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CEV Eaton Vance CA Muni Income Trust

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  • 11.050
  • -0.005-0.05%
Close Jul 12 16:00 ET
77.72MMarket Cap30.61P/E (TTM)

Eaton Vance CA Muni Income Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Nov 30, 2023
(FY)Nov 30, 2022
(FY)Nov 30, 2021
(FY)Nov 30, 2020
(FY)Nov 30, 2019
(FY)Nov 30, 2018
(FY)Nov 30, 2017
(FY)Nov 30, 2016
(FY)Nov 30, 2011
(FY)Nov 30, 2010
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
114.14%2.5M
-576.50%-17.66M
-42.99%3.71M
-47.04%6.5M
968.04%12.27M
-128.71%-1.41M
756.48%4.93M
---750.27K
-3.35%6.72M
--6.95M
Other non cashItems
-135.94%-183.98K
25.17%511.91K
19.15%408.96K
19.77%343.23K
24.77%286.59K
1,139.99%229.7K
106.80%18.52K
---272.54K
2.13%-1.42M
---1.45M
Change in working capital
-62.76%160.12K
2,675.55%429.96K
78.07%-16.69K
-220.31%-76.11K
-68.32%63.26K
-42.87%199.71K
253.48%349.55K
---227.75K
-436.54%-5.8M
--1.72M
-Change in receivables
-22.02%202.58K
1,968.39%259.79K
-77.53%12.56K
965.48%55.89K
-108.81%-6.46K
-56.65%73.28K
172.88%169.06K
---231.96K
-4,574.00%-4.01M
--89.67K
-Change in prepaid assets
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----
----
----
--0
--183K
----
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-Change in other current assets
----
----
----
----
----
----
----
--0
----
----
-Change in other current liabilities
---24.1K
--0
--0
--0
--0
--0
--0
--0
--0
--0
Cash from discontinued operating activities
Operating cash flow
-39.55%13.12M
3,654.78%21.71M
-91.89%578.11K
70.36%7.13M
57.15%4.18M
-63.26%2.66M
49.29%7.25M
--4.85M
58.76%11.14M
--7.02M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
25.06%-11.54M
---15.4M
----
-33.33%10K
-99.97%15K
1,252.44%51.86M
-566.67%-4.5M
---675K
-311.64%-3.37M
--1.59M
Net commonstock issuance
----
---1.07M
----
----
--0
---1.48M
----
----
----
----
Net preferred stock issuance
----
----
----
----
----
---49.98M
----
--1.75M
----
----
Cash dividends paid
20.01%-3.03M
6.07%-3.79M
-3.57%-4.03M
-2.92%-3.89M
-13.16%-3.78M
7.88%-3.34M
18.71%-3.63M
---4.46M
0.37%-6.25M
---6.28M
Net other financing activities
--0
--0
--0
--0
--0
--0
--0
---129.74K
--0
---95.46K
Cash from discontinued financing activities
Financing cash flow
28.08%-14.57M
-402.41%-20.26M
-3.84%-4.03M
-3.07%-3.88M
-28.31%-3.77M
63.88%-2.94M
-131.11%-8.13M
---3.52M
-101.13%-9.62M
---4.78M
Net cash flow
Beginning cash position
370.42%1.84M
-89.82%391.5K
541.04%3.85M
228.25%599.85K
-59.94%182.74K
-65.89%456.16K
--1.34M
--0
--2.23M
--0
Current changes in cash
-199.81%-1.45M
141.99%1.45M
-206.42%-3.45M
678.09%3.25M
252.55%417.11K
68.97%-273.42K
-165.89%-881.08K
--1.34M
-31.92%1.52M
--2.23M
End cash position
-78.59%394.32K
370.42%1.84M
-89.82%391.5K
541.04%3.85M
228.25%599.85K
-59.94%182.74K
-65.89%456.16K
--1.34M
68.08%3.76M
--2.23M
Free cash flow
-39.55%13.12M
3,654.78%21.71M
-91.89%578.11K
70.36%7.13M
57.15%4.18M
-63.26%2.66M
49.29%7.25M
--4.85M
58.76%11.14M
--7.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
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(FY)Nov 30, 2023(FY)Nov 30, 2022(FY)Nov 30, 2021(FY)Nov 30, 2020(FY)Nov 30, 2019(FY)Nov 30, 2018(FY)Nov 30, 2017(FY)Nov 30, 2016(FY)Nov 30, 2011(FY)Nov 30, 2010
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 114.14%2.5M-576.50%-17.66M-42.99%3.71M-47.04%6.5M968.04%12.27M-128.71%-1.41M756.48%4.93M---750.27K-3.35%6.72M--6.95M
Other non cashItems -135.94%-183.98K25.17%511.91K19.15%408.96K19.77%343.23K24.77%286.59K1,139.99%229.7K106.80%18.52K---272.54K2.13%-1.42M---1.45M
Change in working capital -62.76%160.12K2,675.55%429.96K78.07%-16.69K-220.31%-76.11K-68.32%63.26K-42.87%199.71K253.48%349.55K---227.75K-436.54%-5.8M--1.72M
-Change in receivables -22.02%202.58K1,968.39%259.79K-77.53%12.56K965.48%55.89K-108.81%-6.46K-56.65%73.28K172.88%169.06K---231.96K-4,574.00%-4.01M--89.67K
-Change in prepaid assets ----------------------0--183K------------
-Change in other current assets ------------------------------0--------
-Change in other current liabilities ---24.1K--0--0--0--0--0--0--0--0--0
Cash from discontinued operating activities
Operating cash flow -39.55%13.12M3,654.78%21.71M-91.89%578.11K70.36%7.13M57.15%4.18M-63.26%2.66M49.29%7.25M--4.85M58.76%11.14M--7.02M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 25.06%-11.54M---15.4M-----33.33%10K-99.97%15K1,252.44%51.86M-566.67%-4.5M---675K-311.64%-3.37M--1.59M
Net commonstock issuance -------1.07M----------0---1.48M----------------
Net preferred stock issuance -----------------------49.98M------1.75M--------
Cash dividends paid 20.01%-3.03M6.07%-3.79M-3.57%-4.03M-2.92%-3.89M-13.16%-3.78M7.88%-3.34M18.71%-3.63M---4.46M0.37%-6.25M---6.28M
Net other financing activities --0--0--0--0--0--0--0---129.74K--0---95.46K
Cash from discontinued financing activities
Financing cash flow 28.08%-14.57M-402.41%-20.26M-3.84%-4.03M-3.07%-3.88M-28.31%-3.77M63.88%-2.94M-131.11%-8.13M---3.52M-101.13%-9.62M---4.78M
Net cash flow
Beginning cash position 370.42%1.84M-89.82%391.5K541.04%3.85M228.25%599.85K-59.94%182.74K-65.89%456.16K--1.34M--0--2.23M--0
Current changes in cash -199.81%-1.45M141.99%1.45M-206.42%-3.45M678.09%3.25M252.55%417.11K68.97%-273.42K-165.89%-881.08K--1.34M-31.92%1.52M--2.23M
End cash position -78.59%394.32K370.42%1.84M-89.82%391.5K541.04%3.85M228.25%599.85K-59.94%182.74K-65.89%456.16K--1.34M68.08%3.76M--2.23M
Free cash flow -39.55%13.12M3,654.78%21.71M-91.89%578.11K70.36%7.13M57.15%4.18M-63.26%2.66M49.29%7.25M--4.85M58.76%11.14M--7.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified Opinion----

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