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Ticker
MCR

Price
6.34
Stock movement up
+0.02 (0.32%)
Company name
MFS Charter Income Trust
Exchange
(NYSE
,
Currency
USD
)
Sector
Financial Services >
Asset Management
Market cap
264.30M
Ent value
367.67M
Price/Sales
13.22
Price/Book
0.93
Div yield
8.57%
Div growth
-5.27%
Growth years
-
FCF payout
-
Trailing P/E
9.83
Forward P/E
30.19
PEG
-
EPS growth
-
1 year return
-0.16%
3 year return
-
5 year return
-
10 year return
-
Last updated: 2025-10-30

iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

DIVIDENDS

Dividend yield - 5y

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Dividend yield data
Dividend per share0.54
Dividend yield8.57%
Payout frequencyMonthly
Maximum yield9.20%
Average yield8.61%
Minimum yield8.25%
Discount to avg yield-0.45%
Upside potential-0.44%
Yield as % of max yield93.09%

Yield distribution (inverse percentile) - 5y

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Yield distribution data
Dividend yield8.57%
Current yield distribution55.64%
Yield at 100% (Min)8.25%
Yield at 90%8.38%
Yield at 80%8.44%
Yield at 50% (Median)8.59%
Yield at 20%8.78%
Yield at 10%8.83%
Yield at 0% (Max)9.20%

Dividend per share

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Dividend per share data
Years of growth-
CCC status-
Dividend per share0.54
Payout frequencyMonthly
Ex-div date14 Oct 2025
EPS (TTM)-
EPS (1y forward)0.21
EPS growth (5y)-
EPS growth (5y forward)-

Dividend growth

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Dividend growth data
MCRS&P500
DGR MR0.71%-13.74%
DGR TTM0.48%6.60%
DGR 3 years-8.12%5.24%
DGR 5 years-5.27%5.40%
DGR 10 years-1.20%7.07%
DGR 15 years-0.22%6.12%
Time since last change announced40 days
EPS growth (5y)-
EPS growth (5y forward)-

Payout ratio

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Payout ratio data
EPS coverageFCF coverage
TTM--
Average--
Forward258.69%-

iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

VALUATION

Valuation Ratios

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Valuation Ratios data
Trailing P/E9.83
Price to OCF8.38
Price to FCF9.36
Price to EBITDA37.27
EV to EBITDA51.84

Valuation (Sales/Book Value)

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Valuation (Sales/Book Value) data
Price to Sales13.22
Price to Book0.93
EV to Sales18.39

iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

FINANCIALS

Per share

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Per share data
Current share count41.69M
EPS (TTM)-
FCF per share (TTM)-

Income statement

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Income statement data
Revenue (TTM)-
Gross profit (TTM)-
Operating income (TTM)-
Net income (TTM)-
EPS (TTM)-
EPS (1y forward)0.21

Margins

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Margins data
Gross margin (TTM)-
Operating margin (TTM)-
Profit margin (TTM)-

Balance Sheet

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Balance Sheet data
Cash17.32K
Net receivables7.84M
Total current assets7.86M
Goodwill0.00
Intangible assets0.00
Property, plant and equipment0.00
Total assets376.85M
Accounts payable2.46M
Short/Current long term debt95.00M
Total current liabilities2.46M
Total liabilities99.38M
Shareholder's equity0.00
Net tangible assets0.00

Cash flow

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Cash flow data
Operating cash flow (TTM)-
Capital expenditures (TTM)-
Free cash flow (TTM)-
Dividends paid (TTM)-

Financial returns

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Financial returns data
Return on Equity-
Return on Assets-
Return on Invested Capital-
Cash Return on Invested Capital-

iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

STOCK INFORMATION

Stock chart

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Stock price data
Open6.34
Daily high6.35
Daily low6.31
Daily Volume71K
All-time high11.38
1y analyst estimate3.67
Beta0.71
EPS (TTM)-
Dividend per share0.54
Ex-div date14 Oct 2025
Next earnings date-

Downside potential

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Downside potential data
MCRS&P500
Current price drop from All-time high-44.26%-1.10%
Highest price drop-48.22%-19.00%
Date of highest drop7 Apr 20258 Apr 2025
Avg drop from high-44.47%-2.76%
Avg time to new high-5 days
Max time to new high266 days89 days

iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

COMPANY DETAILS
MCR (MFS Charter Income Trust) company logo
Marketcap
264.30M
Marketcap category
Small-cap
Description
MFS Charter Income Trust is a closed ended fixed income mutual fund launched and managed by Massachusetts Financial Services Company. The fund invests in the fixed income markets across the globe. It invests primarily in corporate bonds of U.S. or foreign issuers, U.S. Government securities, foreign government securities, mortgage-backed, and other asset-backed securities of U.S. or foreign issuers, or debt instruments of issuers located in emerging market countries. The fund employs a combination of fundamental and quantitative analysis with bottom-up stock picking approach to create its portfolio. It seeks to benchmarks the performance of its portfolio against a combination of the Barclays U.S. High-Yield Corporate Bond 2% Issuer Capped Index, MFS Charter Income Trust Blended Index, Barclays U.S. Credit Bond Index, Barclays U.S. Government/Mortgage Bond Index, Citigroup World Government Bond Non-Dollar Hedged Index, and JPMorgan Emerging Markets Bond Index Global. MFS Charter Income Trust was formed on July 20, 1989 and is domiciled in the United States.
Employees
0
Investor relations
-
SEC filings
CEO
Country
USA
City
Stock type
-
CCC status
-
Dividend Frequency
Monthly
EVENTS AND PRESENTATIONS
EventsPresentations
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iO Charts is a Seeking Alpha partner

iO Charts is a Seeking Alpha partner

UNDERSTAND THE BUSINESS
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