Eaton Vance Municipal Income 2028 Term Trust
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 Income 2028 Term Trust's balance sheet done over the years? Its assets were worth $239,256,456 last year, which is less than in the previous period. 14% of Eaton Vance Municipal Income 2028 Term Trust’s total assets is currently financed by debt. Its liabilities reached the amount of $32,866,945, which means an decrease by -69% compared compared to last year.

Debt to Assets

Eaton Vance Municipal Income 2028 Term Trust (NYSE:ETX): Debt to assets
2016 365992480 138.91M 37.96%
2018 353347131 131.87M 37.32%
2019 351574606 130.13M 37.01%
2020 367439335 130.22M 35.44%
2021 353187949 126.90M 35.93%
2022 313960886 104.61M 33.32%
2024 239256456 32.86M 13.74%

ETX Balance Sheet (2015 – 2023)

2023 2021 2020 2019 2018 2017 2015
Assets
Current assets:
Cash and cash equivalents
4.77M11.25M11.25M1.33M671.37K201.50K2.33M
Short term investments
0000000
Net receivables
1.87M2.80M2.70M2.72M2.71M2.73M1.80M
Inventory
1.87M000000
Other current assets
-1.87M000000
Total current assets
6.65M2.80M13.95M4.06M3.39M2.93M4.13M
Non-current assets:
Property, Plant and Equipment
0000000
Goodwill
0000000
Intangible assets
0000000
Long term investments
232.57M311.15M339.23M363.37M348.18M350.41M359.14M
Other non-current assets
-232.57M-311.15M-339.23M-363.37M-348.18M-350.41M-359.14M
Total non-current assets
232.57M311.15M339.23M363.37M348.18M350.41M359.14M
Total assets
239.25M313.96M353.18M367.43M351.57M353.34M365.99M
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
0000000
Short term debt
0000000
Total current liabilities
02.50M3.06M557.41K953.64K889.93K6.97M
Non-current liabilities:
Long term debt
0101.44M123.56M129.35M129.17M130.98M131.93M
Deferred tax
0000000
Other non-current liabilities
0-98.94M-120.50M-129.35M2-130.98M0
Total non-current liabilities
02.50M3.06M129.35M129.17M130.98M131.93M
Total liabilities
32.86M104.61M126.90M130.22M130.13M131.87M138.91M