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VMO

Invesco Municipal Opportunity Trust

Price Chart
Latest Quote

$9.81

-0.04 (-0.41%)
Current Price
Previous Close $9.85
Open $9.84
Day High $9.84
Day Low $9.81
Volume 74,066
Fetched: 2026-07-16T15:38:58
Stock Information
Quarterly Dividend / Yield $0.75 / 7.61%
Shares Outstanding 67.44M
Quarterly Dividend Yield 7.61%
Quarterly Dividend $0.75
Total Debt $383.60M
Cash Equivalents $5.18M
Revenue $53.52M
Net Income $19.29M
Sector Financial Services
Industry Asset Management
Market Cap $661.59M
P/E Ratio 35.04
EPS (TTM) $0.28
Exchange NYQ
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Recent Price History
Date Close Volume
2026-07-17 $9.81 177,900
2026-07-16 $9.85 202,800
2026-07-15 $9.85 296,200
2026-07-14 $9.88 318,000
2026-07-13 $9.84 301,500
2026-07-10 $9.81 198,800
2026-07-09 $9.83 256,600
2026-07-08 $9.77 194,200
2026-07-07 $9.79 324,100
2026-07-06 $9.82 280,300
2026-07-02 $9.84 219,800
2026-07-01 $9.84 223,800
2026-06-30 $9.81 304,600
2026-06-29 $9.83 313,300
2026-06-26 $9.80 177,300
2026-06-25 $9.82 199,800
2026-06-24 $9.81 297,800
2026-06-23 $9.74 217,400
2026-06-22 $9.74 254,400
2026-06-18 $9.84 262,200
About Invesco Municipal Opportunity Trust

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.

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Income Statement (Annual)
Metric 2026-02-28 2025-02-28 2024-02-29 2023-02-28
Revenue
Total Revenue $19,760,363 $24,463,243 $57,624,618 $-111,694,373
Operating Revenue $19,760,363 $24,463,243 $57,624,618 $-111,694,373
Expenses
Interest Expense $15,661,243 $18,121,857 $19,593,093 $13,811,617
Operating Expense $468,669 $806,817 $446,544 $424,590
Other Operating Expenses $31,399 $39,249 $30,661 $50,403
General And Administrative Expense $437,270 $767,568 $415,883 $374,187
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Interest Income $37,721,955 $35,003,608 $34,566,071 $40,522,218
Interest Income $53,383,198 $53,125,465 $54,159,164 $54,333,835
Normalized Income $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Income From Continuing And Discontinued Operation $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Income Common Stockholders $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Income $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Income Including Noncontrolling Interests $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Net Income Continuous Operations $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Pretax Income $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Per Share
Diluted EPS - $0.36 $0.85 $-1.66
Basic EPS - $0.36 $0.85 $-1.66
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Diluted NI Availto Com Stockholders $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Gain On Sale Of Security $-13,254,172 $-2,258,003 $-14,062,494 $-51,025,177
Selling General And Administration $437,270 $767,568 $415,883 $374,187
Diluted Average Shares - $65,712,294 $67,268,322 $67,541,544
Basic Average Shares - $65,712,294 $67,268,322 $67,541,544
Fetched: 2026-07-16
Balance Sheet (Annual)
Metric 2026-02-28 2025-02-28 2024-02-29 2023-02-28
Assets
Net Tangible Assets $690,159,958 $721,448,778 $743,517,136 $715,008,097
Total Assets $1,083,687,826 $1,114,096,180 $1,181,245,993 $1,209,914,437
Investmentin Financial Assets $1,066,761,144 $1,095,625,356 $1,169,023,026 $1,166,553,541
Financial Assets Designatedas Fair Value Through Profitor Loss Total $1,066,708,186 $1,095,582,755 $1,168,988,597 $1,166,517,285
Receivables $11,744,398 $12,079,287 $12,222,328 $21,428,434
Cash And Cash Equivalents $5,181,378 $6,256,072 - $21,929,036
Cash Financial $5,181,378 $6,256,072 - $21,929,036
Cash Cash Equivalents And Federal Funds Sold $5,181,378 $6,256,072 - $21,929,036
Debt
Net Debt $128,448,622 $69,853,928 $59,635,000 $85,155,964
Total Debt $133,630,000 $76,110,000 $59,635,000 $107,085,000
Long Term Debt And Capital Lease Obligation $133,630,000 $76,110,000 $59,635,000 $107,085,000
Liabilities
Total Liabilities Net Minority Interest $393,527,868 $392,647,402 $437,728,857 $494,906,340
Payables $9,591,341 $3,901,297 $10,230,229 $19,875,002
Accounts Payable $9,591,341 $3,901,297 $9,957,955 $19,875,002
Other Payable - - $272,274 -
Equity
Common Stock Equity $690,159,958 $721,448,778 $743,517,136 $715,008,097
Total Equity Gross Minority Interest $690,159,958 $721,448,778 $743,517,136 $715,008,097
Stockholders Equity $690,159,958 $721,448,778 $743,517,136 $715,008,097
Retained Earnings $-119,443,424 $-107,602,190 $-103,667,515 $-132,942,071
Preferred Securities Outside Stock Equity $249,972,374 $312,351,518 $367,592,314 $367,582,122
Other
Preferred Shares Number $2,500 $3,124 - -
Ordinary Shares Number $67,440,685 $67,440,685 $67,440,685 $67,440,685
Share Issued $67,440,685 $67,440,685 $67,440,685 $67,440,685
Tangible Book Value $690,159,958 $721,448,778 $743,517,136 $715,008,097
Invested Capital $823,789,958 $797,558,778 $803,152,136 $822,093,097
Total Capitalization $823,789,958 $797,558,778 $803,152,136 $822,093,097
Capital Stock $809,603,382 $829,050,968 $847,184,651 $847,950,168
Common Stock $809,603,382 $829,050,968 $847,184,651 $847,950,168
Investments And Advances $1,066,761,144 $1,095,625,356 $1,169,023,026 $1,166,553,541
Available For Sale Securities $52,958 $42,601 $34,429 $36,256
Treasury Shares Number - - $0 -
Fetched: 2026-07-16
Cash Flow Statement (Annual)
Metric 2026-02-28 2025-02-28 2024-02-29 2023-02-28
Free Cash Flow
Free Cash Flow $54,457,165 $90,853,212 $53,910,821 $154,119,729
Operating Activities
Operating Cash Flow $54,457,165 $90,853,212 $53,910,821 $154,119,729
Financing Activities
Repurchase Of Capital Stock $-81,847,586 $-73,333,683 $-765,517 $-2,705,966
Financing Cash Flow $-55,531,859 $-84,597,140 $-75,839,857 $-134,942,015
Net Other Financing Charges $0 $-272,274 $272,274 $0
Cash Dividends Paid $-31,204,273 $-27,466,183 $-27,896,614 $-33,611,049
Common Stock Dividend Paid $-31,204,273 $-27,466,183 $-27,896,614 $-33,611,049
Net Preferred Stock Issuance $-62,400,000 $-55,200,000 - -
Net Common Stock Issuance $-19,447,586 $-18,133,683 $-765,517 $-2,705,966
Other
Repayment Of Debt $-56,475,000 $-12,725,000 $-57,435,000 $-149,205,000
Issuance Of Debt $113,995,000 $29,200,000 $9,985,000 $50,580,000
End Cash Position $5,181,378 $6,256,072 $0 $21,929,036
Beginning Cash Position $6,256,072 $0 $21,929,036 $2,751,322
Changes In Cash $-1,074,694 $6,256,072 $-21,929,036 $19,177,714
Preferred Stock Payments $-62,400,000 $-55,200,000 - -
Common Stock Payments $-19,447,586 $-18,133,683 $-765,517 $-2,705,966
Net Issuance Payments Of Debt $57,520,000 $16,475,000 $-47,450,000 $-98,625,000
Net Long Term Debt Issuance $57,520,000 $16,475,000 $-47,450,000 $-98,625,000
Long Term Debt Payments $-56,475,000 $-12,725,000 $-57,435,000 $-149,205,000
Long Term Debt Issuance $113,995,000 $29,200,000 $9,985,000 $50,580,000
Change In Working Capital $424,480 $-266,036 $-51,801 $3,254,990
Change In Other Current Liabilities $0 $0 $0 $0
Change In Payable $-183,854 $-415,563 $22,146 $893,261
Change In Receivables $608,334 $149,527 $-73,947 $2,361,729
Other Non Cash Items $-2,101,130 $-1,853,956 $-1,796,329 $2,766,073
Gain Loss On Investment Securities $36,842,121 $69,316,778 $-1,419,123 $260,217,629
Net Income From Continuing Operations $19,291,694 $23,656,426 $57,178,074 $-112,118,963
Fetched: 2026-07-16