Eaton Vance Municipal Bond Fund
Balance Sheet

Last updated:

The balance sheet is a financial statement presenting the value of assets, liabilities and equity of a company. How has Eaton Vance Municipal Bond Fund's balance sheet done over the years? Its assets were worth $991,762,758 last year, which is less than in the previous period. 34% of Eaton Vance Municipal Bond Fund’s total assets is currently financed by debt. Its liabilities reached the amount of $334,831,467, which means an decrease by -15% compared compared to last year.

Debt to Assets

Eaton Vance Municipal Bond Fund (NYSE:EIM): Debt to assets
2015 1560429165 614.94M 39.41%
2016 1609309938 622.29M 38.67%
2017 1543671786 607.01M 39.32%
2018 1503667664 621.67M 41.34%
2019 1940301586 826.06M 42.57%
2020 1789277631 778.04M 43.48%
2021 1693236675 689.41M 40.72%
2022 1397147067 616.67M 44.14%
2023 1145593195 395.67M 34.54%
2024 991762758 334.83M 33.76%

EIM Balance Sheet (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Assets
Current assets:
Cash and cash equivalents
02.25M01.74M1.26M0180.99K0928K0
Short term investments
0000000000
Net receivables
11.29M44.36M26.21M41.83M39.43M36.85M44.62M19.69M19.61M18.98M
Inventory
0000000000
Other current assets
-11.29M10.25M-26.21M-43.57M-40.70M-36.85M01.37M011.45M
Total current assets
046.61M26.21M43.57M40.70M36.85M44.80M19.69M20.53M29.51M
Non-current assets:
Property, Plant and Equipment
0000000000
Goodwill
0000000000
Intangible assets
0000000000
Long term investments
977.90M1.09B1.37B1.64B1.74B1.90B1.45B1.52B1.58B1.52B
Other non-current assets
-977.90M0-1.37B-1.64B-1.74B-1.90B-1.45B-1.52B-1.58B-1.52B
Total non-current assets
01.09B1.37B1.64B1.74B1.90B1.45B1.52B1.58B1.52B
Total assets
991.76M1.14B1.39B1.69B1.78B1.94B1.50B1.54B1.60B1.56B
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
00000167.70K0-2.09M00
Short term debt
000004.68M0000
Total current liabilities
043.07M3.66M1.24M1.81M4.85M22.16M6.18M5.85M1.12M
Non-current liabilities:
Long term debt
0356.64M598.26M667.92M755.78M799.38M599.50M600.83M616.44M0
Deferred tax
0000000000
Other non-current liabilities
0-356.64M-594.60M-667.92M-755.78M-799.38M3-600.83M00
Total non-current liabilities
0356.64M3.66M667.92M755.78M799.38M599.50M600.83M616.44M1.12M
Total liabilities
334.83M395.67M616.67M689.41M778.04M826.06M621.67M607.01M622.29M614.94M