MFS Government Markets Income Trust

4.51-0.0100-0.22%Vol 89.87K1Y Perf -0.26%
Jan 19th, 2021 15:59 DELAYED
BID4.49 ASK4.56
Open4.53 Previous Close4.52
Pre-Market- After-Market-
 - -%  - -
Target Price
- 
Analyst Rating
— — 0.00
Potential %
- 
Finscreener Ranking
 —    -
Insiders Trans % 3/6/12 mo.
-/-/- 
Value Ranking
 —    -
Insiders Value % 3/6/12 mo.
-/-/- 
Growth Ranking
 —    -
Insiders Shares Cnt. % 3/6/12 mo.
-/-/- 
Income Ranking
 —    -
Market Cap146.96M 
Earnings Rating
Price Range Ratio 52W %
50.88 
Earnings Date
-

Today's Price Range

4.504.53

52W Range

4.224.79

Summary:

Sell

Technical Indicators: Neutral
Moving Averages: Strong Sell
Performance
1 Week
0.22%
1 Month
-1.53%
3 Months
-2.16%
6 Months
-3.42%
1 Year
-0.26%
3 Years
-4.03%
5 Years
-14.72%
10 Years
-1.97%

TickerPriceChg.Chg.%
MGF4.51-0.0100-0.22
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Earnings HistoryEstimateReportedSurprise %
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Earnings Per EndEstimateRevision %Trend
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Next Report Date-
Estimated EPS Next Report-
Estimates Count-
EPS Growth Next 5 Years %-
Volume Overview
Volume89.87K
Shares Outstanding32.59M
Trades Count116
Dollar Volume455.77K
Avg. Volume117.73K
Avg. Weekly Volume121.60K
Avg. Monthly Volume124.45K
Avg. Quarterly Volume124.63K

MFS Government Markets Income Trust (NYSE: MGF) stock closed at 4.52 per share at the end of the most recent trading day (a 0.44% change compared to the prior day closing price) with a volume of 82.27K shares and market capitalization of 146.96M. Is a component of indices and it is traded on NYSE exchange. The company belongs in the Asset Management industry, Financial Services sector and employs 0 people. MFS Government Markets Income Trust CEO is .

The one-year performance of MFS Government Markets Income Trust stock is -0.26%, while year-to-date (YTD) performance is -1.53%. MGF stock has a five-year performance of -14.72%. Its 52-week range is between 4.22 and 4.79, which gives MGF stock a 52-week price range ratio of 50.88%

MFS Government Markets Income Trust currently has a PE ratio of 10.80, a price-to-book (PB) ratio of 0.93, a price-to-sale (PS) ratio of 16.08, a price to cashflow ratio of -, a PEG ratio of 2.32, a ROA of 8.39%, a ROC of -% and a ROE of 8.95%. The company’s profit margin is 97.95%, its EBITDA margin is -%, and its revenue ttm is $9.16 Million , which makes it $0.28 revenue per share.

Of the last four earnings reports from MFS Government Markets Income Trust, there were 0 positive earnings surprise and 0 negative earnings surprise. The company has EPS estimate of $0.00 for the next earnings report. MFS Government Markets Income Trust’s next earnings report date is -.

The consensus rating of Wall Street analysts for MFS Government Markets Income Trust is (), with a target price of $, which is 0.00% compared to the current price. The earnings rating for MFS Government Markets Income Trust stock is (calculated from actual period earnings estimates revision (80% weight) and previous period earnings surprise (20% weight)).

MFS Government Markets Income Trust has a dividend yield of 7.70% with a dividend per share of $0.35 and a payout ratio of 78.00%.

MFS Government Markets Income Trust has a Sell technical analysis rating based on Technical Indicators (ADX : 34.36, ATR14 : 0.30, CCI20 : -110.24, Chaikin Money Flow : 2 666.30, MACD : -0.02, Money Flow Index : 33.28, ROC : -0.88, RSI : 39.19, STOCH (14,3) : 22.22, STOCH RSI : 0.87, UO : 44.40, Williams %R : -77.78), Simple Moving Averages and Exponential Moving Averages.

Aggregated Insider Trades of MFS Government Markets Income Trust in the last 12-months were:

Analyst RatingsCurrent1 M ago3 M ago
Strong Buy
0
0
0
Moderate Buy
0
0
0
Hold
0
0
0
Moderate Sell
0
0
0
Strong Sell
0
0
0
Summary Rating---

MFS Government Markets Income Trust

MFS Government Markets Income Trust is the United States based diversified, closed-end management investment company. Its investment objective is to seek high current income. The fund invests a majority of the net assets, including borrowings for investment purposes, in U.S. and foreign government securities. The trust invests most of the assets in investment grade debt instruments. Its portfolio of investments comprises of different sectors investment such as the automotive, chemicals, computer software, consumer products, insurance and other sectors.

CEO:

Teplephone:

Address: 500 Boylston St, Boston 02116, MA, United States

Number of employees: 0

Bearish or Bullish?
WeekMonthThree MonthsSix Months

Bearish Bullish

50%50%

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70%30%

Bearish Bullish

55%45%

Bearish Bullish

55%45%

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