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  • 12.02.2026
MFS High Yield (CMU, NY Consolidated)
Závěr k 12.2.2026 Změna (%) Změna (USD) Objem obchodů (ks)
3,58 0,28 0,01 87 837
R - Real-Time data si mohou aktivovat klienti Patria Plus / Investor Plus ZDE.

 
  • Poslední aktualizace: 14.02.2026
Popis společnosti
Obecné informace
Název společnostiMFS High Yield Municipal Trust
TickerCMU
Kmenové akcie:Closed-Ended Fund
RICCMU
ISIN-
Poslední známé roční výsledky30.11.2018
Poslední známé čtvrtletní výsledky31.05.2019
Akcie v oběhu k 31.07.2019 28 325 314
MěnaUSD
Kontaktní informace
Ulice111 Huntington Avenue, 24Th Floor
MěstoBOSTON
PSČ2199
ZeměUnited States
Kontatní osoba 
Funkce kontaktní osoby 
Telefon16 179 545 000

Business Summary: MFS High Yield Municipal Trust (the Fund) is a diversified closed-end management investment company. The Fund's investment objective is to seek high current income exempt from federal income tax, but may also consider capital appreciation. The Fund invests, under normal market conditions, over 80% of its net assets, including assets attributable to preferred shares and borrowings for investment purposes, in tax-exempt bonds and tax-exempt notes. The Fund invests primarily in municipal instruments. The Fund invests in high-yield securities rated below investment grade. The Fund invests in various industries, including healthcare (hospitals), water and sewer utility, universities (colleges), tobacco, tax assessment and the United States treasury securities. The Fund offers a dividend reinvestment and cash purchase plan that allows common shareholders to reinvest all of the distributions paid by the fund. The Fund's investment advisor is Massachusetts Financial Services Company.
Financial Summary: BRIEF: For the six months ended 31 May 2019, MFS High Yield Municipal Trust revenues decreased 7% to $5.2M. Net income increased from $3.9M to $8.9M. Revenues reflect Other remaining flat at $0K. Net income reflects Unaffiliated issuers increase from $2.3M (expense) to $6.4M (income), Futures contracts decrease of 76% to $52K (expense), Affiliated issuers increase from $0K to $1K (income). Dividend per share decreased from $0.13 to $0.12.
Odvětvová klasifikace
TRBC2012Closed End Funds
RBSS2004Investment Trusts
MGINDUSTRYMisc. Financial Services
MGSECTORFinancial
NAICSOther Financial Vehicles
SICInvestment Offices, Nec



  • Poslední aktualizace: 14.02.2026
Management společnosti
FunkceJménoVěkVe funkci odVe firmě od
Independent Chairman of the Board of TrusteesJohn Kavanaugh6431.12.201730.11.2016
PresidentDavid DiLorenzo5130.11.2016
Chief Compliance OfficerMartin Wolin51
TreasurerJames Yost5930.11.2016
Assistant TreasurerJohn Clark50
Assistant TreasurerKino Clark51
Assistant TreasurerKasey Philips48
Secretary, ClerkHeidi Hardin51
Assistant Secretary, Assistant ClerkChristopher Bohane45
Assistant Secretary, Assistant ClerkThomas Connors59