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

BNY Mellon Municipal Income, Inc.

DMF
Rank in Stocks #20018
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.
Share Price
$6.93
Last synced: 2025-06-20
Market Cap
$143.85M
Change (1 day)
-0.72%
Change (1 year)
0.00%
Country
US
Trade BNY Mellon Municipal Income, Inc. (DMF)
Earnings for BNY Mellon Municipal Income, Inc. (DMF)
Earnings in Mar 2025 TTM: $-1.85M
According to BNY Mellon Municipal Income, Inc. latest financial reports the company's current earnings are $-1.85M. In 2023 the company made an earning of $3.40M, an increase over its 2022 earnings that were of $-41.41M. The earnings displayed on this page are the earnings before interest and taxes or simply EBIT.
Earnings history for BNY Mellon Municipal Income, Inc. from 2000 to 2026
Earnings at the end of each year
Year Earnings Change
2026 (TTM) $-1.85M -107.23%
2024 $25.60M 652.99%
2023 $3.40M -108.21%
2022 $-41.41M -400.19%
2021 $13.80M 405.92%
2020 $2.73M -85.68%
2019 $19.04M -4,016.44%
2018 $-486.17K -158.27%
2017 $834.40K -95.24%
2016 $17.54M 72.63%
2015 $10.16M -62.64%
2014 $27.20M -265.34%
2013 $-16.45M -148.93%
2012 $33.62M 299.62%
2011 $8.41M -53.12%
2010 $17.95M -41.60%
2009 $30.74M -708.62%
2008 $-5.05M -169.27%
2007 $7.29M -44.77%
2006 $13.20M -27.79%
2005 $18.28M 14.39%
2004 $15.98M 63.23%
2003 $9.79M -37.04%
2002 $15.55M -50.24%
2001 $31.25M 133.91%
2000 $13.36M 0.00%
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