73.70%

Financials

2024 2025
Net sales 7.15M 6.27M 5.79M 5.35M 10.14M 684M 10.34M 69.57M 27.03M 335M 26.84M 26.25M 1.16B 7.07M 6.2M 5.72M 5.29M 10.03M 677M 10.23M 68.82M 26.74M 331M 26.55M 25.97M 1.15B
Net income 7.84M 6.88M 6.35M 5.87M 11.12M 751M 11.34M 76.33M 29.66M 367M 29.44M 28.8M 1.28B 1.68M 1.47M 1.36M 1.26M 2.38M 161M 2.43M 16.36M 6.36M 78.76M 6.31M 6.17M 273M
Net Debt 49.84M 43.72M 40.36M 37.3M 70.69M 4.77B 72.1M 485M 189M 2.34B 187M 183M 8.11B 49.87M 43.74M 40.38M 37.32M 70.73M 4.78B 72.14M 485M 189M 2.34B 187M 183M 8.11B
Logo Western Asset Intermediate Muni Fund Inc
Western Asset Intermediate Muni Fund Inc. (The Fund) is a closed-end management investment company. The Fund’s investment objective is to provide common shareholders a high level of current income exempts from regular federal income taxes consistent with prudent investing. The Fund invests at least 80% of its total assets in municipal obligations. The Fund also maintains a dollar-weighted average effective maturity of between three and ten years. Under normal market conditions, the Fund will invest at least 80% of its total assets in debt securities that are, at the time of investment, rated investment grade by a nationally recognized statistical rating organization (NRSRO) or, if unrated, of equivalent quality as determined by the investment manager. The Fund invests in various sectors, such as transportation, health care, power, education, housing, solid waste, short-term investments, and others. The investment manager of the Fund is Franklin Templeton Fund Adviser, LLC.
Employees
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