Customize Consent Preferences

We use cookies to help you navigate efficiently and perform certain functions. You will find detailed information about all cookies under each consent category below.

The cookies that are categorized as "Necessary" are stored on your browser as they are essential for enabling the basic functionalities of the site. ... 

Always Active

Necessary cookies are required to enable the basic features of this site, such as providing secure log-in or adjusting your consent preferences. These cookies do not store any personally identifiable data.

Functional cookies help perform certain functionalities like sharing the content of the website on social media platforms, collecting feedback, and other third-party features.

Analytical cookies are used to understand how visitors interact with the website. These cookies help provide information on metrics such as the number of visitors, bounce rate, traffic source, etc.

Performance cookies are used to understand and analyze the key performance indexes of the website which helps in delivering a better user experience for the visitors.

No cookies to display.

Advertisement cookies are used to provide visitors with customized advertisements based on the pages you visited previously and to analyze the effectiveness of the ad campaigns.

    Get Diamond plan for FREE

    logo

    BNY Mellon Intermediate Municipal Bond Fund, Inc. (DITEX)

    Price:

    12.82 USD

    ( - 0 USD)

    Your position:

    0 USD

    ACTION PANEL
    CREATE A NOTE
    ABOUT
    Symbol
    DITEX
    Name
    BNY Mellon Intermediate Municipal Bond Fund, Inc.
    Industry
    Asset Management - Bonds
    Sector
    Financial Services
    Price
    12.820
    Market Cap
    615.692M
    Enterprise value
    787.319M
    Currency
    USD
    Ceo
    Full Time Employees
    Website
    Ipo Date
    1983-08-11
    City
    New York
    Address
    240 Greenwich Street

    Check the

    KEY TAKEAWAYS

    ASK OUR AI ABOUT THE COMPANY (REGISTER FOR EARLY ACCESS)
    Descriptive alt text

    (REGISTER FOR EARLY ACCESS) CHOOSE A PROMPT ABOVE TO ASK OUR AI ABOUT THE SPECIFIC INFORMATION

    SIMILAR COMPANIES STI SCORE

    Similar STI Score

    John Hancock Bond Fund Class A

    VALUE SCORE:

    6

    Symbol
    JHNBX
    Market Cap
    27.067B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services

    2nd position

    Vanguard Emerging Markets Government Bond Index Fund

    VALUE SCORE:

    12

    Symbol
    VWOB
    Market Cap
    5.865B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services

    The best

    Vanguard Long-Term Corporate Bond Index Fund

    VALUE SCORE:

    12

    Symbol
    VCLT
    Market Cap
    8.896B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services
    FUNDAMENTALS
    P/E
    -421.744
    P/S
    31.433
    P/B
    2.102
    Debt/Equity
    0.628
    EV/FCF
    14.862
    Price to operating cash flow
    -1.000
    Price to free cash flow
    -1.000
    EV/sales
    40.833
    Earnings yield
    -0.002
    Debt/assets
    0.383
    FUNDAMENTALS
    Net debt/ebidta
    -10.194
    Interest coverage
    0
    Research And Developement To Revenue
    0
    Intangile to total assets
    0
    Capex to operating cash flow
    0
    Capex to revenue
    0
    Capex to depreciation
    0
    Return on tangible assets
    -0.003
    Debt to market cap
    0.299
    Piotroski Score
    4.000
    FUNDAMENTALS
    PEG
    -4.217
    P/CF
    11.441
    P/FCF
    11.441
    RoA %
    -0.304
    RoIC %
    3.480
    Gross Profit Margin %
    100.000
    Quick Ratio
    0.601
    Current Ratio
    0.601
    Net Profit Margin %
    -7.453
    Net-Net
    -3.831
    FUNDAMENTALS PER SHARE
    FCF per share
    1.121
    Revenue per share
    0.408
    Net income per share
    -0.030
    Operating cash flow per share
    1.121
    Free cash flow per share
    1.121
    Cash per share
    0
    Book value per share
    6.100
    Tangible book value per share
    6.100
    Shareholders equity per share
    6.100
    Interest debt per share
    3.834
    TECHNICAL
    52 weeks high
    12.870
    52 weeks low
    12.160
    Current trading session High
    12.820
    Current trading session Low
    12.820
    DIVIDEND
    Dividend yield
    2.78%
    Payout ratio
    -803%
    Years of div. Increase
    1.000
    Years of div.
    43.000
    Q-shift
    Dividend per share
    0.356
    SIMILAR COMPANIES
    logo

    Country
    US
    Sector
    Financial Services
    Industry
    Asset Management
    Dividend yield
    0.035555556%
    Payout Ratio
    26.17542%
    P/E
    0
    DESCRIPTION

    The investment seeks the maximum amount of current income exempt from federal income tax as is consistent with the preservation of capital. The fund invests at least 80% of its assets in municipal bonds rated, at the time of purchase, A or higher or the unrated equivalent as determined by the adviser. The fund may invest up to 20% of its assets in municipal bonds rated below A, including bonds rated below investment grade ("high yield" or "junk" bonds) or the unrated equivalent as determined by the adviser. The dollar-weighted average maturity of the fund's portfolio generally is between three and ten years.

    NEWS