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BNY Mellon Municipal Income, Inc. BNY Mellon Municipal Income, Inc.

BNY Mellon Municipal Income, Inc.

DMF
Kedudukan dalam Saham #20019
BNY Mellon Municipal Income, Inc. is a closed-end mutual fund specializing in... BNY Mellon Municipal Income, Inc. is a closed-end mutual fund specializing in fixed income, expertly managed by BNY Mellon Investment Adviser, Inc. Its investment mandate primarily focuses on the United States' debt markets. The fund's main holdings comprise short-duration municipal obligations, all of which boast an investment-grade credit rating. Portfolio construction is guided by a rigorous fundamental analysis methodology. Historically, the fund operated under the name Dreyfus Municipal Income, Inc. Established on October 24, 1988, this U.S.-domiciled fund has a long operational history.
Harga Saham
$6.93
Disegerakkan terakhir: 2025-06-20
Modal Pasaran
$143.85M
Perubahan (1 hari)
-0.72%
Perubahan (1 tahun)
0.00%
Negara
US
Perdagangan BNY Mellon Municipal Income, Inc. (DMF)
Bilangan saham terbitan bagi BNY Mellon Municipal Income, Inc. (DMF)
Bilangan saham terbitan setakat March 2025: 20.76M
Menurut laporan kewangan terkini dan harga saham BNY Mellon Municipal Income, Inc., bilangan saham terbitan semasa ialah 20.76M. Pada akhir September 2023, syarikat mempunyai 20.76M saham terbitan. Bilangan saham terbitan biasanya dipengaruhi oleh pecahan saham dan pembelian balik saham.
Sejarah saham terbitan untuk BNY Mellon Municipal Income, Inc. (DMF) dari 2000 hingga 2026
Saham terbitan pada akhir setiap tahun
Tahun Saham Terbitan Ubah
2026 (TTM) 20.76M 0.00%
2024 20.76M 0.00%
2023 20.76M 0.00%
2022 20.76M 0.01%
2021 20.76M 0.02%
2020 20.75M 0.02%
2019 20.75M 0.00%
2018 20.75M 0.00%
2017 20.75M 0.78%
2016 20.59M -0.11%
2015 20.61M -0.53%
2014 20.72M -0.14%
2013 20.75M 0.32%
2012 20.68M 0.28%
2011 20.62M 0.11%
2010 20.60M 0.03%
2009 20.59M 0.02%
2008 20.59M 0.00%
2007 20.59M 0.00%
2006 20.59M 0.00%
2005 20.59M 0.19%
2004 20.55M 0.54%
2003 20.44M 0.29%
2002 20.38M 0.00%
2001 20.38M 0.00%
2000 20.38M 0.00%
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