MFS Municipal Income Trust
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
6.2216.2412.2632.6775.629.82-163.7211.90-2.87156.96-42.249.82
Price/Sales ratio
12.3012.0912.8531.5270.699.74-200.1511.70-2.8910.9314.0614.06
Price/Book Value ratio
0.860.860.910.940.830.940.880.940.870.840.900.83
Price/Cash Flow ratio
16.0116.2718.2818.0816.1720.9138.3722.4318.1120.5517.9916.17
Price/Free Cash Flow ratio
16.0116.2718.2818.0816.1720.9138.3722.4318.1120.5517.9916.17
Price/Earnings Growth ratio
-0.01-0.260.30-0.52-1.220.011.55-0.000.00-1.540.46-1.22
Dividend Yield
6.25%6.02%5.54%5.52%6.18%4.82%5.01%4.38%5.51%4.86%4.67%4.82%
Profitability Indicator Ratios
Gross Profit Margin
100%78.77%77.34%66.17%14.31%90.20%314.93%88.26%103.88%85.78%84.74%14.31%
Operating Profit Margin
84.36%84.37%84.05%96.47%93.48%99.11%122.24%98.36%97.49%84.27%-69.94%99.11%
Pretax Profit Margin
197.61%74.51%104.88%96.47%93.48%99.11%122.24%98.36%100.51%6.96%-33.28%99.11%
Net Profit Margin
197.57%74.47%104.83%96.47%93.48%99.11%122.24%98.36%100.51%6.96%-33.28%99.11%
Effective Tax Rate
57.30%-13.23%19.86%126.40%-4.98%48.28%-781.47%48.99%-18.23%N/A72.09%-4.98%
Return on Assets
9.89%3.90%5.33%2.05%0.78%6.86%-0.38%5.70%-20.04%0.34%-1.43%6.86%
Return On Equity
13.95%5.34%7.45%2.89%1.11%9.58%-0.54%7.95%-30.40%0.53%-2.25%9.58%
Return on Capital Employed
4.43%4.50%4.37%2.12%0.79%6.88%-0.39%5.78%-19.57%6.48%-4.48%6.88%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A0.04N/A
Quick Ratio
0.381.070.860.470.846.234.441.372.210.040.046.23
Cash ratio
N/A0.04N/A0.000.01N/AN/AN/A0.000.000.00N/A
Days of Sales Outstanding
127.10117.32124.46355.8039.1896.54-1.76K119.99-32.15124.74129.6639.18
Days of Inventory outstanding
N/A0.00N/A239.22-783.40N/AN/AN/A131.09N/AN/A-783.40
Operating Cycle
N/A117.32124.46595.03-744.2196.54-1.76K119.9998.94124.74129.66-744.21
Days of Payables Outstanding
N/A37.09149.03478.16203.71158.00185.08741.76307.06913.25717.44203.71
Cash Conversion Cycle
N/A80.23-24.56116.86-947.93-61.46-1.95K-621.77-208.12-788.51-587.78-947.93
Debt Ratios
Debt Ratio
0.280.260.270.260.270.260.270.260.330.330.310.27
Debt Equity Ratio
0.390.360.380.370.390.370.380.370.500.520.460.39
Long-term Debt to Capitalization
0.250.250.260.270.280.270.280.27N/AN/AN/A0.27
Total Debt to Capitalization
0.280.260.270.270.280.270.280.270.330.340.310.28
Interest Coverage Ratio
N/A-26.062.61-2.18-1.260.93N/AN/AN/AN/A-4.180.93
Cash Flow to Debt Ratio
0.130.140.120.130.130.120.050.110.090.070.100.12
Company Equity Multiplier
1.401.361.391.401.411.391.391.391.511.551.481.41
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.760.740.701.744.370.46-5.210.52-0.150.530.780.78
Free Cash Flow / Operating Cash Flow Ratio
111111111111
Cash Flow Coverage Ratio
0.130.140.120.130.130.120.050.110.090.070.100.12
Short Term Coverage Ratio
1.022.632.41N/AN/AN/AN/A50.45K0.090.070.10N/A
Dividend Payout Ratio
38.91%97.85%68.00%180.64%467.52%47.39%-820.45%52.22%-15.88%763.46%-215.57%47.39%