Days
Hours
Minutes
Seconds
-40%
on all subscriptions*
Last days
Enjoy this offer
* See conditions under "Our services"

Valuation: MFS CHARTER INC

Market Cap 251M 217M 199M 187M 351M 23.76B 355M 2.36B 921M 11.63B 943M 923M 40.26B P/E Ratio 2024
8.8x
P/E Ratio 2025 15.1x
Enterprise Value 346M 298M 275M 258M 484M 32.72B 489M 3.25B 1.27B 16.03B 1.3B 1.27B 55.45B EV / Sales 2024
15.9x
EV / Sales 2025 16.1x
Free-Float
-
Yield 2024
8.66%
Yield 2025 8.48%
1 day+0.33%
1 week+1.52%
Current month+1.01%
1 month+1.52%
3 months-0.58%
6 months-4.29%
Current year-3.83%
1 week 5.88
Extreme 5.88
6.06
1 month 5.85
Extreme 5.85
6.06
Current year 5.84
Extreme 5.84
6.34
1 year 5.84
Extreme 5.84
6.58
3 years 5.57
Extreme 5.57
6.7
5 years 5.57
Extreme 5.57
8.87
10 years 5.49
Extreme 5.49
9.09
Manager TitleAgeSince
Chief Executive Officer 59 01/01/2021
President 56 -
Compliance Officer 49 -
Director TitleAgeSince
Director/Board Member 67 26/10/2009
Director/Board Member 71 26/10/2009
Chairman 70 01/01/2009

Financials

2024 2025
Net sales 22.61M 19.49M 17.93M 16.82M 31.6M 2.14B 31.92M 212M 82.82M 1.05B 84.84M 83.05M 3.62B 22.34M 19.26M 17.72M 16.63M 31.23M 2.11B 31.55M 210M 81.85M 1.03B 83.85M 82.07M 3.58B
Net income 29.94M 25.81M 23.75M 22.28M 41.85M 2.83B 42.27M 281M 110M 1.39B 112M 110M 4.79B 17.56M 15.13M 13.93M 13.07M 24.54M 1.66B 24.79M 165M 64.32M 813M 65.89M 64.49M 2.81B
Net Debt 94.97M 81.86M 75.34M 70.67M 133M 8.98B 134M 891M 348M 4.4B 356M 349M 15.21B 94.87M 81.77M 75.26M 70.6M 133M 8.97B 134M 890M 348M 4.39B 356M 348M 15.19B
Logo MFS CHARTER INC
MFS Charter Income Trust (the Fund) is a diversified closed-end management investment company. The Fund’s investment objective is to seek high current income, but also consider capital appreciation. The Fund primarily invests in debt instruments. It invests in corporate bonds of the United States and/or foreign issuers, United States government securities, foreign government securities, mortgage-backed securities and other securitized instruments of the United States and/or foreign issuers, and/or debt instruments of issuers located in emerging market countries. It invests in a range of fixed income sectors, such as high-yield corporates, emerging markets bonds, investment grade corporates, Non-United States government bonds, commercial mortgage-backed securities, mortgage-backed securities, collateralized loan obligations, municipal bonds, residential mortgage-backed securities, and asset-backed securities. The Fund's investment advisor is Massachusetts Financial Services Company.
Employees
-
Sector
-
Date Price Change Volume
15/06/26 6.030 $ +0.33% 72,435
12/06/26 6.010 $ +1.01% 157,851
11/06/26 5.950 $ +0.34% 45,752
10/06/26 5.930 $ +0.51% 99,822
09/06/26 5.900 $ -0.67% 48,049
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
6.030
Average target price
-
- 40% : Our Best Subscriber-Only Tools to Spot Tomorrow’s Top Investments!
d
:
:
SEIZE THE OFFER!