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BNY Mellon Strategic Municipals, Inc. (LEO)

Financial Services | Asset Management | New York, United States | NYSE
6.41 USD +0.02 (0.313%) ⇧ (July 13, 2026, 4 p.m. EDT)
After hours: 6.41

Short-term:★★⯪☆☆Long-term:★☆☆☆☆Dividends:★⯪☆☆☆
Hot Take | July 11, 2026, 4:37 a.m. EDT

The most critical issue here is the unsustainable payout ratio of 140%, which indicates the fund is distributing significantly more cash than it generates in earnings, likely eroding its net asset value to maintain the yield. This structural weakness is compounded by a brutal long-term performance history, where the asset has lost nearly 38% of its value over the last nine years, with the most recent annual return being negative. While the current price action shows a slight uptick against the 50-day average, the underlying business fundamentals—characterized by low return on equity and high debt relative to equity—do not support a bullish thesis. The high dividend yield is a trap for income investors seeking safety, as it is not backed by sustainable earnings power.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
MSTL ✓0.011488
AutoARIMA0.012674
AutoTheta0.012892
AutoETS0.012950

Forecast horizon: 45 days | Selected: MSTL

Forecast Reliability
Score 67%
H-stat 1.47
Ljung-Box p 0.000
Jarque-Bera p 0.478
Excess Kurtosis -0.70
Attribute Value
Sector Financial Services
Ex Dividend Date 2026-07-13
Last Dividend Date 2026-06-10
Debt to Equity Ratio 33.136
Revenue per Share 0.484
Market Cap 399,284,384
Trailing P/E 32.05
Beta 0.62
Profit Margins 42.03%
Website https://im.bnymellon.com/us/en/intermediary/products/closed-end-funds.jsp

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.47% 4.71% 4.15% 4.41%
Dividend History
Date Dividend Yield %
2026-06-11 0.030 0.472441
2026-05-13 0.026 0.408163
2026-04-14 0.026 0.406250
2026-03-12 0.026 0.412698
2026-02-12 0.026 0.400616
2026-01-14 0.023 0.357698
2025-12-11 0.023 0.365660
2025-11-14 0.023 0.366826
2025-10-14 0.023 0.365079
2025-09-12 0.023 0.372168
2025-08-13 0.023 0.387205
2025-07-14 0.023 0.393162
2025-06-12 0.023 0.395189
2025-05-14 0.019 0.324232
2025-04-14 0.019 0.332750
2025-03-14 0.019 0.310458
2025-02-14 0.019 0.304487
2025-01-15 0.019 0.309446
2024-12-13 0.019 0.303030
2024-11-15 0.019 0.304000
2024-10-15 0.019 0.296412
2024-09-16 0.019 0.288754
2024-08-14 0.019 0.295490
2024-07-15 0.019 0.306452
2024-06-14 0.019 0.310966
2024-05-13 0.019 0.317726
2024-04-11 0.019 0.324232
2024-03-13 0.019 0.314570
2024-02-13 0.019 0.318258
2024-01-12 0.019 0.317195
2023-12-13 0.019 0.325901
2023-11-14 0.019 0.344828
2023-10-13 0.019 0.357815
2023-09-14 0.019 0.341727
2023-08-09 0.019 0.320946
2023-07-14 0.023 0.378289
2023-06-13 0.023 0.379538
2023-05-11 0.023 0.377049
2023-04-14 0.023 0.361635
2023-03-15 0.023 0.370968
2023-02-13 0.023 0.350610
2023-01-13 0.023 0.364501
2022-12-13 0.023 0.369181
2022-11-14 0.023 0.382695
2022-10-14 0.030 0.496689
2022-09-14 0.030 0.469484
2022-08-11 0.030 0.430416
2022-07-14 0.030 0.443787
2022-06-13 0.030 0.458015
2022-05-12 0.030 0.446429
2022-04-13 0.030 0.428571
2022-03-11 0.030 0.410959
2022-02-11 0.030 0.400000
2022-01-13 0.030 0.365408
2021-12-13 0.030 0.358852
2021-11-12 0.030 0.355030
2021-10-14 0.035 0.402762
2021-09-14 0.035 0.388889
2021-08-12 0.035 0.375940
2021-07-14 0.035 0.389755
2021-06-11 0.035 0.394144
2021-05-13 0.035 0.396825
2021-04-14 0.035 0.404624
2021-03-11 0.035 0.410317
2021-02-11 0.035 0.401837
2021-01-14 0.035 0.418160
2020-12-11 0.035 0.406977
2020-11-13 0.035 0.418660
2020-10-14 0.035 0.425273
2020-09-14 0.035 0.423216
2020-08-13 0.035 0.417163
2020-07-14 0.035 0.433168
2020-06-11 0.035 0.459318
2020-05-13 0.035 0.481431
2020-04-14 0.035 0.462351
2020-03-12 0.035 0.502152
2020-02-13 0.035 0.395480
2020-01-14 0.035 0.404624
2019-12-12 0.035 0.414201
2019-11-14 0.035 0.413223
2019-10-11 0.035 0.411765
2019-09-13 0.035 0.429448
2019-08-13 0.035 0.410317
2019-07-12 0.035 0.419664
2019-06-13 0.035 0.428922
2019-05-13 0.035 0.426309
2019-04-11 0.035 0.437500
2019-03-13 0.035 0.440252
2019-02-13 0.035 0.452196
2019-01-14 0.035 0.467290
2018-12-13 0.035 0.484094
2018-11-15 0.035 0.484094
2018-10-11 0.035 0.492958
2018-09-14 0.035 0.463576
2018-08-13 0.035 0.453368
2018-07-13 0.035 0.456323
2018-06-13 0.035 0.459318
2018-05-10 0.035 0.461741
2018-04-12 0.035 0.456323
2018-03-13 0.035 0.455729
2018-02-08 0.035 0.444727
2018-01-11 0.043 0.491991
2017-12-13 0.043 0.491429
2017-11-13 0.043 0.494253
2017-10-12 0.043 0.485327
2017-09-13 0.043 0.483690
2017-08-09 0.043 0.478842
2017-07-12 0.043 0.476718
2017-06-12 0.043 0.488636
2017-05-09 0.043 0.490868
2017-04-11 0.043 0.493119
2017-03-09 0.043 0.507674
2017-02-21 0.043 0.500000
2017-01-11 0.043 0.503513
2016-12-12 0.043 0.523752
2016-11-14 0.043 0.525031
2016-10-12 0.043 0.480447
2016-09-12 0.043 0.468920
2016-08-09 0.043 0.459402
2016-07-13 0.043 0.465872
2016-06-09 0.043 0.461373
2016-05-11 0.043 0.468920
2016-04-11 0.043 0.474614
2016-03-09 0.043 0.491429
2016-02-10 0.043 0.488636
2016-01-13 0.043 0.502924
2015-12-09 0.043 0.514970
2015-11-12 0.043 0.518697
2015-10-13 0.043 0.519324
2015-09-10 0.043 0.530210
2015-08-11 0.043 0.525672
2015-07-13 0.043 0.544994
2015-06-09 0.043 0.547771
2015-05-11 0.043 0.531520
2015-04-13 0.043 0.519324
2015-03-10 0.043 0.517449
2015-02-10 0.043 0.507075
2015-01-12 0.043 0.518072
2014-12-12 0.043 0.526961
2014-11-13 0.049 0.603448
2014-11-12 0.049 0.596107
2014-10-09 0.049 0.584726
2014-09-10 0.049 0.583333
2014-08-11 0.049 0.584726
2014-07-10 0.049 0.573770
2014-06-11 0.049 0.590361
2014-05-09 0.049 0.590361
2014-04-09 0.049 0.605686
2014-03-12 0.049 0.604938
2014-02-11 0.049 0.613267
2014-01-13 0.049 0.626598
2013-12-10 0.049 0.665761
2013-11-12 0.049 0.643890
2013-10-15 0.049 0.639687
2013-09-11 0.049 0.658602
2013-08-12 0.049 0.630631
2013-07-10 0.049 0.596107
2013-06-11 0.049 0.568445
2013-05-13 0.049 0.535519
2013-04-10 0.049 0.530303
2013-03-11 0.049 0.517423
2013-02-11 0.049 0.502564
2013-01-10 0.049 0.490491
2012-12-12 0.049 0.496957
2012-11-13 0.049 0.496454
2012-10-10 0.049 0.493454
2012-09-12 0.049 0.498474
2012-08-09 0.049 0.509886
2012-07-11 0.049 0.525188
2012-06-11 0.049 0.517423
2012-05-10 0.049 0.536105
2012-04-12 0.049 0.542636
2012-03-12 0.049 0.528587
2012-02-09 0.049 0.536105
2012-01-11 0.049 0.546265
2011-12-12 0.049 0.564516
2011-11-09 0.049 0.572430
2011-10-14 0.049 0.577830
2011-09-14 0.049 0.598291
2011-08-10 0.049 0.611735
2011-07-14 0.049 0.603448
2011-06-13 0.049 0.608696
2011-05-11 0.049 0.613267
2011-04-13 0.049 0.638853
2011-03-10 0.049 0.637191
2011-02-14 0.049 0.648148
2011-01-12 0.049 0.665761
2010-12-08 0.049 0.632258
2010-11-12 0.049 0.585424
2010-10-13 0.049 0.548712
2010-09-13 0.049 0.535519
2010-08-10 0.049 0.550562
2010-07-12 0.049 0.579196
2010-06-09 0.049 0.572430
2010-05-12 0.049 0.574443
2010-04-13 0.049 0.571762
2010-03-09 0.049 0.576471
2010-02-10 0.049 0.579882
2010-01-13 0.049 0.588235
2009-12-01 0.049 0.611735
2009-11-12 0.042 0.551905
2009-10-14 0.042 0.559254
2009-09-10 0.042 0.533672
2009-08-11 0.042 0.569878
2009-07-13 0.042 0.600000
2009-06-09 0.042 0.576923
2009-05-11 0.042 0.593220
2009-04-13 0.042 0.633484
2009-03-10 0.042 0.686275
2009-02-11 0.042 0.609579
2009-01-13 0.042 0.650155
2008-12-10 0.042 0.845070
2008-11-14 0.042 0.668790
2008-10-09 0.042 0.774908
2008-09-10 0.042 0.526976
2008-08-11 0.042 0.528302
2008-07-10 0.042 0.520446
2008-06-10 0.042 0.485549
2008-05-09 0.042 0.479452
2008-04-09 0.042 0.494700
2008-03-11 0.042 0.487239
2008-02-05 0.042 0.469799
2008-01-10 0.042 0.486674
2007-12-11 0.042 0.489510
2007-11-08 0.042 0.506024
2007-10-09 0.042 0.491803
2007-09-12 0.042 0.473506
2007-08-09 0.042 0.480549
2007-07-11 0.042 0.452586
2007-06-11 0.042 0.457516
2007-05-11 0.042 0.437500
2007-04-12 0.042 0.440252
2007-03-13 0.042 0.432990
2007-02-09 0.042 0.446809
2007-01-11 0.042 0.447284
2006-12-12 0.042 0.447761
2006-11-13 0.042 0.450644
2006-10-12 0.042 0.457516
2006-09-13 0.042 0.455531
2006-08-11 0.042 0.469274
2006-07-12 0.042 0.480549
2006-06-09 0.042 0.480549
2006-05-10 0.042 0.484988
2006-04-10 0.042 0.482204
2006-03-10 0.042 0.491228
2006-02-07 0.042 0.481100
2006-01-12 0.046 0.522134
2005-12-12 0.046 0.554217
2005-11-10 0.046 0.536756
2005-10-12 0.046 0.524515
2005-09-12 0.046 0.506051
2005-08-10 0.046 0.522727
2005-07-12 0.046 0.520362
2005-06-10 0.046 0.531178
2005-05-10 0.046 0.547619
2005-04-11 0.046 0.556901
2005-03-09 0.046 0.545024
2005-02-04 0.046 0.537383
2005-01-11 0.051 0.588235
2004-12-10 0.051 0.606421
2004-11-09 0.051 0.593023
2004-10-08 0.051 0.573034
2004-09-09 0.051 0.576271
2004-08-11 0.051 0.600000
2004-07-12 0.051 0.614458
2004-06-10 0.051 0.618932
2004-05-12 0.051 0.639900
2004-04-13 0.051 0.563536
2004-03-10 0.051 0.534031
2004-02-10 0.051 0.530146
2004-01-12 0.060 0.600601
2003-12-09 0.060 0.610376
2003-11-10 0.060 0.625652
2003-10-10 0.060 0.635593
2003-09-11 0.060 0.649351
2003-08-12 0.060 0.652174
2003-07-11 0.060 0.634921
2003-06-11 0.060 0.585938
2003-05-12 0.060 0.609137
2003-04-10 0.060 0.624350
2003-03-12 0.060 0.628931
2003-02-11 0.060 0.637620
2003-01-10 0.060 0.635593
2002-12-11 0.060 0.639659
2002-11-08 0.060 0.632911
2002-10-09 0.060 0.597610
2002-09-11 0.060 0.596421
2002-08-12 0.060 0.600601
2002-07-11 0.060 0.606061
2002-06-11 0.060 0.610376
2002-05-10 0.060 0.598205
2002-04-09 0.060 0.614125
2002-03-12 0.051 0.539683
2002-02-11 0.051 0.530146
2002-01-10 0.051 0.531250
2001-12-11 0.051 0.561056
2001-11-08 0.051 0.517766
2001-10-10 0.051 0.525773
2001-08-10 0.051 0.515672
2001-07-12 0.046 0.495156
2001-06-12 0.046 0.497836
2001-05-10 0.046 0.495156
2001-04-10 0.046 0.504940
2001-03-12 0.046 0.491979
2001-02-09 0.046 0.490929
2001-01-11 0.046 0.518310
2000-12-12 0.046 0.570543
2000-11-10 0.046 0.549254
2000-10-11 0.046 0.533333
2000-09-12 0.046 0.537226
2000-08-09 0.046 0.545185
2000-07-12 0.046 0.584127
2000-06-12 0.046 0.593548
2000-05-10 0.046 0.603279
2000-04-11 0.046 0.575000
2000-03-10 0.046 0.608264
2000-02-08 0.046 0.588800
2000-01-11 0.046 0.608264
1999-12-10 0.061 0.800000
1999-11-09 0.046 0.570543
1999-10-12 0.046 0.557576
1999-09-13 0.046 0.561832
1999-08-11 0.046 0.541176
1999-07-13 0.046 0.504110
1999-06-10 0.046 0.497297
1999-05-04 0.046 0.477922
1999-04-13 0.046 0.474839
1999-03-10 0.046 0.500680
1999-01-28 0.046 0.500680
1999-01-12 0.051 0.510000
1998-12-08 0.051 0.491566
1998-11-10 0.051 0.485714
1998-10-09 0.051 0.500613
1998-09-11 0.051 0.510000
1998-08-12 0.051 0.500613
1998-07-13 0.051 0.491566
1998-06-10 0.051 0.491566
1998-05-11 0.051 0.516456
1998-04-13 0.051 0.510000
1998-03-11 0.051 0.503704
1998-02-11 0.051 0.494545
1998-01-09 0.057 0.518182
1997-12-09 0.057 0.530233
1997-11-07 0.057 0.539645
1997-10-08 0.057 0.536471
1997-09-10 0.057 0.539645
1997-08-11 0.057 0.539645
1997-07-11 0.057 0.539645
1997-06-11 0.057 0.562963
1997-05-12 0.057 0.562963
1997-03-11 0.057 0.566460
1997-02-10 0.057 0.562963
1997-01-10 0.057 0.577215
1996-12-10 0.056 0.567089
1996-11-08 0.056 0.563522
1996-10-09 0.056 0.560000
1996-09-11 0.056 0.553086
1996-08-12 0.056 0.546341
1996-07-11 0.056 0.567089
1996-06-12 0.056 0.574359
1996-05-10 0.056 0.574359
1996-04-09 0.056 0.567089
1996-03-11 0.056 0.581818
1996-02-12 0.056 0.560000
1996-01-10 0.056 0.574359
1995-12-11 0.056 0.589474
1995-11-10 0.056 0.589474
1995-10-10 0.056 0.597333
1995-09-12 0.056 0.581818
1995-08-10 0.056 0.574359
1995-07-12 0.056 0.581818
1995-06-09 0.056 0.567089
1995-05-08 0.061 0.606211
1995-04-07 0.061 0.595122
1995-03-08 0.061 0.617722
1995-02-07 0.061 0.610000
1995-01-09 0.061 0.625641
1994-12-07 0.061 0.650667
1994-11-04 0.061 0.659459
1994-10-06 0.061 0.650667
1994-09-08 0.061 0.610000
1994-08-05 0.061 0.595122
1994-07-08 0.061 0.587952
1994-06-08 0.061 0.580952
1994-05-09 0.061 0.610000
1994-04-07 0.061 0.602469
1994-03-08 0.060 0.578313
1994-02-07 0.060 0.533333
1994-01-06 0.060 0.539326
1993-12-09 0.060 0.545455
1993-11-05 0.061 0.542222
1993-10-06 0.060 0.545455
1993-09-07 0.060 0.533333
1993-08-06 0.060 0.545455
1993-07-08 0.060 0.558140
1993-06-07 0.060 0.539326
1993-05-10 0.060 0.564706
1993-04-08 0.060 0.558140
1993-03-08 0.060 0.539326
1993-02-05 0.060 0.545455
1993-01-11 0.060 0.558140
1992-12-08 0.061 0.567442
1992-11-05 0.060 0.592593
1992-10-05 0.060 0.571429
1992-09-09 0.065 0.590909
1992-08-07 0.065 0.571429
1992-07-08 0.065 0.590909
1992-06-05 0.065 0.604651
1992-05-08 0.065 0.597701
1992-04-08 0.065 0.597701
1992-03-09 0.065 0.597701
1992-02-10 0.065 0.597701
1992-01-08 0.065 0.604651
1991-12-04 0.065 0.597701
1991-11-05 0.065 0.619048
1991-10-07 0.065 0.611765
1991-09-04 0.065 0.604651
1991-08-07 0.065 0.611765
1991-07-03 0.065 0.604651
1991-06-06 0.065 0.604651
1991-05-03 0.065 0.604651
1991-04-04 0.065 0.611765
1991-03-06 0.065 0.611765
1991-02-01 0.065 0.611765
1991-01-03 0.065 0.641975
1990-12-06 0.172 1.638095
1990-11-05 0.065 0.634146
1990-10-05 0.065 0.650000
1990-09-06 0.065 0.641975
1990-08-09 0.065 0.619048
1990-07-03 0.065 0.619048
1990-06-05 0.065 0.634146
1990-05-01 0.065 0.626506
1990-04-03 0.065 0.611765
1990-03-07 0.065 0.611765
1990-02-01 0.065 0.604651
1990-01-05 0.065 0.604651
1989-12-27 0.065 0.611765
1989-12-05 0.090 0.837209
1989-10-27 0.065 0.611765
1989-08-31 0.065 0.597701
1989-08-03 0.065 0.584270
1989-07-06 0.065 0.604651
1989-06-01 0.065 0.604651
1989-05-01 0.065 0.626506
1989-04-04 0.065 0.634146
1989-03-06 0.065 0.634146
1989-02-06 0.065 0.619048
1989-01-09 0.065 0.626506
1988-12-05 0.065 0.634146
1988-11-04 0.065 0.634146
1988-10-07 0.065 0.650000
1988-09-06 0.065 0.650000
1988-08-08 0.065 0.650000
1988-07-01 0.065 0.658228
1988-06-06 0.065 0.650000
1988-05-09 0.065 0.658228
1988-04-04 0.065 0.658228
1988-03-07 0.065 0.650000
1988-02-08 0.065 0.658228
1988-01-04 0.062 0.688889
1987-12-01 0.061 0.687324
1987-11-03 0.061 0.697143
Additional Data
dividendRate 0.36
dividendYield 5.63
exDividendDate 2026-07-14
trailingAnnualDividendRate 0.274
trailingAnnualDividendYield 0.0428795
lastDividendValue 0.03
lastDividendDate 2026-06-11
dividendDate 2019-02-28

Info Dump

Attribute Value
52 Week Change 0.09230769
Address1 240 Greenwich Street
All Time High 11.5
All Time Low 3.85
Ask 6.4
Ask Size 1,900
Average Daily Volume10 Day 305,590
Average Daily Volume3 Month 222,359
Average Volume 222,359
Average Volume10Days 305,590
Beta 0.623
Bid 6.39
Bid Size 2,300
Book Value 6.736
City New York
Country United States
Crypto Tradeable 0
Currency USD
Current Price 6.41
Current Ratio 0.119
Custom Price Alert Confidence HIGH
Date Short Interest 1,782,777,600
Day High 6.4201
Day Low 6.355
Debt To Equity 33.136
Display Name BNY Mellon Strategic Municipals
Dividend Date 1,551,312,000
Dividend Rate 0.36
Dividend Yield 5.63
Earnings Timestamp End 1,713,263,400
Earnings Timestamp Start 1,713,263,400
Ebitda Margins 0.0
Enterprise To Revenue 17.87
Enterprise Value 538,242,816
Eps Trailing Twelve Months 0.2
Esg Populated 0
Ex Dividend Date 1,783,987,200
Exchange NYQ
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 6.3838
Fifty Day Average Change 0.026199818
Fifty Day Average Change Percent 0.00410411
Fifty Two Week Change Percent 9.230768
Fifty Two Week High 6.55
Fifty Two Week High Change -0.14000034
Fifty Two Week High Change Percent -0.021374097
Fifty Two Week Low 5.71
Fifty Two Week Low Change 0.6999998
Fifty Two Week Low Change Percent 0.12259191
Fifty Two Week Range 5.71 - 6.55
Financial Currency USD
First Trade Date Milliseconds 559,402,200,000
Five Year Avg Dividend Yield 4.57
Free Cashflow 7,062,078
Full Exchange Name NYSE
Gmt Off Set Milliseconds -14,400,000
Gross Margins 1.0
Gross Profits 30,120,212
Has Pre Post Market Data 1
Held Percent Insiders 0.0
Held Percent Institutions 0.557
Implied Shares Outstanding 62,290,854
Industry Asset Management
Industry Disp Asset Management
Industry Key asset-management
Language en-US
Last Dividend Date 1,781,136,000
Last Dividend Value 0.03
Last Fiscal Year End 1,759,190,400
Long Business Summary BNY Mellon Strategic Municipals, Inc. is a closed ended fixed income mutual fund launched and managed by BNY Mellon Investment Adviser, Inc. It invests in the fixed income markets of the United States. The fund primarily invests in investment grade municipal bonds, the income from which is exempt from federal income tax. It employs fundamental analysis to create its portfolio. The fund was formerly known as Dreyfus Strategic Municipals, Inc. BNY Mellon Strategic Municipals, Inc. was formed on September 23, 1987 and is domiciled in the United States.
Long Name BNY Mellon Strategic Municipals, Inc.
Market us_market
Market Cap 399,284,384
Market State POSTPOST
Max Age 86,400
Message Board Id finmb_267430
Most Recent Quarter 1,774,915,200
Net Income To Common 12,658,239
Next Fiscal Year End 1,790,726,400
Non Diluted Market Cap 398,038,557
Open 6.39
Operating Cashflow 25,979,476
Operating Margins 0.87414
Payout Ratio 1.405
Phone 212 922 6273
Post Market Change 0.0
Post Market Change Percent 0.0
Post Market Price 6.41
Post Market Time 1,783,976,700
Previous Close 6.39
Price Hint 2
Price To Book 0.9516033
Price To Sales Trailing12 Months 13.25636
Profit Margins 0.42026
Quick Ratio 0.119
Quote Source Name Delayed Quote
Quote Type EQUITY
Recommendation Key none
Region US
Regular Market Change 0.02
Regular Market Change Percent 0.312989
Regular Market Day High 6.4201
Regular Market Day Low 6.355
Regular Market Day Range 6.355 - 6.4201
Regular Market Open 6.39
Regular Market Previous Close 6.39
Regular Market Price 6.41
Regular Market Time 1,783,972,802
Regular Market Volume 328,715
Return On Assets 0.025209999
Return On Equity 0.03001
Revenue Growth 0.01
Revenue Per Share 0.484
Sand P52 Week Change 0.20847368
Sector Financial Services
Sector Disp Financial Services
Sector Key financial-services
Shares Outstanding 62,290,854
Shares Percent Shares Out 0.0015
Shares Short 90,320
Shares Short Previous Month Date 1,780,012,800
Shares Short Prior Month 89,617
Short Name Dreyfus Strategic Municipals, I
Short Percent Of Float 0.0016
Short Ratio 0.4
Source Interval 15
State NY
Symbol LEO
Total Cash 86,568
Total Cash Per Share 0.001
Total Debt 139,044,992
Total Revenue 30,120,212
Tradeable 0
Trailing Annual Dividend Rate 0.274
Trailing Annual Dividend Yield 0.0428795
Trailing Eps 0.2
Trailing P E 32.05
Trailing Peg Ratio None
Triggerable 1
Two Hundred Day Average 6.34485
Two Hundred Day Average Change 0.065149784
Two Hundred Day Average Change Percent 0.010268136
Type Disp Equity
Volume 328,715
Website https://im.bnymellon.com/us/en/intermediary/products/closed-end-funds.jsp
Zip 10,286