Invesco Municipal Opportunity Trust Key Executives

This section highlights Invesco Municipal Opportunity Trust's key executives, including their titles and compensation details.

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Invesco Municipal Opportunity Trust Earnings

This section highlights Invesco Municipal Opportunity Trust's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date:
Time:
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: August 31, 2023
EPS: $0.07
Est. EPS: $-
Revenue: $13.71M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS

Invesco Municipal Opportunity Trust (VMO)

Invesco Municipal Opportunity Trust is a closed ended fixed income mutual fund launched by Invesco Ltd. The fund is co-managed by Invesco Advisers, Inc., INVESCO Asset Management (Japan) Limited, INVESCO Asset Management Deutschland GmbH, INVESCO Asset Management Limited, Invesco Canada Ltd., Invesco Hong Kong Limited, and INVESCO Senior Secured Management, Inc. It invests in the fixed income markets of the United States. The fund primarily invests in investment grade municipal securities which include municipal bonds, municipal notes, municipal commercial paper, and lease obligations. It employs fundamental analysis with bottom-up security selection approach to create its portfolio. The fund was formerly known as Invesco Van Kampen Municipal Opportunity Trust. Invesco Municipal Opportunity Trust was formed on April 24, 1992 and is domiciled in the United States.

Financial Services Asset Management

$9.63

Stock Price

$649.45M

Market Cap

-

Employees

Atlanta, GA

Location

Financial Statements

Access annual & quarterly financial statements for Invesco Municipal Opportunity Trust, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown February 29, 2024 February 28, 2023 February 28, 2022 February 28, 2021 February 29, 2020
Revenue $54.19M $-111.69M $-1.46M $9.62M $111.93M
Cost of Revenue $- $-166.03M $8.49M $-49.85M $23.28M
Gross Profit $54.19M $54.34M $-9.95M $59.47M $88.65M
Gross Profit Ratio 100.00% -48.65% 680.90% 618.39% 79.20%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $6.84M $374.19K $254.84K $507.52K $412.10K
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $6.84M $374.19K $254.84K $507.52K $412.10K
Other Expenses $- $-94.35M $68.24K $-27.23M $493.05K
Operating Expenses $6.84M $424.59K $323.08K $566.66K $493.05K
Cost and Expenses $6.84M $152.65M $50.64M $42.59M $64.40M
Interest Income $54.16M $54.33M $54.54M $59.47M $61.60M
Interest Expense $19.59M $13.81M $5.68M $7.83M $14.56M
Depreciation and Amortization $-47.35M $-46.94M $-45.96M $-50.67M $-52.86M
EBITDA $- $-84.45M $-98.31M $-33.79M $58.57M
EBITDA Ratio 0.00% 142.41% 3266.19% -432.79% 52.33%
Operating Income $47.35M $46.94M $45.96M $50.67M $52.86M
Operating Income Ratio 87.38% -42.03% -3144.09% 526.90% 47.23%
Total Other Income Expenses Net $9.83M $-219.86M $8.49M $-41.62M $58.57M
Income Before Tax $57.18M $-112.12M $-1.78M $9.05M $111.43M
Income Before Tax Ratio 105.52% 100.38% 122.10% 94.11% 99.56%
Income Tax Expense $- $-159.06M $-47.75M $-41.62M $58.57M
Net Income $57.18M $-112.12M $-1.78M $9.05M $111.43M
Net Income Ratio 105.52% 100.38% 122.10% 94.11% 99.56%
EPS $0.85 $-1.66 $-0.03 $0.13 $1.65
EPS Diluted $0.85 $-1.66 $-0.03 $0.13 $1.65
Weighted Average Shares Outstanding 67.44M 67.44M 67.44M 67.41M 67.41M
Weighted Average Shares Outstanding Diluted 67.44M 67.44M 67.44M 67.41M 67.41M
SEC Filing Source Source Source Source Source


Breakdown August 31, 2024 February 29, 2024 August 29, 2023 February 28, 2023 August 31, 2022 February 28, 2022 August 31, 2021 February 28, 2021 August 28, 2020 February 29, 2020 August 31, 2019 February 28, 2019 August 31, 2018 February 28, 2018 August 31, 2017 February 28, 2017 August 31, 2016 February 29, 2016 August 31, 2015 February 28, 2015
Revenue $25.70M $26.77M $27.41M $27.29M $27.05M $27.07M $27.46M $33.19M $-23.58M $31.44M $31.51M $31.27M $33.12M $34.71M $34.48M $34.29M $36.27M $35.32M $36.40M $35.32M
Cost of Revenue $3.61M $6.52M $-6.52M $- $- $- $- $4.33M $-54.18M $4.26M $4.32M $21.97M $23.92M $20.22M $19.46M $18.58M $17.84M $- $- $-
Gross Profit $22.09M $20.25M $33.93M $27.29M $27.05M $27.07M $27.46M $28.87M $30.61M $27.18M $27.19M $9.29M $9.21M $14.49M $15.02M $15.71M $18.43M $35.32M $36.40M $35.32M
Gross Profit Ratio 85.94% 75.60% 123.80% 100.00% 100.00% 100.00% 100.00% 86.97% 618.39% 86.45% 86.29% 29.72% 27.79% 41.76% 43.56% 45.81% 50.81% 100.00% 100.00% 100.00%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $3.76M $3.36M $3.48M $3.50M $3.90M $4.23M $4.35M $2.18M $-1.67M $2.14M $2.23M $4.28M $4.52M $4.48M $4.66M $4.55M $4.48M $4.21M $4.24M $4.40M
Selling and Marketing Expenses $2.21M $- $- $- $- $- $- $- $- $- $- $48.32K $134.58K $27.00K $- $60.00K $- $- $- $-
Selling General and Administrative Expenses $5.98M $3.36M $3.48M $3.50M $3.90M $4.23M $4.35M $2.18M $-1.67M $2.14M $2.23M $4.28M $4.52M $4.48M $4.66M $4.55M $4.48M $4.21M $4.24M $4.40M
Other Expenses $- $6 $-6 $- $- $- $- $1 $-27.23M $1 $52.81M $- $- $- $- $- $- $- $- $-
Operating Expenses $5.98M $3.36M $3.48M $29.50M $123.14M $69.87M $19.23M $752.01K $-185.35K $7.83M $-52.81M $13.50M $11.07M $40.18M $13.87M $77.11M $20.58M $20.16M $33.57M $10.53M
Cost and Expenses $-2.36M $3.36M $3.48M $29.50M $123.14M $69.87M $19.23M $30.45M $12.14M $46.00M $-40.71M $13.50M $11.07M $40.18M $13.87M $77.11M $20.58M $20.16M $33.57M $10.53M
Interest Income $- $- $54.16M $8.62M $5.19M $2.99M $2.69M $1.27M $58.20M $- $- $- $- $- $- $- $- $2.99M $2.85M $3.13M
Interest Expense $- $19.54M $51.14K $- $- $- $- $- $7.83M $19.94M $53.19M $- $- $- $37.06M $- $50.12M $- $- $-
Depreciation and Amortization $- $-23.41M $-23.94M $-23.79M $-23.15M $-22.85M $-23.12M $27.91M $-78.59M $39.22M $-13.40M $-26.86M $-28.53M $-30.06M $-29.82M $-29.62M $-31.78M $-31.11M $-32.16M $-30.92M
EBITDA $28.06M $23.71M $-23.71M $- $- $- $- $30.45M $-64.25M $39.22M $79.99M $-4.79M $562.79K $-21.87M $13.38M $-95.20M $- $- $- $-
EBITDA Ratio 109.20% 88.56% 0.00% -253.78% -920.08% -507.05% 152.10% 5.01% -432.79% 20.93% 253.90% -50.62% -42.22% -118.58% 38.79% -225.19% 57.49% 60.55% -88.43% 33.44%
Operating Income $28.06M $23.41M $23.94M $23.79M $23.15M $22.85M $23.12M $27.91M $22.76M $39.22M $79.99M $26.86M $28.53M $30.06M $29.82M $29.62M $31.78M $31.11M $32.16M $30.92M
Operating Income Ratio 109.20% 87.45% 87.38% 174.36% 171.17% 168.79% 168.34% 84.10% 526.90% 124.77% 253.90% 85.92% 86.14% 86.60% 86.49% 86.37% 87.64% 88.07% 88.36% 87.53%
Total Other Income Expenses Net $-10.15M $23.71M $-13.88M $-34.63M $-124.43M $-68.63M $20.89M $- $-41.62M $26.19M $- $-15.83M $-13.98M $-41.16M $13.38M $-124.82M $73.48M $21.39M $-32.19M $11.81M
Income Before Tax $17.91M $47.12M $10.06M $-10.84M $-101.28M $-45.79M $44.00M $0 $9.05M $1 $72.21M $11.04M $14.55M $-11.10M $43.20M $-47.60M $52.63M $52.50M $-26.45K $42.73M
Income Before Tax Ratio 69.70% 176.01% 105.52% -79.42% -748.91% -338.27% 320.44% 0.00% 94.11% 0.00% 229.20% 35.30% 43.92% -31.98% 125.29% -138.82% 145.13% 148.62% -0.07% 120.97%
Income Tax Expense $- $1 $-1 $-34.63M $-124.43M $-68.63M $20.89M $0 $-41.62M $1 $13.40M $-15.83M $-13.98M $-41.16M $13.38M $-77.22M $20.85M $21.39M $-32.19M $11.81M
Net Income $17.91M $47.12M $10.06M $-10.84M $-101.28M $-45.79M $44.00M $67.41M $-58.36M $67.41M $72.21M $11.04M $14.55M $-11.10M $43.20M $-47.60M $52.63M $52.50M $-26.45K $42.73M
Net Income Ratio 69.70% 176.01% 105.52% -79.42% -748.91% -338.27% 320.44% 203.10% 94.11% 214.44% 229.20% 35.30% 43.92% -31.98% 125.29% -138.82% 145.13% 148.62% -0.07% 120.97%
EPS $0.27 $0.70 $0.15 $-0.16 $-1.50 $-0.68 $0.66 $1.00 $-0.87 $1.00 $1.07 $0.16 $0.22 $-0.16 $0.64 $-0.70 $0.78 $0.78 $0.00 $0.64
EPS Diluted $0.27 $0.70 $0.15 $-0.16 $-1.50 $-0.68 $0.66 $1.00 $-0.87 $1.00 $1.07 $0.16 $0.22 $-0.16 $0.64 $-0.70 $0.78 $0.78 $0.00 $0.64
Weighted Average Shares Outstanding 67.44M 67.44M 67.44M 134.88M 134.88M 134.88M 134.83M 67.41M 67.41M 67.41M 67.41M 67.42M 67.42M 67.41M 67.41M 67.41M 67.39M 67.39M 67.48M 67.39M
Weighted Average Shares Outstanding Diluted 67.44M 67.44M 67.44M 134.88M 134.88M 134.88M 134.83M 67.41M 67.41M 67.41M 67.41M 67.41M 67.41M 67.41M 67.41M 67.41M 67.39M 67.39M 67.39M 67.39M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown February 29, 2024 February 28, 2023 February 28, 2022 February 28, 2021 February 29, 2020
Cash and Cash Equivalents $- $21.93M $2.75M $3.97M $-
Short Term Investments $- $-159.90M $-327.93M $-359.32M $-407.46M
Cash and Short Term Investments $- $21.93M $2.75M $3.97M $-407.46M
Net Receivables $12.22M $21.43M $18.78M $16.06M $19.59M
Inventory $- $- $-0 $1 $427.05M
Other Current Assets $- $- $- $1 $-
Total Current Assets $12.22M $43.36M $21.53M $20.03M $19.59M
Property Plant Equipment Net $- $- $- $- $-
Goodwill $- $- $- $- $-
Intangible Assets $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $-
Long Term Investments $1.17B $1.17B $1.43B $1.48B $1.55B
Tax Assets $- $- $- $- $-
Other Non-Current Assets $-1.17B $-159.90M $-327.93M $-359.32M $-407.46M
Total Non-Current Assets $1.26B $1.01B $1.10B $1.12B $1.14B
Other Assets $-89.04M $159.90M $327.93M $360.47M $407.46M
Total Assets $1.18B $1.21B $1.45B $1.50B $1.57B
Account Payables $8.61M $18.65M $12.19M $1.60M $7.72M
Short Term Debt $- $- $- $- $432.35K
Tax Payables $- $- $- $- $-
Deferred Revenue $- $- $- $- $-432.35K
Other Current Liabilities $1.81M $-18.65M $-12.19M $-1.60M $1.32M
Total Current Liabilities $10.43M $20.16M $12.85M $2.45M $9.47M
Long Term Debt $427.23M $- $- $- $253.87M
Deferred Revenue Non-Current $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $-
Other Non-Current Liabilities $76.46K $- $- $- $-253.87M
Total Non-Current Liabilities $427.30M $474.67M $573.28M $590.69M $621.45M
Other Liabilities $- $81.78K $89.26K $90.02K $87.88K
Total Liabilities $437.73M $494.91M $586.22M $593.23M $631.01M
Preferred Stock $- $- $- $- $-
Common Stock $847.18M $847.95M $850.68M $850.13M $849.87M
Retained Earnings $-103.67M $-132.94M $12.71M $57.57M $89.69M
Accumulated Other Comprehensive Income Loss $0 $0 $0 $-0 $0
Other Total Stockholders Equity $- $- $- $- $-0
Total Stockholders Equity $743.52M $715.01M $863.39M $907.69M $939.56M
Total Equity $743.52M $715.01M $863.39M $907.69M $939.56M
Total Liabilities and Stockholders Equity $1.18B $1.21B $1.45B $1.50B $1.57B
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $1.18B $1.21B $1.45B $1.50B $1.57B
Total Investments $1.17B $1.01B $1.10B $1.12B $1.14B
Total Debt $427.23M $107.08M $205.71M $223.10M $253.87M
Net Debt $427.23M $85.16M $202.96M $219.14M $253.87M


Balance Sheet Charts

Breakdown August 31, 2024 February 29, 2024 August 31, 2023 February 28, 2023 August 31, 2022 February 28, 2022 August 31, 2021 February 28, 2021 August 31, 2020 February 29, 2020 August 31, 2019 February 28, 2019 August 31, 2018 February 28, 2018 August 31, 2017 February 28, 2017 August 31, 2016 February 29, 2016 August 31, 2015 February 28, 2015
Cash and Cash Equivalents $- $- $6.11M $21.93M $- $2.75M $- $3.97M $- $- $- $- $12.72K $- $- $- $5.13M $- $- $-
Short Term Investments $- $- $-31.52K $-159.90M $-241.95M $-327.93M $-360.99M $- $- $- $- $- $2 $- $- $- $- $- $- $-
Cash and Short Term Investments $- $- $6.11M $21.93M $-241.95M $2.75M $-360.99M $3.97M $- $- $- $- $12.72K $- $- $- $5.13M $- $- $-
Net Receivables $12.50M $12.22M $34.11M $21.43M $16.34M $18.78M $16.41M $17.21M $19.89M $19.59M $18.24M $19.43M $19.12M $19.36M $20.28M $23.90M $22.60M $20.92M $23.42M $19.33M
Inventory $- $- $-0 $- $258.29M $-0 $377.39M $1 $- $- $- $- $-0 $- $- $- $1 $- $- $-
Other Current Assets $-12.50M $- $- $- $- $- $- $1 $- $- $- $- $- $- $- $- $160.33K $- $45.38K $-
Total Current Assets $- $12.22M $40.22M $43.36M $16.34M $21.53M $16.41M $21.18M $19.89M $19.59M $18.24M $19.43M $19.14M $19.36M $20.28M $23.90M $27.89M $20.92M $23.47M $19.33M
Property Plant Equipment Net $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Goodwill $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Intangible Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Long Term Investments $- $1.17B $1.14B $1.17B $1.28B $1.43B $1.52B $1.48B $1.50B $1.55B $1.50B $1.46B $1.49B $1.50B $1.53B $1.09B $1.33B $1.11B $1.56B $1.59B
Tax Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Non-Current Assets $- $35.07K $-31.52K $-159.90M $-241.95M $-327.93M $-360.99M $-1.48B $-1.50B $-1.55B $-1.50B $-1.46B $-1.49B $-1.50B $-1.53B $433.31M $273.39M $469.47M $58.97K $62.94K
Total Non-Current Assets $- $1.17B $1.14B $1.01B $1.04B $1.10B $1.16B $1.48B $1.50B $1.55B $1.50B $1.46B $1.49B $1.50B $1.53B $1.52B $1.60B $1.58B $1.56B $1.59B
Other Assets $1.16B $- $31.52K $159.90M $241.95M $327.93M $360.99M $- $- $158 $23.35K $4.32K $26.02K $18.34K $37.00K $- $- $- $- $-
Total Assets $1.16B $1.18B $1.18B $1.21B $1.30B $1.45B $1.53B $1.50B $1.52B $1.57B $1.52B $1.48B $1.51B $1.52B $1.55B $1.55B $1.63B $1.60B $1.58B $1.61B
Account Payables $- $8.34M $26.55M $18.65M $1.31M $12.19M $12.15M $1.98M $2.05M $7.72M $6.30M $2.09M $7.59M $957.17K $4.86M $655.60K $6.06M $3.51M $2.83M $1.18M
Short Term Debt $8.15M $- $- $- $- $- $4.92M $- $4.50M $432.35K $- $- $- $806.96K $821.39K $5.36M $- $1.24M $4.22M $6.78M
Tax Payables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Revenue $- $-1.35M $- $- $-9.36M $- $-4.92M $- $-2.45M $-432.35K $-679.40K $-370.06M $- $-806.96K $-821.39K $- $- $- $- $-
Other Current Liabilities $-8.15M $-8.34M $-26.55M $-18.65M $19.88M $-12.19M $329.32K $-1.98M $-6.56M $1.32M $-6.30M $370.20M $-7.59M $1.58M $1.60M $748.93K $908.60K $505.05K $508.96K $549.22K
Total Current Liabilities $- $10.43M $28.17M $20.16M $21.19M $12.85M $17.40M $1.98M $2.05M $9.56M $7.31M $4.79M $7.80M $3.43M $7.37M $6.77M $6.97M $5.26M $7.56M $8.50M
Long Term Debt $397.95M $427.23M $- $- $531.66M $- $219.51M $- $246.04M $253.87M $221.05M $234.24M $- $264.05M $255.96M $636.67M $640.95M $635.65M $638.75M $644.39M
Deferred Revenue Non-Current $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Non-Current Liabilities $-397.95M $-427.23M $- $- $-531.66M $- $-219.51M $- $-246.04M $-253.87M $-221.05M $-234.24M $- $-264.05M $-255.96M $82.52K $82.61K $88.80K $82.72K $82.89K
Total Non-Current Liabilities $- $427.30M $443.68M $474.67M $531.66M $573.28M $587.08M $223.10M $246.04M $621.45M $588.63M $601.83M $625.86M $631.64M $623.56M $636.75M $641.03M $635.74M $638.83M $644.47M
Other Liabilities $414.68M $- $74.35K $81.78K $88.78K $89.26K $89.57K $368.14M $372.56M $4 $-3 $-2 $- $3 $-3 $- $- $- $- $-
Total Liabilities $414.68M $437.73M $471.92M $494.91M $552.94M $586.22M $604.57M $593.23M $620.66M $631.01M $595.94M $606.62M $633.66M $635.07M $630.93M $643.52M $648.00M $641.00M $646.39M $652.97M
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $847.18M $847.18M $847.95M $847.95M $850.68M $850.68M $850.13M $850.13M $849.87M $849.87M $851.41M $851.41M $857.25M $857.25M $861.56M $861.56M $911.09M $911.09M $974.30M $974.30M
Retained Earnings $-106.19M $-103.67M $-137.49M $-132.94M $-108.16M $12.71M $79.87M $57.57M $51.21M $89.69M $69.00M $17.02M $797.90K $2.18M $1.06M $42.29M $67.47M $44.48M $-42.06M $-14.06M
Accumulated Other Comprehensive Income Loss $- $0 $0 $0 $-0 $0 $-0 $-0 $-0 $0 $0 $- $61.46M $71.74M $-0 $0 $0 $0 $0 $-0
Other Total Stockholders Equity $- $- $-0 $- $- $- $- $- $- $-0 $-0 $- $0 $-0 $0 $- $- $- $- $-
Total Stockholders Equity $740.99M $743.52M $710.46M $715.01M $742.52M $863.39M $930.00M $907.69M $901.08M $939.56M $920.42M $868.43M $879.80M $887.66M $921.48M $903.86M $978.56M $955.57M $932.25M $960.24M
Total Equity $740.99M $743.52M $710.46M $715.01M $742.52M $863.39M $930.00M $907.69M $901.08M $939.56M $920.42M $868.43M $879.80M $887.66M $921.48M $903.86M $978.56M $955.57M $932.25M $960.24M
Total Liabilities and Stockholders Equity $1.16B $1.18B $1.18B $1.21B $1.30B $1.45B $1.53B $1.50B $1.52B $1.57B $1.52B $1.48B $1.51B $1.52B $1.55B $1.55B $1.63B $1.60B $1.58B $1.61B
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $1.16B $1.18B $1.18B $1.21B $1.30B $1.45B $1.53B $1.50B $1.52B $1.57B $1.52B $1.48B $1.51B $1.52B $1.55B $1.55B $1.63B $1.60B $1.58B $1.61B
Total Investments $- $1.17B $1.14B $1.01B $1.04B $1.10B $1.16B $1.48B $1.50B $1.55B $1.50B $1.46B $1.49B $1.50B $1.53B $1.09B $1.33B $1.11B $1.56B $1.59B
Total Debt $406.10M $427.23M $76.09M $107.08M $164.08M $205.71M $219.51M $223.10M $246.04M $253.87M $221.05M $234.24M $258.27M $264.05M $255.96M $642.03M $640.95M $636.89M $642.97M $651.16M
Net Debt $406.10M $427.23M $69.99M $85.16M $164.08M $202.96M $219.51M $219.14M $246.04M $253.87M $221.05M $234.24M $258.26M $264.05M $255.96M $642.03M $635.82M $636.89M $642.97M $651.16M

Annual Cash Flow

Breakdown February 29, 2024 February 28, 2023 February 28, 2022 February 28, 2021 February 29, 2020
Net Income $57.18M $-112.12M $-1.78M $9.05M $111.43M
Depreciation and Amortization $- $- $- $- $-
Deferred Income Tax $- $- $- $- $-
Stock Based Compensation $- $- $- $- $-
Change in Working Capital $-51.80K $3.25M $1.34M $-249.89K $164.34K
Accounts Receivables $-73.95K $2.36M $1.56M $-196.60K $210.91K
Inventory $- $- $- $- $-
Accounts Payables $- $- $- $- $-
Other Working Capital $22.15K $893.26K $-223.45K $-53.29K $-46.57K
Other Non Cash Items $-3.22M $262.98M $59.11M $67.27M $-88.87M
Net Cash Provided by Operating Activities $53.91M $154.12M $58.67M $76.07M $22.73M
Investments in Property Plant and Equipment $- $- $- $- $-
Acquisitions Net $- $- $- $- $-
Purchases of Investments $-418.05M $-507.36M $-185.40M $-308.89M $-172.43M
Sales Maturities of Investments $439.81M $667.22M $213.75M $344.03M $137.08M
Other Investing Activities $- $- $- $- $-
Net Cash Used for Investing Activities $- $159.86M $28.35M $35.14M $-35.35M
Debt Repayment $-47.45M $-98.62M $-17.39M $-31.20M $17.60M
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $-765.52K $-2.71M $- $- $-1.46M
Dividends Paid $-27.90M $-36.32M $-42.49M $-40.90M $-38.87M
Other Financing Activities $272.27K $- $- $- $-
Net Cash Used Provided by Financing Activities $-75.84M $-134.94M $-59.88M $-72.10M $-22.73M
Effect of Forex Changes on Cash $- $-159.86M $-28.35M $-35.14M $-
Net Change in Cash $-21.93M $19.18M $-1.22M $3.97M $-35.35M
Cash at End of Period $-5.86M $21.93M $2.75M $3.97M $-35.35M
Cash at Beginning of Period $21.93M $2.75M $3.97M $- $-
Operating Cash Flow $53.91M $154.12M $58.67M $76.07M $22.73M
Capital Expenditure $- $- $- $- $-
Free Cash Flow $53.91M $154.12M $58.67M $76.07M $22.73M

Cash Flow Charts

Breakdown August 31, 2024 February 29, 2024 August 29, 2023 February 28, 2023 August 31, 2022 February 28, 2022 August 31, 2021 February 28, 2021 August 31, 2020 February 29, 2020 August 31, 2019 February 28, 2019 August 31, 2018 February 28, 2018 August 31, 2017 February 28, 2017 August 31, 2016 February 29, 2016 August 31, 2015 February 28, 2015
Net Income $17.91M $47.12M $10.06M $-10.84M $-101.28M $-45.79M $44.00M $27.91M $-18.86M $39.22M $72.21M $11.04M $14.55M $-11.10M $43.20M $-47.60M $52.63M $52.50M $-26.45K $42.73M
Depreciation and Amortization $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Income Tax $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Stock Based Compensation $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Change in Working Capital $446.66K $-345.57K $293.77K $1.79M $1.47M $1.22M $121.53K $152.93K $-402.82K $-280.23K $444.57K $299.04K $1.00M $381.45K $336.52K $1.22M $13.38K $214.50K $-104.22K $-363.61K
Accounts Receivables $- $-257.34K $183.40K $716.75K $464.12K $651.63K $129.27K $65.97K $-164.27K $-58.88K $164.34K $316.95K $803.77K $381.71K $293.35K $1.16M $-173.58K $210.60K $-61.93K $-347.74K
Inventory $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Accounts Payables $- $- $- $- $- $- $- $- $- $-2.68M $-4.21M $10.95M $-9.96M $7.84M $-9.97M $10.80M $- $- $- $-
Other Working Capital $446.66K $-88.23K $110.38K $1.79M $1.47M $1.22M $121.53K $152.93K $-402.82K $-280.23K $444.57K $-17.90K $198.25K $-256 $43.18K $59.06K $186.96K $3.90K $-42.29K $-15.87K
Other Non Cash Items $-5.65M $-22.65M $19.43M $26.46M $121.56M $68.74M $-20.03M $-2.63M $42.28M $-16.95M $-50.42M $32.61M $13.45M $25.37M $-285.61K $67.50M $-22.16M $-17.46M $36.32M $-32.45M
Net Cash Provided by Operating Activities $12.71M $24.13M $29.78M $17.41M $21.74M $24.17M $24.09M $25.43M $23.01M $21.99M $22.23M $43.95M $29.00M $14.65M $43.25M $21.11M $30.49M $35.25M $36.19M $9.91M
Investments in Property Plant and Equipment $3 $-2 $2 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Acquisitions Net $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Purchases of Investments $-64.29M $-508.48M $90.43M $-177.58M $-329.78M $-85.75M $-99.65M $-71.00M $-237.89M $-121.30M $-51.13M $- $- $- $- $- $- $- $- $-
Sales Maturities of Investments $96.22M $536.08M $-96.27M $303.04M $364.18M $129.66M $84.09M $99.35M $244.68M $73.53M $63.55M $- $- $- $- $- $- $- $- $-
Other Investing Activities $-3 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Cash Used for Investing Activities $31.93M $27.60M $-27.60M $125.46M $34.40M $43.91M $-15.56M $28.35M $6.80M $-47.77M $12.42M $- $- $- $- $- $- $- $- $-
Debt Repayment $- $- $-47.45M $-66.35M $-32.27M $-18.72M $- $-27.44M $-3.76M $32.57M $-14.98M $- $- $- $- $- $8.14M $- $- $-
Common Stock Issued $- $- $- $35.88M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $- $-765.52K $1 $-1.35M $- $- $- $- $- $-730.94K $- $-1.92M $- $- $- $- $- $- $- $-
Dividends Paid $-20.27M $-26.56M $-1.34M $-16.68M $-19.63M $-20.81M $-21.67M $-21.29M $-19.61M $-18.63M $-20.24M $-20.48M $-22.41M $-22.72M $-25.58M $-27.32M $-29.43M $-29.18M $-27.97M $-26.69M
Other Financing Activities $-21.35M $-46.42M $46.69M $1.35M $- $- $1.33M $- $- $-16.29M $- $-21.56M $-35.57M $8.07M $-60.92M $1.08M $-4.07M $-6.07M $-8.22M $16.77M
Net Cash Used Provided by Financing Activities $-41.61M $-30.23M $-45.61M $-83.04M $-51.91M $-39.53M $-20.35M $-48.73M $-23.37M $12.48M $-35.21M $-43.96M $-28.99M $-14.65M $-43.25M $-26.24M $-25.36M $-35.25M $-36.19M $-9.91M
Effect of Forex Changes on Cash $- $- $- $-48.87M $-5.61M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Change in Cash $3.03M $-4.08M $-21.93M $10.96M $-4.13M $28.54M $-5.95M $5.05M $6.43M $-13.30M $-562.58K $-12.71K $12.71K $- $- $-5.13M $2.56M $- $- $-
Cash at End of Period $3.03M $2.03M $-5.86M $21.93M $-1.38M $2.75M $-1.98M $3.97M $6.43M $-13.30M $-562.58K $10 $12.72K $- $- $-30.00K $5.13M $- $- $-
Cash at Beginning of Period $- $6.11M $21.93M $10.96M $2.75M $-25.79M $3.97M $-1.09M $- $- $- $12.72K $10 $- $- $5.10M $2.57M $- $- $-
Operating Cash Flow $12.71M $24.13M $29.78M $17.41M $21.74M $24.17M $24.09M $25.43M $23.01M $21.99M $22.23M $43.95M $29.00M $14.65M $43.25M $21.11M $30.49M $35.25M $36.19M $9.91M
Capital Expenditure $3 $-2 $2 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Free Cash Flow $12.71M $24.13M $29.78M $17.41M $21.74M $24.17M $24.09M $25.43M $23.01M $21.99M $22.23M $43.95M $29.00M $14.65M $43.25M $21.11M $30.49M $35.25M $36.19M $9.91M

Invesco Municipal Opportunity Trust Dividends

Explore Invesco Municipal Opportunity Trust's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

4.30%

Dividend Payout Ratio

48.79%

Dividend Paid & Capex Coverage Ratio

1.93x

Invesco Municipal Opportunity Trust Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.0625 $0.0625 March 17, 2025 March 17, 2025 March 31, 2025 March 03, 2025
$0.0625 $0.0625 February 18, 2025 February 18, 2025 February 28, 2025 February 03, 2025
$0.0625 $0.0625 January 17, 2025 January 17, 2025 January 31, 2025 January 02, 2025
$0.0625 $0.0625 December 17, 2024 December 17, 2024 December 31, 2024 December 02, 2024
$0.0625 $0.0625 November 15, 2024 November 15, 2024 November 29, 2024 November 01, 2024
$0.0625 $0.0625 October 16, 2024 October 16, 2024 October 31, 2024 October 01, 2024
$0.0625 $0.0625 September 17, 2024 September 17, 2024 September 30, 2024 September 03, 2024
$0.0625 $0.0625 August 16, 2024 August 16, 2024 August 30, 2024 August 01, 2024
$0.0625 $0.0625 July 16, 2024 July 16, 2024 July 31, 2024 July 01, 2024
$0.0625 $0.0625 June 18, 2024 June 18, 2024 June 28, 2024 May 23, 2024
$0.0385 $0.0385 May 15, 2024 May 16, 2024 May 31, 2024
$0.0385 $0.0385 April 15, 2024 April 16, 2024 April 30, 2024 April 01, 2024
$0.0385 $0.0385 March 14, 2024 March 15, 2024 March 28, 2024 March 01, 2024
$0.0385 $0.0385 February 15, 2024 February 16, 2024 February 29, 2024 January 29, 2024
$0.034 $0.034 January 16, 2024 January 17, 2024 January 31, 2024 January 02, 2024
$0.034 $0.034 December 14, 2023 December 15, 2023 December 29, 2023 December 01, 2023
$0.034 $0.034 November 14, 2023 November 15, 2023 November 30, 2023 November 01, 2023
$0.034 $0.034 October 13, 2023 October 16, 2023 October 31, 2023 October 02, 2023
$0.034 $0.034 September 14, 2023 September 15, 2023 September 29, 2023 September 01, 2023
$0.0358 $0.0358 August 14, 2023 August 15, 2023 August 31, 2023 August 01, 2023

Invesco Municipal Opportunity Trust News

Read the latest news about Invesco Municipal Opportunity Trust, including recent articles, headlines, and updates.

Invesco Closed-End Funds Declare Dividends

ATLANTA , Dec. 2, 2024 /PRNewswire/ -- The Board of Trustees of each of the Invesco closed-end funds listed below declared dividends. EX-DATE RECORD DATE REINVEST DATE PAYABLE DATE 12/17/2024 12/17/2024 12/31/2024 12/31/2024   Name of Closed-EndManagement Investment Company   Ticker MonthlyDividend Per Share ChangeFrom PriorDistribution % ChangeFrom PriorDistribution Invesco Advantage Municipal Income Trust II VKI $0.05591 - - Invesco Bond Fund VBF $0.08501 +0.0110 +15 % Invesco California Value Municipal Income Trust   VCV $0.06461 - - Invesco Municipal Income Opportunities Trust   OIA $0.0291 - - Invesco Municipal Opportunity Trust VMO  $0.06251 - - Invesco Municipal Trust VKQ  $0.06281 - - Invesco Pennsylvania Value Municipal Income Trust VPV  $0.06671 - - Invesco Quality Municipal Income Trust  IQI  $0.06311 - - Invesco Trust for Investment Grade Municipals VGM  $0.06461 - - Invesco Trust for Investment Grade New York Municipals VTN $0.06851 - - Invesco Value Municipal Income Trust IIM $0.07711 - - 1 A portion of this distribution is estimated to be from a return of principal rather than net income.

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3 High Yield Closed-End Funds Offer Big Discounts

“Buy bonds!” – Contrarian Outlook, 2H 2022

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Invesco Closed-End Funds Announce Increased Distribution Rates for All Investment Grade Municipal Bond Closed-End Funds and Declare Dividends

ATLANTA , Sept. 3, 2024 /PRNewswire/ -- The Board of Trustees of each of the Invesco closed-end funds listed below declared dividends.

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Invesco Advisers Announces Portfolio Management Changes for Invesco Municipal Closed-End Funds

ATLANTA , June 8, 2023 /PRNewswire/ -- Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today portfolio management changes for the following Invesco closed-end municipal funds (the "Funds"): Invesco Advantage Municipal Income Trust II (NYSE American: VKI) Invesco California Value Municipal Income Trust (NYSE: VCV) Invesco Municipal Income Opportunities Trust (NYSE: OIA) Invesco Municipal Opportunity Trust (NYSE: VMO) Invesco Municipal Trust (NYSE: VKQ) Invesco Pennsylvania Value Municipal Income Trust (NYSE: VPV) Invesco Quality Municipal Income Trust (NYSE: IQI) Invesco Trust for Investment Grade Municipals (NYSE: VGM) Invesco Trust for Investment Grade New York Municipals (NYSE: VTN) Invesco Value Municipal Income Trust (NYSE: IIM)  Effective June 30, 2023, the following individuals are jointly and primarily responsible for the day-to-day management of Invesco Advantage Municipal Income Trust II, Invesco Municipal Opportunity Trust, Invesco Municipal Trust, Invesco Quality Municipal Income Trust, Invesco Trust for Investment Grade Municipals and Invesco Value Municipal Income Trust's portfolio:  Mark Paris, Portfolio Manager, who has been associated with Invesco and/or its affiliates since 2010.

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Rockefeller Capital Management L.P. Purchases Shares of 3,010 Invesco Van Kampen Munpl Oprtnty Tr (NYSE:VMO)

Rockefeller Capital Management L.P. purchased a new stake in shares of Invesco Van Kampen Munpl Oprtnty Tr (NYSE:VMO) in the 1st quarter, according to the company in its most recent disclosure with the SEC. The firm purchased 3,010 shares of the investment management company’s stock, valued at approximately $34,000. A number of other institutional investors […]

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Related Metrics

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