MFS INTERMEDIATE INCOME TRUST - SH BEN INT (MIN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SH BEN INT
Shares, excl. options Q2 2024
55.3M
Holdings value Q2 2024
$147M
Value change Q2 2024
+$3.38M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
89
Number of buys Q2 2024
35
Number of sells Q2 2024
-33
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 55.3M $147M +$3.38M $2.66 89
2024 Q1 54M $144M -$2.97M $2.66 95
2023 Q4 53.7M $144M +$186K $2.68 99
2023 Q3 54.4M $146M +$1.2M $2.68 91
2023 Q2 53.9M $148M +$2.16M $2.74 92
2023 Q1 53.1M $147M +$3.32M $2.77 94
2022 Q4 51.9M $143M +$6.14M $2.76 88
2022 Q3 49.6M $139M +$3.97M $2.81 75
2022 Q2 48.2M $143M +$17.6M $2.97 75
2022 Q1 45.2M $142M +$9.34M $3.15 75
2021 Q4 42.3M $152M -$11.2M $3.59 72
2021 Q3 40.2M $145M -$1.25M $3.62 75
2021 Q2 40.8M $153M -$6.37M $3.74 74
2021 Q1 42.3M $157M -$9.57M $3.72 77
2020 Q4 43.8M $167M +$4.35M $3.81 85
2020 Q3 43.8M $163M -$6.2M $3.73 86
2020 Q2 49.5M $183M -$2.49M $3.70 76
2020 Q1 45.7M $165M -$1.82M $3.60 74
2019 Q4 46.5M $177M -$4.81M $3.80 74
2019 Q3 46.5M $178M +$315K $3.82 69
2019 Q2 47.3M $183M -$70.1K $3.86 66
2019 Q1 47.3M $180M +$9.07M $3.80 75
2018 Q4 44.4M $163M +$8.91M $3.67 73
2018 Q3 41.8M $157M +$80.7K $3.76 68
2018 Q2 42.8M $165M +$1.61M $3.86 80
2018 Q1 41.3M $162M +$6.32M $3.93 72
2017 Q4 39.8M $165M +$5M $4.15 71
2017 Q3 38.4M $164M -$9.51M $4.28 67
2017 Q2 41.8M $180M +$2.78M $4.32 73
2017 Q1 41.1M $177M +$16.5M $4.31 71
2016 Q4 37.3M $165M +$15.7M $4.44 72
2016 Q3 35.5M $842K -$1.21M $0.00 69
2016 Q2 36.4M $169M -$6.44M $4.64 73
2016 Q1 37.7M $174M +$6.79M $4.61 73
2015 Q4 36.2M $165M +$19.9M $4.57 74
2015 Q3 31.3M $143M +$18.4M $4.55 67
2015 Q2 27.2M $126M +$9.86M $4.62 65
2015 Q1 24.7M $120M -$4.68M $4.87 69
2014 Q4 25.8M $123M +$30.3M $4.78 82
2014 Q3 22.5M $113M +$2.02M $5.01 73
2014 Q2 21.2M $112M +$2.31M $5.28 73
2014 Q1 20.8M $108M +$7.64M $5.18 80