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BLACKROCK Municipal Income TRUST V.BFK.P


Primary Symbol: BFK

BlackRock Municipal Income Trust (the Fund) is a diversified closed-end management investment company. The Fund's investment objective is to provide current income exempt from federal income taxes. Under normal market conditions, the Fund invests at least 80% of its managed assets in investments the income from which is exempt from federal income tax (except that the interest may be subject to the alternative minimum tax). The Fund may invest directly in securities or synthetically through the use of derivatives. The Fund's investment policies provide that it invests at least 80% of its total assets in investment grade quality municipal obligations issued by or on behalf of states, territories and possessions of the United States and their political subdivisions, agencies or instrumentalities, each of which pays interest that, in the opinion of bond counsel to the issuer, is excludable from gross income for federal income tax purposes. Its investment adviser is BlackRock Advisors, LLC.


NYSE:BFK - Post by User

Post by Teameeon Apr 12, 2022 5:08pm
96 Views
Post# 34598337

From Nasdaq platform a clear picture of her recent financial

From Nasdaq platform a clear picture of her recent financial

HEXO Corp.HEXO (U.S.: Nasdaq)

  • AT CLOSE 4:00 PM EDT 04/12/22
  • $0.5444 USD
  • -0.013 -2.33% 
  • AFTER HOURS 4:58 PM EDT 04/12/22
  • $0.5317 -0.0127 -2.33% 
  • AFTER HOURS VOL 17,555
  • Volume8,004,259
  • 65 Day Avg Vol7,976,098
  • 1 Day Range0.5307 - 0.5987
  • 52 Week Range0.4603 - 7.55(01/24/22 - 05/28/21)
 
Apr 6Apr 7Apr 8Apr 11Apr 12
$0.45$0.50$0.55$0.60$0.65
  • Open 0.5735
  •  
  • Prior Close 0.5574 (04/11/22)
  • 1 Day
  •  
  • HEXO -2.33% 
  •  
  • DJIA -0.26% 
  •  
  • Russell 2K 0.33% 
  •  
  • Health Care/Life Sciences -0.13%

Earnings & Estimates HEXO Corp.

Qtr. EPS Est. -0.04 Q3 2022 Qtr. Year Ago -0.14 Q3 2021
Ann. EPS Est. -2.53 FY 2022 Ann. Year Ago -0.90 FY 2021
Next Report 06/15/2022 Last Report 03/18/2022
Fiscal Yr Ends July 31 No. of Analysts 2

Per Share Data HEXO Corp.

All values updated annually at fiscal year end

Earnings Per Share -0.90 Sales 0.97
Tangible Book Value 3.87 Operating Profit -0.75
Working Capital 1.24 Long Term Liabilities 0.50
Capital Expenditure 0.25 Capital Expenditure TTM -

Ratios & Margins HEXO Corp.

All values updated annually at fiscal year end

Valuation

P/E Ratio (TTM) -
P/E Ratio (including extraordinary items) -
Price to Sales Ratio 5.09
Price to Book Ratio 1.03
Price to Cash Flow Ratio -
Enterprise Value to EBITDA -3.89
Enterprise Value to Sales 1.85
Total Debt to Enterprise Value 0.77
Total Debt to EBITDA -
EPS (recurring) -0.93
EPS (basic) -0.90
EPS (diluted) -0.90

Efficiency

Revenue/Employee 96,922
Income Per Employee -89,868
Receivables Turnover 2.84
Total Asset Turnover 0.12

Liquidity

Current Ratio 1.38
Quick Ratio 1.08
Cash Ratio 0.96

Profitability

Gross Margin -8.76
Operating Margin -76.71
Pretax Margin -87.79
Net Margin -92.72
Return on Assets -11.45
Return on Equity -17.88
Return on Total Capital -10.13
Return on Invested Capital -16.25

Capital Structure

Total Debt to Total Equity 68.23
Total Debt to Total Capital 40.56
Total Debt to Total Assets 37.98
Interest Coverage -2.96
Long-Term Debt to Equity 10.30
Long-Term Debt to Total Capital 6.12
Long-Term Debt to Assets 0.06
  • Updated IntradayUpdated Daily

Net Income

0
         
0-200M-400M-600M-800M
         
Jan2021Apr2021Jul2021Oct2021Jan2022
  Jan 2022 5-quarter trend
Net Income Growth -
       
       
Sales or Revenue 52.76 M
         
Sales or Revenue Growth -
       
       
EBITDA -46.95 M
         
         

Total Assets

0500M1B1.5B2B
         
Jan2021Apr2021Jul2021Oct2021Jan2022
  Jan 2022 5-quarter trend
Cash & Short-Term Investment 171.98 M
         
Total Debt 397.26 M
         
Total Liabilities 508.11 M
         
Total Shareholder's Equity 467.69 M
         
Book Value Per Share 1.22 -

Net Operating Cash Flow

0
         
0-20M-40M-60M
         
Jan2021Apr2021Jul2021Oct2021Jan2022
  Jan 2022 5-quarter trend
Capital Expenditures +155,000
         
         
Free Cash Flow -35.38 M
         
         
Cash Flow Per Share - -
Free Cash Flow Per Share - -
 

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