NYSE : FMN

Federated Hermes Premier Municipal Income Fund

$11.4 USD

$0.03 (0.26%)

Volume
10.5K
Average Volume
20.15K
Market Capitalization
$89.13M
P/E Ratio
87.69
Dividend Yield
4.74%
Price Target
Year High
$11.76
Year Low
$10.40
Day High
Day Low
Payout Ratio
$4.24
Current Ratio
$0.09
Institutional Ownership Summary
Institutional Ownership %

3.28%

Investors Holding

4

change: -38 | last: 42
Increased Positions

2

change: -19 | last: 21
Reduced Positions

1

change: -8 | last: 9
New Positions

1

change: -5 | last: 6
Sold Positions

39

change: 30 | last: 9
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

2.94M

FMN Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-11-30 $11.11 7.82M $86.87M $60986 $67.35M $154.15M
2024-11-30 $11.33 11.5M $130.27M $34237 $67.35M $197.59M
2023-11-30 $10.40 11.15M $115.91M $84666 $88.59M $204.42M
2022-11-30 $10.98 11.47M $125.9M $82397 $88.58M $214.4M
2021-11-30 $15.23 11.36M $173.08M $68964 $113.6M $286.62M
2020-11-30 $14.45 11.5M $166.13M $40451 $113.56M $279.64M
2019-11-30 $14.04 11.5M $161.41M $13809 $113.6M $275M
2018-11-30 $12.40 12.59M $156.12M $127.45K $81.7M $237.69M
2017-11-30 $14.11 11.5M $162.22M $28192 $81.7M $243.89M
2016-11-30 $14.07 6.19M $87.09M $61076 $35.52M $122.56M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-11-30 $11.11 7.82M $86.87M $60986 $67.35M $154.15M
2025-05-30 $10.59 7.82M $82.8M $61258 $67.35M $150.09M
2024-11-30 $11.33 7.82M $88.59M $34237 $67.35M $155.9M
2024-05-30 $11.03 11.5M $126.82M $96569 $88.59M $215.32M
2023-11-30 $10.40 11.5M $119.58M $84666 $88.59M $208.09M
2023-05-30 $10.42 11.5M $119.81M $33849 $88.58M $208.36M
2022-11-30 $10.98 11.5M $126.25M $82397 $88.58M $214.75M
2022-05-30 $12.02 11.5M $138.21M $142.11K $113.6M $251.66M
2021-11-30 $15.23 11.5M $175.12M $68964 $113.6M $288.65M
2021-05-30 $15.83 11.5M $181.99M $45808 $113.58M $295.53M
2020-11-30 $14.45 11.5M $166.13M $40451 $113.56M $279.64M
2020-05-30 $13.45 11.5M $154.63M $66196 $113.53M $268.1M