Invesco Municipal Opportunity 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 Invesco Municipal Opportunity Trust's balance sheet done over the years? Its assets were worth $1,181,245,993 last year, which is less than in the previous period. 37% of Invesco Municipal Opportunity Trust’s total assets is currently financed by debt. Its liabilities reached the amount of $437,728,857, which means an decrease by -25% compared compared to last year.

Debt to Assets

Invesco Municipal Opportunity Trust (NYSE:VMO): Debt to assets
2015 1613215393 652.97M 40.48%
2016 1596570551 641.00M 40.15%
2018 1522729383 635.06M 41.71%
2019 1475048511 606.61M 41.13%
2020 1570576470 631.01M 40.18%
2021 1500925224 593.23M 39.52%
2022 1449609305 586.21M 40.44%
2024 1181245993 437.72M 37.06%

VMO Balance Sheet (2014 – 2023)

2023 2021 2020 2019 2018 2017 2015 2014
Assets
Current assets:
Cash and cash equivalents
02.75M3.96M00000
Short term investments
0-327.93M-359.32M-407.45M-355.06M000
Net receivables
12.22M18.77M17.20M19.58M19.43M19.35M20.91M19.33M
Inventory
0-30427.04M374.49M000
Other current assets
033-19.58M-19.43M000
Total current assets
12.22M21.52M20.02M19.58M19.43M19.35M20.91M19.33M
Non-current assets:
Property, Plant and Equipment
00000000
Goodwill
00000000
Intangible assets
00000000
Long term investments
1.16B1.42B1.47B1.55B1.45B1.50B1.57B1.59B
Other non-current assets
-1.16B-327.93M-359.32M-407.45M-355.06M-1.50B17.16K62.94K
Total non-current assets
1.25B1.10B1.12B1.14B1.10B1.50B1.57B1.59B
Total assets
1.18B1.44B1.50B1.57B1.47B1.52B1.59B1.61B
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
000-432.34K-2.46M-806.95K00
Short term debt
000432.34K2.46M806.95K1.24M6.77M
Total current liabilities
10.42M12.84M2.45M9.47M372.29M3.43M5.26M8.50M
Non-current liabilities:
Long term debt
427.22M205.71M223.10M253.87M234.24M264.04M635.65M644.38M
Deferred tax
00000000
Other non-current liabilities
76.45K367.57M367.58M367.58M-234.24M-264.04M88.80K82.89K
Total non-current liabilities
427.30M573.28M590.69M621.45M234.24M631.63M635.73M644.46M
Total liabilities
437.72M586.21M593.23M631.01M606.61M635.06M641.00M652.97M