NYSE : MYN

BlackRock MuniYield New York Quality Fund, Inc.

$10 USD

-$0.06 (-0.6%)

Volume
125.25K
Average Volume
124.55K
Market Capitalization
$383.13M
P/E Ratio
62.50
Dividend Yield
6.14%
Price Target
Year High
$10.26
Year Low
$9.12
Day High
Day Low
Payout Ratio
$3.86
Current Ratio
$36.75
Institutional Ownership Summary
Institutional Ownership %

2.91%

Investors Holding

8

change: -84 | last: 92
Increased Positions

2

change: -83 | last: 85
Reduced Positions

2

change: 2 | last: 0
New Positions

1

change: -43 | last: 44
Sold Positions

85

change: 79 | last: 6
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

11.33M

MYN Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-07-31 $9.20 38.31M $352.48M $158.57K $269.88M $622.21M
2024-07-31 $10.58 38.31M $405.35M $7.59M $260.46M $658.23M
2023-07-31 $10.08 38.72M $390.32M $11.47M $76138 $378.93M
2022-07-31 $10.94 39.59M $433.08M $570.88K $305.64M $738.15M
2021-07-31 $14.56 39.59M $576.38M $25885 $350.99M $927.34M
2020-07-31 $13.26 39.59M $524.92M -$2.48M $358.47M $885.87M
2019-07-31 $13.19 39.59M $522.15M $33344 $351.84M $873.96M
2018-07-31 $11.89 37.83M $449.77M -$ $351.94K $450.13M
2017-07-31 $13.27 38.81M $514.97M -$ $342.71K $515.31M
2016-07-31 $14.40 65.02M $936.24M $1720 $360.04M $1.3B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-01-31 $10.10 38.31M $386.96M -$ $292.51M $679.47M
2025-07-31 $9.20 38.31M $352.48M $158.57K $269.88M $622.21M
2025-01-31 $10.10 38.31M $386.96M $10.23M $260.49M $637.22M
2024-07-31 $10.58 38.31M $405.35M $7.59M $260.46M $658.23M
2024-01-31 $10.23 38.31M $391.94M $6.63M $260.44M $645.76M
2023-07-31 $10.08 77.44M $780.64M $11.47M $76138 $769.25M
2023-01-31 $10.52 78.3M $823.7M $89555 $24.79M $848.4M
2022-07-31 $10.94 79.17M $866.15M $570.88K $305.64M $1.17B
2022-01-31 $13.17 79.17M $1.04B -$18M $319.23M $1.38B
2021-07-31 $14.56 39.59M $576.38M $25885 $350.99M $927.34M
2021-01-31 $13.47 39.59M $533.23M $45906 $357.31M $890.49M
2020-07-31 $13.26 39.59M $524.92M -$2.48M $358.47M $885.87M