Financial Services » Investing & Securities | MFS Special Value Trust

MFS Special Value Trust | Balance Sheet

Fiscal year is November-October. All values USD Thousands.
2013
2014
2015
2016
2017
Cash & Short Term Investments
101.10
0.30
1.70
21.80
0.70
Total Assets
50,376.00
48,412.30
43,288.40
42,208.50
43,052.80
Other Liabilities
974.20
508.20
162.80
359.00
210.90
Total Liabilities
974.20
508.20
162.80
359.00
210.90
Common Equity (Total)
49,401.80
47,904.00
43,125.50
41,849.50
42,842.00
Total Shareholders' Equity
49,401.80
47,904.00
43,125.50
41,849.50
42,842.00
Total Equity
49,401.80
47,904.00
43,125.50
41,849.50
42,842.00
Liabilities & Shareholders' Equity
50,376.00
48,412.30
43,288.40
42,208.50
43,052.80
Short-Term Receivables
879.90
580.30
525.00
553.60
389.40
Investments - Total
48,091.40
46,655.30
42,506.30
41,629.10
42,658.80
Other Assets (Including Intangibles)
4.00
4.00
4.00
4.00
4.00
Investment in Unconsolidated Subs.
1,299.70
1,172.30
251.40
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About MFS Special Value Trust

View Profile
Address
111 Huntington Avenue
Boston Massachusetts 02199
United States
Employees -
Website -
Updated 09/14/2018
MFS Special Value Trust operates as closed-end management investment company. It invests in high-yield securities rated below investment grade and in foreign securities. The company was founded on November 17, 1989 and is headquartered in Boston, MA.