Valuation: MFS Intermediate Income Trust

Market Cap 28Cr 25Cr 23Cr 21Cr 40Cr 2.68TCr 41Cr 271.1Cr 105.39Cr 1.32TCr 105.51Cr 103.24Cr 4.53TCr P/E 2024
11.4x
P/E 2025 16.3x
Enterprise Value 28Cr 25Cr 23Cr 21Cr 40Cr 2.68TCr 41Cr 271.1Cr 105.39Cr 1.32TCr 105.51Cr 103.24Cr 4.53TCr EV / Sales 2024
24.7x
EV / Sales 2025 24.1x
Free-Float
100%
Yield 2024
8.89%
Yield 2025 8.83%
1 week+0.82%
1 month+1.23%
6 months-5.54%
Current year-5.36%
1 week 2.43
Extreme 2.43
2.48
1 month 2.42
Extreme 2.42
2.48
Current year 2.41
Extreme 2.41
2.66
1 year 2.41
Extreme 2.41
2.72
3 years 2.41
Extreme 2.41
2.85
5 years 2.41
Extreme 2.41
3.74
10 years 2.41
Extreme 2.41
4.69
Manager TitleAgeSince
President 56 01/07/2005
Compliance Officer 49 01/03/2022
Corporate Secretary 58 01/04/2017
Director TitleAgeSince
Director/Board Member 67 01/03/2005
Director/Board Member 71 01/01/2009
Chairman 70 01/01/2009
Change 5-day change 1-year change 3-year change Capi.($)
0.00%+0.82%-8.18%-10.18% 28Cr
+2.34%+1.37%+21.64%+107.48% 1.48TCr
+3.02%+3.90%+55.10%+147.77% 1.25TCr
-0.11%+0.27%-8.35%+30.93% 889.39Cr
-0.12%+0.78%-12.61%-11.73% 770.81Cr
+2.45%+2.28%+35.73%+128.47% 764.31Cr
+0.59%+4.63%+15.01%+63.58% 662.7Cr
+0.52%+1.99%+11.59%+23.00% 474.2Cr
+0.56%-0.55%+10.95%+3.93% 408.47Cr
-2.52%+2.57% - - 379Cr
Average +0.67%+2.40%+13.43%+53.69% 710.34Cr
Weighted average by Cap. +1.24%+2.83%+19.42%+76.48%

Financials

2024 2025
Net sales 1.26Cr 1.1Cr 1.01Cr 94.16L 1.79Cr 119.72Cr 1.81Cr 12Cr 4.71Cr 59Cr 4.72Cr 4.62Cr 202.79Cr 1.23Cr 1.08Cr 98.85L 92.14L 1.75Cr 117.16Cr 1.77Cr 12Cr 4.61Cr 58Cr 4.62Cr 4.52Cr 198.45Cr
Net income 2.73Cr 2.39Cr 2.19Cr 2.05Cr 3.88Cr 260.05Cr 3.94Cr 26Cr 10Cr 127.83Cr 10Cr 10Cr 440.49Cr 1.82Cr 1.59Cr 1.47Cr 1.37Cr 2.59Cr 173.68Cr 2.63Cr 18Cr 6.84Cr 85Cr 6.85Cr 6.7Cr 294.18Cr
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
02/26/02 $2.470 0.00% 74,098
01/26/01 $2.470 0.00% 2,45,281
30/26/30 $2.470 +0.41% 2,33,745
29/26/29 $2.460 +0.41% 1,20,774
26/26/26 $2.450 +0.82% 1,37,223
Sell
Consensus
Buy
Mean consensus
SELL
Number of Analysts
1
Last Close Price
2.470
Average target price
-