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

BNY Mellon Municipal Income, Inc.

DMF
Hisse Senetlerindeki Sıralama #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.
Hisse Fiyatı
$6.93
Son senkronizasyon: 2025-06-20
Piyasa Değeri
$143.85M
Değişim (1 gün)
-0.72%
Değişim (1 yıl)
0.00%
Ülke
US
Ticaret BNY Mellon Municipal Income, Inc. (DMF)
BNY Mellon Municipal Income, Inc. (DMF) için gelir
Mar 2025 itibarıyla gelir TTM: $9.90M
BNY Mellon Municipal Income, Inc. şirketinin en son finansal raporlarına göre, mevcut geliri (TTM) $9.90M'dir. 2023 yılında şirketin geliri $4.14M önceki yıla göre azalma 2022 yılındaki $5.12M gelirine göre. Gelir, bir şirketin mal veya hizmet satışından elde ettiği toplam tutardır. Kazançtan farklı olarak, hiçbir gider düşülmez.
BNY Mellon Municipal Income, Inc. için 2000 ile 2026 arasındaki gelir geçmişi
Her yılın sonunda gelir
Yıl Gelir Değiştir
2026 (TTM) $9.90M -62.35%
2024 $26.28M 535.35%
2023 $4.14M -19.25%
2022 $5.12M -63.82%
2021 $14.16M 85.73%
2020 $7.62M -60.66%
2019 $19.38M 22,138.44%
2018 $87.13K -93.24%
2017 $1.29M -92.87%
2016 $18.07M 70.72%
2015 $10.59M -61.70%
2014 $27.64M -272.80%
2013 $-15.99M -146.95%
2012 $34.06M 285.83%
2011 $8.83M -52.07%
2010 $18.42M -41.07%
2009 $31.25M 81.29%
2008 $17.24M -1.82%
2007 $17.56M 5.66%
2006 $16.62M 0.42%
2005 $16.55M -0.84%
2004 $16.69M -3.75%
2003 $17.34M -3.51%
2002 $17.97M 1.53%
2001 $17.70M 0.23%
2000 $17.66M 0.00%