NYSE : PMM

Putnam Managed Municipal Income Trust

$6.6 USD

$0.07 (1.07%)

Volume
19.02K
Average Volume
97.78K
Market Capitalization
$282.7M
P/E Ratio
12.45
Dividend Yield
4.92%
Price Target
Year High
$6.60
Year Low
$5.77
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$0.80
Institutional Ownership Summary
Institutional Ownership %

3.09%

Investors Holding

10

change: -81 | last: 91
Increased Positions

2

change: -31 | last: 33
Reduced Positions

1

change: -17 | last: 18
New Positions

0

change: -9 | last: 9
Sold Positions

81

change: 73 | last: 8
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

8.65M

PMM Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-10-31 $6.10 42.83M $261.28M $194.8K $16.08M $277.17M
2024-10-31 $6.28 46.42M $291.51M -$ $12.38M $303.89M
2023-10-31 $5.14 47.1M $242.08M -$ $21.14M $263.22M
2022-10-31 $5.75 49.54M $284.84M -$114.75K $36.19M $321.15M
2021-10-31 $8.33 48.94M $407.71M -$59218 $40.72M $448.48M
2020-10-31 $7.64 39.57M $302.34M -$10656 $31.43M $333.78M
2019-10-31 $7.97 47.19M $376.12M $2.71M $19.84M $393.24M
2018-10-31 $6.71 50.41M $338.24M $465.09K $34.16M $371.93M
2017-10-31 $7.43 47.82M $355.3M $1.26M $35.86M $389.9M
2016-10-31 $7.48 53.84M $402.69M $13.97M $13.61M $402.32M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-04-30 $6.16 42.83M $263.85M -$ $18.7M $282.55M
2025-10-31 $6.10 42.92M $261.8M $194.8K $16.08M $277.68M
2025-04-30 $5.94 42.99M $255.33M $791.14K $12.3M $266.84M
2024-10-31 $6.28 51.49M $323.37M -$ $12.38M $335.75M
2024-04-30 $5.85 45.74M $267.58M -$ $12.3M $279.88M
2023-10-31 $5.14 48.32M $248.35M -$ $21.14M $269.5M
2023-04-30 $5.97 48.32M $288.46M -$250.01K $24.69M $313.4M
2022-10-31 $5.75 48.74M $280.25M -$114.75K $36.19M $316.55M
2022-04-30 $6.44 48.77M $314.11M $824K $49.84M $363.13M
2021-10-31 $8.33 48.94M $407.71M -$59218 $40.57M $448.33M
2021-04-30 $8.26 48.89M $403.83M $7401 $31.4M $435.21M
2020-10-31 $7.64 48.88M $373.44M -$10656 $31.37M $404.83M