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RFM

RiverNorth Flexible Municipal Income Fund, Inc.

Price Chart
Latest Quote

$14.93

+0.05 (+0.34%)
Current Price
Previous Close $14.88
Open $14.92
Day High $15.01
Day Low $14.83
Volume 7,926
Fetched: 2026-07-18T08:00:09
Stock Information
Quarterly Dividend / Yield $1.06 / 7.08%
Shares Outstanding 6.11M
Quarterly Dividend Yield 7.08%
Quarterly Dividend $1.06
Sector Financial Services
Industry Asset Management
Market Cap $91.29M
P/E Ratio 165.89
EPS (TTM) $0.09
Exchange NYQ
📊 Comprehensive Analysis
Company Data
Financial Ratios
Returns & Margins
Ownership
Insider Ownership1.91%
Institutional Ownership18.66%
Insider & Institutional transactions data not available
Valuation Ratios
Analyst Data
Recommendationnone
Technical Indicators
SMA20$14.72
SMA50$14.51
SMA200$13.94
RSI79.11
ATR0.1264
Short Ratio1.41
Rel Volume0.69
Performance History
Week+0.52%
Month+2.86%
Quarter+6.29%
6 Months+9.54%
YTD+10.86%
Year+14.82%
3 Years+15.08%
5 Years-4.19%
10 Years+25.95%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-07-17 $14.93 8,300
2026-07-16 $14.88 2,200
2026-07-15 $14.95 3,700
2026-07-14 $14.88 4,600
2026-07-13 $14.82 10,300
2026-07-10 $14.85 5,300
2026-07-09 $14.82 9,800
2026-07-08 $14.78 8,700
2026-07-07 $14.75 9,100
2026-07-06 $14.77 13,900
2026-07-02 $14.77 18,500
2026-07-01 $14.72 18,700
2026-06-30 $14.69 39,600
2026-06-29 $14.71 21,000
2026-06-26 $14.54 5,400
2026-06-25 $14.52 5,400
2026-06-24 $14.52 23,700
2026-06-23 $14.53 24,200
2026-06-22 $14.51 2,700
2026-06-18 $14.51 4,000
Period:
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Income Statement (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Revenue
Total Revenue $-3,693,241 $7,925,481 $3,549,395 $-26,058,636
Operating Revenue $-3,693,241 $7,925,481 $3,549,395 $-26,058,636
Expenses
Interest Expense $2,405,670 $2,761,235 $2,422,668 $555,938
Operating Expense $269,663 $161,112 $249,603 $68,787
General And Administrative Expense $269,663 $161,112 $70,806 $68,787
Other Operating Expenses - - $178,797 -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Interest Income $1,774,159 $1,199,391 $2,608,580 $3,623,123
Interest Income $4,179,829 $3,960,626 $5,031,248 $4,179,061
Normalized Income $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Income From Continuing And Discontinued Operation $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Income Common Stockholders $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Income $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Income Including Noncontrolling Interests $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Net Income Continuous Operations $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Pretax Income $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Per Share
Diluted EPS $-0.64 $1.27 $0.54 $-4.27
Basic EPS $-0.64 $1.27 $0.54 $-4.27
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Diluted Average Shares $6,192,038 $6,113,676 $6,110,726 $6,118,834
Basic Average Shares $6,192,038 $6,113,676 $6,110,726 $6,118,834
Diluted NI Availto Com Stockholders $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Gain On Sale Of Security $305,671 $-751,248 $-9,720,461 $3,008,407
Selling General And Administration $269,663 $161,112 $70,806 $68,787
Fetched: 2026-07-14
Balance Sheet (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Assets
Net Tangible Assets $93,840,300 $104,751,948 $104,101,420 $110,982,112
Total Assets $156,574,272 $170,213,237 $176,470,025 $200,835,426
Investmentin Financial Assets $152,914,134 $166,867,509 $172,968,328 $198,027,256
Financial Assets Designatedas Fair Value Through Profitor Loss Total $147,825,162 $165,279,092 $169,609,635 $198,027,256
Receivables $1,900,030 $1,715,542 $1,838,417 $1,299,295
Cash And Cash Equivalents $285,130 $6,316 - -
Cash Financial $285,130 $6,316 - -
Cash Cash Equivalents And Federal Funds Sold $1,659,230 $1,442,916 $1,545,600 $1,301,400
Prepaid Assets - - - $207,475
Debt
Net Debt $61,389,870 $64,533,684 $70,670,000 $88,150,000
Total Debt $61,675,000 $64,540,000 $70,670,000 $88,150,000
Long Term Debt And Capital Lease Obligation $61,675,000 $64,540,000 $70,670,000 $88,150,000
Liabilities
Total Liabilities Net Minority Interest $62,733,972 $65,461,289 $72,368,605 $89,853,314
Payables $1,058,972 $921,289 $1,698,605 $1,703,314
Other Payable $472,758 $192,537 $367,639 $1,539,818
Accounts Payable $586,214 $728,752 $1,330,966 $163,496
Equity
Common Stock Equity $93,840,300 $104,751,948 $104,101,420 $110,982,112
Total Equity Gross Minority Interest $93,840,300 $104,751,948 $104,101,420 $110,982,112
Stockholders Equity $93,840,300 $104,751,948 $104,101,420 $110,982,112
Retained Earnings $-13,323,787 $-6,861,157 $-13,129,754 $-11,425,813
Other
Ordinary Shares Number $6,114,699 $6,114,699 $6,114,699 $6,114,699
Share Issued $6,114,699 $6,114,699 $6,114,699 $6,114,699
Tangible Book Value $93,840,300 $104,751,948 $104,101,420 $110,982,112
Invested Capital $155,515,300 $169,291,948 $174,771,420 $199,132,112
Total Capitalization $155,515,300 $169,291,948 $174,771,420 $199,132,112
Capital Stock $107,164,087 $111,613,105 $117,231,174 $122,407,925
Common Stock $107,164,087 $111,613,105 $117,231,174 $122,407,925
Investments And Advances $152,914,134 $166,867,509 $172,968,328 $198,027,256
Available For Sale Securities $5,088,972 $1,588,417 $3,358,693 -
Fetched: 2026-07-14
Cash Flow Statement (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Free Cash Flow
Free Cash Flow $10,030,558 $13,141,212 $28,558,781 $-7,237,783
Operating Activities
Operating Cash Flow $10,030,558 $13,141,212 $28,558,781 $-7,237,783
Financing Activities
Financing Cash Flow $-9,814,244 $-13,243,896 $-28,314,581 $7,197,110
Net Other Financing Charges $0 $0 $-654,097 $654,097
Cash Dividends Paid $-6,948,744 $-7,113,841 $-10,180,484 $-14,131,987
Common Stock Dividend Paid $-6,948,744 $-7,113,841 $-10,180,484 $-14,131,987
Other
Repayment Of Debt $-9,115,500 $-29,655,055 $-43,050,000 $-41,215,000
Issuance Of Debt $6,250,000 $23,525,000 $25,570,000 $61,890,000
End Cash Position $1,659,230 $1,442,916 $1,545,600 $1,301,400
Beginning Cash Position $1,442,916 $1,545,600 $1,301,400 $1,342,073
Changes In Cash $216,314 $-102,684 $244,200 $-40,673
Net Issuance Payments Of Debt $-2,865,500 $-6,130,055 $-17,480,000 $20,675,000
Net Long Term Debt Issuance $-2,865,500 $-6,130,055 $-17,480,000 $20,675,000
Long Term Debt Payments $-9,115,500 $-29,655,055 $-43,050,000 $-41,215,000
Long Term Debt Issuance $6,250,000 $23,525,000 $25,570,000 $61,890,000
Change In Working Capital $353,604 $-361,271 $-171,312 $-186,470
Change In Other Current Liabilities $0 $0 $0 $0
Change In Other Current Assets $86,392 $-69,590 $-117,680 -
Change In Payable $137,683 $-199,322 $71,394 $511,681
Change In Receivables $129,529 $-92,359 $-332,501 $-490,676
Other Non Cash Items $397,705 $531,708 $332,381 $644,433
Gain Loss On Investment Securities $13,242,153 $5,206,406 $25,097,920 $18,431,677
Net Income From Continuing Operations $-3,962,904 $7,764,369 $3,299,792 $-26,127,423
Change In Prepaid Assets - - $207,475 $-207,475
Fetched: 2026-07-14